NICHOLAS APPLEGATE CAPITAL MANAGEMENT
13F-HR, 2000-11-08
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PORTVUE-SEC13F.LRP                                                                                                        PAGE 1

RUN DATE: 11/03/00 08:25 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                   DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)            (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)       (ITEM 6)    (ITEM 7)       (ITEM 8)
                                                                                  INVESTMENT               VOTING AUTHORITY
                                                                                  DISCRETION                   (SHARES)
                                                                                 -----------------  ------------------------------
             NAME                TITLE                    FAIR      SHARES OR              SHARED
              OF                   OF       CUSIP        MARKET     PRINCIPAL   SOLE SHARED OTHER       SOLE     SHARED     NONE
            ISSUER               CLASS      NUMBER        VALUE       AMOUNT     (A)   (B)   (C) MGR     (A)       (B)       (C)
------------------------------- -------  ---------- -------------- ------------ ----- ----- ----- -- --------- --------- ---------
<S>                             <C>      <C>        <C>            <C>          <C>   <C>   <C>  <C><C>       <C>       <C>
ADC TELECOMMUNICATION INC       COMMON   000886101          62,143    2,310,950   X               C    303,150         0 1,980,400
ABN AMRO HLDG N V SPONSORED AD  COMMON   000937102               5          235   X                        235         0         0
ACT MFG INC                     COMMON   000973107          25,726      487,700   X                    365,700         0   122,000
AES TRUST VII                   PREFERD  00103V305          40,933      497,663   X                    473,122         0    24,541
AFLAC INC                       COMMON   001055102          32,744      510,855   X                    500,200         0    10,655
AGL RES INC                     COMMON   001204106           2,526      125,900   X                     85,700         0    40,200
AES CORP COM                    COMMON   00130H105         171,203    2,499,011   X               54 1,223,797   191,388   411,742
AES CORP 4.500% 08/15/05        CONVERT  00130HAN5             111       43,000   X                          0         0    43,000
AK STL HLDG CORP                COMMON   001547108             202       21,544   X                     21,500         0        44
AMR CORP                        COMMON   001765106               1           45   X                          0         0        45
AT&T CORP                       COMMON   001957109           1,675       57,007   X                     36,896         0    20,111
LIBERTY MEDIA GROUP             COMMON   001957208          56,139    3,118,795   X                  2,703,548         0    68,347
AT&T CORP AT&T WRLSS GRP        COMMON   001957406              13          650   X                        650         0         0
ALLIED IRISH BANK O             COMMON   0019783            38,332    3,514,400   X                  3,090,000         0   424,400
ASM LITHOGRAPHY HOLDING         CONVERT  00207EAB6          22,174   19,820,000   X                 18,730,000         0 1,090,000
AVT CORP                        COMMON   002420107             211       37,910   X                     37,910         0         0
AVX CORP NEW                    COMMON   002444107           8,165      313,300   X                    286,500         0    26,800
AXA FINL INC                    COMMON   002451102             942       18,500   X                     10,600         0     7,900
ABBOTT LABS                     COMMON   002824100          10,307      216,700   X                    199,500         0    17,200
ABERCROMBIE & FITCH CO CL A     COMMON   002896207          23,453    1,230,322   X                  1,056,158         0   174,164
ABGENIX INC COM                 COMMON   00339B107          76,537      947,094   X               A    849,130         0    97,964
ABOUT COM INC                   COMMON   003736105           6,491      200,500   X                    176,200         0    24,300
ACACIA RESH CORP COM            COMMON   003881109           5,870      168,300   X                    130,100         0    38,200
ABITIBI-CONSOLIDATED INC COM    COMMON   003924107          45,324    4,834,684   X               60 3,662,700    25,922   542,060
ACCOR S A SPONSORED ADR         COMMON   00435F101          12,273      660,947   X               26   343,140    10,994    45,925
ACCREDO HEALTH INC COM          COMMON   00437V104          14,093      288,350   X                    229,250         0    59,100
SAFEWAY PLC                     COMMON   0049241            21,688    5,111,400   X                  3,998,400         0 1,113,000
ACTEL CORP                      COMMON   004934105           5,585      155,400   X                    148,900         0     6,500
ACTIVE POWER INC                COMMON   00504W100           6,287      101,400   X                     59,100         0    42,300
ACTUATE CORP                    COMMON   00508B102           6,046      175,000   X                    175,000         0         0
ADAC LABS                       COMMON   005313200          17,763      853,490   X                    610,290         0   243,200
BILLITON PLC                    COMMON   0056650            31,969    8,944,600   X                  8,030,100         0   914,500
ADAPTEC INC                     CONVERT  00651FAC2           7,594    9,000,000   X                  9,000,000         0         0
BAA ORD                         COMMON   0067340            25,793    3,261,000   X                  2,918,100         0   342,900
ADELPHIA COMMUNICATIONS CORPCL  COMMON   006848105               7          253   X                        253         0         0
ADEPT TECHNOLOGY INC            COMMON   006854103          10,633      202,300   X                    155,200         0    47,100
ADMINISTAFF INC                 COMMON   007094105          27,782      367,000   X                    221,500         0   145,500
ADOBE SYS INC COM               COMMON   00724F101         111,213      716,352   X               21   204,608       642   508,906
ADVANCE PARADIGM INC            COMMON   007491103          16,791      398,000   X                    398,000         0         0
ADVANCED TECHNICAL PRODS        COMMON   007548100           2,013      545,800   X                          0         0   545,800
ADVANCED FIBRE COMMUNICA        COMMON   00754A105           6,545      172,800   X                    153,500         0    19,300
ADVO INC COM                    COMMON   007585102          15,422      467,300   X                    434,300         0    33,000
AEROFLEX INC                    COMMON   007768104          17,368      357,175   X                    275,175         0    82,000
BARCLAYS ORD                    COMMON   0078201            26,422      954,700   X                    838,400         0   116,300
</TABLE>

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PORTVUE-SEC13F.LRP                                                                                                        PAGE 2

RUN DATE: 11/03/00 08:25 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                    DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)            (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)       (ITEM 6)    (ITEM 7)       (ITEM 8)
                                                                                  INVESTMENT               VOTING AUTHORITY
                                                                                  DISCRETION                   (SHARES)
                                                                                 -----------------  ------------------------------
             NAME                TITLE                    FAIR      SHARES OR              SHARED
              OF                   OF       CUSIP        MARKET     PRINCIPAL   SOLE SHARED OTHER       SOLE     SHARED     NONE
            ISSUER               CLASS      NUMBER        VALUE       AMOUNT     (A)   (B)   (C) MGR     (A)       (B)       (C)
------------------------------- -------  ---------- -------------- ------------ ----- ----- ----- -- --------- --------- ---------
<S>                             <C>      <C>        <C>            <C>          <C>   <C>   <C>  <C><C>       <C>       <C>
ADVANCED MICRO DEVICES I        COMMON   007903107           5,818      246,200   X                    221,400         0    24,800
ADVANCED ENERGY INDS            COMMON   007973100           2,904       88,000   X                          0         0    88,000
ADVENT SOFTWARE INC COMMON      COMMON   007974108             754       10,800   X                      2,100         0     8,700
AFFILIATED COMPUTER SERV        COMMON   008190100           8,414      168,700   X                    168,700         0         0
AFFYMETRIX INC OC-CAP STK       COMMON   00826T108           3,551       71,203   X               23    65,368         0     5,812
AGENCY COM LTD                  COMMON   008447104             335       22,400   X                     22,400         0         0
AGILENT TECHNOLOGIES INC COM    COMMON   00846U101               8          157   X                        134         0        23
AGILE SOFTWARE CORP DEL         COMMON   00846X105          77,292      859,400   X               A    772,500         0    86,900
AIR PRODS & CHEMS INC           COMMON   009158106             242        6,725   X                      6,725         0         0
AIRGATE PCS INC                 COMMON   009367103           6,570      146,400   X                    104,000         0    42,400
AIRNET COMMUNICATIONS CORP COM  COMMON   00941P106           5,969      267,500   X                    180,600         0    86,900
AIRSPAN NETWORKS INC            COMMON   00950H102             866       75,300   X                     75,300         0         0
AKAMAI TECHNOLOGIES INC COM     COMMON   00971T101              34          645   X                          0         0       645
AKTIEBOLAGET ELECTROLUX         COMMON   010198208               2           80   X                         80         0         0
ALAMOSA PCS HOLDINGS            COMMON   011593100           7,851      485,000   X                    385,200         0    99,800
ALBANY MOLECULAR RESH IN        COMMON   012423109           4,495       80,000   X                     77,000         0     3,000
ALBEMARLE CORP                  COMMON   012653101           2,519      124,800   X                     99,300         0    25,500
AMVESCAP PLC                    COMMON   0128269            48,316    2,232,300   X                  1,886,000         0   346,300
ALBERTA ENERGY LTD COM          COMMON   012873105           9,541      229,224   X               99   116,428     4,264     9,353
ALCOA INC COM                   COMMON   013817101           1,904       75,236   X                     48,476         0    26,760
ALCATEL ALSTHOM SPONSORED ADR   COMMON   013904305          21,678      344,759   X               12   191,406     5,347    23,640
BRITISH TELECOM ORD             COMMON   0140843               528       50,200   X                     50,200         0         0
BRITISH SKY BROADCASTING        COMMON   0141192             1,317       85,600   X                     85,600         0         0
ALEXION PHARMACEUTICALS         COMMON   015351109          31,145      273,200   X                    168,100         0   105,100
CABLE & WIRELESS                COMMON   0162557            29,415    2,061,770   X                  1,815,000         0   246,770
CAMBRIDGE ANTIBODY TECH         COMMON   0166225               893       15,000   X                     15,000         0         0
SEMA GROUP                      COMMON   0172857            35,525    2,071,480   X                  1,809,300         0   262,180
ALLEGHENY ENERGY INC            COMMON   017361106           3,685       96,500   X                     80,800         0    15,700
ALLEGIANCE TELECOM INC          COMMON   01747T102           6,666      178,950   X                    172,250         0     6,700
CELLTECH GROUP PLC.             COMMON   0182276            14,461      725,100   X                    570,000         0   155,100
ALLERGAN INC COM                COMMON   018490102         230,298    2,727,645   X               C  1,259,766   109,592 1,030,180
ALLIANT CORP                    COMMON   018802108             455       15,490   X                     15,490         0         0
ALLIANT TECHSYSTEMS INC         COMMON   018804104             577        7,030   X                      7,030         0         0
ALLIED ZURICH PLC ADR SPONS     COMMON   01959Q101               7          330   X                        330         0         0
ALLMERICA FINL CORP             COMMON   019754100           3,817       59,700   X                     59,700         0         0
ALLSTATE CORP                   COMMON   020002101           2,451       70,543   X                     45,443         0    25,100
ALPHA INDS INC                  COMMON   020753109          14,875      436,700   X                    353,700         0    83,000
ALPHARMA INC                    COMMON   020813101          50,349      823,700   X                    713,900         0   109,800
ALPHARMA INC 3.000% 06/01/06    CONVERT  020813AD3          29,965   14,626,000   X                 13,545,000         0 1,081,000
ALZA CORP DEL                   COMMON   022615108         190,392    2,201,071   X               A  1,162,884   216,279   202,063
ALZA CORP DEL                   CONVERT  022615AC2          43,964   38,607,000   X                 36,049,000         0 2,558,000
ALZA CORP                       CONVERT  02261WAA7           4,263    6,200,000   X                  6,200,000         0         0
AMAZON COM INC COM              COMMON   023135106              19          500   X                          0         0       500
AMBAC FINL GROUP INC            COMMON   023139108           6,820       93,100   X                     74,700         0    18,400
</TABLE>

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PORTVUE-SEC13F.LRP                                                                                                        PAGE 3

RUN DATE: 11/03/00 08:25 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                   DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)            (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)       (ITEM 6)    (ITEM 7)       (ITEM 8)
                                                                                  INVESTMENT               VOTING AUTHORITY
                                                                                  DISCRETION                   (SHARES)
                                                                                 -----------------  ------------------------------
             NAME                TITLE                    FAIR      SHARES OR              SHARED
              OF                   OF       CUSIP        MARKET     PRINCIPAL   SOLE SHARED OTHER       SOLE     SHARED     NONE
            ISSUER               CLASS      NUMBER        VALUE       AMOUNT     (A)   (B)   (C) MGR     (A)       (B)       (C)
------------------------------- -------  ---------- -------------- ------------ ----- ----- ----- -- --------- --------- ---------
<S>                             <C>      <C>        <C>            <C>          <C>   <C>   <C>  <C><C>       <C>       <C>
AMEREN CORP                     COMMON   023608102           5,787      138,200   X                    138,200         0         0
AMERICA ONLINE INC DEL COMMON   COMMON   02364J104          33,950      631,618   X                     72,700         0   558,918
AMERICA ONLINE INC DEL          CONVERT  02364JAB0           7,326      890,000   X                    890,000         0         0
AMERICA ONLINE 0% 12/06/2019    CONVERT  02364JAC8          48,848   94,393,000   X                 88,969,000         0 5,424,000
DIAGEO PLC                      COMMON   0237400             3,235      362,000   X                    362,000         0         0
AMERICAN CLASSIC VOYAGES        COMMON   024928103           2,473      169,100   X                    169,100         0         0
AMERICAN CAPITAL STRATEG        COMMON   024937104           4,415      186,400   X                    171,800         0    14,600
AMERICAN EAGLE OUTFITTERS INC.  COMMON   02553E106          18,938      601,196   X                    485,596         0   115,600
MATALAN PLC                     COMMON   0259426            14,119    1,736,400   X                  1,358,300         0   378,100
AMERICAN FREIGHTWAYS COR        COMMON   02629V108           3,489      219,800   X                    150,400         0    69,400
BAE SYSTEMS PLC                 COMMON   0263494            33,850    6,272,938   X                  5,554,066         0   718,872
AMERICAN GREETINGS CORP         COMMON   026375105             396       22,640   X                     22,640         0         0
AMERICAN HOME PRODS CORP        COMMON   026609107          64,922    1,150,062   X               59   468,307     1,779   674,043
AMERICAN INTL GROUP INC         COMMON   026874107         155,976    1,630,061   X               A  1,552,353         0    23,133
AMERICAN MED SYS HLDGS I        COMMON   02744M108           1,550       99,200   X                     71,400         0    27,800
ALLIED ZURICH PLC               COMMON   0287579               420       36,900   X                     36,900         0         0
AMERICAN PWR CONVERSION CORP    COMMON   029066107              60        3,082   X                      3,076         0         6
AMERICAN STD COS INC DEL        COMMON   029712106           1,826       41,100   X                     41,100         0         0
AMERICAN TOWER CORP CL A        COMMON   029912201          13,461      357,179   X               16   330,586       550    24,396
AMERICAN TOWER    CVT BD        CONVERT  029912AF9          22,713   23,877,000   X                 22,224,000         0 1,653,000
AMERICAN SUPERCONDUCTOR         COMMON   030111108          14,924      303,600   X                    222,900         0    80,700
AMERICREDIT CORP                COMMON   03060R101          10,747      373,000   X                    336,500         0    36,500
AMERON INTL INC                 COMMON   030710107             386       10,510   X                     10,510         0         0
AMERISOURCE HEALTH CORP         COMMON   03071P102          26,654      567,100   X                    495,200         0    71,900
AMGEN INC                       COMMON   031162100          38,967      558,042   X               A    490,850         0    12,492
AMKOR TECHNOLOGY INC            CONVERT  031652AH3           9,163   11,599,000   X                 10,749,000         0   850,000
ENTERPRISE OIL                  COMMON   0318866            19,231    2,350,100   X                  1,838,900         0   511,200
AMPHENOL CORP NEW CL A          COMMON   032095101          56,175      986,600   X                    772,100         0   214,500
AMYLIN PHARMACEUTICALS I        COMMON   032346108           3,957      368,100   X                    313,600         0    54,500
AMVESCAP PLC ADR SPONSORED      COMMON   03235E100          20,771      187,333   X               69   101,434     2,949    13,111
ANADARKO PETE CORP              COMMON   032511107          86,568    1,302,563   X               43   754,471     1,395   542,377
ANADARKO PETE CORP              CONVERT  032511AP2          30,168   36,129,000   X                 33,625,000         0 2,504,000
ANALOG DEVICES INC              COMMON   032654105          90,127    1,091,600   X               C    176,500         0   905,900
ANAREN MICROWAVE INC            COMMON   032744104          53,667      395,700   X                    320,100         0    75,600
ANCHOR GAMING                   COMMON   033037102          11,974      150,500   X                    146,400         0     4,100
ANDRX CORP COM                  COMMON   034551101               3           29   X               29         0         0         0
ANDRX GROUP                     COMMON   034553107         152,856    1,637,002   X               A    893,479   141,302   195,746
ANGLO AMERICAN                  COMMON   03485P102               1           23   X                          0         0        23
ANHEUSER BUSCH COS INC          COMMON   035229103           5,298      125,208   X                    125,200         0         8
ANIXTER INTL INC                COMMON   035290105          19,595      672,800   X                    528,300         0   144,500
ANNTAYLOR STORES CORP.          COMMON   036115103          30,937      804,861   X                    559,400         0   245,461
ANSOFT CORP                     COMMON   036384105           1,787      134,900   X                    134,900         0         0
ANTEC CORP                      COMMON   03664P105           3,891      131,900   X                     87,300         0    44,600
GLAXO HLDGS                     COMMON   0371784             1,344       44,400   X                     44,400         0         0
</TABLE>

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<CAPTION>


PORTVUE-SEC13F.LRP                                                                                                        PAGE 4

RUN DATE: 11/03/00 08:25 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                   DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)            (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)       (ITEM 6)    (ITEM 7)       (ITEM 8)
                                                                                  INVESTMENT               VOTING AUTHORITY
                                                                                  DISCRETION                   (SHARES)
                                                                                 -----------------  ------------------------------
             NAME                TITLE                    FAIR      SHARES OR              SHARED
              OF                   OF       CUSIP        MARKET     PRINCIPAL   SOLE SHARED OTHER       SOLE     SHARED     NONE
            ISSUER               CLASS      NUMBER        VALUE       AMOUNT     (A)   (B)   (C) MGR     (A)       (B)       (C)
------------------------------- -------  ---------- -------------- ------------ ----- ----- ----- -- --------- --------- ---------
<S>                             <C>      <C>        <C>            <C>          <C>   <C>   <C>  <C><C>       <C>       <C>
APACHE CORP                     COMMON   037411105           2,080       35,175   X                     35,140         0        35
APOLLO GROUP INC                COMMON   037604105           2,727       68,377   X                     65,100         0     3,277
APPLE COMPUTER INC              COMMON   037833100           4,366      169,550   X                    130,750         0    38,800
APPLICA INC                     COMMON   03815A106             176       28,510   X                     28,510         0         0
APPLIED FILMS CORP              COMMON   038197109           7,571      279,100   X                    194,500         0    84,600
APPLIED INDL TECHNOLOGIE        COMMON   03820C105           1,574       90,900   X                     88,600         0     2,300
APPLIED MATLS INC               COMMON   038222105          55,111      929,162   X               19   325,100       590   601,488
APPLIED MICRO CIRCUITS CORP CD  COMMON   03822W109         360,635    1,741,678   X               A  1,081,499    99,780   273,807
APPLIED SCIENCE & TECHNO        COMMON   038236105             738       50,000   X                     35,200         0    14,800
APPLIED MOLECULAR EVOLUT        COMMON   03823E108           5,601      139,600   X                    110,800         0    28,800
CMG PLC GBP                     COMMON   0384737            53,020    2,739,700   X                  2,434,100         0   305,600
ARACRUZ CELULOSE S A ADR SP RE  COMMON   038496204           8,050      486,037   X                    486,000         0        37
ARADIGM CORP                    COMMON   038505103           7,813      340,600   X                    278,500         0    62,100
AREMISSOFT CORP DEL             COMMON   040026106           4,901      130,700   X                    125,700         0     5,000
ARENA PHARMACEUTICALS IN        COMMON   040047102           3,887       90,400   X                     90,400         0         0
ARGOSY GAMING CO                COMMON   040228108           2,744      151,400   X                    116,800         0    34,600
ARIAD PHARMACEUTICALS IN        COMMON   04033A100           2,089      166,300   X                    160,200         0     6,100
ARIBA INC COM                   COMMON   04033V104         392,442    2,739,252   X               A  1,430,867   160,972   639,672
ARKANSAS BEST CORP DEL          COMMON   040790107           6,234      405,440   X                    291,940         0   113,500
ARM HLDGS PLC ADR SPONSORED     COMMON   042068106               2           70   X                          0         0        70
ARQULE INC                      COMMON   04269E107           7,852      460,200   X                    395,000         0    65,200
ARROW ELECTRS INC               COMMON   042735100           1,656       48,600   X                     25,100         0    23,500
ART TECHNOLOGY GROUP INC OC-CO  COMMON   04289L107         186,238    1,965,577   X               A    750,993   158,294   597,952
ARTESYN TECHNOLOGIES INC        COMMON   043127109          11,939      409,920   X                    358,220         0    51,700
ASAHI GLASS ADR                 COMMON   043393206              10          100   X                        100         0         0
BALTIMORE TECHNOLOGIES          COMMON   0436122            19,174    1,879,600   X                  1,577,900         0   301,700
ASPECT COMMUNICATIONS INC COM   COMMON   04523Q102              67        3,255   X                      2,299         0       956
ASPEN TECHNOLOGY INC            COMMON   045327103          42,043      931,700   X                    746,300         0   185,400
ASSOCIATED BANC CORP            COMMON   045487105             417       15,900   X                     15,900         0         0
AT HOME CORP COM SER A          COMMON   045919107               0           23   X                          0         0        23
ASTORIA FINL CORP               COMMON   046265104             669       17,310   X                     17,310         0         0
ASTRA ZENECA PLC ADR            COMMON   046353108             198        3,751   X               32         0     3,709        10
AT RD INC                       COMMON   04648K105             719      100,000   X                     71,300         0    28,700
ASYST TECHNOLOGY CORP           COMMON   04648X107           6,208      306,550   X                    188,000         0   118,550
SPIRENT PLC                     COMMON   0472609            41,366    4,176,100   X                  3,403,200         0   772,900
ATLANTIC COAST AIRLINES         COMMON   048396105           7,210      224,000   X                    151,300         0    72,700
ATLAS AIR INC                   COMMON   049164106          10,909      258,200   X                    258,200         0         0
ATMEL CORP                      COMMON   049513104          18,785    1,236,870   X                     27,870         0 1,209,000
ATWOOD OCEANICS INC             COMMON   050095108           6,032      144,700   X                    144,700         0         0
PARTHUS TECHNOLOGIES            COMMON   0504427             9,001    2,293,100   X                  1,822,100         0   471,000
COOKSON GROUP                   COMMON   0508407             6,624    2,364,500   X                  1,858,700         0   505,800
AURORA BIOSCIENCES CORP         COMMON   051920106          18,396      270,530   X                    223,230         0    47,300
LOGICA PLC                      COMMON   0522708            96,056    2,920,090   X                  2,604,400         0   315,690
AUTOMATIC DATA PROCESSIN        CONVERT  053015AC7          30,300   17,179,000   X                 15,776,000         0 1,403,000
</TABLE>

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<TABLE>
<CAPTION>

PORTVUE-SEC13F.LRP                                                                                                        PAGE 5

RUN DATE: 11/03/00 08:25 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                   DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)            (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)       (ITEM 6)    (ITEM 7)       (ITEM 8)
                                                                                  INVESTMENT               VOTING AUTHORITY
                                                                                  DISCRETION                   (SHARES)
                                                                                 -----------------  ------------------------------
             NAME                TITLE                    FAIR      SHARES OR              SHARED
              OF                   OF       CUSIP        MARKET     PRINCIPAL   SOLE SHARED OTHER       SOLE     SHARED     NONE
            ISSUER               CLASS      NUMBER        VALUE       AMOUNT     (A)   (B)   (C) MGR     (A)       (B)       (C)
------------------------------- -------  ---------- -------------- ------------ ----- ----- ----- -- --------- --------- ---------
<S>                             <C>      <C>        <C>            <C>          <C>   <C>   <C>  <C><C>       <C>       <C>
AVANEX CORP                     COMMON   05348W109          70,804      657,500   X               A    607,500         0    50,000
AVAX TECHNOLOGIES INC           COMMON   053495305           1,080      138,200   X                    131,600         0     6,600
AVANTGO INC                     COMMON   05349M100           1,200       60,000   X                     60,000         0         0
AVENTIS ADR SPONSORED           COMMON   053561106          15,418      204,729   X               76   110,299     3,437    14,405
AVERY DENNISON CORP             COMMON   053611109          37,838      815,909   X               A    485,709         0   321,800
AVICI SYS INC                   COMMON   05367L109          35,044      368,400   X                    324,200         0    44,200
AVID TECHNOLOGY INC             COMMON   05367P100           1,541      110,100   X                     54,700         0    55,400
AVIRON                          COMMON   053762100          15,744      270,000   X                    243,900         0    26,100
AVOCENT CORP COM                COMMON   053893103          12,001      217,700   X                    179,575         0    38,125
HSBC HOLDINGS PLC               COMMON   0540528               718       50,500   X                     16,900         0    33,600
AVON PRODUCTS INC               COMMON   054303102          29,839      730,025   X               41    88,964   145,977    76,494
AXA SA SPONSORED ADR            COMMON   054536107             151        2,326   X                         81     2,223        22
AWARE INC MASS                  COMMON   05453N100          12,763      331,500   X                    246,100         0    85,400
AXENT TECHNOLOGIES INC          COMMON   05459C108           4,571      212,000   X                    184,800         0    27,200
AXYS PHARMACEUTICALS INC COM    COMMON   054635107             443       65,000   X                     13,800         0    51,200
AZTAR CORP                      COMMON   054802103           6,264      407,400   X                    370,200         0    37,200
BAA PLC ADR SPONSORED           COMMON   05518L206          12,230    1,546,920   X               57   833,124    24,479   114,058
BAE SYS PLC SPONSORED ADR       COMMON   05523R107          17,459      809,166   X               30   438,901     9,590    59,048
BEI TECHNOLOGIES INC            COMMON   05538P104          17,076      409,000   X                    317,800         0    91,200
BG PLC ADR FNL INSTLLM          COMMON   055434203          16,208      504,513   X               18   277,419     7,709    35,570
BJ SVCS CO COMMON               COMMON   055482103          90,511    1,480,769   X               A  1,182,469         0   298,300
BJS WHOLESALE CLUB INC          COMMON   05548J106          16,592      486,200   X                    481,200         0     5,000
BP AMOCO ADS                    COMMON   055622104             880       16,624   X                     16,598         0        26
BMC SOFTWARE INC                COMMON   055921100              31        1,626   X                        283         0     1,343
BAKER HUGHES INC                COMMON   057224107         118,012    3,178,820   X               10 1,494,259   359,517   295,398
CENTRICA PLC                    COMMON   0573438            53,761   16,738,330   X                 14,694,400         0 2,043,930
BALLARD PWR SYS INC COM         COMMON   05858H104          36,970      338,343   X               36   258,257     1,538    42,273
BALTIMORE TECHNOLOGIES PLC ADR  COMMON   059284109           6,271      317,498   X               11   175,618     5,205    16,857
BANCO BRADESCO S A ADR SPONS P  COMMON   059460105          31,737    3,836,220   X               54 2,811,228    22,756   457,466
BSCH BANCO SANTANDER            COMMON   05964H105          11,094    1,014,222   X               43   500,958    18,226    58,923
BANK NEW YORK INC               COMMON   064057102               1           25   X                         25         0         0
BANK ONE CORP                   COMMON   06423A103           1,097       28,400   X                     28,400         0         0
BANK TOKYO-MITSUBISHI LTD SPON  COMMON   065379109               4          287   X                        102         0       185
BANKNORTH GROUP INC NEW         COMMON   06646R107             610       34,110   X                     34,110         0         0
ROYAL BANK OF SCOTLAND          COMMON   0676401               168      139,300   X                    124,700         0    14,600
BARNES & NOBLE INC              COMMON   067774109             207       10,500   X                     10,500         0         0
BARR LABS INC                   COMMON   068306109          18,667      281,500   X                    215,200         0    66,300
BARRA INC                       COMMON   068313105           7,323      118,000   X                    102,700         0    15,300
BARRETT RES CORP                COMMON   068480201             414       11,000   X                      1,900         0     9,100
BASIN EXPL INC                  COMMON   070107107           6,800      348,700   X                    261,700         0    87,000
PSION ORD                       COMMON   0709545            11,898    1,087,500   X                    848,900         0   238,600
BAXTER INTL INC                 COMMON   071813109          16,777      210,200   X                    202,800         0     7,400
RIO TINTO PLC                   COMMON   0718875            33,107    2,282,700   X                  2,004,500         0   278,200
VODAFONE AIRTOUCH PLC           COMMON   0719210            47,342   12,681,907   X                 11,454,607         0 1,227,300
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

PORTVUE-SEC13F.LRP                                                                                                        PAGE 6

RUN DATE: 11/03/00 08:25 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                    DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)            (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)       (ITEM 6)    (ITEM 7)       (ITEM 8)
                                                                                  INVESTMENT               VOTING AUTHORITY
                                                                                  DISCRETION                   (SHARES)
                                                                                 -----------------  ------------------------------
             NAME                TITLE                    FAIR      SHARES OR              SHARED
              OF                   OF       CUSIP        MARKET     PRINCIPAL   SOLE SHARED OTHER       SOLE     SHARED     NONE
            ISSUER               CLASS      NUMBER        VALUE       AMOUNT     (A)   (B)   (C) MGR     (A)       (B)       (C)
------------------------------- -------  ---------- -------------- ------------ ----- ----- ----- -- --------- --------- ---------
<S>                             <C>      <C>        <C>            <C>          <C>   <C>   <C>  <C><C>       <C>       <C>
FUTURE NETWORK PLC              COMMON   0723998             6,390      738,800   X                    589,300         0   149,500
BAYCORP HLDGS CORP              COMMON   072728108           2,062      239,100   X                    161,400         0    77,700
BEA SYS INC COM                 COMMON   073325102         235,203    3,020,272   X               C    995,480   236,996 1,097,587
BEA SYSTEMS INC                 CONVERT  073325AC6          32,011   13,338,000   X                 12,423,000         0   915,000
BEA SYSTEMS INC 4.000% 02/15/0  CONVERT  073325AD4           9,667    4,028,000   X                  3,635,000         0   393,000
BEAR STEARNS COS INC            COMMON   073902108              49          782   X                          0         0       782
ROYAL BK SCOT GRP               COMMON   0754783            65,965    3,124,570   X                  2,754,300         0   370,270
BEAZER HOMES USA INC            COMMON   07556Q105             524       19,240   X                     19,240         0         0
BED BATH & BEYOND INC COM       COMMON   075896100          49,089    2,012,640   X               11   229,110   407,240   215,201
BELDEN INC                      COMMON   077459105           2,202       93,200   X                     90,000         0     3,200
BELL MICROPRODUCTS INC          COMMON   078137106           6,767      216,550   X                    187,750         0    28,800
BP AMOCO PLC                    COMMON   0798059             2,117      237,900   X                    237,900         0         0
BELLSOUTH CORP                  COMMON   079860102          70,373    1,748,367   X               A  1,416,267         0   319,100
SHELL TRNSPT&TRDG               COMMON   0803414            51,790    6,357,703   X                  5,693,848         0   663,855
INVENSYS                        COMMON   0807041                32       14,500   X                          0         0    14,500
BENCHMARK ELECTRS INC           COMMON   08160H101           7,904      152,000   X                     91,800         0    60,200
DIMENSION DATA HLDGS            COMMON   0843540             4,071      439,200   X                    439,200         0         0
BEST BUY INC                    COMMON   086516101          79,653    1,251,913   X               A    906,529         0   342,084
BG GROUP PLC                    COMMON   0876289            66,492   10,465,460   X                  9,277,600         0 1,187,860
ENERGIS PLC                     COMMON   0889782            27,924    3,951,460   X                  3,512,900         0   438,560
BILLITON PLC ADR                COMMON   090171109          10,283    2,878,134   X               10 1,569,742     5,093   214,267
BINDLEY WESTN INDS INC COM      COMMON   090324104             797       24,900   X                      6,300         0    18,600
BINDVIEW DEV CORP               COMMON   090327107           5,126      677,800   X                    643,700         0    34,100
BIOCRYST PHARMACEUTICALS INCCO  COMMON   09058V103           3,459      166,200   X                    117,000         0    49,200
BIOGEN N V                      COMMON   090597105          35,073      574,973   X               33    63,292   117,526    58,340
BIOSOURCE INTL INC              COMMON   09066H104           3,100      100,000   X                     71,300         0    28,700
BIOVAIL CORP                    COMMON   09067J109         106,687    1,310,041   X               13 1,036,590     6,005   130,476
BIOVAIL CORP                    PREFERD  09067J208          24,319      324,250   X                    294,939         0    29,311
BIOVAIL CORP INTL NEW COMMON    COMMON   09067K106               9          170   X                        128         0        42
BIOSITE DIAGNOSTICS INC         COMMON   090945106           6,232      156,300   X                    149,800         0     6,500
BATM ADVANCED COMM              COMMON   0911146            20,050    2,127,380   X                  1,527,380         0   600,000
BLACK BOX CORP DEL              COMMON   091826107           9,372      201,000   X                    178,400         0    22,600
PHARMAGENE PLC                  COMMON   0923163             4,217      851,400   X                    735,400         0   116,000
EIDOS PLC                       COMMON   0934897            13,922    2,777,900   X                  2,169,000         0   608,900
BLUE WAVE SYS INC               COMMON   096081104           2,072      411,800   X                    288,300         0   123,500
IQE INTL QUANTUM EPITAXY        COMMON   0961992             4,989      622,000   X                    536,000         0    86,000
BOEING CO                       COMMON   097023105          62,761      996,215   X                    530,200         0   466,015
BOISE CASCADE CORP              COMMON   097383103              10          381   X                        381         0         0
BOMBARDIER INC                  COMMON   097751200          38,012    2,199,730   X                  1,947,400         0   252,330
BOOKHAM TECHNOLOGY PLC ADR SPO  COMMON   09856Q108          36,974      862,342   X               44   182,386   154,592    79,649
ASTRAZENECA GROUP PLC           COMMON   0989529             1,222       23,320   X                     16,600         0     6,720
BORON LEPORE & ASSOCS IN        COMMON   10001P102             335       32,710   X                     32,710         0         0
BOSTON COMMUNICATIONS GR        COMMON   100582105           6,065      315,090   X                    303,290         0    11,800
BOSTON PRIVATE FINL HLDG        COMMON   101119105           1,480       89,700   X                     89,700         0         0
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

PORTVUE-SEC13F.LRP                                                                                                        PAGE 7

RUN DATE: 11/03/00 08:25 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                  DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)            (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)       (ITEM 6)    (ITEM 7)       (ITEM 8)
                                                                                  INVESTMENT               VOTING AUTHORITY
                                                                                  DISCRETION                   (SHARES)
                                                                                 -----------------  ------------------------------
             NAME                TITLE                    FAIR      SHARES OR              SHARED
              OF                   OF       CUSIP        MARKET     PRINCIPAL   SOLE SHARED OTHER       SOLE     SHARED     NONE
            ISSUER               CLASS      NUMBER        VALUE       AMOUNT     (A)   (B)   (C) MGR     (A)       (B)       (C)
------------------------------- -------  ---------- -------------- ------------ ----- ----- ----- -- --------- --------- ---------
<S>                             <C>      <C>        <C>            <C>          <C>   <C>   <C>  <C><C>       <C>       <C>
BRAUN CONSULTING INC            COMMON   105651103             268       13,550   X                     13,550         0         0
BRIGHT HORIZON FAMILY SO        COMMON   109195107             414       16,200   X                     16,200         0         0
BRINKER INTL INC                COMMON   109641100          10,107      335,500   X                    327,700         0     7,800
BRISTOL MYERS SQUIBB CO         COMMON   110122108           7,078      123,901   X                    123,901         0         0
BRITISH AWYS PLC ADR 2ND INST   COMMON   110419306              22          514   X               64       284         0       166
BRITISH TELECOMM P L C ADR FIN  COMMON   111021408              11           96   X                         70         0        26
BROADBASE SOFTWARE              COMMON   11130R100           3,290      242,600   X                    215,700         0    26,900
BROADCOM CORP COM               COMMON   111320107          10,654       43,705   X                     42,745         0       960
BROADVISION INC COM             COMMON   111412102          83,445    3,248,523   X               37 1,939,708   131,962   799,058
BROCADE COMMUNICATIONS SYS ICO  COMMON   111621108         321,991    1,364,363   X               A    788,470   113,621   136,540
BROOKS AUTOMATION INC           COMMON   11434A100           5,239      158,147   X                    108,747         0    49,400
BROOKTROUT INC                  COMMON   114580103          10,504      318,900   X                    283,800         0    35,100
BRUKER DALTONICS INC            COMMON   116795105           6,190      139,500   X                    105,600         0    33,900
BRUSH ENGINEERED MATLS I        COMMON   117421107           2,163      100,000   X                     70,600         0    29,400
BUCKEYE TECHNOLOGIES INC        COMMON   118255108           2,785      134,200   X                          0         0   134,200
BURLINGTON NORTHN SANTA FE COM  COMMON   12189T104               1           50   X                          0         0        50
BURLINGTON RES INC              COMMON   122014103             817       22,200   X                     22,200         0         0
BUSINESS OBJECTS ADR            COMMON   12328X107          55,242      488,600   X                    397,300         0    91,300
C&D TECHNOLOGIES INC            COMMON   124661109          22,558      397,500   X                    348,800         0    48,700
C BRIDGE INTERNET SOL IN        COMMON   12500B105             894       47,700   X                     33,300         0    14,400
C COR NET CORP                  COMMON   125010108           4,039      263,800   X                    230,000         0    33,800
C-CUBE MICROSYSTEMS INC         COMMON   12501N108           7,964      388,500   X                    330,300         0    58,200
CDW COMPUTER CTRS INC           COMMON   125129106          19,306      279,800   X                    209,400         0    70,400
C H ROBINSON WORLDWIDE I        COMMON   12541W100             231        4,100   X                      4,100         0         0
CIGNA CORP                      COMMON   125509109           1,295       12,400   X                     12,400         0         0
CMGI INC COM                    COMMON   125750109             715       25,576   X                     24,140         0     1,436
CMS ENERGY CORP                 COMMON   125896100               0           14   X                          0         0        14
C-MAC INDS INC COM              COMMON   125920108          22,272      387,341   X               67   271,756     2,757    45,211
CNET INC                        COMMON   12613R104           2,477      101,700   X                    101,700         0         0
CSG SYS INTL INC COM            COMMON   126349109          12,076      416,400   X                    265,300         0   151,100
CTS CORP                        COMMON   126501105          19,389      383,000   X                    273,700         0   109,300
CVS CORP COM                    COMMON   126650100               7          143   X                         93         0        50
CV THERAPEUTICS INC             COMMON   126667104           5,204       66,900   X                     54,700         0    12,200
CABLE&WIRELESS SP/ADR           COMMON   126830207               2           50   X               17        11         0        22
CABLEVISION SYS CORP CL A       COMMON   12686C109           2,219       33,450   X                     22,250         0    11,200
CABLE DESIGN TECHNOLOGIE        COMMON   126924109          15,210      625,600   X                    426,900         0   198,700
CACHEFLOW INC COM               COMMON   126946102         107,962      754,972   X               A    624,181         0   130,791
CADBURY SCHWEPPES P L C ADR 10  COMMON   127209302               6          255   X                        255         0         0
CAL DIVE INTL INC               COMMON   127914109          17,425      304,700   X                    252,900         0    51,800
CALIFORNIA PIZZA KITCHEN        COMMON   13054D109           4,768      170,300   X                    122,100         0    48,200
CALIPER TECHNOLOGIES COR        COMMON   130876105           5,834      100,700   X                    100,700         0         0
CALLAWAY GOLF CO                COMMON   131193104             409       26,600   X                      5,600         0    21,000
CALPINE CAP TRUST 5.75% 11/01/  CONVERT  131346207             127          690   X                          0         0       690
CALPINE CORP COM                COMMON   131347106         383,320    3,672,360   X               C  1,597,086   204,816 1,279,719
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

PORTVUE-SEC13F.LRP                                                                                                        PAGE 8

RUN DATE: 11/03/00 08:25 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                   DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)            (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)       (ITEM 6)    (ITEM 7)       (ITEM 8)
                                                                                  INVESTMENT               VOTING AUTHORITY
                                                                                  DISCRETION                   (SHARES)
                                                                                 -----------------  ------------------------------
             NAME                TITLE                    FAIR      SHARES OR              SHARED
              OF                   OF       CUSIP        MARKET     PRINCIPAL   SOLE SHARED OTHER       SOLE     SHARED     NONE
            ISSUER               CLASS      NUMBER        VALUE       AMOUNT     (A)   (B)   (C) MGR     (A)       (B)       (C)
------------------------------- -------  ---------- -------------- ------------ ----- ----- ----- -- --------- --------- ---------
<S>                             <C>      <C>        <C>            <C>          <C>   <C>   <C>  <C><C>       <C>       <C>
CALPINE CAP TRUST II            PREFERD  13134E309          51,143      485,342   X                    457,049         0    28,293
CANADIAN PAC LTD NEW COM        COMMON   135923100               4          135   X                          0         0       135
CANON INC ADR                   COMMON   138006309             190        4,313   X                        850     3,265       198
CAPITAL ONE FINL CORP           COMMON   14040H105          67,638      965,389   X               55   112,945   193,673   102,532
CAREER EDUCATION CORP           COMMON   141665109           3,502       78,700   X                     50,300         0    28,400
CAREMARK RX INC                 COMMON   141705103           4,463      396,700   X                    377,800         0    18,900
CARRAMERICA RLTY CORP           COMMON   144418100             428       14,160   X                     14,160         0         0
CARREKER CORP                   COMMON   144433109           7,190      368,700   X                    297,700         0    71,000
CATHAY PAC AWYS LTD ADR SPONSO  COMMON   148906308               2          169   X                          0         0       169
CATERPILLAR INC                 COMMON   149123101             337       10,879   X                     10,800         0        79
CATO CORP NEW                   COMMON   149205106             447       35,770   X                     35,770         0         0
CELERITEK INC                   COMMON   150926103          22,741      603,400   X                    594,700         0     8,700
CELL THERAPEUTICS INC           COMMON   150934107          35,491      532,200   X                    455,800         0    76,400
CELESTICA INC SUB VTG SHS       COMMON   15101Q108          27,074      390,949   X               14   211,297     6,189    27,541
CELESTICA INC                   CONVERT  15101QAA6          19,823   39,645,000   X                 36,185,000         0 3,460,000
CELGENE CORP COM                COMMON   151020104          18,528      311,400   X                    255,800         0    55,600
CELLTECH GROUP PLC ADR SPONSOR  COMMON   151158102          14,232      363,745   X               15   183,654     6,601    15,243
CEMEX S A                       COMMON   151290889           1,938       96,598   X                     96,598         0         0
CENDANT CORP                    COMMON   151313103           1,396      128,400   X                     83,900         0    44,500
CENTERPOINT PPTYS TR            COMMON   151895109             362        7,850   X                      7,850         0         0
CENTEX CORPORATION              COMMON   152312104              46        1,434   X                      1,434         0         0
CENTRAL GARDEN & PET CO         COMMON   153527106             344       49,520   X                     49,520         0         0
CENTURYTEL INC                  COMMON   156700106           1,060       38,900   X                     38,900         0         0
CEPHALON INC                    COMMON   156708109             679       14,000   X                      3,400         0    10,600
CERNER CORP                     COMMON   156782104          15,817      340,600   X                    195,400         0   145,200
CERPROBE CORP                   COMMON   156787103           1,192       80,800   X                     80,800         0         0
CERUS CORP                      COMMON   157085101           3,929       70,800   X                     68,200         0     2,600
CESKE RADIOKOMUNICACE A         COMMON   157139106           7,399      196,780   X                    196,780         0         0
CESKE RADIOKOMNIKCE REG         COMMON   157139205           4,244      112,860   X                    112,860         0         0
CHAMPIONSHIP AUTO RACING TEACO  COMMON   158711101             527       21,600   X                      5,200         0    16,400
CHARLES RIV LABS INTL IN        COMMON   159864107          15,487      455,500   X                    337,700         0   117,800
CHARTERED SEMICONDUCTOR MFG AD  COMMON   16133R106           7,564      124,625   X                    124,417         0       208
THE CHASE MANHATTEN CORPORATIO  COMMON   16161A108              37          803   X                        344         0       459
CHASE RESOURCE CORP NEW COM     COMMON   161908108               0        2,000   X                      2,000         0         0
CHECKPOINT SYS INC              COMMON   162825103               1          115   X                         49         0        66
CHEESECAKE FACTORY INC COM      COMMON   163072101          10,868      251,275   X                    205,025         0    46,250
CHEUNG KONG HLDGS LTD ADR       COMMON   166744201          23,268    1,924,659   X               72 1,035,394    29,996   136,860
CHEVRON CORPORATION             COMMON   166751107           4,621       54,200   X                     51,600         0     2,600
CHICOS FAS INC                  COMMON   168615102          18,394      541,000   X                    521,400         0    19,600
CHIEFTAIN INTL INC              COMMON   16867C101             999       48,300   X                     24,700         0    23,600
CHILDRENS PL RETAIL STOR        COMMON   168905107           5,910      229,500   X                    181,200         0    48,300
CHINA UNICOM LTD                COMMON   16945R104          11,260      516,200   X                    516,200         0         0
CHIRON CORP                     COMMON   170040109           6,417      142,600   X                     64,900         0    77,700
CHRISTOPHER & BANKS CORP        COMMON   171046105          11,797      303,450   X                    270,050         0    33,400
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

PORTVUE-SEC13F.LRP                                                                                                        PAGE 9

RUN DATE: 11/03/00 08:25 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                    DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)            (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)       (ITEM 6)    (ITEM 7)       (ITEM 8)
                                                                                  INVESTMENT               VOTING AUTHORITY
                                                                                  DISCRETION                   (SHARES)
                                                                                 -----------------  ------------------------------
             NAME                TITLE                    FAIR      SHARES OR              SHARED
              OF                   OF       CUSIP        MARKET     PRINCIPAL   SOLE SHARED OTHER       SOLE     SHARED     NONE
            ISSUER               CLASS      NUMBER        VALUE       AMOUNT     (A)   (B)   (C) MGR     (A)       (B)       (C)
------------------------------- -------  ---------- -------------- ------------ ----- ----- ----- -- --------- --------- ---------
<S>                             <C>      <C>        <C>            <C>          <C>   <C>   <C>  <C><C>       <C>       <C>
CHROMAVISION MED SYS INC COM    COMMON   17111P104             311       32,700   X                      9,900         0    22,800
CHURCH & DWIGHT INC             COMMON   171340102             414       22,520   X                     22,520         0         0
CIENA CORP COM                  COMMON   171779101         493,894    4,021,528   X               A  2,611,836   205,630   534,339
CINCINNATI FINL CORP COM        COMMON   172062101             678       19,097   X                     19,097         0         0
CIPHERGEN BIOSYSTEMS INC        COMMON   17252Y104           1,680       52,500   X                     42,700         0     9,800
CIRCUIT CITY STORES INC         COMMON   172737108               3          139   X                         84         0        55
CIRRUS LOGIC INC                COMMON   172755100          62,737    1,556,264   X               73   402,049   258,245   157,291
CIRRUS LOGIC CORP               CONVERT  172755AC4          26,702   15,150,000   X                 13,840,000         0 1,310,000
CISCO SYS INC                   COMMON   17275R102         415,612    7,522,430   X               C  3,929,743     2,813 3,362,396
CINTAS CORP                     COMMON   172908105           1,124       25,800   X                     25,800         0         0
CITIGROUP INC.                  COMMON   172967101         352,937    6,528,305   X               C  3,995,038     1,431 2,317,747
CITRIX SYS INC COM              COMMON   177376100             219       10,892   X                      5,454         0     5,438
CITY NATL CORP                  COMMON   178566105          10,437      270,200   X                    255,200         0    15,000
CLARENT CORP DEL COM            COMMON   180461105           2,085       52,961   X                     46,334         0     6,627
CLARUS CORP                     COMMON   182707109          11,614      509,100   X                    418,400         0    90,700
CLEAR CHANNEL COMMUNICATIONSCO  COMMON   184502102              43          772   X                        741         0        31
CLEAR CHANNEL COMMUNICAT        CONVERT  184502AB8          10,187    9,282,000   X                  8,838,000         0   444,000
CLEAR CHANNEL                   CONVERT  184502AE2          31,002   33,113,000   X                 32,079,000         0 1,034,000
CLICK COMMERCE INC              COMMON   18681D109           6,934      162,200   X                    116,700         0    45,500
CLICKACTION INC                 COMMON   18681E107           1,478      162,000   X                    125,300         0    36,700
CLICK2LEARN COM INC             COMMON   18681S106           6,745      459,200   X                    332,200         0   127,000
CLOROX CO DEL                   COMMON   189054109           1,899       48,000   X                     31,700         0    16,300
CLP HLDGS LTD ADR SPONSORED     COMMON   18946Q101               2          335   X                        335         0         0
COASTAL CORP                    COMMON   190441105              14          188   X                        188         0         0
COASTAL CORP .25% PFD           PREFERD  190441857           1,160       32,229   X                     32,229         0         0
COASTAL CORP CV PFD 6.625% INC  PREFERD  190441865          28,008      672,868   X                    624,286         0    48,582
COCA-COLA FEMSA S A DE C        COMMON   191241108          22,198    1,109,900   X                  1,109,900         0         0
COFLEXIP SPONSORED ADR          COMMON   192384105               1           21   X                         21         0         0
COGNEX CORP                     COMMON   192422103           6,870      174,200   X                    173,100         0     1,100
COGNIZANT TECHNOLOGY SOL        COMMON   192446102           4,077      104,550   X                     82,600         0    21,950
COGNOS INC COMMON               COMMON   19244C109          52,008    1,276,294   X               12   861,854     5,286   285,074
COHERENT INC                    COMMON   192479103           1,693       24,900   X                     23,700         0     1,200
COLDWATER CREEK INC             COMMON   193068103           5,878      217,700   X                    156,400         0    61,300
COLE KENNETH PRODTNS INC CL A   COMMON   193294105          15,022      425,400   X                    302,500         0   122,900
COLGATE PALMOLIVE CO            COMMON   194162103          30,577      647,810   X                    172,640         0   475,170
COLONIAL BANCGROUP INC          COMMON   195493309             299       28,840   X                     28,840         0         0
COLONIAL PPTYS TR               COMMON   195872106             314       12,230   X                     12,230         0         0
COLT TELECOM GROUP PLC SPONSOR  COMMON   196877104               2           16   X                          2         0        14
COLUMBIA SPORTSWEAR CO          COMMON   198516106          10,744      234,200   X                    180,400         0    53,800
ATS AUTOMATION TOOLING          COMMON   2002587             7,837      382,200   X                    316,200         0    66,000
COMCAST CORPORATION CLASS A     COMMON   200300101              41        1,000   X                          0         0     1,000
COMCAST CORP CL A SPL           COMMON   200300200              59        1,461   X                        117         0     1,344
COMDISCO INC                    COMMON   200336105          14,730      772,700   X                    715,800         0    56,900
COMERICA INC                    COMMON   200340107          23,106      395,400   X                    381,100         0    14,300
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

PORTVUE-SEC13F.LRP                                                                                                        PAGE 10

RUN DATE: 11/03/00 08:25 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                   DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)            (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)       (ITEM 6)    (ITEM 7)       (ITEM 8)
                                                                                  INVESTMENT               VOTING AUTHORITY
                                                                                  DISCRETION                   (SHARES)
                                                                                 -----------------  ------------------------------
             NAME                TITLE                    FAIR      SHARES OR              SHARED
              OF                   OF       CUSIP        MARKET     PRINCIPAL   SOLE SHARED OTHER       SOLE     SHARED     NONE
            ISSUER               CLASS      NUMBER        VALUE       AMOUNT     (A)   (B)   (C) MGR     (A)       (B)       (C)
------------------------------- -------  ---------- -------------- ------------ ----- ----- ----- -- --------- --------- ---------
<S>                             <C>      <C>        <C>            <C>          <C>   <C>   <C>  <C><C>       <C>       <C>
COMMERCE BANCSHARES INC         COMMON   200525103           2,687       73,000   X                     73,000         0         0
COMMERCE ONE INC DEL COM        COMMON   200693109           2,416       30,778   X                     30,752         0        26
AIMGLOBAL TECHNOLOGIES          COMMON   2011077             1,917      257,500   X                    257,500         0         0
ALBERTA ENERGY CO LTD           COMMON   2012456            34,633      834,400   X                    716,000         0   118,400
ANDERSON EXPLORATION LTD        COMMON   2032421            64,498    2,949,660   X                  2,366,600         0   583,060
COMMSCOPE INC COM               COMMON   203372107          10,712      437,219   X                    430,101         0     7,118
COMMUNITY BK SYS INC            COMMON   203607106             436       16,810   X                     16,810         0         0
COMPANHIA BRASILEIRA DE         COMMON   20440T201          20,951      563,400   X                    563,400         0         0
COMPANHIA VALE DO RIO DO        COMMON   204412100           1,663       66,700   X                     66,700         0         0
COMPAQ COMPUTER CORP            COMMON   204493100               1           25   X                          0         0        25
COMPUTER ASSOC INTL INC         COMMON   204912109               2           75   X                          0         0        75
COMPUTER NETWORK TECH CORP COM  COMMON   204925101             402       11,700   X                      2,500         0     9,200
COMPUTER LEARNING CTRS INC COM  COMMON   205199102               0          224   X                        224         0         0
COMPUTER SCIENCES CORP          COMMON   205363104              14          183   X                        183         0         0
COMPUWARE CORP                  COMMON   205638109              42        5,020   X                      1,750         0     3,270
COMSTOCK RES INC                COMMON   205768203           6,390      561,800   X                    403,600         0   158,200
COMVERSE TECHNOLOGY INC         COMMON   205862402         215,788    1,998,040   X               A  1,254,223   138,915   203,976
COMVERSE TECHNOLOGY INC 4.500%  CONVERT  205862AG0          41,902    8,214,000   X                  7,578,000         0   636,000
CONCORD CAMERA CORP             COMMON   206156101          34,822    1,358,900   X                  1,164,300         0   194,600
CONCORD EFS INC                 COMMON   206197105             781       22,003   X                     14,091         0     7,912
CONCURRENT COMPUTER CORP        COMMON   206710204           8,518      448,300   X                    370,200         0    78,100
TALISMAN ENERGY INC(CAD)        COMMON   2068299               403       11,500   X                     11,500         0         0
CONEXANT SYSTEMS INC            COMMON   207142100          67,594    1,614,169   X               A  1,482,959         0   131,210
BANCO BRADESCO S.A. PREF        COMMON   2074520            22,687    2,742,900   X                  2,684,930         057,970,000
CONNETICS CORP                  COMMON   208192104           8,451      350,300   X                    288,100         0    62,200
CONOCO INC CL A                 COMMON   208251306               5          184   X                          0         0       184
CONOCO INC CL B                 COMMON   208251405           2,957      109,784   X                     71,384         0    38,400
CONSOL ENERGY INC               COMMON   20854P109           4,745      295,400   X                    285,000         0    10,400
TV AZTECA SA DE CV              COMMON   2096911             3,407    4,267,000   X                  4,267,000         0         0
CONSTELLATION BRANDS INC        COMMON   21036P108          13,154      242,200   X                    219,700         0    22,500
CONSTELLATION ENERGY COR        COMMON   210371100           4,592       92,300   X                     92,300         0         0
CONVERGYS CORP COM              COMMON   212485106           4,246      109,219   X                     86,637         0    22,582
WALMART DE MEXICO V             COMMON   2135212             8,686    4,185,000   X                  4,185,000         0         0
DESCARTES SYS GROUP INC         COMMON   2141941             8,361      168,300   X                    131,500         0    36,800
C MAC INDUSTRIES INC            COMMON   2158877            18,365      321,300   X                    279,900         0    41,400
COOKSON GROUP PLC - SPON ADR    COMMON   216379107          10,229      730,492   X               30   368,869    12,419    44,444
COOPER CAMERON CORP COM         COMMON   216640102           1,521       20,650   X                     20,650         0         0
COOPER COS INC                  COMMON   216648402           4,524      127,900   X                          0         0   127,900
COORS ADOLPH COMPANY            COMMON   217016104           3,381       53,497   X                     37,951         0    15,546
COPPER MTN NETWORKS INC COM     COMMON   217510106           4,267      113,790   X                     48,990         0    64,800
COR THERAPEUTICS INC            COMMON   217753102          95,880    1,538,700   X               A  1,418,300         0   120,400
CARSO TELECOM                   COMMON   2178336               698      288,000   X                    288,000         0         0
CERTICOM CORP                   COMMON   2188476            29,776      751,700   X                    616,200         0   135,500
CORNING INC COM                 COMMON   219350105         276,507    1,041,821   X               C    473,260       315   542,972
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

PORTVUE-SEC13F.LRP                                                                                                        PAGE 11

RUN DATE: 11/03/00 08:25 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                   DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)            (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)       (ITEM 6)    (ITEM 7)       (ITEM 8)
                                                                                  INVESTMENT               VOTING AUTHORITY
                                                                                  DISCRETION                   (SHARES)
                                                                                 -----------------  ------------------------------
             NAME                TITLE                    FAIR      SHARES OR              SHARED
              OF                   OF       CUSIP        MARKET     PRINCIPAL   SOLE SHARED OTHER       SOLE     SHARED     NONE
            ISSUER               CLASS      NUMBER        VALUE       AMOUNT     (A)   (B)   (C) MGR     (A)       (B)       (C)
------------------------------- -------  ---------- -------------- ------------ ----- ----- ----- -- --------- --------- ---------
<S>                             <C>      <C>        <C>            <C>          <C>   <C>   <C>  <C><C>       <C>       <C>
CORPORATE EXECUTIVE BRD         COMMON   21988R102          11,101      275,800   X                    207,600         0    68,200
CORSAIR COMMUNICATIONS I        COMMON   220406102           5,476      700,900   X                    493,300         0   207,600
CORUS GROUP                     COMMON   22087M101               2          251   X                         91         0       160
CORVIS CORP COM                 COMMON   221009103          95,550    1,565,248   X               17 1,254,603       488   237,018
COSINE COMMUNICATIONS IN        COMMON   221222102          24,092      433,600   X                    378,850         0    54,750
COSTCO WHOLESALE CORP           COMMON   22160K105              38        1,092   X                        761         0       331
COUNTRYWIDE CREDIT INDS         COMMON   222372104           1,885       49,930   X                     49,900         0        30
CORP INTER AM ENTERTAIN         COMMON   2224347            60,058   12,397,584   X                 11,804,038         0   593,546
COVAD COMMUNICATIONS GROUP ICO  COMMON   222814204              65        4,856   X                      4,080         0       776
COVENTRY HEALTH CARE INC        COMMON   222862104           6,200      409,900   X                    200,650         0   209,250
COX COMMUNICATIONS INC NEW CL   COMMON   224044107               4          115   X                        115         0         0
FOMENTO ECON MEXIC UNITS        COMMON   2242059               723      186,000   X                    186,000         0         0
CREDENCE SYS CORP COM           COMMON   225302108           8,937      297,900   X                    275,000         0    22,900
CREO PRODS INC                  COMMON   225606102           1,846       54,300   X                     38,900         0    15,400
CIA VALE DO RIO DOCE            COMMON   2257127            19,105      761,300   X                    761,300         0         0
CELESTICA INC                   COMMON   2263362            64,418      935,100   X                    823,200         0   111,900
CRITICAL PATH INC               COMMON   22674V100          18,547      305,300   X                    299,300         0     6,000
CROSS TIMBERS OIL CO            COMMON   227573102           3,552      185,100   X                    176,400         0     8,700
CROWN CASTLE INTL CORP          COMMON   228227104          79,126    2,547,300   X               A  2,250,400         0   296,900
CROWN CASTLE INTL               PREFERD  228227401           2,229       43,590   X                     43,590         0         0
CUBIST PHARMACEUTICALS I        COMMON   229678107          14,328      275,200   X                    209,900         0    65,300
CUMMINS ENGINE INC              COMMON   231021106               1           47   X                         47         0         0
CURAGEN CORP COM                COMMON   23126R101          27,056      507,800   X                    389,600         0   118,200
CURON MED INC                   COMMON   231292103           1,150      100,000   X                     79,900         0    20,100
CUTTER & BUCK INC               COMMON   232217109           4,221      339,350   X                    283,250         0    56,100
CYBEAR GROUP NEW                COMMON   23243C102              72       54,319   X               15    52,993         0     1,310
CANADIAN HUNTER EXP LTD         COMMON   2324418             9,386      386,900   X                    285,300         0   101,600
CYBEROPTICS CORP                COMMON   232517102           5,332      291,150   X                    235,750         0    55,400
CYMER INC                       COMMON   232572107          27,858      907,800   X                    784,500         0   123,300
CYMER INC                       CONVERT  232572AC1          17,323   17,928,000   X                 16,856,000         0 1,072,000
CYPRESS SEMICONDUCTOR CORP      COMMON   232806109          27,757      667,837   X                    667,284         0       553
CYPRESS SEMICONDUCTOR CORP 4.0  CONVERT  232806AE9          20,413   17,945,000   X                 16,636,000         0 1,309,000
DDI CORP COM                    COMMON   233162106          17,146      387,500   X                    294,100         0    93,400
DMC STRATEX NETWORKS INC COM    COMMON   23322L106          12,819      798,100   X                    690,600         0   107,500
DSP GROUP INC                   COMMON   23332B106          35,418      947,650   X                    788,800         0   158,850
DAIWA HOUSE IND LTD ADR         COMMON   234062206               6           93   X                         35         0        58
DANAHER CORP SHS BEN INT        COMMON   235851102               1           23   X                          0         0        23
DANKA BUSINESS SYS PLC SPONSOR  COMMON   236277109               1          479   X                        479         0         0
DANSKE BK A/S ADR               COMMON   236363107               1            5   X                          5         0         0
DARDEN RESTAURANTS INC.         COMMON   237194105           3,965      190,507   X                    175,800         0    14,707
DATUM INC                       COMMON   238208102           1,027       39,500   X                     39,500         0         0
GRUPO FINANCIERO BANAMEX        COMMON   2401300            18,615    4,046,000   X                  4,046,000         0         0
DE BEERS CONS MINES LTD ADR     COMMON   240253302              12          420   X                        360         0        60
EMPRESA BRAS DE AERONAUT        COMMON   2428569             1,452      190,000   X                    190,000         0         0
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

PORTVUE-SEC13F.LRP                                                                                                        PAGE 12

RUN DATE: 11/03/00 08:25 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                   DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)            (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)       (ITEM 6)    (ITEM 7)       (ITEM 8)
                                                                                  INVESTMENT               VOTING AUTHORITY
                                                                                  DISCRETION                   (SHARES)
                                                                                 -----------------  ------------------------------
             NAME                TITLE                    FAIR      SHARES OR              SHARED
              OF                   OF       CUSIP        MARKET     PRINCIPAL   SOLE SHARED OTHER       SOLE     SHARED     NONE
            ISSUER               CLASS      NUMBER        VALUE       AMOUNT     (A)   (B)   (C) MGR     (A)       (B)       (C)
------------------------------- -------  ---------- -------------- ------------ ----- ----- ----- -- --------- --------- ---------
<S>                             <C>      <C>        <C>            <C>          <C>   <C>   <C>  <C><C>       <C>       <C>
CROWN CASTLE DECS TR V          PREFERD  24366F203          24,308      829,265   X                    763,795         0    65,470
METROMEDIA DEC TRST VI 6.25% 1  PREFERD  24366Q209          14,383      319,614   X                    297,142         0    22,472
BANCO ITAU S.A.                 COMMON   2459581             9,298  104,600,000   X               1  4,600,000         0         0
DELL COMPUTER CORP              COMMON   247025109          20,715      672,337   X               31   274,349     1,182   393,622
DELPHI AUTOMOTIVE SYS CO        COMMON   247126105             495       32,700   X                     32,700         0         0
DELPHI FINL GROUP INC           COMMON   247131105             924       22,818   X                     22,818         0         0
DELTA & PINE LD CO              COMMON   247357106             508       19,770   X                     19,770         0         0
DELTA AIRLINES INC              COMMON   247361108           3,826       86,220   X                     64,020         0    22,200
DELTAGEN INC                    COMMON   24783R103           8,328      269,200   X                    240,000         0    29,200
DELTEK SYS INC                  COMMON   24785A108             243       31,690   X                     31,690         0         0
KOOKMIN BK GDR REG S            COMMON   2496373               804       65,900   X                     65,900         0         0
DESCARTES SYS GROUP INC COM     COMMON   249906108          33,941      685,672   X               14   454,879     4,531    85,387
DEUTSCHE BK A G SPON ADR        COMMON   251525309               8           92   X                         48         0        44
LUFTHANSA-SPONS ADR             COMMON   251561304           9,290      451,555   X               19   223,289     7,927    27,904
DEUTSCHE TELEKOM AG SPONSORED   COMMON   251566105              17          514   X                        441         0        73
DEVON ENERGY CORP NEW           CONVERT  25179MAA1          13,884   14,350,000   X                 13,293,000         0 1,057,000
DIAGEO PLC SPONSORED ADR        COMMON   25243Q205              46        1,309   X                      1,113         0       196
DIAGNOSTIC PRODS CORP           COMMON   252450101           3,185       59,400   X                     59,400         0         0
DIAL CORP NEW COM               COMMON   25247D101               2          159   X                          0         0       159
DIAMOND OFFSHORE DRILLIN        COMMON   25271C102          42,353    1,033,000   X                    936,700         0    96,300
DIAMOND OFFSHORE DRILLIN        CONVERT  25271CAA0          29,429   25,957,000   X                 24,026,000         0 1,931,000
DIAMOND TECHNOLOGY PARTN        COMMON   252762109          12,422      167,300   X                    167,300         0         0
DIGENE CORP                     COMMON   253752109           5,281      146,700   X                    121,300         0    25,400
DIGEX INC DEL CL A              COMMON   253756100             564       12,031   X                     10,975         0     1,056
DIGIMARC CORP                   COMMON   253807101           1,244       66,800   X                     46,100         0    20,700
DIGITAL LIGHTWAVE INC COM       COMMON   253855100          38,007      523,330   X               25   456,481       324    66,266
DISNEY WALT PRODTNS             COMMON   254687106         165,545    4,327,985   X               C  2,253,185         0 2,066,900
DIRECT FOCUS INC                COMMON   254931108           6,014      151,300   X                    107,700         0    43,600
DITECH COMMUNICATIONS CO        COMMON   25500M103          11,517      280,900   X                    206,000         0    74,900
DIVERSINET CORP                 COMMON   25536K204             488       83,100   X                     79,600         0     3,500
MAGNA INTL CL A                 COMMON   2554475               744       17,100   X                     17,100         0         0
DOCENT INC                      COMMON   25608L106           3,663      200,000   X                     75,000         0   125,000
DOCUMENTUM INC                  COMMON   256159104          59,129      728,300   X                    639,200         0    89,100
DOLLAR GEN CORP                 COMMON   256669102             487       29,102   X                     29,102         0         0
DOLLAR TREE STORES INC          COMMON   256747106          33,282      820,500   X                    714,900         0   105,600
DONCASTERS PLC ADR SPONSORED    COMMON   257692103           2,963      146,307   X               54   138,799       418     6,546
NORTEL NETWORKS CORP            COMMON   2583877               408        6,800   X                      6,800         0         0
DOUBLECLICK INC COM             COMMON   258609304              15          489   X                        453         0        36
DOVER CORP                      COMMON   260003108          85,576    1,823,200   X               C    682,100         0 1,124,400
DOW CHEMICAL CORP               COMMON   260543103          25,771    1,033,450   X                  1,001,400         0    32,050
DOW JONES & CO INC COM          COMMON   260561105           4,478       74,000   X               A     66,500         0     3,800
DOWNEY FINL CORP                COMMON   261018105           4,385      111,000   X                    109,700         0     1,300
DRESDNER BK A G ADR SPONSORED   COMMON   261561302          18,397      421,346   X               15   225,984     6,682    29,535
DRESS BARN INC                  COMMON   261570105           1,067       50,800   X                     25,300         0    25,500
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

PORTVUE-SEC13F.LRP                                                                                                        PAGE 13

RUN DATE: 11/03/00 08:25 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                   DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)            (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)       (ITEM 6)    (ITEM 7)       (ITEM 8)
                                                                                  INVESTMENT               VOTING AUTHORITY
                                                                                  DISCRETION                   (SHARES)
                                                                                 -----------------  ------------------------------
             NAME                TITLE                    FAIR      SHARES OR              SHARED
              OF                   OF       CUSIP        MARKET     PRINCIPAL   SOLE SHARED OTHER       SOLE     SHARED     NONE
            ISSUER               CLASS      NUMBER        VALUE       AMOUNT     (A)   (B)   (C) MGR     (A)       (B)       (C)
------------------------------- -------  ---------- -------------- ------------ ----- ----- ----- -- --------- --------- ---------
<S>                             <C>      <C>        <C>            <C>          <C>   <C>   <C>  <C><C>       <C>       <C>
PIVOTAL CORP                    COMMON   2622899             7,300      137,300   X                    106,900         0    30,400
DSET CORP                       COMMON   262504103           1,547       75,000   X                     72,300         0     2,700
DU PONT E I DE NEMOURS CO       COMMON   263534109               3           65   X                          0         0        65
DURA PHARMACEUTICALS INC        COMMON   26632S109          24,027      679,200   X                    574,800         0   104,400
DURECT CORP                     COMMON   266605104           1,575      105,000   X                    105,000         0         0
DYAX CORP                       COMMON   26746E103           5,779      132,100   X                    103,300         0    28,800
DYCOM INDS INC COM              COMMON   267475101          53,865    1,294,040   X                  1,081,890         0   212,150
DYNEGY INC NEW CL A             COMMON   26816Q101         245,903    4,313,713   X               A  3,452,743     1,629   843,190
PETRO CANADA                    COMMON   2684316            22,272    1,000,300   X                    780,800         0   219,500
E M C CORP MASS                 COMMON   268648102         322,223    3,248,037   X               C  1,144,906     1,168 2,009,576
ENSCO INTL INC COM              COMMON   26874Q100         116,356    3,041,987   X               A  2,162,941     1,872   870,925
ENI S P A SPONSORED ADR         COMMON   26874R108              42          781   X               29       458         0        27
EOG RESOURCES INC.              COMMON   26875P101          66,735    1,716,679   X               98   212,142   345,589   169,969
EOP OPER LTD PARTNERSHIP        CONVERT  268766BP6          16,232   15,759,000   X                 14,955,000         0   804,000
EPIX MEDICAL INC                COMMON   26881Q101           1,022       73,000   X                     73,000         0         0
E PIPHANY INC COM               COMMON   26881V100           3,067       39,800   X                     32,200         0     7,600
EVI INC SUB DBCV 5%             PREFERD  268939402          17,967      375,301   X                    352,174         0    23,127
E TRADE GROUP INC COM           COMMON   269246104               0            1   X                          1         0         0
RELIANCE INDS GDR REG S         COMMON   2730598             7,563      484,000   X                    484,000         0         0
RIO ALTO EXPLORATION LTD        COMMON   2740241             6,066      285,200   X                    221,500         0    63,700
ROCTEST LTD                     COMMON   2746108               806       73,500   X                     73,500         0         0
EAST WEST BANCORP INC           COMMON   27579R104             855       43,700   X                     43,700         0         0
EATON VANCE CORP                COMMON   278265103           6,594      129,300   X                    129,300         0         0
ECHOSTAR COMMUNICATIONS         COMMON   278762109          32,028      607,173   X                     14,376         0   592,797
ECHOSTAR COMMUNICATIONS         CONVERT  278762AD1          27,759   20,891,000   X                 19,301,000         0 1,590,000
EDEN BIOSCIENCE CORP            COMMON   279445100           1,726       52,300   X                     37,200         0    15,100
EDISON INTL                     COMMON   281020107             402       20,800   X                     20,800         0         0
EDWARDS AG INC                  COMMON   281760108           1,041       19,900   X                     13,100         0     6,800
EFFICIENT NETWORKS INC COM      COMMON   282056100          12,109      324,538   X                    302,080         0    22,458
EFFICIENT NETWORKS INC          CONVERT  282056AB6          11,258   17,591,000   X                 16,635,000         0   956,000
EIDOS PLC ADR SPONSORED         COMMON   282485101               1          275   X                          0         0       275
EL PASO ELEC CO                 COMMON   283677854           2,945      213,900   X                    173,400         0    40,500
ELAN FINANCE                    CONVERT  284129AC7          23,829   29,601,000   X                 27,542,000         0 2,059,000
ELAN PLC ADR                    COMMON   284131208          59,816    1,092,480   X               80   906,112       489   105,636
ELANTEC SEMICONDUCTOR INC COM   COMMON   284155108          17,185      172,500   X                    138,300         0    34,200
ELBIT COMPUTERS LTD             COMMON   284275104           2,614      286,500   X                    244,600         0    41,900
ELECTRIC LIGHTWAVE INC          COMMON   284895109             677       79,700   X                     77,500         0     2,200
ELECTRO SCIENTIFIC INDS         COMMON   285229100          24,092      685,900   X                    489,000         0   196,900
ELECTRONICS FOR IMAGING INC CO  COMMON   286082102               7          272   X                        211         0        61
TESCO CORP                      COMMON   2884310             7,357      718,800   X                    562,000         0   156,800
ELOYALTY CORP                   COMMON   290151109           2,487      195,030   X                    137,330         0    57,700
EMBRAER-EMPRESA BRASILEI        COMMON   29081M102          27,761      895,500   X                    764,000         0   131,500
EMBRATEL PARTICIPACOES S        COMMON   29081N100          28,618    1,546,900   X                  1,546,900         0         0
EMCORE CORP                     COMMON   290846104          26,818      645,000   X                    520,000         0   125,000
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

PORTVUE-SEC13F.LRP                                                                                                        PAGE 14

RUN DATE: 11/03/00 08:25 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                   DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)            (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)       (ITEM 6)    (ITEM 7)       (ITEM 8)
                                                                                  INVESTMENT               VOTING AUTHORITY
                                                                                  DISCRETION                   (SHARES)
                                                                                 -----------------  ------------------------------
             NAME                TITLE                    FAIR      SHARES OR              SHARED
              OF                   OF       CUSIP        MARKET     PRINCIPAL   SOLE SHARED OTHER       SOLE     SHARED     NONE
            ISSUER               CLASS      NUMBER        VALUE       AMOUNT     (A)   (B)   (C) MGR     (A)       (B)       (C)
------------------------------- -------  ---------- -------------- ------------ ----- ----- ----- -- --------- --------- ---------
<S>                             <C>      <C>        <C>            <C>          <C>   <C>   <C>  <C><C>       <C>       <C>
EMCOR GROUP INC                 COMMON   29084Q100           2,871      110,420   X                    107,820         0     2,600
EMERSON ELEC CO                 COMMON   291011104               4           65   X                         20         0        45
EMISPHERE TECHNOLOGIES I        COMMON   291345106             925       30,900   X                     15,400         0    15,500
EMULEX CORP                     COMMON   292475209          68,604      560,035   X               A    445,691         0   114,344
                                COMMON   29250D107               3          482   X                          0         0       482
ENDESA S A SPONSORED ADR        COMMON   29258N107              12          677   X                        347         0       330
ENDOCARE INC                    COMMON   29264P104           2,554      129,300   X                     67,000         0    62,300
ENERGEN CORP                    COMMON   29265N108           2,504       84,180   X                     84,180         0         0
ENERGY EAST CORP                COMMON   29266M109           1,695       74,900   X                     49,500         0    25,400
ENGELHARD CORP                  COMMON   292845104           2,215      136,290   X                    136,290         0         0
ENGINEERED SUPPORT SYS I        COMMON   292866100           3,161      165,300   X                    119,400         0    45,900
ENHANCE FINL SVCS GROUP         COMMON   293310108             252       19,360   X                     19,360         0         0
ENRON CORP                      COMMON   293561106          99,630    1,136,998   X                  1,001,337        76    22,185
ENTRAVISION COMMUNICATIO        COMMON   29382R107          18,744    1,078,800   X                    934,200         0   144,600
ENTRUST TECHNOLOGIES INC        COMMON   293848107           8,814      319,069   X                    264,469         0    54,600
ENZON INC COM                   COMMON   293904108          76,824    1,164,000   X                  1,011,900         0   152,100
EPCOS AG ADR                    COMMON   29410P107              29          365   X                        281         0        84
EQUANT N V SHS-N Y REGISTR      COMMON   294409107              19          510   X                        408         0       102
EQUITABLE RES INC               COMMON   294549100          19,855      313,300   X                    294,400         0    18,900
EQUITY OFFICE PROPERTIES        PREFERD  294741509           9,200      200,000   X                    185,633         0    14,367
ERICSSON L M TEL CO ADR CL B S  COMMON   294821400          75,682    5,109,364   X               42 4,128,437    18,626   534,240
ESCO TECHNOLOGIES INC           COMMON   296315104           1,239       71,300   X                     65,400         0     5,900
ESPEED INC CL A                 COMMON   296643109             492       17,297   X                      3,629         0    13,668
ESTERLINE TECHNOLOGIES C        COMMON   297425100           3,239      164,530   X                    164,530         0         0
ETHAN ALLEN INTERIORS INC       COMMON   297602104          20,222      714,250   X                    561,700         0   152,550
EVERGREEN RES INC               COMMON   299900308           6,102      175,600   X                    125,800         0    49,800
EVERGREEN TAX STRATEGIC FNDTCL  MUTUAL   299921106               1           84   X                         84         0         0
EXAR CORP                       COMMON   300645108          74,324      614,250   X                    497,350         0   116,900
EXCALIBUR TECHNOLOGIES C        COMMON   300651205          12,410      184,700   X                    123,200         0    61,500
EXCEL TECHNOLOGY INC            COMMON   30067T103           1,308       40,800   X                     40,800         0         0
EXCELON CORP                    COMMON   300691102           1,583      127,900   X                     63,500         0    64,400
EXCHANGE APPLICATIONS           COMMON   300867108           2,530      558,300   X                    501,200         0    57,100
EXE TECHNOLOGIES INC            COMMON   301504106           3,392      226,100   X                    156,400         0    69,700
EXELIXIS INC COM                COMMON   30161Q104             364       11,600   X                      3,200         0     8,400
EXTENDED SYSTEMS INC            COMMON   301973103           6,853      127,500   X                    124,900         0     2,600
EXODUS COMMUNICATIONS INC COM   COMMON   302088109          40,394      818,100   X               35   414,950     1,176   398,382
EXODUS COMMUNICATIONS IN        CONVERT  302088AJ8          27,392   17,630,000   X                 16,562,000         0 1,068,000
EXPEDITORS INTL WASH INC        COMMON   302130109          12,973      287,900   X                    205,200         0    82,700
EXTREME NETWORKS INC COM        COMMON   30226D106         100,058      873,879   X               A    410,217    97,138    89,203
EXXON MOBIL CORP                COMMON   30231G102          67,656      759,109   X                    725,109         0    34,000
F M C CORP                      COMMON   302491303           2,045       30,500   X                     30,500         0         0
FNB CORP PA                     COMMON   302520101             428       20,036   X                     20,036         0         0
FSI INTL INC                    COMMON   302633102           4,097      287,500   X                    108,900         0   178,600
F Y I INC                       COMMON   302712104           4,414      118,100   X                     25,600         0    92,500
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

PORTVUE-SEC13F.LRP                                                                                                        PAGE 15

RUN DATE: 11/03/00 08:25 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                   DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)            (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)       (ITEM 6)    (ITEM 7)       (ITEM 8)
                                                                                  INVESTMENT               VOTING AUTHORITY
                                                                                  DISCRETION                   (SHARES)
                                                                                 -----------------  ------------------------------
             NAME                TITLE                    FAIR      SHARES OR              SHARED
              OF                   OF       CUSIP        MARKET     PRINCIPAL   SOLE SHARED OTHER       SOLE     SHARED     NONE
            ISSUER               CLASS      NUMBER        VALUE       AMOUNT     (A)   (B)   (C) MGR     (A)       (B)       (C)
------------------------------- -------  ---------- -------------- ------------ ----- ----- ----- -- --------- --------- ---------
<S>                             <C>      <C>        <C>            <C>          <C>   <C>   <C>  <C><C>       <C>       <C>
FACTORY 2-U INC                 COMMON   303072102          13,759      450,200   X                    358,800         0    91,400
FAIRCHILD SEMICONDUCTOR         COMMON   303726103           3,954      140,600   X                    112,800         0    27,800
FAIRFIELD CMNTYS INC            COMMON   304231301             505       49,900   X                     49,900         0         0
FAMILY DLR STORES INC           COMMON   307000109             777       40,408   X                     24,436         0    15,972
FEDERAL HOME LN MTG CORP        COMMON   313400301           2,354       43,541   X                     30,251         0    13,290
FEDERAL NATL MTG ASSN           COMMON   313586109           3,327       46,521   X                     30,321         0    16,200
FEDERATED DEPT STORES IN        COMMON   31410H101           1,954       74,800   X                     48,800         0    26,000
FINISAR                         COMMON   31787A101          60,856    1,258,000   X               A  1,109,700         0   148,300
FIRST FIN DATA CORP             COMMON   319963104          19,266      493,200   X                     11,100         0   482,100
FIRST ESSEX BANCORP INC         COMMON   320103104             282       13,340   X                     13,340         0         0
FIRST HORIZON PHARMACEUT        COMMON   32051K106           3,785      208,800   X                    145,400         0    63,400
FIRST HEALTH GROUP CORP         COMMON   320960107             967       29,976   X                     29,763         0       213
FIRST UNION CORP                COMMON   337358105             946       29,400   X                     29,400         0         0
FISERV INC COMMON               COMMON   337738108          14,831      247,700   X               A    203,600         0    38,700
FIRSTMERIT CORP                 COMMON   337915102             456       19,880   X                     19,880         0         0
FLAMEL TECHNOLOGIES SA SPONSOR  COMMON   338488109             523       73,300   X                     20,500         0    52,800
FLEETBOSTON FINL CORP           COMMON   339030108          26,274      673,692   X                    629,480         0    44,212
FOCAL COMMUNICATIONS COR        COMMON   344155106           3,558      230,500   X                    143,100         0    87,400
FOMENTO ECONOMICO MEXICA        COMMON   344419106           1,681       43,100   X                     43,100         0         0
FORD MOTOR                      COMMON   345370100               3           54   X                         54         0         0
FORD MTR CO DEL                 COMMON   345370860           3,074      121,460   X                     74,434         0    47,025
FOREST LABS INC COM             COMMON   345838106         141,436    1,233,231   X               A    614,897    69,422   349,224
FOREST OIL CORP                 COMMON   346091606           6,925      427,800   X                    394,800         0    33,000
FORRESTER RESH INC              COMMON   346563109          19,794      310,500   X                    163,400         0   147,100
FORTIS NL ADR SPONSORED         COMMON   34956J101              46        1,513   X               10       330         0       135
FORTUNE BRANDS INC COM          COMMON   349631101               1           25   X                         25         0         0
FORWARD AIR CORP                COMMON   349853101          20,120      571,800   X                    452,400         0   119,400
FOX ENTMT GROUP INC CL A        COMMON   35138T107           1,102       41,586   X                     41,500         0        86
FRANCO NEV MNG LTD COM          COMMON   351860101               3          177   X                        177         0         0
FRESENIUS MED CARE AG SPONSORE  COMMON   358029106              13          439   X                        335         0       104
FRONTIER AIRLINES INC NE        COMMON   359065109             497       25,560   X                     25,560         0         0
FUELCELL ENERGY INC             COMMON   35952H106           1,444       15,000   X                     15,000         0         0
FUJITSU LTD ADR 5 COM           COMMON   359590304           7,982       68,684   X               26    37,440     1,129     3,727
FURUKAWA ELEC LTD ADR           COMMON   361118102          14,297       51,720   X               18    28,232       924     3,807
GBC BANCORP CALIF               COMMON   361475106           3,774      110,800   X                     95,300         0    15,500
GKN PUB LTD CO ADR              COMMON   361755606               2          202   X                         73         0       129
GABELLI ASSET MGMT INC          COMMON   36239Y102           2,088       69,600   X                     66,900         0     2,700
GADZOOKS INC                    COMMON   362553109           1,848      103,400   X                     71,400         0    32,000
GANNETT INC DEL                 COMMON   364730101          36,830      694,900   X                    694,900         0         0
GASONICS INTL CORP              COMMON   367278108           8,537      696,900   X                    498,500         0   198,400
GATEWAY INC.                    COMMON   367626108               5           92   X                         92         0         0
GEMSTAR TV GUIDE INTERNATIONAL  COMMON   36866W106         106,867    1,225,718   X               31   329,503   108,147   475,416
GENENCOR INTL INC               COMMON   368709101           4,450      150,200   X                    114,300         0    35,900
GENENTECH INC COM NEW           COMMON   368710406         140,591      757,142   X               15   527,496       539   182,209
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

PORTVUE-SEC13F.LRP                                                                                                        PAGE 16

RUN DATE: 11/03/00 08:25 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                    DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)            (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)       (ITEM 6)    (ITEM 7)       (ITEM 8)
                                                                                  INVESTMENT               VOTING AUTHORITY
                                                                                  DISCRETION                   (SHARES)
                                                                                 -----------------  ------------------------------
             NAME                TITLE                    FAIR      SHARES OR              SHARED
              OF                   OF       CUSIP        MARKET     PRINCIPAL   SOLE SHARED OTHER       SOLE     SHARED     NONE
            ISSUER               CLASS      NUMBER        VALUE       AMOUNT     (A)   (B)   (C) MGR     (A)       (B)       (C)
------------------------------- -------  ---------- -------------- ------------ ----- ----- ----- -- --------- --------- ---------
<S>                             <C>      <C>        <C>            <C>          <C>   <C>   <C>  <C><C>       <C>       <C>
GENERAL DYNAMICS CORP           COMMON   369550108           5,484       87,300   X                     77,500         0     9,800
GENERAL ELEC CO                 COMMON   369604103         426,536    7,390,556   X               C  3,790,802     2,681 3,578,479
GENERAL MLS INC                 COMMON   370334104           1,523       42,900   X                     34,000         0     8,900
GENERAL MTRS CORP               COMMON   370442105          30,877      475,034   X                    474,358         0       676
GENERAL MTRS CORP               COMMON   370442832           1,304       35,101   X                     34,930         0       171
GENESCO INC                     COMMON   371532102          14,475      854,600   X                    492,700         0   361,900
GENTEX CORP COM                 COMMON   371901109               2           80   X                          6         0        74
GENOMICA CORP                   COMMON   37243Q101           3,110      160,000   X                    130,800         0    29,200
GENOMIC SOLUTIONS INC           COMMON   37243R109           5,613      326,600   X                    267,900         0    58,700
GENSET SA SPONSORED ADR         COMMON   37244T104               2           84   X                         60         0        24
GENZYME TRANSGENICS CORP        COMMON   37246E105          19,529      554,000   X                    522,000         0    32,000
GENZYME CORP                    COMMON   372917104          37,592      551,300   X                    413,200         0   138,100
GEORGIA GULF CORP               COMMON   373200203           5,481      479,200   X                    405,700         0    73,500
GEORGIA PAC CORP                COMMON   373298108              19          796   X                        758         0        38
GETTY IMAGES INC                COMMON   374276103           8,483      278,700   X                    226,700         0    52,000
GILEAD SCIENCES INC             COMMON   375558103          44,145      402,459   X                    358,350         0    44,109
GILDAN ACTIVEWEAR INC           COMMON   375916103           3,267       97,900   X                     81,800         0    16,100
GLATFELTER P H CO               COMMON   377316104             509       42,000   X                     42,000         0         0
GLENAYRE TECHNOLOGIES IN        COMMON   377899109           5,010      460,700   X                    404,900         0    55,800
GLIMCHER RLTY TR                COMMON   379302102             309       20,680   X                     20,680         0         0
GLOBAL CROSSING 144A            PREFERD  37932J202           9,699      111,969   X                    104,704         0     7,265
GLOBAL INDS LTD                 COMMON   379336100          13,942    1,115,300   X                    804,100         0   311,200
GLOBAL MARINE INC               COMMON   379352404          38,708    1,253,700   X               A  1,086,400         0   167,300
GLOBECOMM SYSTEMS INC           COMMON   37956X103           3,166      245,900   X                    139,100         0   106,800
GLOBESPAN INC COM               COMMON   379571102          98,384      806,436   X               A    674,788     1,533   130,115
GLOBIX CORP COM                 COMMON   37957F101           8,976      385,000   X                    337,900         0    47,100
GLOBO CABO S A                  COMMON   37957X102           9,742      728,400   X                    728,400         0         0
GOLDEN TELECOM INC              COMMON   38122G107             641       36,900   X                     36,900         0         0
GOLDEN WEST FINL CORP DE        COMMON   381317106          27,499      512,800   X                    511,700         0     1,100
GOLDMAN SACHS GROUP INC COM     COMMON   38141G104          33,661      295,293   X               15   129,137       503   164,133
GOLF TR AMER INC                COMMON   38168B103             168       12,430   X                     12,430         0         0
GO2NET INC COM                  COMMON   383486107             428        7,900   X                      1,600         0     6,300
GREAT PLAINS SOFTWARE           COMMON   39119E105             591       21,000   X                     21,000         0         0
GREATER BAY BANCORP             COMMON   391648102          15,212      219,080   X                    153,080         0    66,000
GROUPE DANONE                   COMMON   399449107          20,986      752,212   X               28   402,929    11,851    52,242
GRUPO TELEVISA SA DE CV         COMMON   40049J206           9,443      163,700   X                    163,700         0         0
GRUPO IUSACELL SA DE CV         COMMON   40050B100           5,973      503,000   X                    503,000         0         0
AUTONOMY CORP PLC               COMMON   4012001            22,174      395,962   X                    303,400         0    92,562
ALLEANZA ASSICURAZ              COMMON   4015970            57,681    4,357,580   X                  3,849,700         0   507,880
GUIDANT CORP                    COMMON   401698105              87        1,223   X                      1,175         0        48
GUILFORD PHARMACEUTICALS        COMMON   401829106           6,206      269,100   X                    258,100         0    11,000
ALTRAN TECHNOLOGIES             COMMON   4021869            15,392       72,950   X                     57,350         0    15,600
GULF ISLAND FABRICATION         COMMON   402307102             472       26,760   X                     26,760         0         0
AXA                             COMMON   4026927               538        4,120   X                          0         0     4,120
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

PORTVUE-SEC13F.LRP                                                                                                        PAGE 17

RUN DATE: 11/03/00 08:25 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                   DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)            (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)       (ITEM 6)    (ITEM 7)       (ITEM 8)
                                                                                  INVESTMENT               VOTING AUTHORITY
                                                                                  DISCRETION                   (SHARES)
                                                                                 -----------------  ------------------------------
             NAME                TITLE                    FAIR      SHARES OR              SHARED
              OF                   OF       CUSIP        MARKET     PRINCIPAL   SOLE SHARED OTHER       SOLE     SHARED     NONE
            ISSUER               CLASS      NUMBER        VALUE       AMOUNT     (A)   (B)   (C) MGR     (A)       (B)       (C)
------------------------------- -------  ---------- -------------- ------------ ----- ----- ----- -- --------- --------- ---------
<S>                             <C>      <C>        <C>            <C>          <C>   <C>   <C>  <C><C>       <C>       <C>
VIVENDI ENVIRONNEMENT           COMMON   4031879            38,305    1,033,500   X                    911,900         0   121,600
EGIS                            COMMON   4040499             9,997      223,600   X                    223,600         0         0
HCA-HEALTHCARE CO               COMMON   404119109          10,833      291,800   X                    291,800         0         0
HNC SOFTWARE INC                COMMON   40425P107          17,573      214,800   X                    205,000         0     9,800
HSBC HOLDINGS PLC               COMMON   404280406          21,262      297,800   X               11   160,492     4,776    20,992
HS RES INC                      COMMON   404297103           4,731      140,700   X                    136,400         0     4,300
ASCOM HLDG AG BEARER            COMMON   4052740            10,712        3,195   X                      2,455         0       740
HALL KINION ASSOCIATES I        COMMON   406069104          16,684      586,700   X                    474,900         0   111,800
HALLIBURTON COMPANY             COMMON   406216101               4           83   X                          0         0        83
LEICA GEOSYSTEMS AG             COMMON   4064693               876        2,800   X                      2,800         0         0
LOGITECH INTERNATIONAL          COMMON   4066848            14,585       46,340   X                     35,910         0    10,430
UNITED MEDICAL SYSTEMS          COMMON   4074818             1,119       59,000   X                     59,000         0         0
ARNOLDO MONDADORI EDITOR        COMMON   4084895            15,349    1,290,300   X                  1,017,500         0   272,800
UNILABS                         COMMON   4088187             2,253        2,900   X                      2,900         0         0
LION BIOSCIENCE  AG             COMMON   4095444             2,224       22,500   X                      1,400         0    21,100
HANCOCK JOHN FINL SVCS INC COM  COMMON   41014S106               2           90   X                          0         0        90
HANDLEMAN CO DEL                COMMON   410252100           1,647      133,130   X                    133,130         0         0
HANSON PLC ADR SPONSORED        COMMON   411352404              24          877   X               23       815         0        39
BAER HLDGS AG                   COMMON   4116958            24,275        4,680   X                      3,720         0       960
HARLEY DAVIDSON INC             COMMON   412822108          99,248    2,073,089   X               A    866,945   248,014   246,338
HARMAN INTL INDS INC            COMMON   413086109           4,324      110,600   X                    110,600         0         0
JM AB   B SHS                   COMMON   4155508             3,896      166,800   X                    113,100         0    53,700
CAP GEMINI SA                   COMMON   4163437               338        1,800   X                      1,800         0         0
HARTFORD FINANCIAL SERVICES     COMMON   416515104               2           23   X                         23         0         0
HASBRO BRADLEY INC              COMMON   418056107               1          123   X                        123         0         0
COFLEXIP SA                     COMMON   4181741            15,203      120,900   X                     94,900         0    26,000
CENTROS COMERCIALES PRYC        COMMON   4184267             5,291      387,097   X                    306,197         0    80,900
HEALTHSOUTH CORP                COMMON   421924101           2,259      278,000   X                    180,700         0    97,300
HEALTH MGMT ASSOC INC NEW CL A  COMMON   421933102              65        3,147   X                      2,772         0       375
HEARTLAND EXPRESS INC           COMMON   422347104             391       22,500   X                     22,500         0         0
HEIDRICK & STRUGGLES INT        COMMON   422819102          20,596      400,900   X                    313,200         0    87,700
HEINEKEN N V ADR                COMMON   423012202          10,490      188,573   X               79    94,743     3,382    11,377
HELIX TECHNOLOGY CORP           COMMON   423319102          14,631      489,750   X                    388,850         0   100,900
HELLER FINL INC CL A            COMMON   423328103           6,564      229,800   X                    145,800         0    84,000
HELMERICH & PAYNE INC           COMMON   423452101          15,935      441,100   X                    259,400         0   181,700
ALPHA CREDIT BANK               COMMON   4235864            63,345    1,603,300   X                  1,508,200         0    95,100
CUKUROVA ELEKTRIK AS            COMMON   4239800                 0       85,000   X                     85,000         0         0
CREDIT SUISSE GRP               COMMON   4245614               953        5,100   X                      5,100         0         0
HENRY JACK & ASSOC INC          COMMON   426281101          17,176      396,000   X                    361,400         0    34,600
METRO INTERNATIONAL SA B        COMMON   4280240               715       57,435   X                     44,625         0    12,810
HERTZ CORP CL A                 COMMON   428040109               1           18   X                          0         0        18
HEWLETT PACKARD CO              COMMON   428236103          19,347      199,450   X                     17,500         0   181,950
HEWLETT PACKARD CO 0.000% 10/1  CONVERT  428236AC7          31,923   43,432,000   X                 41,140,000         0 2,292,000
HEXCEL CORP NEW                 CONVERT  428291AA6           1,517    1,500,000   X                  1,500,000         0         0
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

PORTVUE-SEC13F.LRP                                                                                                        PAGE 18

RUN DATE: 11/03/00 08:25 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                   DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)            (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)       (ITEM 6)    (ITEM 7)       (ITEM 8)
                                                                                  INVESTMENT               VOTING AUTHORITY
                                                                                  DISCRETION                   (SHARES)
                                                                                 -----------------  ------------------------------
             NAME                TITLE                    FAIR      SHARES OR              SHARED
              OF                   OF       CUSIP        MARKET     PRINCIPAL   SOLE SHARED OTHER       SOLE     SHARED     NONE
            ISSUER               CLASS      NUMBER        VALUE       AMOUNT     (A)   (B)   (C) MGR     (A)       (B)       (C)
------------------------------- -------  ---------- -------------- ------------ ----- ----- ----- -- --------- --------- ---------
<S>                             <C>      <C>        <C>            <C>          <C>   <C>   <C>  <C><C>       <C>       <C>
KUDELSKI SA  BEARER             COMMON   4329422            21,807       14,250   X                     11,430         0     2,820
FUGRO MCCLELLAND                COMMON   4332895            12,323      215,000   X                    166,800         0    48,200
HISPANIC BROADCASTING CO        COMMON   43357B104           5,444      195,300   X                    185,600         0     9,700
DEPFA DEUTSCHE PFANDBFBK        COMMON   4355063            14,112      176,700   X                    136,300         0    40,400
HOME DEPOT INC                  COMMON   437076102          45,513      857,719   X               A     64,631         0   786,738
HON HAI PREC GDR 144A           COMMON   438090102           7,611      590,034   X                    590,034         0         0
HONEYWELL INTL INC              COMMON   438516106           1,657       46,500   X                     30,300         0    16,200
HOT TOPIC INC                   COMMON   441339108           4,884      162,800   X                    142,600         0    20,200
HOTJOBS COM INC                 COMMON   441474103           9,896      580,000   X                    369,800         0   210,200
HOUSEHOLD INTL CORP             COMMON   441815107               5           85   X                          0         0        85
INTL QUANTUM EPITAXY PLC        COMMON   4419839               120       15,000   X                     15,000         0         0
HOUSTON EXPL CO                 COMMON   442120101           2,326       92,100   X                     88,700         0     3,400
ENI SPA                         COMMON   4436399            35,477    6,700,490   X                  5,912,400         0   788,090
HURRIYET GAZETECILIK            COMMON   4445276             7,670  810,226,400   X               8 10,226,400         0         0
HUMAN GENOME SCIENCES INC COM   COMMON   444903108         176,785    1,044,033   X               A    614,490    77,139   132,492
INDRA SISTEMAS SA               COMMON   4476210            10,866      502,600   X                    395,100         0   107,500
HUTCHISON WHAMPOA LTD ADR       COMMON   448415208          10,381      156,379   X               59    85,729     2,483     8,607
ICN PHARMACEUTICALS INC         COMMON   448924100           1,017       30,597   X                     20,233         0    10,364
ICOS CORP                       COMMON   449295104           3,946       72,900   X                     72,900         0         0
IDEC PHARMACEUTICALS CORCOMMON  COMMON   449370105          65,047      370,934   X               A    322,816         0    48,118
IASIAWORKS INC                  COMMON   45072L101           2,500      250,000   X                    178,800         0    71,200
IBASIS INC                      COMMON   450732102           4,747      299,000   X                    287,400         0    11,600
IDACORP INC                     COMMON   451107106           2,718       58,770   X                      9,170         0    49,600
ILEX ONCOLOGY INC               COMMON   451923106           7,845      260,400   X                    210,800         0    49,600
ILLUMINA INC                    COMMON   452327109           3,394       74,800   X                     74,800         0         0
ILLUMINET HLDGS INC CDT-COM     COMMON   452334105               3          100   X                          0         0       100
IMMERSION CORP                  COMMON   452521107           2,968      191,500   X                    135,600         0    55,900
IMMUNEX CORP NEW COM            COMMON   452528102          87,342    2,007,882   X               A    883,771   230,042   234,794
IMMUNOGEN INC                   COMMON   45253H101           9,658      282,500   X                    227,600         0    54,900
IMPERIAL BANCORP                COMMON   452556103             313       16,379   X                     16,379         0         0
IMMUNOMEDICS INC                COMMON   452907108           5,588      266,900   X                    232,300         0    34,600
INCYTE PHARMACEUTICALS INC COM  COMMON   45337C102           5,337      129,788   X                    121,552         0     8,236
INDEPENDENT ENERGY HLDGS PLCAD  COMMON   45384X108              12        1,641   X               33     1,409         0       199
LEGRAND SA                      COMMON   4558583               345        2,100   X                        500         0     1,600
INFINEON TECHNOLOGIES AG ADR S  COMMON   45662N103               2           58   X                         36         0        22
INFINITY BROADCASTING CORP NCL  COMMON   45662S102              19          580   X                        192         0       388
INET TECHNOLOGIES INC COM       COMMON   45662V105           7,312      250,000   X                    186,700         0    63,300
INFOCUS CORP                    COMMON   45665B106          42,954      810,450   X                    558,150         0   252,300
INFORMATION HLDGS INC           COMMON   456727106           4,061      114,600   X                     85,600         0    29,000
INFOSYS TECHNOLOGIES LTD ADR S  COMMON   456788108               7           50   X                         26         0        24
ING GROEP N.V. ADR              COMMON   456837103          15,260      231,640   X               87   124,561     3,868    15,879
INGERSOLL-RAND COMPANY          COMMON   456866102             135        3,953   X                      3,011         0       942
INKTOMI CORP COM                COMMON   457277101          20,656      181,188   X                      6,288         0   174,900
INNERDYNE INC                   COMMON   45764D102           2,958      422,500   X                    302,100         0   120,400
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

PORTVUE-SEC13F.LRP                                                                                                        PAGE 19

RUN DATE: 11/03/00 08:25 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                   DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)            (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)       (ITEM 6)    (ITEM 7)       (ITEM 8)
                                                                                  INVESTMENT               VOTING AUTHORITY
                                                                                  DISCRETION                   (SHARES)
                                                                                 -----------------  ------------------------------
             NAME                TITLE                    FAIR      SHARES OR              SHARED
              OF                   OF       CUSIP        MARKET     PRINCIPAL   SOLE SHARED OTHER       SOLE     SHARED     NONE
            ISSUER               CLASS      NUMBER        VALUE       AMOUNT     (A)   (B)   (C) MGR     (A)       (B)       (C)
------------------------------- -------  ---------- -------------- ------------ ----- ----- ----- -- --------- --------- ---------
<S>                             <C>      <C>        <C>            <C>          <C>   <C>   <C>  <C><C>       <C>       <C>
INSIGHT ENTERPRISES INC COM     COMMON   45765U103          25,947      952,165   X                    694,598         0   257,567
INSITUFORM TECHNOLOGIES CL A    COMMON   457667103           8,252      245,400   X                    204,600         0    40,800
INSILICON CORP                  COMMON   45769H108           3,555      245,200   X                    152,200         0    93,000
INRANGE TECHNOLOGIES COR        COMMON   45769V206           7,950      150,000   X                    150,000         0         0
INNKEEPERS USA TR               COMMON   4576J0104             324       31,590   X                     31,590         0         0
INSPIRE PHARMACEUTICALS         COMMON   457733103           2,973       99,100   X                     71,500         0    27,600
INTEGRATED MEASUREMENT S        COMMON   457923100           1,284       95,100   X                     95,100         0         0
INTEGRATED DEVICE TECHNO        COMMON   458118106         129,245    1,428,099   X               48   533,799   170,733   234,448
INTEGRATED SILICON SOLUT        COMMON   45812P107          11,217      790,600   X                    670,900         0   119,700
INTEL CORP                      COMMON   458140100         197,785    4,758,765   X               C  1,866,291     2,405 2,703,118
INTEGRATED TELECOM EXPRE        COMMON   45817U101           1,079       52,000   X                     52,000         0         0
INTER TEL INC                   COMMON   458372109               2          145   X                        133         0        12
INTERCEPT GROUP INC             COMMON   45845L107           4,893      209,900   X                    147,700         0    62,200
INTEREP NATL RADIO SALES        COMMON   45866V109             316      101,100   X                     70,000         0    31,100
INTERLINK ELECTRS               COMMON   458751104           5,828      300,800   X                    225,900         0    74,900
INTERMAGNETICS GEN CORP         COMMON   458771102           7,541      283,218   X                    223,532         0    59,686
INTERNAP NETWORK SVCS CO        COMMON   45885A102             336       10,400   X                      7,900         0     2,500
NOBEL BIOCARE AB                COMMON   4590585             1,607       64,500   X                     64,500         0         0
INTERNATIONAL BUSINESS M        COMMON   459200101          34,957      310,408   X               17   113,727       520   194,399
INTERNATIONAL FIBERCOM I        COMMON   45950T101           9,440      645,500   X                    449,000         0   196,500
INTERNATIONAL GAME TECHN        COMMON   459902102           6,617      196,800   X                    189,800         0     7,000
INTL RECTIFIER CORP             COMMON   460254105          59,822    1,184,600   X                    770,000         0   414,600
INTL RECTIFIER CORP 144A        CONVERT  460254AD7          15,959   17,207,000   X                 16,292,000         0   915,000
INTL SPECIALTY PRODS INC        COMMON   460337108             206       38,310   X                     38,310         0         0
INTERNET CAPITAL GROUP INC COM  COMMON   46059C106              19        1,086   X                        829         0       257
INTERNET PICTURES CORP          COMMON   46059S101           1,450      266,603   X                    191,135         0    75,468
INTERNET INITIATIVE JAPAN INAD  COMMON   46059T109               7          157   X                         92         0        65
INTERNET SEC SYS INC COM        COMMON   46060X107          34,498      459,200   X                    361,200         0    98,000
INTERPUBLIC GROUP COS IN        COMMON   460690100           1,032       30,300   X                     30,300         0         0
INTERPUBLIC GROUP COS IN        CONVERT  460690AJ9           4,721    5,155,000   X                  5,059,000         0    96,000
INTERSPEED INC                  COMMON   46070W107           1,859      270,400   X                    192,400         0    78,000
INTRANET SOLUTIONS INC          COMMON   460939309           7,480      149,600   X                    132,500         0    17,100
INTERNET COM CORP               COMMON   460967102           5,417      175,100   X                    156,300         0    18,800
INTERTAN INC                    COMMON   461120107           6,584      456,050   X                    435,200         0    20,850
INTERWOVEN INC COM              COMMON   46114T102         165,099    1,460,246   X               A    787,120   123,245   195,872
INTIMATE BRANDS INC CL A        COMMON   461156101           2,185      116,854   X                    113,284         0     3,570
INTRABIOTICS PHARMACEUTI        COMMON   46116T100             813       50,000   X                     35,600         0    14,400
INTUIT INC                      COMMON   461202103          59,973    1,052,180   X               61   115,009   215,734   102,308
INVENSYS PLC ADR SPONSORED      COMMON   461204109               8        1,835   X                      1,186         0       649
INVERNESS MED TECHNOLOGY        COMMON   461268104           2,272      118,000   X                    118,000         0         0
UNAXIS HOLDING AG R             COMMON   4612757            18,154       65,100   X                     52,100         0    13,000
INVESTMENT TECHNOLOGY GR        COMMON   46145F105             511       12,800   X                      9,700         0     3,100
NESTLE SA                       COMMON   4616696            47,793       22,946   X                     20,230         0     2,716
INVITROGEN CORP                 COMMON   46185R100          51,807      728,400   X                    618,900         0   109,500
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

PORTVUE-SEC13F.LRP                                                                                                        PAGE 20

RUN DATE: 11/03/00 08:25 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                   DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)            (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)       (ITEM 6)    (ITEM 7)       (ITEM 8)
                                                                                  INVESTMENT               VOTING AUTHORITY
                                                                                  DISCRETION                   (SHARES)
                                                                                 -----------------  ------------------------------
             NAME                TITLE                    FAIR      SHARES OR              SHARED
              OF                   OF       CUSIP        MARKET     PRINCIPAL   SOLE SHARED OTHER       SOLE     SHARED     NONE
            ISSUER               CLASS      NUMBER        VALUE       AMOUNT     (A)   (B)   (C) MGR     (A)       (B)       (C)
------------------------------- -------  ---------- -------------- ------------ ----- ----- ----- -- --------- --------- ---------
<S>                             <C>      <C>        <C>            <C>          <C>   <C>   <C>  <C><C>       <C>       <C>
IONA TECHNOLOGIES PLC           COMMON   46206P109          21,198      305,000   X                    233,500         0    71,500
NATIONAL BANK OF GREECE         COMMON   4625959            22,815      554,290   X                    554,290         0         0
ISLE OF CAPRI CASINOS IN        COMMON   464592104           1,479       95,400   X                     95,400         0         0
I2 TECHNOLOGIES INC COM         COMMON   465754109          96,558      516,179   X               A    470,127         0    43,752
I2 TECHNOLOGIES INC             CONVERT  465754AF6          40,834   15,344,000   X                 14,211,000         0 1,133,000
IVAX CORP                       COMMON   465823102          67,137    1,459,485   X               69   388,267   244,581   127,895
IXOS SOFTWARE AG ADR SPON REP   COMMON   46600V108               0           26   X                         11         0        15
JDS UNIPHASE CORP               COMMON   46612J101         164,478    1,737,060   X               C    880,433         0   813,827
JDA SOFTWARE GROUP INC          COMMON   46612K108           9,936      779,300   X                    744,700         0    34,600
JNI CORP COM                    COMMON   46622G105             561        6,300   X                      1,200         0     5,100
JACK IN THE BOX INC             COMMON   466367109          14,301      667,100   X                    315,600         0   351,500
JACO ELECTRS INC                COMMON   469783104             162       10,800   X                     10,800         0         0
JAPAN AIR LINES LTD ADR         COMMON   471034306              49        6,175   X                      5,258         0       917
JAPAN TELECOM SPON ADR          COMMON   471104109          10,077      348,787   X               13   188,430     5,671    19,426
PARMALAT FINANZ                 COMMON   4714404            12,151    8,320,100   X                  6,523,200         0 1,796,900
RAS SPA                         COMMON   4718246            53,845    4,095,100   X                  3,585,400         0   509,700
AVENTIS SA EUR3.82              COMMON   4736817            47,309      630,713   X                    568,000         0    62,713
MERCK KGAA                      COMMON   4741844             6,086      179,100   X                    140,700         0    38,400
JEFFERSON PILOT CORP COM        COMMON   475070108          18,855      277,800   X                    260,500         0    17,300
THE SWATCH GROUP AG B           COMMON   4762403            24,241       16,759   X                     14,400         0     2,359
EDISON SPA                      COMMON   4764465            48,929    4,972,800   X                  4,363,500         0   609,300
SAIPEM ITL1000                  COMMON   4768768            16,003    2,878,500   X                  2,251,500         0   627,000
JOHNSON & JOHNSON               COMMON   478160104          78,459      835,229   X               A    384,154         0   445,875
JOHNSON CTLS INC                COMMON   478366107           2,819       53,000   X                     39,800         0    13,200
SCHIBSTED ASA                   COMMON   4790534            16,257      925,300   X                    717,900         0   207,400
JONES APPAREL GROUP INC         COMMON   480074103               7          252   X                        111         0       141
SGL CARBON AG                   COMMON   4818351            14,950      233,800   X                    184,600         0    49,200
JUNIPER NETWORKS INC COM        COMMON   48203R104         240,353    1,097,816   X               A    680,279       509   384,176
JUNIPER NETWORKS                CONVERT  48203RAA2          38,164   24,762,000   X                 23,112,000         0 1,650,000
KLA INSTRS CORP                 COMMON   482480100              34          820   X                        607         0       213
SCHNEIDER ELECTRIC SA           COMMON   4834108            32,172      510,600   X                    452,400         0    58,200
KAMAN CORP                      COMMON   483548103             559       44,290   X                     44,290         0         0
KANA COMMUNICATIONS             COMMON   483600102           3,474      156,133   X                    123,864         0    32,269
SCHERING AG                     COMMON   4845757             2,805       42,900   X                     42,900         0         0
SAP                             COMMON   4846288             4,665       23,800   X                     23,800         0         0
SAP AG PREF SHS                 COMMON   4846868            56,742      229,600   X                    202,500         0    27,100
STOREBRAND ASA                  COMMON   4852832            14,955    2,104,900   X                  1,671,800         0   433,100
KEEBLER FOODS CO COM            COMMON   487256109             653       15,537   X                     15,500         0        37
KEITHLEY INSTRS INC             COMMON   487584104          40,362      576,600   X               A    496,300         0    80,300
TELECOM ITALIA MOBILE           COMMON   4876746             1,093      135,200   X                    135,200         0         0
KEMET CORP                      COMMON   488360108          24,899      901,300   X                    849,000         0    52,300
TOTAL FINA ELF SA               COMMON   4905413            49,713      339,777   X                    307,526         0    32,251
KENT ELECTRS CORP               COMMON   490553104          18,386      770,100   X                    529,500         0   240,600
CIE NATIONAL AIR FRANCE         COMMON   4916039            10,687      605,800   X                    476,100         0   129,700
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

PORTVUE-SEC13F.LRP                                                                                                        PAGE 21

RUN DATE: 11/03/00 08:25 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                    DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)            (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)       (ITEM 6)    (ITEM 7)       (ITEM 8)
                                                                                  INVESTMENT               VOTING AUTHORITY
                                                                                  DISCRETION                   (SHARES)
                                                                                 -----------------  ------------------------------
             NAME                TITLE                    FAIR      SHARES OR              SHARED
              OF                   OF       CUSIP        MARKET     PRINCIPAL   SOLE SHARED OTHER       SOLE     SHARED     NONE
            ISSUER               CLASS      NUMBER        VALUE       AMOUNT     (A)   (B)   (C) MGR     (A)       (B)       (C)
------------------------------- -------  ---------- -------------- ------------ ----- ----- ----- -- --------- --------- ---------
<S>                             <C>      <C>        <C>            <C>          <C>   <C>   <C>  <C><C>       <C>       <C>
KERR MCGEE CORP                 COMMON   492386107             749       11,300   X                     11,300         0         0
KERR MCGEE CORP                 CONVERT  492386AP2          23,255   18,641,000   X                 17,351,000         0 1,290,000
KEY ENERGY SVCS INC             COMMON   492914106           2,192      223,400   X                    143,100         0    80,300
KEYNOTE SYS INC                 COMMON   493308100           2,702      101,000   X                     88,500         0    12,500
SAMSUNG ELCR II REG S           COMMON   4942818             2,498       26,900   X                     26,900         0         0
E.ON AG                         COMMON   4942904            46,714      908,000   X                    804,800         0   103,200
KIMBERLY CLARK CORP             COMMON   494368103          51,939      930,600   X                    915,800         0    14,800
PECHINEY SA                     COMMON   4943792             9,898      247,600   X                    191,900         0    55,700
KING PHARMACEUTICALS INC COM    COMMON   495582108          87,082    2,603,243   X                  2,227,953         0   375,289
VNU NV                          COMMON   4970950             1,342       26,670   X                     20,800         0     5,870
KNIGHT TRADING GROUP INC COM    COMMON   499063105              71        1,968   X                      1,288         0       680
KOHLS CORP                      COMMON   500255104         161,312    2,796,286   X               A  1,467,135   108,264   910,061
KOHL'S CORPORATION 144A         CONVERT  500255AG9          18,655   31,753,000   X                 30,102,000         0 1,651,000
KOHLS CORP                      CONVERT  500255AJ3             397      675,000   X                     70,000         0   605,000
KOMATSU LTD ADR NEW             COMMON   500458401          21,985      903,319   X               34   480,223    15,167    65,456
KONINKLIJKE AHOLD NV ADR SPONS  COMMON   500467303          20,232      717,788   X               26   388,870     8,314    50,609
KONINKLIJKE PHILIPS ELECTRS SP  COMMON   500472303          56,985    1,340,834   X               83 1,112,945     3,367   140,725
KOREA ELECTRIC PWR ADR          COMMON   500631106           3,031      232,083   X               11   230,428         0       516
KOREA TELECOM ADR SPONSORED     COMMON   50063P103           3,870      115,113   X                    115,113         0         0
KORN FERRY INTL                 COMMON   500643200          11,839      313,100   X                    291,600         0    21,500
KROGER CO                       COMMON   501044101           1,141       50,590   X                     50,400         0       190
KUBOTA LTD CORP                 COMMON   501173207               2           37   X                         13         0        24
KULICKE & SOFFA INDS INC        COMMON   501242101             174       13,060   X                     13,060         0         0
KYOCERA CORP                    COMMON   501556203              36          238   X               11        81         0        40
LSI LOGIC CORP                  COMMON   502161102               1           50   X                         50         0         0
LSI LOGIC 4.000% 02/15/05       CONVERT  502161AE2              66       82,000   X                          0         0    82,000
LTX CORP                        COMMON   502392103          14,532      767,350   X                    658,500         0   108,850
LABORATORY CORP AMER HLD        COMMON   50540R409          42,703      356,600   X                    266,000         0    90,600
ING GROEP NV                    COMMON   5058877             2,085       31,300   X                     31,300         0         0
LAGARDERE GROUPE S C A ADR SPO  COMMON   507069102              66        1,095   X                        779         0       316
HENKEL KGAA                     COMMON   5076705            14,612      242,400   X                    190,500         0    51,900
MEDIASET SPA                    COMMON   5077946            42,120    2,827,600   X                  2,532,300         0   295,300
SMEDVIG ASA B                   COMMON   5120066             5,523      309,500   X                    212,900         0    96,600
LAM RESEARCH CORP               COMMON   512807108              84        4,018   X                      3,318         0       700
LAM RESEARCH 5.00% 9/01/2002    CONVERT  512807AC2              94       90,000   X                          0         0    90,000
LAMAR ADVERTISING CO            CONVERT  512815AF8          12,452   12,421,000   X                 11,460,000         0   961,000
NOVO NORDISK AS SER B           COMMON   5154656            51,653      232,900   X                    204,300         0    28,600
LARGE SCALE BIOLOGY CORP        COMMON   517053104          16,273      496,900   X                    474,200         0    22,700
FRANCE TELECOM S.A.             COMMON   5176177            48,648      454,100   X                    401,000         0    53,100
LAUDER ESTEE COS INC CL A       COMMON   518439104           3,032       82,782   X                     77,237         0     5,545
UNIQUE INTL                     COMMON   5184716             6,154      303,183   X                    236,383         0    66,800
LEARNING TREE INTL INC COMMON   COMMON   522015106          28,941      607,700   X                    470,000         0   137,700
SAMPO INSURANCE CO LTD A        COMMON   5226038            16,192      331,200   X                    261,000         0    70,200
LEGATO SYS INC COMMON           COMMON   524651106              54        4,000   X                          0         0     4,000
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

PORTVUE-SEC13F.LRP                                                                                                        PAGE 22

RUN DATE: 11/03/00 08:25 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                   DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)            (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)       (ITEM 6)    (ITEM 7)       (ITEM 8)
                                                                                  INVESTMENT               VOTING AUTHORITY
                                                                                  DISCRETION                   (SHARES)
                                                                                 -----------------  ------------------------------
             NAME                TITLE                    FAIR      SHARES OR              SHARED
              OF                   OF       CUSIP        MARKET     PRINCIPAL   SOLE SHARED OTHER       SOLE     SHARED     NONE
            ISSUER               CLASS      NUMBER        VALUE       AMOUNT     (A)   (B)   (C) MGR     (A)       (B)       (C)
------------------------------- -------  ---------- -------------- ------------ ----- ----- ----- -- --------- --------- ---------
<S>                             <C>      <C>        <C>            <C>          <C>   <C>   <C>  <C><C>       <C>       <C>
LEGG MASON INC                  COMMON   524901105           3,854       66,300   X                     66,300         0         0
LEHMAN BROS HLDGS INC           COMMON   524908100           1,040        7,000   X                      7,000         0         0
AHOLD (KON) NV                  COMMON   5252602            23,056      813,150   X                    713,800         0    99,350
PROSIEBEN MEDIA AG              COMMON   5252884            15,165      132,700   X                    104,700         0    28,000
AUTOGRILL SPA                   COMMON   5256206            22,944    1,963,750   X                  1,551,250         0   412,500
LENNAR CORP                     COMMON   526057104             610       20,500   X                      4,300         0    16,200
LENNAR CORP                     CONVERT  526057AA2          16,135   33,354,000   X                 30,391,000         0 2,963,000
ENDESA                          COMMON   5271782            42,748    2,274,250   X                  2,035,300         0   238,950
LEVEL 3 COMMUNICATIONS I        CONVERT  52729NAG5           9,424    7,000,000   X                  7,000,000         0         0
ALTANA AG                       COMMON   5273131            11,207       97,700   X                     82,100         0    15,600
LEXMARK INTL GROUP INC CL A     COMMON   529771107               7          165   X                         78         0        87
LIBERTY MEDIA CORP              CONVERT  530715AG6          24,523   26,123,000   X                 25,105,000         0 1,018,000
SWISSLOG HOLDING CHF20          COMMON   5310715            21,812       35,300   X                     28,800         0     6,500
LIBERTY SATELLITE & TECH        COMMON   531182103           1,658      156,000   X                    156,000         0         0
TGS NOPEC GEOPHYSICAL           COMMON   5321676             6,885      504,100   X                    403,900         0   100,200
LIFEPOINT HOSPS INC COM         COMMON   53219L109          16,507      465,000   X                    339,100         0   125,900
LIGHTBRIDGE INC                 COMMON   532226107           2,194      188,700   X                          0         0   188,700
GN STORE NORD                   COMMON   5323274            37,288      262,700   X                    217,100         0    45,600
LILLY ELI AND COMPANY           COMMON   532457108           4,675       57,620   X                     52,420         0     5,200
LIMITED INC                     COMMON   532716107             542       24,600   X                      7,400         0    17,200
LINCOLN NATL CORP IND           COMMON   534187109          23,702      492,500   X                     70,700         0   421,800
LINEAR TECHNOLOGY CORP          COMMON   535678106              86        1,333   X                      1,147         0       186
LION BIOSCIENCE AKTIENGESELLAD  COMMON   536191109          15,799      160,583   X               64    85,217       291    10,190
LITHIA MTRS INC                 COMMON   536797103             958       79,000   X                     55,600         0    23,400
LITTELFUSE INC                  COMMON   537008104           3,096      104,300   X                    104,300         0         0
PROKOM SOFTWARE                 COMMON   5372878             8,383      188,100   X                    188,100         0         0
ERGO VERSICHERUNGS GRP          COMMON   5377947            16,777      111,900   X                     96,900         0    15,000
NORDIC BALTIC HLDG AB           COMMON   5380031            38,442    5,366,870   X                  4,713,600         0   653,270
LIZ CLAIBORNE INC               COMMON   539320101           7,559      196,324   X                    182,024         0    14,300
KONINKLIJKE NUMICO NV           COMMON   5402601            46,648      909,060   X                    814,300         0    94,760
LOEWS CORP                      CONVERT  540424AL2           9,315   10,540,000   X                 10,540,000         0         0
LOGITECH INTL S A SPONSORED AD  COMMON   541419107          18,402      598,473   X               23   314,787     9,887    37,738
LONDON PAC GROUP LTD            COMMON   542073101           8,049      405,000   X                    278,800         0   126,200
LONE STAR TECHNOLOGIES I        COMMON   542312103           6,613      143,300   X                    141,600         0     1,700
ALTADIS SA                      COMMON   5444012            35,036    2,428,340   X                  2,156,200         0   272,140
AKZO NOBEL NLG5                 COMMON   5458314            29,358      696,000   X                    626,100         0    69,900
LOUIS DREYFUS NAT GAS CO        COMMON   546011107          20,383      514,400   X                    366,300         0   148,100
SKANDIA FORSAKRINGS AB          COMMON   5461572             1,953       98,500   X                     98,500         0         0
STRAUMANN HOLDINGS AG           COMMON   5464355            28,066       12,600   X                      9,900         0     2,700
CE CONSUMER ELECTRONIC          COMMON   5465972             6,213      205,200   X                    163,200         0    42,000
AIXTRON ORD                     COMMON   5468346            33,959      271,770   X                    217,470         0    54,300
ALSTOM                          COMMON   5474978               291       12,620   X                          0         0    12,620
GRETAG IMAGING GRP              COMMON   5476305            22,783      100,200   X                     81,700         0    18,500
CESKE RADIOKOMUNIKACE           COMMON   5479207               736       19,420   X                     19,420         0         0
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

PORTVUE-SEC13F.LRP                                                                                                        PAGE 23

RUN DATE: 11/03/00 08:25 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                   DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)            (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)       (ITEM 6)    (ITEM 7)       (ITEM 8)
                                                                                  INVESTMENT               VOTING AUTHORITY
                                                                                  DISCRETION                   (SHARES)
                                                                                 -----------------  ------------------------------
             NAME                TITLE                    FAIR      SHARES OR              SHARED
              OF                   OF       CUSIP        MARKET     PRINCIPAL   SOLE SHARED OTHER       SOLE     SHARED     NONE
            ISSUER               CLASS      NUMBER        VALUE       AMOUNT     (A)   (B)   (C) MGR     (A)       (B)       (C)
------------------------------- -------  ---------- -------------- ------------ ----- ----- ----- -- --------- --------- ---------
<S>                             <C>      <C>        <C>            <C>          <C>   <C>   <C>  <C><C>       <C>       <C>
INTRACOM                        COMMON   5482023            15,355      451,165   X                    451,165         0         0
LOWES CO                        COMMON   548661107               4           80   X                         80         0         0
ZURICH ALLIED AG                COMMON   5486779            41,133       88,980   X                     77,930         0    11,050
SEZ HOLDING AG                  COMMON   5493995            22,768       29,700   X                     21,900         0     7,800
LUCENT TECHNOLOGIES INC COM     COMMON   549463107               5          157   X                        110         0        47
REXEL                           COMMON   5499335             7,468       99,800   X                     77,700         0    22,100
INTERSHOP COMM                  COMMON   5499551            31,906      486,945   X                    413,000         0    73,945
LYNX THERAPEUTICS INC COM NEW   COMMON   551812308             711       22,700   X                      4,800         0    17,900
M & T BK CORP                   COMMON   55261F104           2,040        4,000   X                      2,500         0     1,500
MBNA CORP                       COMMON   55262L100          31,049      806,475   X               A     79,025         0   714,650
MCSI INC                        COMMON   55270M108           3,816      113,500   X                     83,700         0    29,800
MEMC ELECTR MATLS INC           COMMON   552715104           2,717      211,000   X                    130,300         0    80,700
MGIC INVT CORP WIS              COMMON   552848103               4           58   X                         58         0         0
MGI PHARMA INC                  COMMON   552880106           6,609      220,300   X                    158,400         0    61,900
MGM MIRAGE                      COMMON   552953101         103,437    2,708,660   X                  2,369,734         0    34,826
MKS INSTRUMENT INC              COMMON   55306N104             266        9,700   X                      7,300         0     2,400
MMC NETWORKS INC COM            COMMON   55308N102          51,068      403,700   X                    271,000         0   132,700
MRV COMMUNICATIONS INC COM      COMMON   553477100          24,451      539,600   X                    430,900         0   108,700
MSC INDL DIRECT INC             COMMON   553530106           1,450       95,100   X                     90,800         0     4,300
MACERICH CO                     COMMON   554382101             301       14,160   X                     14,160         0         0
MACROVISION CORP COM            COMMON   555904101          62,986      777,600   X                    637,700         0   139,900
MACROMEDIA INC COMMON           COMMON   556100105          13,108      162,214   X                    146,652         0    15,562
MACRONIX INTL LTD ADR SPONSORE  COMMON   556103109               4          290   X               30       103         0       157
FRONTLINE LTD                   COMMON   5561052            15,042      965,075   X                    756,113         0   208,962
MADDEN STEVEN LTD               COMMON   556269108             288       33,420   X                     33,420         0         0
CLASS EDITORI                   COMMON   5574878            20,758    1,292,453   X                  1,066,153         0   226,300
TECIS HOLDING AG                COMMON   5575268             3,307       45,700   X                     37,000         0     8,700
GRUPO ACCIONA SA                COMMON   5579107            12,905      390,400   X                    313,700         0    76,700
MAGNA INTL INC CL A             COMMON   559222401             533       12,326   X                        984         0    11,342
FORTIS (B) EUR                  COMMON   5596593               316       10,280   X                          0         0    10,280
MAGYAR TAVKOZLESI RT ADR SPONS  COMMON   559776109               6          294   X               8        164         0       122
SENATOR FILM AG                 COMMON   5602713            20,565    1,090,000   X                    859,000         0   231,000
MAIL-WELL INC                   CONVERT  560321AD3           7,121    9,000,000   X                  9,000,000         0         0
MAINSPRING INC                  COMMON   56062U100             565       75,900   X                     54,100         0    21,800
MANAGEMENT NETWORK GROUP        COMMON   561693102           2,818      135,000   X                    125,600         0     9,400
INTERTAINMENT AG                COMMON   5617029             4,684       91,520   X                     68,600         0    22,920
MANHATTAN ASSOCS INC COM        COMMON   562750109          45,634      745,050   X                    576,050         0   169,000
MANNESMANN A G SPONS            COMMON   563775303               3           22   X                         22         0         0
MANPOWER INC                    COMMON   56418H100          12,680      397,000   X                    366,900         0    30,100
MANUFACTURED HOME CMNTYS        COMMON   564682102             336       13,450   X                     13,450         0         0
MANUGISTICS GROUP INC           COMMON   565011103          45,353      462,200   X                    403,000         0    59,200
MANULIFE FINL CORP COM          COMMON   56501R106          17,544      845,479   X               30   473,301    13,239    50,791
MAPINFO CORP                    COMMON   565105103           4,382      139,950   X                    136,350         0     3,600
ADVA AG OPTICAL NETWORK         COMMON   5653487            34,274      361,300   X                    295,900         0    65,400
</TABLE>


<PAGE>
<TABLE>
<CAPTION>

PORTVUE-SEC13F.LRP                                                                                                        PAGE 24

RUN DATE: 11/03/00 08:25 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                    DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)            (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)       (ITEM 6)    (ITEM 7)       (ITEM 8)
                                                                                  INVESTMENT               VOTING AUTHORITY
                                                                                  DISCRETION                   (SHARES)
                                                                                 -----------------  ------------------------------
             NAME                TITLE                    FAIR      SHARES OR              SHARED
              OF                   OF       CUSIP        MARKET     PRINCIPAL   SOLE SHARED OTHER       SOLE     SHARED     NONE
            ISSUER               CLASS      NUMBER        VALUE       AMOUNT     (A)   (B)   (C) MGR     (A)       (B)       (C)
------------------------------- -------  ---------- -------------- ------------ ----- ----- ----- -- --------- --------- ---------
<S>                             <C>      <C>        <C>            <C>          <C>   <C>   <C>  <C><C>       <C>       <C>
ABB LTD                         COMMON   5661190             2,994       30,800   X                     30,800         0         0
SYNTHES STRATEC                 COMMON   5661480            23,094       34,000   X                     27,980         0     6,020
MARCHFIRST INC COM              COMMON   566244109              33        2,044   X                      1,081         0       963
MARCONI PLC ADR                 COMMON   566306106               0            8   X                          8         0         0
MARCONI PLC ADR SPONSORED       COMMON   566306205             603       22,054   X               79     2,494         0    11,583
TELEGATE AG                     COMMON   5665750            11,235      106,100   X                     80,400         0    25,700
D LOGISTICS AG                  COMMON   5669279             9,055      135,200   X                    106,500         0    28,700
SANOFI SYNTHELABO               COMMON   5671735            75,281    1,400,800   X                  1,228,800         0   172,000
MARIMBA INC                     COMMON   56781Q109             826       67,600   X                     33,500         0    34,100
SUESS MICROTEC AG               COMMON   5679137             8,123      254,700   X                    199,500         0    55,200
MARINE DRILLING COS INC COM PA  COMMON   568240204          36,457    1,276,400   X                    889,500         0   386,900
GRUPO DRAGADOS SA               COMMON   5687000            13,304    1,673,200   X                  1,313,900         0   359,300
VIVENDI EX GEN DES EAUX         COMMON   5687237               475        6,390   X                          0         0     6,390
TECAN AG                        COMMON   5696200            13,903       13,060   X                     10,260         0     2,800
ELISA COMMUNICATIONS OYJ        COMMON   5701513            22,334      625,064   X                    555,633         0    69,430
PERLOS OYJ                      COMMON   5703133            12,129      459,700   X                    361,700         0    98,000
SVENSKA HANDELSBANKEN AB        COMMON   5703661            67,250    4,179,500   X                  3,705,700         0   473,800
GALERIES LAFAYETTE              COMMON   5704556            20,250      116,600   X                     95,100         0    21,500
NEG MICON A/S                   COMMON   5705593            15,777      296,400   X                    232,900         0    63,500
BANCO SANTANDER CENTRAL         COMMON   5705946            57,217    5,212,100   X                  4,665,200         0   546,900
SINGULUS TECHNOLOGIES           COMMON   5718665            16,255      345,600   X                    271,700         0    73,900
MARSCHOLLEK LAUT UND PRT        COMMON   5720284            20,732      138,200   X                    108,900         0    29,300
AUSTRIA TECHNOLOGIE & SY        COMMON   5724112             8,427      276,800   X                    216,600         0    60,200
VERSATEL TELECOM INTL NV        COMMON   5731532            11,175      485,200   X                    380,400         0   104,800
QIAGEN NV                       COMMON   5732825            27,059      568,900   X                    507,800         0    61,100
MARUBENI CORP ADR               COMMON   573810207              11          417   X                        249         0       168
MARUI LTD ADR NEW               COMMON   573814308              48        1,526   X               86       427         0       230
SOL MELIA SA                    COMMON   5738298            10,874    1,113,100   X                    873,500         0   239,600
BAYER MOTOREN WERK              COMMON   5756029            60,159    1,759,280   X                  1,563,100         0   196,180
HON HAI PREC GDR REG S          COMMON   5758218             3,882      300,907   X                    300,907         0         0
MASTEC INC COM                  COMMON   576323109          24,623      787,973   X                    619,024         0   168,949
MATRIX PHARMACEUTICAL IN        COMMON   576844104           3,458      222,200   X                    163,500         0    58,700
HYUNDAI MTRS REG S              COMMON   5772661             1,197      169,800   X                    169,800         0         0
MAXTOR CORP                     COMMON   577729205          10,518    1,001,700   X                  1,001,700         0         0
MAXIM INTEGRATED PRODS INC      COMMON   57772K101         132,288    1,644,610   X               A    893,334   146,478   186,218
MAY DEPT STORES CO              COMMON   577778103               1           40   X                          0         0        40
MAVERICK TUBE CORP              COMMON   577914104           9,907      367,788   X                    280,388         0    87,400
MAYTAG CORP COM                 COMMON   578592107               3          118   X                         82         0        36
MCAFEE COM CORP                 COMMON   579062100           1,596      107,300   X                    107,300         0         0
PERBIO SCIENCE AB               COMMON   5797556             2,956      302,900   X                    249,100         0    53,800
MCCORMICK & CO INC              COMMON   579780206           5,260      176,800   X                    176,800         0         0
MCDATA CORP                     COMMON   580031102           1,364       11,100   X                     11,100         0         0
MCDONALDS CORP                  COMMON   580135101             704       23,320   X                     23,200         0       120
DRESDNER BANK AG                COMMON   5801628            51,376    1,169,540   X                  1,028,100         0   141,440
</TABLE>


<PAGE>
<TABLE>
<CAPTION>

PORTVUE-SEC13F.LRP                                                                                                        PAGE 25

RUN DATE: 11/03/00 08:25 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                  DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)            (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)       (ITEM 6)    (ITEM 7)       (ITEM 8)
                                                                                  INVESTMENT               VOTING AUTHORITY
                                                                                  DISCRETION                   (SHARES)
                                                                                 -----------------  ------------------------------
             NAME                TITLE                    FAIR      SHARES OR              SHARED
              OF                   OF       CUSIP        MARKET     PRINCIPAL   SOLE SHARED OTHER       SOLE     SHARED     NONE
            ISSUER               CLASS      NUMBER        VALUE       AMOUNT     (A)   (B)   (C) MGR     (A)       (B)       (C)
------------------------------- -------  ---------- -------------- ------------ ----- ----- ----- -- --------- --------- ---------
<S>                             <C>      <C>        <C>            <C>          <C>   <C>   <C>  <C><C>       <C>       <C>
MCGRAW HILL INC                 COMMON   580645109           9,725      153,000   X                    143,500         0     9,500
F SECURE OYJ                    COMMON   5806850             8,555    1,303,100   X                  1,011,800         0   291,300
DIREKT ANLAGE BANK AG           COMMON   5811928             8,258      167,100   X                    161,900         0     5,200
MCK COMMUNICATIONS INC          COMMON   581243102           1,738       76,800   X                     54,600         0    22,200
MCKESSON HBOC INC               COMMON   58155Q103          10,486      343,100   X                    343,100         0         0
MCLEODUSA INC COM               COMMON   582266102          22,634    1,581,420   X               31 1,359,115     1,210   217,901
MCLEODUSA INC                   PREFERD  582266201          19,140       46,272   X                     42,886         0     3,386
SCHNEIDER RUNDFUNKWERKE         COMMON   5824272             6,768      123,700   X                     83,700         0    40,000
MEADE INSTRUMENTS CORP          COMMON   583062104           7,033      348,400   X                    208,400         0   140,000
MECHANICAL TECHNOLOGY IN        COMMON   583538103           4,889      452,200   X                    368,600         0    83,600
TOMRA SYSTEMS ASA               COMMON   5837010            25,146      764,790   X                    600,990         0   163,800
MEDAREX INC COM                 COMMON   583916101          76,047      648,235   X               16   288,062    56,324   139,691
MEDICINES CO                    COMMON   584688105           3,077       90,000   X                     90,000         0         0
MEDICIS PHARMACEUTICAL C        COMMON   584690309          40,058      651,348   X                    529,862         0   121,486
MEDIMMUNE INC COMMON            COMMON   584699102         377,373    4,885,091   X               C  2,406,714   215,215 1,637,771
MEDTRONIC INC                   COMMON   585055106           2,179       42,050   X                     42,050         0         0
ACCOR SA                        COMMON   5852842            30,603      824,520   X                    724,100         0   100,420
MELLON FINL CORP                COMMON   58551A108           3,668       79,100   X                     61,700         0    17,400
MELTRONIX INC COM               COMMON   585730104               0           66   X               66         0         0         0
FINMECCANICA SPA                COMMON   5859951            42,962   36,277,580   X                 31,882,700         0 4,394,880
MENS WEARHOUSE INC              COMMON   587118100          17,155      605,900   X                    426,650         0   179,250
MENTOR GRAPHICS CORP            COMMON   587200106          13,571      576,000   X                    477,600         0    98,400
MERCANTILE BANKSHARES CO        COMMON   587405101             639       17,600   X                     11,100         0     6,500
MERCK & CO INC                  COMMON   589331107         136,530    1,834,150   X               C    734,500         0 1,095,350
MERCURY INTERACTIVE CORPCOMMON  COMMON   589405109         386,257    2,464,157   X               A  1,567,676   142,795   342,318
MERCURY INTERACT 144A           CONVERT  589405AA7          29,611   19,135,000   X                 18,181,000         0   954,000
MEREDITH CORP COM               COMMON   589433101              13          442   X                          0         0       442
MERIX CORP                      COMMON   590049102          56,432      870,700   X                    658,700         0   212,000
MERRILL LYNCH & CO INC          COMMON   590188108             983       14,900   X                      9,900         0     5,000
METASOLV SOFTWARE INC COM       COMMON   591393103               2           50   X                         50         0         0
METHODE ELECTRS INC             COMMON   591520200          21,155      477,400   X                    415,400         0    62,000
METLIFE INC EQTY SEC UNIT       CONVERT  59156R207             132        1,550   X                          0         0     1,550
METRIS COS INC                  COMMON   591598107          51,341    1,299,777   X                  1,056,777         0   243,000
METRO GOLDWYN MAYER INC         COMMON   591610100           1,269       52,892   X                     52,892         0         0
METROMEDIA FIBER NETWORK INCCL  COMMON   591689104          72,304    2,974,000   X               10 1,302,991   365,691   260,576
TELESENS AG                     COMMON   5922994             7,554      148,100   X                    116,400         0    31,700
METTLER-TOLEDO INTL INC COM     COMMON   592688105          10,525      239,200   X                    209,000         0    30,200
AEGON NLG 0.50                  COMMON   5927375             2,071       54,900   X                     54,900         0         0
THIEL LOGISTIK AG               COMMON   5928776            22,894      155,800   X                    122,500         0    33,300
SSI LTD GDR REG S               COMMON   5932205             1,312      226,200   X                    226,200         0         0
MICHAEL FOOD INC NEW            COMMON   594079105           1,636       70,000   X                     70,000         0         0
MICHAELS STORES INC             COMMON   594087108          17,592      439,800   X                    394,300         0    45,500
MICREL INC                      COMMON   594793101          75,362    1,124,800   X                    938,300         0   186,500
MICROSOFT CORP                  COMMON   594918104          53,975      894,928   X               40   370,974     1,493   518,428
</TABLE>


<PAGE>
<TABLE>
<CAPTION>

PORTVUE-SEC13F.LRP                                                                                                        PAGE 26

RUN DATE: 11/03/00 08:25 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                    DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)            (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)       (ITEM 6)    (ITEM 7)       (ITEM 8)
                                                                                  INVESTMENT               VOTING AUTHORITY
                                                                                  DISCRETION                   (SHARES)
                                                                                 -----------------  ------------------------------
             NAME                TITLE                    FAIR      SHARES OR              SHARED
              OF                   OF       CUSIP        MARKET     PRINCIPAL   SOLE SHARED OTHER       SOLE     SHARED     NONE
            ISSUER               CLASS      NUMBER        VALUE       AMOUNT     (A)   (B)   (C) MGR     (A)       (B)       (C)
------------------------------- -------  ---------- -------------- ------------ ----- ----- ----- -- --------- --------- ---------
<S>                             <C>      <C>        <C>            <C>          <C>   <C>   <C>  <C><C>      <C>       <C>
ASM LITHOGRAPHY HOLDING         COMMON   5949368               409       12,326   X                      5,000         0     7,326
MICROCHIP TECHNOLOGY INC        COMMON   595017104           9,154      276,875   X                    218,100         0    58,775
MICROMUSE INC COM               COMMON   595094103         145,940      726,302   X               A    359,973    74,107    80,531
TELELOGIC AB                    COMMON   5951266            10,765    1,346,700   X                  1,033,000         0   313,700
MICROSEMI CORP                  COMMON   595137100          22,463      589,200   X                    393,900         0   195,300
MICROTUNE INC DEL               COMMON   59514P109           1,077       20,100   X                      1,400         0    18,700
MID ATLANTIC MED SVCS IN        COMMON   59523C107          11,710      774,200   X                    601,000         0   173,200
ISS DC                          COMMON   5952816            17,754      285,900   X                    223,900         0    62,000
ERICSSON LM TEL                 COMMON   5959378             1,072       70,481   X                     19,200         0    51,281
UBS AG                          COMMON   5962354            41,696      313,340   X                    279,200         0    34,140
VESTAS WIND SYSTEMS A/S         COMMON   5964651            38,166      746,900   X                    580,800         0   166,100
HIQ INTERNATIONAL AB            COMMON   5972494             6,501      797,700   X                    625,600         0   172,100
ALCATEL                         COMMON   5975006            46,470      726,346   X                    649,400         0    76,946
SERONO SA B                     COMMON   5981070            34,304       28,100   X                     24,800         0     3,300
DANONE                          COMMON   5981810            19,512      142,102   X                    126,512         0    15,590
ENEA DATA AB                    COMMON   5985191            15,359    2,665,800   X                  2,101,200         0   564,600
KONINKLIJKE PHILIPS ELEC        COMMON   5986622               229        5,331   X                          0         0     5,331
M6 METROPOLE TELEVISION         COMMON   5993901             5,916      118,339   X                     93,039         0    25,300
TELEVISION FRANCAISE            COMMON   5997118            45,305      789,840   X                    702,780         0    87,060
PYROSEQUENCING AB               COMMON   5997141             7,364      492,600   X                    411,200         0    81,400
MILLENNIUM PHARMACTCLS INC COM  COMMON   599902103         152,959    1,077,391   X               A    540,231   101,631   149,976
MILLENNIUM PHARMACEUTICA        CONVERT  599902AB9          30,911   16,157,000   X                 14,948,000         0 1,209,000
MILLIPORE CORP                  COMMON   601073109           6,981      144,117   X               13    37,371         0   106,733
CHINA SOUTHERN AIRLINES         COMMON   6013693             6,109   19,642,000   X                 19,642,000         0         0
ALL NIPPON AIRWAYS CO           COMMON   6014908            11,447    3,436,000   X                  2,694,000         0   742,000
ALPS ELECTRIC CO                COMMON   6021500            30,073    1,377,000   X                  1,081,000         0   296,000
AMANO                           COMMON   6027304               924       90,000   X                          0         0    90,000
CRESCO LIMITED 4674JP           COMMON   6036009               753       11,000   X                      1,000         0    10,000
NET ONE SYSTEMS CO7518JP        COMMON   6036548               938           33   X                          3         0        30
MINIMED INC COMMON              COMMON   60365K108         119,103    1,332,621   X               A    913,231    83,498    94,874
MINNESOTA MNG & MFG CO          COMMON   604059105          42,528      466,700   X                     28,500         0   438,200
MIPS TECHNOLOGIES INC           COMMON   604567107           3,910       85,000   X                     72,500         0    12,500
PT BANK UNIVERSAL TBK           COMMON   6052469               105   13,218,500   X                          0         013,218,500
ASATSU INC.                     COMMON   6056052               205        6,000   X                      6,000         0         0
MITSUBISHI ELEC CORP ADR        COMMON   606776201          16,782      202,476   X               72   110,770     3,117    15,593
CHINA MOBILE (HONG KONG)        COMMON   6073556            34,465    5,192,600   X                  5,192,600         0         0
NATSTEEL ELECTRONICS LTD        COMMON   6073750             9,245    3,575,500   X                  3,575,500         0         0
BANK HAPOALIM LTD               COMMON   6075808            20,175    6,578,800   X                  6,578,800         0         0
MODERN TIMES GROUP MTG AB ADR   COMMON   607698107              86          665   X                         99       519        47
MOLECULAR DEVICES CORP          COMMON   60851C107           2,515       25,600   X                     24,640         0       960
JIT HOLDINGS                    COMMON   6085409                60       24,000   X                     24,000         0         0
MORITEX CORPORATION 7714        COMMON   6086769             1,185       10,000   X                      1,000         0     9,000
MONACO COACH CORP               COMMON   60886R103           7,249      439,310   X                    322,411         0   116,899
RELIANCE INDUSTRY DEMAT         COMMON   6099626            10,242    1,376,200   X                  1,376,200         0         0
</TABLE>


<PAGE>
<TABLE>
<CAPTION>

PORTVUE-SEC13F.LRP                                                                                                        PAGE 27

RUN DATE: 11/03/00 08:25 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                   DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)            (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)       (ITEM 6)    (ITEM 7)       (ITEM 8)
                                                                                  INVESTMENT               VOTING AUTHORITY
                                                                                  DISCRETION                   (SHARES)
                                                                                 -----------------  ------------------------------
             NAME                TITLE                    FAIR      SHARES OR              SHARED
              OF                   OF       CUSIP        MARKET     PRINCIPAL   SOLE SHARED OTHER       SOLE     SHARED     NONE
            ISSUER               CLASS      NUMBER        VALUE       AMOUNT     (A)   (B)   (C) MGR     (A)       (B)       (C)
------------------------------- -------  ---------- -------------- ------------ ----- ----- ----- -- --------- --------- ---------
<S>                             <C>      <C>        <C>            <C>          <C>   <C>   <C>  <C><C>      <C>       <C>
EGYPTIAN MOBILE PHONE           COMMON   6103925             2,754      122,800   X                    122,800         0         0
STANDARD BANK                   COMMON   6108005                85       22,160   X                     21,900         0       260
POWERCHIP SEMICONDUCTOR         COMMON   6108997               215      195,000   X                    195,000         0         0
COMPUTER & TECHNOLOGIES         COMMON   6115113             3,040    4,052,000   X                  4,052,000         0         0
MONTANA PWR CO COM              COMMON   612085100              10          303   X                        206         0        97
TREND MICRO                     COMMON   6125286            31,219      232,500   X                    205,000         0    27,500
FUJITSU SUPPORT &SERVICE        COMMON   6127130               441        3,700   X                          0         0     3,700
NTT DOMOCO INC.                 COMMON   6129277            36,175        1,261   X                      1,066         0       195
BRIDGESTONE  5108JP             COMMON   6132101               638       53,000   X                      4,000         0    49,000
HANARO TELECOM INC              COMMON   6134817               276       59,913   X                     59,913         0         0
SHANDONG INTL PWR H             COMMON   6142780               180    1,124,000   X                  1,124,000         0         0
VIA TECHNOLOGIES INC            COMMON   6146823             1,442      136,500   X                    136,500         0         0
SIAM COMMERCIAL BK CONV         PREFERD  6153726            10,342   26,855,300   X                 26,855,300         0         0
HSBC HOLDINGS PLC               COMMON   6158163            57,021    4,078,795   X                  3,675,995         0   402,800
CKD CORP                        COMMON   6160050               495       54,000   X                      4,000         0    50,000
PAC CENTURY CYBERWORKS          COMMON   6164007               157      139,000   X                          0         0   139,000
PROTEL INTERNATIONAL LTD        COMMON   6167697             1,099      402,000   X                    277,500         0   124,500
MORGAN J P & CO INC             COMMON   616880100           4,035       24,700   X                     16,400         0     8,300
MORGAN STANLEY DEAN WITTER DIS  COMMON   617446448          13,465      147,260   X               60   142,900         0     4,300
MORGAN STANLEY (CISCO)          CONVERT  617446CY3          14,175    5,000,000   X                  4,591,000         0   409,000
OBIC BUSINESS CONSULT LT        COMMON   6174620             2,648       28,900   X                     20,900         0     8,000
HONDA TSUSHIN KOGYO CO          COMMON   6174631             1,064       25,000   X                      1,250         0    23,750
DBS HOLDINGS                    COMMON   6175203             1,396      126,578   X                    126,578         0         0
CHEUNG KONG (HOLDINGS)          COMMON   6190273            62,846    5,199,000   X                  4,676,000         0   523,000
CITIC PACIFIC                   COMMON   6196152            10,153    2,356,000   X                  2,140,000         0   216,000
CITIZEN WATCH CO                COMMON   6197304            35,778    3,330,000   X                  2,521,000         0   809,000
MOTIENT CORP                    COMMON   619908106           5,694      403,100   X                    376,200         0    26,900
ITOCHU TECHNO SCIENCE           COMMON   6200194            44,837      244,700   X                    211,400         0    33,300
MOTOROLA INC                    COMMON   620076109           1,056       35,809   X                     32,824         0     2,985
KOREA TELECOM FREETEL           COMMON   6201421             6,825      155,960   X                    155,960         0         0
INFOSYS TECH DEMAT              COMMON   6205122            12,328       77,280   X                     77,280         0         0
TANAKA CHAEMICAL CORP           COMMON   6214203               219       11,000   X                          0         0    11,000
COMMONWEALTH BK OF AUST         COMMON   6215035               420       28,100   X                     28,100         0         0
LEGEND HOLDINGS LTD             COMMON   6218089             7,805    8,224,000   X                  8,224,000         0         0
HONGKONG.COM CORP               COMMON   6219305                19      249,200   X                    249,200         0         0
LIVIN' ON THE EDGE CO           COMMON   6223135               316           18   X                          3         0        15
SK TELECOM CO LTD               COMMON   6224871            27,101      111,110   X                    111,110         0         0
PETROCHINA CO LTD               COMMON   6226576            76,967  377,425,600   X               3 60,488,600         016,937,000
OPEN TELECOMMUNICATIONS         COMMON   6239477             2,079    2,000,000   X                  2,000,000         0         0
SATYAM COMPUTER SVCS DMT        COMMON   6241858             4,771      450,800   X                    450,800         0         0
DATACRAFT ASIA                  COMMON   6246831            64,374    7,755,884   X                  7,755,884         0         0
MUELLER INDS INC                COMMON   624756102             329       14,660   X                     14,660         0         0
DAIICHI PHARM CO                COMMON   6250218            15,038      592,000   X                    446,000         0   146,000
DAIKIN KOGYO CO                 COMMON   6250724            31,142    1,614,000   X                  1,405,000         0   209,000
</TABLE>


<PAGE>
<TABLE>
<CAPTION>

PORTVUE-SEC13F.LRP                                                                                                        PAGE 28

RUN DATE: 11/03/00 08:25 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                  DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)            (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)       (ITEM 6)    (ITEM 7)       (ITEM 8)
                                                                                  INVESTMENT               VOTING AUTHORITY
                                                                                  DISCRETION                   (SHARES)
                                                                                 -----------------  ------------------------------
             NAME                TITLE                    FAIR      SHARES OR              SHARED
              OF                   OF       CUSIP        MARKET     PRINCIPAL   SOLE SHARED OTHER       SOLE     SHARED     NONE
            ISSUER               CLASS      NUMBER        VALUE       AMOUNT     (A)   (B)   (C) MGR     (A)       (B)       (C)
------------------------------- -------  ---------- -------------- ------------ ----- ----- ----- -- --------- --------- ---------
<S>                             <C>      <C>        <C>            <C>          <C>   <C>   <C>  <C><C>       <C>       <C>
DATAPULSE TECH                  COMMON   6253206               324    1,139,000   X                  1,139,000         0         0
MULTEX COM INC                  COMMON   625367107           1,188       69,400   X                     34,500         0    34,900
DIMENSION DATA HLDGS PLC        COMMON   6264639            45,412    4,908,986   X                  4,908,986         0         0
MURPHY OIL CORP                 COMMON   626717102           4,064       62,700   X                      8,000         0    54,700
SEIKOH GIKEN CO LTD             COMMON   6277552               449        1,000   X                          0         0     1,000
JOHNSON ELECTRIC HLDGS          COMMON   6281939                47       22,000   X                     22,000         0         0
GIORDANO INTL LIMITED           COMMON   6282040            12,435   21,426,000   X                 18,560,000         0 2,866,000
MYLAN LABS INC                  COMMON   628530107           3,055      113,400   X                    113,400         0         0
MYRIAD GENETICS INC             COMMON   62855J104          30,706      355,500   X                    324,100         0    31,400
LI & FUNG LTD                   COMMON   6286257             3,747    1,776,000   X                  1,776,000         0         0
MIZUHO HOLDINGS INC.            COMMON   6286280               404           49   X                         49         0         0
NBTY INC                        COMMON   628782104           2,409      368,800   X                    314,400         0    54,400
NCI BUILDING SYS INC            COMMON   628852105             286       19,550   X                     19,550         0         0
NCO GROUP INC                   COMMON   628858102             186       15,690   X                     15,690         0         0
FUJITSU BROAD SOLUTION          COMMON   6289751               398        8,600   X                      3,800         0     4,800
NEC CORP ADR ORD                COMMON   629050204          16,429      147,511   X               56    78,856     2,408    10,161
NL INDS INC                     COMMON   629156407             994       46,900   X                     46,900         0         0
NPS PHARMACEUTICALS INC         COMMON   62936P103          20,357      359,900   X                    357,300         0     2,600
NRG ENERGY INC                  COMMON   629377102          27,211      745,500   X                    644,400         0   101,100
NTL INC COM                     COMMON   629407107              10          233   X                        184         0        49
NTL INC 7.00% 12/15/2008        CONVERT  629407AL1              62       47,000   X                          0         0    47,000
NTL INC  144A                   CONVERT  629407AN7          14,986   21,486,000   X                 20,219,000         0 1,267,000
NTL DEL INC / NTL INC           CONVERT  62940TAA7           1,248    1,776,000   X                  1,776,000         0         0
NTT DOCOMO INC                  COMMON   62942M201              90          627   X               88       417         0       122
NUI CORP                        COMMON   629430109             314       10,390   X                     10,390         0         0
NVR INC                         COMMON   62944T105             543        6,700   X                      3,100         0     3,600
NABORS INDS INC                 COMMON   629568106          62,851    1,199,453   X                  1,007,199         0   192,254
NACCO INDS INC                  COMMON   629579103             423       10,080   X                     10,080         0         0
EAST JPN RAILWAY                COMMON   6298542               545           98   X                         98         0         0
NANOMETRICS INC                 COMMON   630077105          25,933      485,300   X                    331,300         0   154,000
ELEC & ELTEK                    COMMON   6308032                41      335,000   X                    335,000         0         0
FAST RETAILING CO   9983        COMMON   6332439               204        1,000   X                      1,000         0         0
NATIONAL BK GREECE S A ADR SPO  COMMON   633643408           7,387      875,425   X               28   520,536    21,988    47,509
COSCO PACIFIC                   COMMON   6354251            25,940   34,280,000   X                 29,070,000         0 5,210,000
NATIONAL COMM BANCORP           COMMON   635449101           1,256       63,000   X                     63,000         0         0
NATIONAL DISC BROKERS GR        COMMON   635646102             984       31,800   X                     31,800         0         0
FUJIKURA                        COMMON   6356707            21,801    2,647,000   X                  2,017,000         0   630,000
FUJISAWA PHARMACEUTICAL         COMMON   6356804               516       14,000   X                     14,000         0         0
FANUC LTD                       COMMON   6356934            69,559      629,000   X                    561,700         0    67,300
FUJITSU LTD                     COMMON   6356945            41,648    1,793,000   X                  1,562,000         0   231,000
FURUKAWA ELECTRIC               COMMON   6357562            46,794    1,694,000   X                  1,510,000         0   184,000
NATIONAL INSTRS CORP            COMMON   636518102          11,894      269,550   X                    237,650         0    31,900
NATIONAL-OILWELL INC            COMMON   637071101          43,828    1,402,500   X                  1,186,800         0   215,700
NATIONAL PWR PLC ADR SPONSORED  COMMON   637194705          20,466      296,609   X               10   157,518    18,370    16,891
</TABLE>


<PAGE>
<TABLE>
<CAPTION>

PORTVUE-SEC13F.LRP                                                                                                        PAGE 29

RUN DATE: 11/03/00 08:25 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                  DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)            (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)       (ITEM 6)    (ITEM 7)       (ITEM 8)
                                                                                  INVESTMENT               VOTING AUTHORITY
                                                                                  DISCRETION                   (SHARES)
                                                                                 -----------------  ------------------------------
             NAME                TITLE                    FAIR      SHARES OR              SHARED
              OF                   OF       CUSIP        MARKET     PRINCIPAL   SOLE SHARED OTHER       SOLE     SHARED     NONE
            ISSUER               CLASS      NUMBER        VALUE       AMOUNT     (A)   (B)   (C) MGR     (A)       (B)       (C)
------------------------------- -------  ---------- -------------- ------------ ----- ----- ----- -- --------- --------- ---------
<S>                             <C>      <C>        <C>            <C>          <C>   <C>   <C>  <C> <C>      <C>       <C>
NATIONAL R V HLDGS INC          COMMON   637277104             261       25,960   X                     25,960         0         0
LG CABLE LTD                    COMMON   6375780             6,339      415,800   X                    415,800         0         0
NATURAL MICROSYSTEMS CORP COM   COMMON   638882100          57,891    1,076,100   X                    963,500         0   112,600
NAVIDEC INC                     COMMON   63934Q101           2,170      280,000   X                    197,400         0    82,600
NAVISITE INC                    COMMON   63935M109           6,899      256,100   X                    212,500         0    43,600
NAVIGANT CONSULTING INC COM     COMMON   63935N107               0          151   X                        151         0         0
NEIMAN MARCUS GROUP INC         COMMON   640204202             671       20,700   X                     20,700         0         0
HALLA CLIMATE CONTROL           COMMON   6404316               480       15,820   X                     15,820         0         0
NEON COMMUNICATIONS INC         COMMON   640506101           7,809      223,900   X                    162,600         0    61,300
NEORX CORP                      COMMON   640520300           8,568      349,700   X                    228,800         0   120,900
NEOSE TECHNOLOGIES INC          COMMON   640522108             585       12,100   X                     12,100         0         0
HANKUK ELECTRIC GLASS CO        COMMON   6409162             5,177       91,640   X                     91,640         0         0
NEOPHARM INC                    COMMON   640919106          15,772      399,300   X                    371,300         0    28,000
NESTLE S A SPON ADR REG         COMMON   641069406          17,986      172,715   X               64    92,859     2,763    12,252
NETEGRITY INC                   COMMON   64110P107          30,433      434,750   X                    346,850         0    87,900
NETOPIA INC                     COMMON   64114K104           7,182      652,900   X                    506,100         0   146,800
NETRO CORP                      COMMON   64114R109          50,475      851,900   X                    744,700         0   107,200
NETSPEAK CORP                   COMMON   64115D109           2,405      212,600   X                    205,000         0     7,600
NETIQ CORP COM                  COMMON   64115P102          13,066      198,906   X                    162,974         0    35,932
NETWORK APPLIANCE INC COMMON    COMMON   64120L104         425,837    3,343,163   X               A  2,388,171    96,474   533,509
CHINA MERCHANTS (HLDGS)         COMMON   6416139             4,509    5,908,000   X                  5,908,000         0         0
HIKARI TSUSHIN INC              COMMON   6416322             4,524      117,800   X                     93,200         0    24,600
HIROSE ELECTRIC6806JP           COMMON   6428725               457        3,500   X                          0         0     3,500
HITACHI                         COMMON   6429104            27,004    2,327,000   X                  2,064,000         0   263,000
HITACHI CABLE 5812JP            COMMON   6429148            16,140    1,418,000   X                  1,081,000         0   337,000
HON HAI PRECISION               COMMON   6438564             5,378      817,880   X                    817,880         0         0
HOYA CORP                       COMMON   6441506            10,370      132,300   X                    116,300         0    16,000
HUTCHISON WHAMPOA               COMMON   6448068            75,562    5,692,284   X                  5,191,684         0   500,600
HYUNDAI ELECTRONICS IND         COMMON   6450267            28,216    1,972,710   X                  1,972,710         0         0
HYUNDAI MOTOR CO LTD            COMMON   6451055            14,978    1,151,890   X                  1,151,890         0         0
IMPALA PLATINUM HOLDINGS        COMMON   6457804            26,659      616,600   X                    616,600         0         0
JAPAN ASSOC FIN                 COMMON   6471439               292        2,000   X                          0         0     2,000
PT JAYA REAL PROPERTY           COMMON   6478106                30      480,000   X                        500         0   479,500
KEYENCE CORP 6861JP             COMMON   6490995             1,589        4,590   X                      4,480         0       110
NEW WORLD DEV LTD ADR SPONSORE  COMMON   649274305          10,384    3,645,950   X               13 1,991,905     6,434   261,893
KIRIN BREWERY                   COMMON   6493745             4,838      471,000   X                    471,000         0         0
KOREA ELEC POWER CORP           COMMON   6495730            43,757    1,676,830   X                  1,676,830         0         0
KOMATSU (6301)                  COMMON   6496584            32,771    5,390,000   X                  4,122,000         0 1,268,000
KONAMI CO LTD                   COMMON   6496681            55,884      677,000   X                    594,000         0    83,000
KYOCERA CORP                    COMMON   6499260               260        1,700   X                      1,700         0         0
NEW YORK TIMES CO CL A          COMMON   650111107          17,337      441,000   X                    134,100         0   306,900
KOREA TELECOM CORP              COMMON   6505316            24,278      405,300   X                    405,300         0         0
NEWFIELD EXPL CO                COMMON   651290108             686       14,700   X                      9,100         0     5,600
NEWPARK RES INC                 COMMON   651718504             453       48,990   X                     48,990         0         0
</TABLE>


<PAGE>
<TABLE>
<CAPTION>

PORTVUE-SEC13F.LRP                                                                                                        PAGE 30

RUN DATE: 11/03/00 08:25 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                   DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)            (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)       (ITEM 6)    (ITEM 7)       (ITEM 8)
                                                                                  INVESTMENT               VOTING AUTHORITY
                                                                                  DISCRETION                   (SHARES)
                                                                                 -----------------  ------------------------------
             NAME                TITLE                    FAIR      SHARES OR              SHARED
              OF                   OF       CUSIP        MARKET     PRINCIPAL   SOLE SHARED OTHER       SOLE     SHARED     NONE
            ISSUER               CLASS      NUMBER        VALUE       AMOUNT     (A)   (B)   (C) MGR     (A)       (B)       (C)
------------------------------- -------  ---------- -------------- ------------ ----- ----- ----- -- --------- --------- ---------
<S>                             <C>      <C>        <C>            <C>          <C>   <C>   <C>  <C><C>       <C>       <C>
NEWPORT CORP COM                COMMON   651824104         261,808    1,643,838   X               A    669,505   116,439   520,610
QQQ DEC91 PUTS                  COMMON   651990210             793      104,000   X                    104,000         0         0
NEWPORT NEWS SHIPBLDG           COMMON   652228107             482       11,120   X                     11,120         0         0
NEWS AMER HLDGS INC             CONVERT  652478AS7          28,350   25,033,000   X                 23,199,000         0 1,834,000
NEWS COPR LTD ADR               COMMON   652487703              17          308   X                        221         0        87
NEXTEL COMMUNICATIONS INC CL A  COMMON   65332V103          55,276    1,182,361   X                  1,061,597         0    11,864
NEXTEL COMMUNICATIONS IN        CONVERT  65332VAY9          49,040   52,032,000   X                 49,611,000         0 2,421,000
NEXTEL PARTNERS INC             COMMON   65333F107          29,399    1,009,400   X                    874,900         0   134,500
NEXTLINK COMMUNICATIONS INC CL  COMMON   65333H707          42,535    1,208,800   X                  1,075,900         0   132,900
NEXTLINK COMMUNICATIONS         PREFERD  65333H863          15,243       92,103   X                     84,038         0     8,065
NEXT LEVEL COMMUNICATIONS INCO  COMMON   65333U104              28          422   X                        390         0        32
NICE SYS LTD ADR                COMMON   653656108          12,830      178,200   X                    135,600         0    42,600
NIKE INC CLASS B                COMMON   654106103               5          129   X                        129         0         0
NINTENDO LTD ADR NEW            COMMON   654445303              28        1,174   X               68       279         0       208
NIPPON TELEG & TEL CORP SPONSO  COMMON   654624105              22          437   X                        366         0        71
NOBLE AFFILIATES INC            COMMON   654894104           1,767       47,590   X                     47,590         0         0
NOKIA CORP                      COMMON   654902204          34,315      861,875   X               11   744,044     3,139   114,573
NOBLE DRILLING CORP             COMMON   655042109         129,655    2,571,363   X               A    896,584   360,040   284,530
NOMURA SECS LTD JAPAN ADR 10 C  COMMON   655361301              20           91   X                         50         0        41
MALAYAN BANKING                 COMMON   6556325            17,647    4,593,000   X                  4,593,000         0         0
NORTEK INC                      COMMON   656559101             362       20,670   X                     20,670         0         0
NORTEL NETWORKS CORP NEW COM    COMMON   656568102         202,514    3,400,820   X               A  2,623,304     7,498   508,310
MATSUSHITA COMM                 COMMON   6572666             1,893       14,000   X                     14,000         0         0
MEITEC   9744JP                 COMMON   6576356            29,150      630,000   X                    472,800         0   157,200
CREDIT SAISON 8253JP            COMMON   6591809            10,678      491,000   X                    377,000         0   114,000
NORTH FORK BANCORP INC N Y      COMMON   659424105              68        3,150   X                          0         0     3,150
MITSUBISHI CHEMICAL CORP        COMMON   6597001               590      170,000   X                    170,000         0         0
MITSUBISHI ELECTRIC             COMMON   6597045            54,821    6,619,000   X                  5,781,000         0   838,000
MITSUI FUDOSAN 8801JP           COMMON   6597603            37,503    2,993,000   X                  2,639,000         0   354,000
SAKURA BANK                     COMMON   6598714               940      126,000   X                    126,000         0         0
MURATA MANUFACTNG6981JP         COMMON   6610403             2,068       15,000   X                     15,000         0         0
NGK INSULATORS                  COMMON   6619507            33,679    2,348,000   X                  1,833,000         0   515,000
NEW WORLD DEVEL                 COMMON   6633767            15,742   11,057,466   X                  8,658,466         0 2,399,000
NIPPON SYS DEV                  COMMON   6639602            16,224      142,420   X                    107,300         0    35,120
NEC CORP                        COMMON   6640400            43,211    1,902,000   X                  1,657,000         0   245,000
NIPPON TEL & TEL                COMMON   6641373            19,393        1,977   X                      1,717         0       260
NIPPON SHEET GLASS              COMMON   6641447            50,897    3,170,000   X                  2,776,000         0   394,000
NITTO DENKO CORPORATION         COMMON   6641801            15,014      400,600   X                    310,600         0    90,000
NIKON CORP JPY50                COMMON   6642321               303       15,000   X                     15,000         0         0
NIPPON STEEL                    COMMON   6642569               565      318,000   X                    318,000         0         0
NIPPON ELEC GLASS               COMMON   6642666            23,436    1,013,000   X                    773,000         0   240,000
NISSAN MOTORS                   COMMON   6642860               384       67,000   X                     67,000         0         0
NOMURA SECURITIES               COMMON   6643108            41,907    1,927,000   X                  1,714,000         0   213,000
OKI ELECTRIC IND JPY50          COMMON   6657682            25,439    3,675,000   X                  2,992,000         0   683,000
</TABLE>


<PAGE>
<TABLE>
<CAPTION>

PORTVUE-SEC13F.LRP                                                                                                        PAGE 31

RUN DATE: 11/03/00 08:25 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                   DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)            (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)       (ITEM 6)    (ITEM 7)       (ITEM 8)
                                                                                  INVESTMENT               VOTING AUTHORITY
                                                                                  DISCRETION                   (SHARES)
                                                                                 -----------------  ------------------------------
             NAME                TITLE                    FAIR      SHARES OR              SHARED
              OF                   OF       CUSIP        MARKET     PRINCIPAL   SOLE SHARED OTHER       SOLE     SHARED     NONE
            ISSUER               CLASS      NUMBER        VALUE       AMOUNT     (A)   (B)   (C) MGR     (A)       (B)       (C)
------------------------------- -------  ---------- -------------- ------------ ----- ----- ----- -- --------- --------- ---------
<S>                             <C>      <C>        <C>            <C>          <C>   <C>   <C>  <C><C>       <C>       <C>
NORTHERN TR CORP COM            COMMON   665859104         101,513    1,142,206   X               38   525,875   133,192   101,545
OMRON CORP                      COMMON   6659428               632       24,000   X                     24,000         0         0
ONO PHARMACEUTICAL              COMMON   6660107            10,601      258,000   X                    200,000         0    58,000
O U B OVERSEAS UN BK            COMMON   6663838            10,714    2,302,000   X                  1,811,000         0   491,000
PIONEER ELEC CORP               COMMON   6688745            65,515    1,609,000   X                  1,396,000         0   213,000
NOVA CORP GA                    COMMON   669784100           3,600      210,195   X                    147,855         0    62,340
NOVARTIS AG - ADR               COMMON   66987V109               2           60   X                         60         0         0
NU HORIZONS ELECTRS CORP        COMMON   669908105           5,563      200,000   X                    142,900         0    57,100
NOVADIGM INC COMMON             COMMON   669937104           4,318      278,900   X                    179,400         0    99,500
NUANCE COMMUNICATIONS IN        COMMON   669967101          39,269      322,700   X                    284,700         0    38,000
NOVELL INC                      COMMON   670006105              29        2,922   X                        359         0     2,563
NOVELLUS SYSTEMS INC            COMMON   670008101          14,974      321,581   X                      7,100         0   314,481
NOVEN PHARMACEUTICALS IN        COMMON   670009109          40,394      944,900   X                    692,600         0   252,300
PROMISE CO (8574)               COMMON   6703295               572        7,400   X                      7,400         0         0
NUMERICAL TECHNOLOGIES I        COMMON   67053T101           1,740       60,400   X                     60,400         0         0
NVIDIA CORP                     COMMON   67066G104           4,470       54,600   X                     48,900         0     5,700
NYCOMED AMERSHAM PLC ADR SPONS  COMMON   67066H102               1           15   X                          0         0        15
OM GROUP INC                    COMMON   670872100             458       10,500   X                     10,500         0         0
OSI PHARMACEUTICALS INC         COMMON   671040103          50,351      719,300   X                    625,100         0    94,200
OYO GEOSPACE CORP               COMMON   671074102           3,955      158,200   X                    111,600         0    46,600
OAK INDUSTRIES 4.875% 3/01/200  CONVERT  671400AL3          34,498    5,335,000   X                  4,924,000         0   411,000
OAK TECHNOLOGY INC              COMMON   671802106           3,624      132,400   X                     98,300         0    34,100
OAKLEY INC                      COMMON   673662102           4,075      232,000   X                    220,000         0    12,000
OBJECTIVE SYS INTEGRATOR        COMMON   674424106           2,926      336,800   X                    323,900         0    12,900
OCCIDENTAL PETE CORP DEL        COMMON   674599105          29,929    1,372,100   X                  1,337,100         0    35,000
OCEAN ENERGY INC.               COMMON   67481E106           8,679      562,200   X                    503,850         0    58,350
OCEANFIRST FINL CORP            COMMON   675234108             496       23,900   X                     23,900         0         0
SOFTBANK CORP                   COMMON   6770620             4,991       53,400   X                     48,700         0     4,700
SAMSUNG ELECTRONICS             COMMON   6771720            59,884      330,594   X                    330,594         0         0
SANYO ELECTRIC CO               COMMON   6776769            53,417    6,076,000   X                  5,337,000         0   739,000
LUKOIL SPONSD ADR               COMMON   677862104          89,209    1,550,886   X               73 1,410,229     3,176    64,059
OJI PAPER CO ADR                COMMON   678123100              12          204   X                         70         0       134
SEVEN ELEVEN JAPAN8183JP        COMMON   6797179               401        6,900   X                      6,900         0         0
SHIN ETSU CHEM CO4063JP         COMMON   6804585               295        7,000   X                      7,000         0         0
SHANGHAI INDUSTRIAL HLDG        COMMON   6810010            14,174    7,319,000   X                  7,319,000         0         0
SINGAPORE AIRLINES LTD          COMMON   6811734            23,599    2,489,000   X                  2,267,000         0   222,000
SODICK CO LTD                   COMMON   6818832               428       66,000   X                          0         0    66,000
OMNICOM GROUP                   COMMON   681919106             208        2,851   X               10     1,403         0     1,438
OMNICOM GROUP INC               CONVERT  681919AG1          21,577   14,045,000   X                 13,012,000         0 1,033,000
1-800 CONTACTS INC              COMMON   681977104             230        4,800   X                          0         0     4,800
OMNIVISION TECHNOLOGIES         COMMON   682128103           3,014       83,300   X                     59,800         0    23,500
OMNISKY CORP                    COMMON   68213L103           3,047      150,000   X                    150,000         0         0
SONY CORP 6758JP                COMMON   6821506            60,358      595,100   X                    529,300         0    65,800
ON ASSIGNMENT INC               COMMON   682159108           7,063      225,100   X                    105,600         0   119,500
</TABLE>


<PAGE>
<TABLE>
<CAPTION>

PORTVUE-SEC13F.LRP                                                                                                        PAGE 32

RUN DATE: 11/03/00 08:25 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                   DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)            (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)       (ITEM 6)    (ITEM 7)       (ITEM 8)
                                                                                  INVESTMENT               VOTING AUTHORITY
                                                                                  DISCRETION                   (SHARES)
                                                                                 -----------------  ------------------------------
             NAME                TITLE                    FAIR      SHARES OR              SHARED
              OF                   OF       CUSIP        MARKET     PRINCIPAL   SOLE SHARED OTHER       SOLE     SHARED     NONE
            ISSUER               CLASS      NUMBER        VALUE       AMOUNT     (A)   (B)   (C) MGR     (A)       (B)       (C)
------------------------------- -------  ---------- -------------- ------------ ----- ----- ----- -- --------- --------- ---------
<S>                             <C>      <C>        <C>            <C>          <C>   <C>   <C>  <C><C>       <C>       <C>
ONI SYSTEMS CORP                COMMON   68273F103          31,979      370,500   X                    320,250         0    50,250
OPTICAL CABLE CORP COM          COMMON   683827109             435       17,850   X                      3,750         0    14,100
OPTIMAL ROBOTICS CORP           COMMON   68388R208          14,442      358,800   X                    256,600         0   102,200
ORACLE SYS CORP                 COMMON   68389X105         361,618    4,591,964   X               C  2,103,486     1,212 2,365,025
ORAPHARMA INC                   COMMON   68554E106           1,341       99,800   X                     71,400         0    28,400
SUMITOMO OSAKA CEMENT CO        COMMON   6858548            19,739    4,627,000   X                  3,729,000         0   898,000
SUMITOMO CHEMICAL CO            COMMON   6858560             2,086      419,000   X                    419,000         0         0
ORIX CORP ADR SPONSORED         COMMON   686330101          11,116      190,837   X               74   102,714     3,143    10,235
TAKEDA CHEMICAL IND4502J        COMMON   6870445             1,189       18,000   X                     18,000         0         0
ORTHODONTIC CTRS AMER IN        COMMON   68750P103           5,587      167,700   X                    161,200         0     6,500
TAISHIN INTL BANK               COMMON   6876001               351      578,900   X                    578,900         0         0
OSCA INC                        COMMON   687836106           1,594       95,900   X                     67,900         0    28,000
OSHKOSH TRUCK CORP              COMMON   688239201           7,316      188,800   X                    188,800         0         0
OSICOM TECHNOLOGIES INC         COMMON   688271501           3,024      122,200   X                    119,900         0     2,300
KOOKMIN BANK                    COMMON   6885881            16,619    1,393,420   X                  1,393,420         0         0
THAI FARMERS BK FOREIGN         COMMON   6888794             8,780   17,230,400   X                 17,230,400         0         0
TAIWAN SEMICONDUCTOR            COMMON   6889106            22,034    6,637,755   X                  6,637,755         0         0
TOKYO ELEC PWR                  COMMON   6895404             1,597       67,800   X                     67,800         0         0
TOKYU CORP                      COMMON   6896548             1,306      253,000   X                    253,000         0         0
TOSHIBA CORP                    COMMON   6897217            65,248    8,095,000   X                  7,192,000         0   903,000
OUTBACK STEAKHOUSE INC          COMMON   689899102             267        9,880   X                      9,701         0       179
TOYOTA MOTOR                    COMMON   6900643               277        7,000   X                          0         0     7,000
TINGY(CAYMAN)HOLDING COR        COMMON   6903556               245    2,326,000   X                  2,326,000         0         0
OVERSEAS SHIPHOLDING GRO        COMMON   690368105           4,317      157,700   X                    136,700         0    21,000
TENAGA NASIONAL BHD             COMMON   6904612            38,167   12,835,000   X                 12,835,000         0         0
OWENS & MINOR INC NEW COM       COMMON   690732102           4,794      304,370   X                    283,970         0    20,400
OXFORD HEALTH PLANS INC         COMMON   691471106          16,000      520,578   X                    295,478         0   225,100
UNITED MICROELECTRONICS         COMMON   6916628            22,722   10,625,000   X                 10,625,000         0         0
USHIO INC                       COMMON   6918981            15,568      722,000   X                    565,000         0   157,000
VENTURE MANUFACTURING           COMMON   6927374            22,560    2,337,000   X                  1,830,000         0   507,000
PC-TEL INC                      COMMON   69325Q105           2,497      107,400   X                     95,200         0    12,200
PECO ENERGY CO                  COMMON   693304107           2,459       40,600   X                     25,900         0    14,700
PE CORP PE BIOSYS GROUP         COMMON   69332S102         239,896    2,059,068   X               A  1,201,341   170,186   198,614
PE CORP COM CLRA GENOMC         COMMON   69332S201          82,462      827,721   X                    646,098         0   181,623
P F CHANGS CHINA BISTRO         COMMON   69333Y108           3,653      105,700   X                    102,700         0     3,000
PMC-SIERRA INC COM              COMMON   69344F106         203,208      944,053   X               C    595,082         0   344,971
PMI GROUP INC                   COMMON   69344M101          33,380      492,700   X                    386,100         0   106,600
PACKARD BIOSCIENCE INC          COMMON   695172205           6,755      346,400   X                    334,700         0    11,700
PAIN THERATEUTICS INC           COMMON   69562K100           3,267      164,900   X                    117,900         0    47,000
PALM INC COM                    COMMON   696642107         192,301    3,632,601   X               A  1,704,388   393,147   406,986
WING TAI HLDGS                  COMMON   6972385               244      274,000   X                    274,000         0         0
CHINA RESOURCES                 COMMON   6972459            17,319   14,520,000   X                 11,365,000         0 3,155,000
PANERA BREAD CO                 COMMON   69840W108           4,567      218,800   X                    172,700         0    46,100
YAMATAKE CORP                   COMMON   6985543               937       83,000   X                          0         0    83,000
</TABLE>


<PAGE>
<TABLE>
<CAPTION>

PORTVUE-SEC13F.LRP                                                                                                        PAGE 33

RUN DATE: 11/03/00 08:25 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                   DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)            (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)       (ITEM 6)    (ITEM 7)       (ITEM 8)
                                                                                  INVESTMENT               VOTING AUTHORITY
                                                                                  DISCRETION                   (SHARES)
                                                                                 -----------------  ------------------------------
             NAME                TITLE                    FAIR      SHARES OR              SHARED
              OF                   OF       CUSIP        MARKET     PRINCIPAL   SOLE SHARED OTHER       SOLE     SHARED     NONE
            ISSUER               CLASS      NUMBER        VALUE       AMOUNT     (A)   (B)   (C) MGR     (A)       (B)       (C)
------------------------------- -------  ---------- -------------- ------------ ----- ----- ----- -- --------- --------- ---------
<S>                             <C>      <C>        <C>            <C>          <C>   <C>   <C>  <C><C>       <C>       <C>
YAMATO TRANSPORT                COMMON   6985565               929       42,000   X                     42,000         0         0
ZHEJIANG EXPRESS-H SHS          COMMON   6990763               814    4,806,000   X                  4,806,000         0         0
PARADYNE NETWORKS INC           COMMON   69911G107              71       13,200   X                          0         0    13,200
PARK PL ENTMT CORP COM          COMMON   700690100           1,461       96,543   X                     96,543         0         0
PARKVALE FINL CORP              COMMON   701492100             228       12,640   X                     12,640         0         0
PATINA OIL & GAS CORP           COMMON   703224105          12,422      621,100   X                    530,100         0    91,000
PATTERSON DENTAL CO             COMMON   703412106           6,453      286,800   X                    282,600         0     4,200
PATTERSON ENERGY INC COM        COMMON   703414102          40,280    1,171,800   X                    852,900         0   318,900
PAXAR CORP                      COMMON   704227107             517       57,840   X                     57,840         0         0
PAYCHEX INC                     COMMON   704326107         137,259    2,614,496   X               C    233,233   287,051 1,266,599
PEARSON PLC SPONSORED ADR       COMMON   705015105              21          785   X               41       390         0       354
PECHINEY ADR SPONSORED          COMMON   705151207          10,852      539,253   X               20   289,909     8,489    38,836
PECO II INC                     COMMON   705221109           9,030      192,900   X                    152,800         0    40,100
PECOM ENERGIA S A ADR SPONS     COMMON   70570522M               3          350   X                        350         0         0
PEGASUS COMMUNICATIONS C        COMMON   705904100          12,334      255,300   X                    223,900         0    31,400
PENTON MEDIA INC                COMMON   709668107          13,302      483,700   X                    285,600         0   198,100
PEPSI BOTTLING GROUP INC        COMMON   713409100           3,698      123,000   X                    123,000         0         0
PEPSICO INC                     COMMON   713448108         103,468    2,249,300   X               C    598,100         0 1,636,700
PERICOM SEMICONDUCTOR CO        COMMON   713831105          41,837    1,113,800   X                    804,800         0   309,000
PERKINELMER INC COM             COMMON   714046109          72,966      699,075   X               38   110,829   134,728    69,114
PERKINELMER INC                 CONVERT  714046AA7          14,795   21,520,000   X                 19,348,000         0 2,172,000
P T TELEKOMUNIKASI INDONESIASP  COMMON   715684106               0           29   X                         29         0         0
PETROCHINA CO LTD SPONSORED AD  COMMON   71646E100           8,623      436,684   X               15   248,018     6,563    31,799
PETROLEO BRASILEIRO SA P        COMMON   71654V408         132,960    4,422,819   X               17 4,098,689     6,452   145,205
PFIZER INC                      COMMON   717081103         331,737    7,382,591   X               C  3,358,071     1,742 3,788,450
PHARMACOPEIA INC COM            COMMON   71713B104           6,542      256,500   X                    182,600         0    73,900
PHARMACIA CORP                  COMMON   71713U102               9          154   X                         37         0       117
PHILIP MORRIS COS INC           COMMON   718154107           1,654       56,200   X                     35,500         0    20,700
PHILLIPS PETROLEUM COMPANY      COMMON   718507106           4,982       79,400   X                     70,800         0     8,600
PHILLIPS VAN HEUSEN CORP        COMMON   718592108             121       11,700   X                     11,700         0         0
PHYSIOMETRIX INC                COMMON   718928104           2,166       97,900   X                     73,800         0    24,100
PHOENIX TECHNOLOGY LTD          COMMON   719153108           6,904      433,200   X                    433,200         0         0
PHONE COM INC COM               COMMON   71920Q100              10           87   X                         87         0         0
PHOTON DYNAMICS INC COM         COMMON   719364101          25,595      678,000   X                    564,400         0   113,600
PHOTRONICS INC                  COMMON   719405102           5,782      265,100   X                    210,700         0    54,400
PIER 1 IMPORTS INC COMMON       COMMON   720279108          28,191    2,078,600   X                  1,884,900         0   193,700
PILOT NETWORK SVCS INC          COMMON   721596104           4,024      387,900   X                    249,100         0   138,800
PINNACLE HLDGS INC              COMMON   72346N101          13,715      515,100   X                    476,300         0    38,800
PIONEER CORP JAPAN ADR SPONSOR  COMMON   723646105          24,933      604,407   X               22   323,675     9,754    43,474
PIONEER STD ELECTRS INC         COMMON   723877106             441       32,500   X                     32,500         0         0
PITNEY BOWES INC                COMMON   724479100               1           20   X                         20         0         0
PIXELWORKS INC COM              COMMON   72581M107          16,061      336,800   X                    326,000         0    10,800
PIVOTAL CORP                    COMMON   72581R106          13,676      260,500   X                    232,900         0    27,600
PLANAR SYS INC                  COMMON   726900103           2,509      134,700   X                    119,500         0    15,200
</TABLE>


<PAGE>
<TABLE>
<CAPTION>

PORTVUE-SEC13F.LRP                                                                                                        PAGE 34

RUN DATE: 11/03/00 08:25 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                   DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)            (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)       (ITEM 6)    (ITEM 7)       (ITEM 8)
                                                                                  INVESTMENT               VOTING AUTHORITY
                                                                                  DISCRETION                   (SHARES)
                                                                                 -----------------  ------------------------------
             NAME                TITLE                    FAIR      SHARES OR              SHARED
              OF                   OF       CUSIP        MARKET     PRINCIPAL   SOLE SHARED OTHER       SOLE     SHARED     NONE
            ISSUER               CLASS      NUMBER        VALUE       AMOUNT     (A)   (B)   (C) MGR     (A)       (B)       (C)
------------------------------- -------  ---------- -------------- ------------ ----- ----- ----- -- --------- --------- ---------
<S>                             <C>      <C>        <C>            <C>          <C>   <C>   <C>  <C><C>       <C>       <C>
PLANTRONICS INC NEW COMMON      COMMON   727493108           6,035      158,800   X                    138,700         0    20,100
PLATO LEARNING INC              COMMON   72764Y100             740       35,900   X                     35,900         0         0
PLAYBOY ENTERPRISES INC         COMMON   728117300           3,468      232,200   X                    216,900         0    15,300
PLEXUS CORP                     COMMON   729132100           7,149      101,400   X                     89,200         0    12,200
POGO PRODUCING CO               COMMON   730448107           3,480      137,150   X                     27,550         0   109,600
POLYCOM INC COM                 COMMON   73172K104          28,991      432,900   X                    336,400         0    96,500
POLYMEDICA CORP                 COMMON   731738100          28,915      674,400   X                    629,900         0    44,500
POMEROY COMPUTER RES            COMMON   731822102           1,977      104,400   X                     51,800         0    52,600
PORTAL SOFTWARE INC COM         COMMON   736126103           4,445      111,115   X                     76,756         0    34,359
PORTUGAL TELECOM S A SPONSORED  COMMON   737273102              25        2,504   X                      1,749         0       755
POWER INTEGRATIONS INC          COMMON   739276103           5,365      384,900   X                    208,000         0   176,900
POWER-ONE INC COM               COMMON   739308104          33,787      558,319   X               32    64,690   112,585    57,063
POWERWAVE TECHNOLOGIES I        COMMON   739363109          18,597      489,800   X                    292,400         0   197,400
POWERTEL INC                    COMMON   73936C109          26,683      350,800   X                    327,300         0    23,500
PRAECIS PHARMACEUTICALS INC CO  COMMON   739421105          15,670      368,700   X                    276,700         0    92,000
PRE PAID LEGAL SVCS INC         COMMON   740065107           1,906       59,000   X                     39,000         0    20,000
PRECISION DRILLING CORP CL A S  COMMON   74022D100          31,242      876,938   X               16   764,476         0   112,302
PRECISION OPTICS INC MAS        COMMON   740294103           1,795      227,900   X                    162,700         0    65,200
PRICE COMMUNICATIONS CORP COM   COMMON   741437305          16,857      861,710   X                    797,692         0    64,018
PRIMACOM AG ADR SPONSORED       COMMON   74154N108               7          523   X                        141         0       382
PRIMA ENERGY CORP               COMMON   741901201           8,792      165,100   X                    145,100         0    20,000
PRIDE INTL INC                  COMMON   741932107          10,894      411,100   X                    352,300         0    58,800
PRIORITY HEALTHCARE CORP CL B   COMMON   74264T102          44,789      587,400   X                    421,800         0   165,600
PROCTER & GAMBLE COMPANY        COMMON   742718109           2,252       33,615   X                     21,915         0    11,700
PROSOFT TRAINING COM COM        COMMON   743477101             499       35,000   X                     10,000         0    25,000
PROTEIN DESIGN LABS INC         COMMON   74369L103          74,975      622,200   X               A    579,900         0    42,300
PROTON ENERGY SYS INC           COMMON   74371K101           2,176       76,000   X                     60,000         0    16,000
PROVIDENT FINL GROUP INC        COMMON   743866105             392       13,350   X                     13,350         0         0
PROVIDIAN FINL CORP COM         COMMON   74406A102          64,766      509,970   X               A    278,725    50,026    31,776
PROXIM INC                      COMMON   744284100           2,652       59,600   X                     59,600         0         0
PSINET INC COM                  COMMON   74437C101               3          318   X                        318         0         0
PSINET INC                      PREFERD  74437C309             699       18,160   X                     18,160         0         0
PSINET INC                      PREFERD  74437C507             827       31,487   X                     31,487         0         0
PSI TECHNOLOGIES HLDGS I        COMMON   74438Q109           2,778      217,900   X                    202,400         0    15,500
PUBLIC SVC ENTERPRISE GR        COMMON   744573106             818       18,300   X                     18,300         0         0
PUBLIC STORAGE INC DEP SH 1/10  COMMON   74460D729               0            1   X                          1         0         0
PUBLICIS GROUPE S A NEW ADR SP  COMMON   74463M106               8          283   X                        216         0        67
PULTE CORP                      COMMON   745867101           9,415      285,300   X                    160,200         0   125,100
PUMA TECHNOLOGY INC             COMMON   745887109          13,004      640,200   X                    594,600         0    45,600
PURCHASEPRO COM                 COMMON   746144104          30,686      349,200   X                    279,000         0    70,200
QLT PHOTOTHERAPEUTICS INC COM   COMMON   746927102             581        8,207   X                        282         0     7,925
QLOGIC CORP COM                 COMMON   747277101          22,584      256,640   X                    192,240         0    64,400
QUAKER OATS CO COM              COMMON   747402105          40,552      512,500   X                    502,000         0    10,500
QUALCOMM INC                    COMMON   747525103           4,692       65,857   X                     65,773         0        84
</TABLE>


<PAGE>
<TABLE>
<CAPTION>

PORTVUE-SEC13F.LRP                                                                                                        PAGE 35

RUN DATE: 11/03/00 08:25 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                  DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)            (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)       (ITEM 6)    (ITEM 7)       (ITEM 8)
                                                                                  INVESTMENT               VOTING AUTHORITY
                                                                                  DISCRETION                   (SHARES)
                                                                                 -----------------  ------------------------------
             NAME                TITLE                    FAIR      SHARES OR              SHARED
              OF                   OF       CUSIP        MARKET     PRINCIPAL   SOLE SHARED OTHER       SOLE     SHARED     NONE
            ISSUER               CLASS      NUMBER        VALUE       AMOUNT     (A)   (B)   (C) MGR     (A)       (B)       (C)
------------------------------- -------  ---------- -------------- ------------ ----- ----- ----- -- --------- --------- ---------
<S>                             <C>      <C>        <C>            <C>          <C>   <C>   <C>  <C><C>       <C>       <C>
QUANEX CORP                     COMMON   747620102             246       12,930   X                     12,930         0         0
QUANTA SVCS INC COM             COMMON   74762E102          21,736      766,697   X               36   194,219   128,929    74,997
QUANTUM CORP                    COMMON   747906204             529       35,130   X                     35,130         0         0
QUEST DIAGNOSTICS INC COM       COMMON   74834L100           7,435       64,800   X                     51,500         0    13,300
QUEST SOFTWARE INC              COMMON   74834T103          37,117      597,600   X                    538,900         0    58,700
QWEST COMMUNICATIONS INTL INCO  COMMON   749121109          69,233    1,440,471   X                  1,248,913         0    20,558
QWEST COMM TRENDS 144A          PREFERD  74912L105          23,045      288,514   X                    272,930         0    15,584
RSA SEC INC                     COMMON   749719100          14,188      329,000   X                    307,100         0    21,900
RMH TELESERVICES INC            COMMON   749938106           3,539      220,300   X                    158,500         0    61,800
RF MICRO DEVICES INC COM        COMMON   749941100           2,527       78,954   X                     78,908         0        46
RADIO ONE INC                   COMMON   75040P405           3,326      470,900   X                    457,200         0    13,700
RADIOSHACK CORP                 COMMON   750438103             155        2,400   X                          0         0     2,400
RADISYS CORP COMMON             COMMON   750459109             652       12,900   X                      2,850         0    10,050
RADYNE COMSTREAM INC            COMMON   750611402           2,628      336,400   X                    205,700         0   130,700
RAINBOW TECHNOLOGIES INC        COMMON   750862104           2,798       79,100   X                     63,400         0    15,700
RALCORP HLDGS INC NEW           COMMON   751028101             655       46,400   X                     46,400         0         0
RATIONAL SOFTWARE CORP COM NEW  COMMON   75409P202           7,863      113,336   X                     75,736         0    37,600
RATIONAL SOFTWARE 144A          CONVERT  75409PAA1          29,696   14,294,000   X                 13,447,000         0   847,000
RATIONAL SOFTWARE CORP          CONVERT  75409PAC7           4,467    2,150,000   X                  1,845,000         0   305,000
READ-RITE CORP                  COMMON   755246105           4,493      399,400   X                    285,200         0   114,200
READERS DIGEST ASSN INC CL A N  COMMON   755267101               6          158   X                        158         0         0
REALNETWORKS INC COM            COMMON   75605L104              55        1,396   X                      1,143         0       253
REDBACK NETWORKS INC COM        COMMON   757209101         183,368    1,118,093   X               A    620,202    99,770   112,309
REDBACK NETWORKS INC            CONVERT  757209AB7          25,369   22,651,000   X                 20,861,000         0 1,790,000
REEBOK INTERNATIONAL LTD        COMMON   758110100             480       25,500   X                      6,900         0    18,600
REED INTL PLC ADR SPONS NEW     COMMON   758212872               0            4   X                          4         0         0
REGENT COMMUNICATIONS IN        COMMON   758865109           1,761      316,500   X                    224,700         0    91,800
REGENERON PHARMACEUTICAL        COMMON   75886F107          10,417      319,300   X                    275,900         0    43,400
REHABCARE GROUP INC             COMMON   759148109          11,628      273,600   X                    238,700         0    34,900
REINSURANCE GROUP AMER I        COMMON   759351109             587       17,140   X                     17,140         0         0
RELIANCE IND GDR 144A           COMMON   759470107           8,491      543,400   X                    543,400         0         0
RELIANT ENERGY INC              COMMON   75952J108          33,294      716,000   X                    705,300         0    10,700
REMEC INC                       COMMON   759543101          21,486      729,900   X                    610,050         0   119,850
REMEDY CORP                     COMMON   759548100           1,955      103,600   X                     92,000         0    11,600
RENT A CTR INC NEW              COMMON   76009N100          10,413      300,200   X                    233,800         0    66,400
REPSOL ADS SPONSORED ADR        COMMON   76026T205               7          338   X                        338         0         0
RESONATE INC                    COMMON   76115Q104           2,026       51,300   X                      6,300         0    45,000
RETEK INC                       COMMON   76128Q109           4,049       76,400   X                     17,300         0    59,100
REUTERS GROUP PLC-SPONS ADR     COMMON   76132M102          36,406      323,981   X               16   284,307         0    39,510
REYNOLDS & REYNOLDS CO          COMMON   761695105           5,704      287,000   X                    248,700         0    38,300
RHODIA ADR SPONSORED            COMMON   762397107              16        1,425   X                        934        69       422
RICHARDSON ELECTRS LTD          COMMON   763165107             526       31,400   X                     26,400         0     5,000
RIO TINTO PLC ADR SPONSORED     COMMON   767204100              95        1,600   X                      1,600         0         0
ROBERT HALF INTL INC            COMMON   770323103          56,009    1,614,700   X                    930,800         0   683,900
</TABLE>


<PAGE>
<TABLE>
<CAPTION>

PORTVUE-SEC13F.LRP                                                                                                        PAGE 36

RUN DATE: 11/03/00 08:25 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                   DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)            (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)       (ITEM 6)    (ITEM 7)       (ITEM 8)
                                                                                  INVESTMENT               VOTING AUTHORITY
                                                                                  DISCRETION                   (SHARES)
                                                                                 -----------------  ------------------------------
             NAME                TITLE                    FAIR      SHARES OR              SHARED
              OF                   OF       CUSIP        MARKET     PRINCIPAL   SOLE SHARED OTHER       SOLE     SHARED     NONE
            ISSUER               CLASS      NUMBER        VALUE       AMOUNT     (A)   (B)   (C) MGR     (A)       (B)       (C)
------------------------------- -------  ---------- -------------- ------------ ----- ----- ----- -- --------- --------- ---------
<S>                             <C>      <C>        <C>            <C>          <C>   <C>   <C>  <C><C>       <C>       <C>
ROBINSON NUGENT INC COM         COMMON   770810109              17        1,000   X                      1,000         0         0
ROCHE HLDGS/ GENENTECH          CONVERT  771196AG7          32,543   34,076,000   X                 32,231,000         0 1,845,000
ROCKWELL INTL CORP NEW COM      COMMON   773903109              10          335   X                        305         0        30
ROGERS CORP                     COMMON   775133101           1,916       60,600   X                          0         0    60,600
ROLLS-ROYCE PLC SPONSORED ADR   COMMON   775781206              22        1,803   X               80       548         0       452
ROSETTA INPHARMATICS INC        COMMON   777777103           2,532       90,800   X                     64,800         0    26,000
ROSS STORES INC                 COMMON   778296103              18        1,260   X                      1,260         0         0
ROWAN COS INC COM               COMMON   779382100         140,696    4,851,564   X               A  2,536,703   477,862   472,555
ROYAL PTT NEDERLAND N V SPONSO  COMMON   780641205              15          718   X                        500         0       218
RURAL CELLULAR CORP CL A        COMMON   781904107           1,152       16,900   X                      3,500         0    13,400
SBC COMMUNICATIONS INC COMMON   COMMON   78387G103          27,923      558,469   X                    531,518         0    26,951
SBA COMMUNICATIONS CORP CL A    COMMON   78388J106             302        7,200   X                      1,500         0     5,700
SCP POOL CORP                   COMMON   784028102          11,224      378,875   X                    302,575         0    76,300
SDL INC COMMON                  COMMON   784076101         329,060    1,063,848   X               C    597,896    44,121   292,154
SEI INVESTMENTS CO              COMMON   784117103          19,633      277,500   X                    274,800         0     2,700
SOUTHERN ENERGY                 PREFERD  78411Y104          23,940      360,000   X                    326,985         0    33,015
SK TELECOM LTD                  COMMON   78440P108           3,234      126,190   X                    126,190         0         0
SPS TECHNOLOGIES INC            COMMON   784626103             613       12,630   X                     12,630         0         0
S1 CORPORATION                  COMMON   78463B101           3,900      326,700   X                    232,800         0    93,900
SSI LTD GDR 144A                COMMON   784663106             522       90,000   X                     90,000         0         0
S3 INC                          COMMON   784849101           4,791      464,600   X                    332,200         0   132,400
SABA SOFTWARE INC               COMMON   784932105           4,057      144,900   X                    140,900         0     4,000
SABRE HLDGS CORP CL A           COMMON   785905100               1           32   X                          0         0        32
SAFEGUARD SCIENTIFICS INC.      COMMON   786449108              18          887   X                        702         0       185
SAFEWAY INC NEW                 COMMON   786514208             853       18,272   X                     18,183         0        89
SAN PAOLO-MII S P A             COMMON   799175104          18,809      577,654   X               21   322,702     9,274    34,275
SANDISK CORP                    COMMON   80004C101           1,836       27,500   X                     19,900         0     7,600
SANGAMO BIOSCIENCES INC         COMMON   800677106           5,840      150,700   X                    110,700         0    40,000
SANMINA CORP COMMON             COMMON   800907107         143,493    1,532,626   X               A    826,835   145,232   142,333
SANMINA CORP 4.250% 05/01/04    CONVERT  800907AB3          27,605   12,235,000   X                 11,197,000         0 1,038,000
SANWA BK LTD JAPAN ADR          COMMON   803030204               4           48   X                         18         0        30
SAP AKTIENGESELLSCHAFT          COMMON   803054204           2,417       39,317   X                     38,873         0       444
SAPIENT CORP COM                COMMON   803062108              54        1,324   X                      1,208         0       116
SATCON TECHNOLOGY CORP          COMMON   803893106           5,731      160,300   X                    136,300         0    24,000
SATYAM INFOWAY LTD ADR SPONSOR  COMMON   804099109               2          156   X                        156         0         0
SCANSOURCE INC                  COMMON   806037107          10,515      197,000   X                    156,300         0    40,700
SCHERING PLOUGH CORP            COMMON   806605101           3,433       73,815   X                     73,815         0         0
SCHLUMBERGER LTD                COMMON   806857108          10,867      132,012   X               53    68,614     2,172     7,320
SCHOLASTIC CORP                 COMMON   807066105           3,190       40,100   X                     28,100         0    12,000
SCHOOL SPECIALTY INC            COMMON   807863105           3,557      166,900   X                    127,500         0    39,400
SCHWAB CHARLES CORP NEW         COMMON   808513105               7          204   X                          0         0       204
SCIENTIFIC ATLANTA INC          COMMON   808655104          93,023    1,462,061   X               28   664,867    98,844   416,396
SCIENTIFIC LEARNING CORP        COMMON   808760102             463       85,200   X                     59,500         0    25,700
SCOTT TECHNOLOGIES INC          COMMON   810022301             307       17,300   X                     13,800         0     3,500
</TABLE>


<PAGE>
<TABLE>
<CAPTION>

PORTVUE-SEC13F.LRP                                                                                                        PAGE 37

RUN DATE: 11/03/00 08:25 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                   DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)            (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)       (ITEM 6)    (ITEM 7)       (ITEM 8)
                                                                                  INVESTMENT               VOTING AUTHORITY
                                                                                  DISCRETION                   (SHARES)
                                                                                 -----------------  ------------------------------
             NAME                TITLE                    FAIR      SHARES OR              SHARED
              OF                   OF       CUSIP        MARKET     PRINCIPAL   SOLE SHARED OTHER       SOLE     SHARED     NONE
            ISSUER               CLASS      NUMBER        VALUE       AMOUNT     (A)   (B)   (C) MGR     (A)       (B)       (C)
------------------------------- -------  ---------- -------------- ------------ ----- ----- ----- -- --------- --------- ---------
<S>                             <C>      <C>        <C>            <C>          <C>   <C>   <C>  <C><C>       <C>       <C>
SEACHANGE INTL INC              COMMON   811699107           9,253      277,250   X                    234,600         0    42,650
SEALED AIR CORP NEW COM         COMMON   81211K100               4           95   X                         95         0         0
SEALED AIR CORP NEW PFD CONV A  PREFERD  81211K209          19,860      441,326   X                    409,938         0    31,388
SEARS ROEBUCK & CO              COMMON   812387108           2,762       85,200   X                     55,000         0    30,200
SECURE COMPUTING CORP           COMMON   813705100          18,017      691,300   X                    613,400         0    77,900
SEITEL INC                      COMMON   816074306           2,498      173,800   X                    154,600         0    19,200
SEMTECH CORP COM                COMMON   816850101          99,557    2,406,200   X                  1,961,200         0   445,000
SEMITOOL INC                    COMMON   816909105           5,272      411,500   X                    228,000         0   183,500
SEPRACOR INC COMMON             COMMON   817315104         151,939    1,238,422   X               A    768,437    75,573   175,506
SERENA SOFTWARE INC             COMMON   817492101          42,622      925,300   X                    747,300         0   178,000
SERONO S A SPONSORED ADR        COMMON   81752M101          81,794    2,703,924   X               23 2,173,632    10,111   134,661
SEVEN ELEVEN JAPAN CO ADR       COMMON   817828205              17          302   X                        234         0        68
SHARPER IMAGE CORP              COMMON   820013100           2,490      141,300   X                    106,400         0    34,900
SHAW GROUP INC COM              COMMON   820280105             846       12,000   X                      3,500         0     8,500
SHAW INDS INC                   COMMON   820286102               1           68   X                          0         0        68
SHELL TRANS & TRADING LTD       COMMON   822703609               6          126   X                         49         0        77
SHIRE PHARMACEUTICALS GROUP AD  COMMON   82481R106          10,067      195,014   X                    167,507         0    27,507
SHURGARD STORAGE CTRS IN        COMMON   82567D104             267       11,820   X                     11,820         0         0
SIEBEL SYSTEMS INC              COMMON   826170102         277,029    2,488,757   X               43 1,875,849     1,489   504,043
SIEBEL SYSTEMS 5.500% 09/15/06  CONVERT  826170AC6          41,189    8,521,000   X                  7,883,000         0   638,000
SIEMENS A G ADR NEW             COMMON   826197402               8           62   X                         45         0        17
SIERRA PAC RES NEW              COMMON   826428104             564       31,360   X                     31,360         0         0
SIERRA WIRELESS INC             COMMON   826516106           6,501      105,700   X                    105,700         0         0
SIGNALSOFT CORP                 COMMON   82668M102           4,412      108,600   X                     85,500         0    23,100
SILICON STORAGE TECHNOLO        COMMON   827057100           8,420      309,700   X                    118,900         0   190,800
SILICON VY BANCSHARES           COMMON   827064106          63,176    1,084,850   X                    929,900         0   154,950
SILVERSTREAM SOFTWARE IN        COMMON   827907106           2,157       71,600   X                     49,600         0    22,000
SIME DARBY BERHAD ADR           COMMON   828617209               4        3,707   X                      2,489         0     1,218
SIMPSON MANUFACTURING CO        COMMON   829073105           4,268       95,500   X                     73,200         0    22,300
SIRIUS SATELLITE RADIO I        COMMON   82966U103          15,069      285,000   X                    274,700         0    10,300
SKECHERS U S A INC              COMMON   830566105           3,194      211,200   X                    211,200         0         0
SKILLSOFT CORP                  COMMON   83066P101           1,211       65,900   X                     47,400         0    18,500
SKYWEST INC                     COMMON   830879102          32,942      642,767   X                    431,300         0   211,467
SMARTDISK CORP                  COMMON   83169Q105           1,486      103,400   X                     73,200         0    30,200
SMARTFORCE PUB LTD CO           COMMON   83170A206           9,099      192,064   X                    123,764         0    68,300
SMITH INTL INC                  COMMON   832110100          94,474    1,158,300   X               A  1,046,100         0   112,200
SMITHFIELD FOODS                COMMON   832248108              25          937   X                          0         0       937
SMTC CORP                       COMMON   832682108           1,825       84,900   X                     48,400         0    36,500
SMURFIT-STONE CONTAINER CORPCO  COMMON   832727101              20        1,691   X                      1,564         0       127
SOFTWARE COM INC                COMMON   83402P104          17,908       98,700   X                     98,000         0       700
SOLECTRON CORP COMMON           COMMON   834182107              95        2,070   X                      1,836         0       234
SOLECTRON CORP                  CONVERT  834182AJ6           3,338    5,000,000   X                  5,000,000         0         0
SOLECTRON                       CONVERT  834182AK3          50,453   75,023,000   X                 71,618,000         0 3,405,000
SONERA CORP - SPON ADR          COMMON   835433202               6          268   X                        197         0        71
</TABLE>


<PAGE>
<TABLE>
<CAPTION>

PORTVUE-SEC13F.LRP                                                                                                        PAGE 38

RUN DATE: 11/03/00 08:25 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                  DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)            (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)       (ITEM 6)    (ITEM 7)       (ITEM 8)
                                                                                  INVESTMENT               VOTING AUTHORITY
                                                                                  DISCRETION                   (SHARES)
                                                                                 -----------------  ------------------------------
             NAME                TITLE                    FAIR      SHARES OR              SHARED
              OF                   OF       CUSIP        MARKET     PRINCIPAL   SOLE SHARED OTHER       SOLE     SHARED     NONE
            ISSUER               CLASS      NUMBER        VALUE       AMOUNT     (A)   (B)   (C) MGR     (A)       (B)       (C)
------------------------------- -------  ---------- -------------- ------------ ----- ----- ----- -- --------- --------- ---------
<S>                             <C>      <C>        <C>            <C>          <C>   <C>   <C>  <C><C>       <C>       <C>
SONIC CORP                      COMMON   835451105             318       10,100   X                      2,400         0     7,700
SONIC AUTOMOTIVE INC            COMMON   83545G102           3,598      432,900   X                    286,800         0   146,100
SONICWALL INC                   COMMON   835470105          12,016      421,600   X                    364,600         0    57,000
SONY CORP 6758JP                COMMON   835699307          30,735      304,476   X               64   201,127     2,625    36,378
SOTHEBYS HLDGS INC              COMMON   835898107           1,545       62,100   X                     36,300         0    25,800
SOUTHDOWN INC                   COMMON   841297104              31          434   X                          0         0       434
SOUTHERN ENERGY INC DEL         COMMON   842816100          41,352    1,318,000   X               A  1,155,700         0   162,300
SOUTHWEST BANCORPORATION TEXCO  COMMON   84476R109             458       14,000   X                      2,700         0    11,300
SPECTRALINK CORP                COMMON   847580107           2,918      309,219   X                    207,619         0   101,600
SPEECHWORKS INTL INC            COMMON   84764M101           2,492       40,200   X                     40,200         0         0
SPLASH TECHNOLOGY HLDGS         COMMON   848623104             413       44,600   X                     44,600         0         0
SPORTSLINE COM INC              COMMON   848934105           2,064      149,400   X                    118,100         0    31,300
SPRINT CORP                     COMMON   852061100             877       29,945   X                     19,300         0    10,645
SPRINT CORP PCS COM SER 1       COMMON   852061506           9,107      259,731   X                      5,913         0   253,818
STANCORP FINL GROUP INC         COMMON   852891100           4,690      109,700   X                     81,800         0    27,900
STANDARD MICROSYSTEMS CO        COMMON   853626109           2,929      134,300   X                     98,400         0    35,900
STANDARD PAC CORP NEW           COMMON   85375C101           3,514      195,200   X                    188,600         0     6,600
STANFORD MICRODEVICES IN        COMMON   854399102          10,326      193,000   X                    131,400         0    61,600
STARBUCKS CORP                  COMMON   855244109          46,132    1,151,500   X                  1,057,000         0    94,500
STARTEK INC                     COMMON   85569C107           1,418       48,900   X                     48,900         0         0
STATE STR CORP                  COMMON   857477103          14,625      112,500   X                    112,100         0       400
STEWART & STEVENSON SVCS        COMMON   860342104             333       19,100   X                     19,100         0         0
STILWELL FINL INC COM           COMMON   860831106          48,246    1,109,065   X               63   148,066   223,324    99,510
STMICROELECTRONICS N V SHS-N Y  COMMON   861012102          59,331    1,245,465   X               45 1,052,201     1,909   145,366
STMICROELECTRONICS N V 0.000%   CONVERT  861012AB8           4,497    3,319,000   X                  3,135,000         0   184,000
STONE ENERGY CORP               COMMON   861642106          20,757      377,400   X                    307,100         0    70,300
STORAGENETWORKS INC OC-COM      COMMON   86211E103          73,918      723,362   X               20   367,045    72,040    78,929
SUIZA FOODS CORP                COMMON   865077101           9,610      189,600   X                    159,700         0    29,900
SUMITOMO BK LTD JAPAN ADR       COMMON   865601207               7           59   X                          0         0        59
SUMMIT PPTYS INC                COMMON   866239106             395       16,410   X                     16,410         0         0
SUN MICROSYSTEMS INC            COMMON   866810104         332,235    2,845,697   X               C  1,493,179     1,020 1,268,367
SUNGARD DATA SYS INC            COMMON   867363103               0            6   X                          0         0         6
SUNGLASS HUT INTL INC           COMMON   86736F106           1,666      255,040   X                    208,640         0    46,400
SUPERCONDUCTOR TECHNOLOG        COMMON   867931107           1,550       85,800   X                     61,800         0    24,000
SUPPORT COM INC                 COMMON   868587106           5,399      176,300   X                    126,400         0    49,900
SURGUTNEFTEGAS JSC              COMMON   868861204          26,324    1,799,900   X                  1,799,900         0         0
SURMODICS INC                   COMMON   868873100           2,239       40,900   X                     27,800         0    13,100
SWIFT ENERGY CO                 COMMON   870738101          19,967      480,410   X                    367,610         0   112,800
SWIFT TRANSN CO                 COMMON   870756103           1,509      115,525   X                     36,250         0    79,275
SYBASE INC                      COMMON   871130100          20,491      890,900   X                    815,000         0    75,900
SYCAMORE NETWORKS INC           COMMON   871206108           7,096       65,700   X                     64,853         0       847
SYMANTEC CORP                   COMMON   871503108          44,125    1,002,836   X                    736,332         0   266,504
SYMIX SYS INC                   COMMON   871535100             432       78,100   X                     44,600         0    33,500
SYMMETRICOM INC                 COMMON   871543104           6,355      406,750   X                    392,350         0    14,400
</TABLE>


<PAGE>
<TABLE>
<CAPTION>

PORTVUE-SEC13F.LRP                                                                                                        PAGE 39

RUN DATE: 11/03/00 08:25 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                   DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)            (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)       (ITEM 6)    (ITEM 7)       (ITEM 8)
                                                                                  INVESTMENT               VOTING AUTHORITY
                                                                                  DISCRETION                   (SHARES)
                                                                                 -----------------  ------------------------------
             NAME                TITLE                    FAIR      SHARES OR              SHARED
              OF                   OF       CUSIP        MARKET     PRINCIPAL   SOLE SHARED OTHER       SOLE     SHARED     NONE
            ISSUER               CLASS      NUMBER        VALUE       AMOUNT     (A)   (B)   (C) MGR     (A)       (B)       (C)
------------------------------- -------  ---------- -------------- ------------ ----- ----- ----- -- --------- --------- ---------
<S>                             <C>      <C>        <C>            <C>          <C>   <C>   <C>  <C><C>       <C>       <C>
SYNCOR INTL CORP DEL            COMMON   87157J106             773       21,000   X                     21,000         0         0
SYNOPSYS INC                    COMMON   871607107              15          390   X                        390         0         0
SYNTELLECT INC                  COMMON   87161L105           1,433      159,800   X                    159,800         0         0
SYSCO CORPORATION               COMMON   871829107          52,625    1,136,299   X               A  1,103,377         0    20,522
TCF FINL CORP                   COMMON   872275102           2,999       79,700   X                     79,700         0         0
TDK CORP                        COMMON   872351408             134        1,040   X                         41       960        39
TJX COMPANIES INC (NEW)         COMMON   872540109             192        8,531   X               0      4,630       124     3,777
T / R SYS INC                   COMMON   87263U102           1,034      116,500   X                     83,700         0    32,800
TRW INC                         COMMON   872649108           1,361       33,500   X                     21,300         0    12,200
TMP WORLDWIDE INC COM           COMMON   872941109          78,609      976,500   X                    493,200         0   483,300
TTM TECHNOLOGIES  INC           COMMON   87305R109           4,113      175,000   X                    133,500         0    41,500
TVIA INC                        COMMON   87307P101           5,015      279,600   X                    229,800         0    49,800
TAIWAN SEMICONDUCTOR MFG CO AD  COMMON   874039100          33,115    1,625,280   X                  1,625,050         0       230
TAIYO YUDEN LTD ADR             COMMON   874047202              11           54   X                         33         0        21
TALARIAN CORP                   COMMON   874090103           1,053       54,900   X                     39,200         0    15,700
TALBOTS INC COM                 COMMON   874161102          12,475      188,300   X                     54,600         0   133,700
TARGET CORP                     COMMON   87612E106               5          176   X                        176         0         0
TAUBMAN CTRS INC                COMMON   876664103             319       27,610   X                     27,610         0         0
TECH SQUARED INC ESCROW         COMMON   878302991               0      293,500   X                    213,900         0    79,600
TECHNE CORP                     COMMON   878377100          19,678      175,700   X                    148,800         0    26,900
TECHNITROL INC COM              COMMON   878555101          41,794      413,800   X                    320,900         0    92,900
TEKTRONIX INC                   COMMON   879131100          55,697      725,097   X               42    81,430   148,073    72,714
TELE CELULAR SUL PART S         COMMON   879238103           6,585      219,500   X                    219,500         0         0
TELE CENTRO OESTE CELULA        COMMON   87923P105             937       88,200   X                     88,200         0         0
TELE DANMARK A/S SPONS ADR CL   COMMON   879242105              22          770   X                        598         0       172
TELE NORTE LESTE PARTICIPACOAD  COMMON   879246106          37,491    1,638,963   X                  1,544,038         0    94,925
TELE SUDESTE CELULAR PARTICIAD  COMMON   879252104               0            8   X                          8         0         0
TELECOM ITALIA SPA-SP ADR       COMMON   87927W106              16          153   X                        113         0        40
TELECOMUNICACOES BRASILE        COMMON   879287308           6,979       88,200   X                     81,430         0     6,770
TELECOMMUNICATION SYS IN        COMMON   87929J103           1,920      100,400   X                      7,000         0    93,400
TELEDYNE TECHNOLOGIES IN        COMMON   879360105           8,440      289,800   X                    164,300         0   125,500
TELEFONICA DE ESPANA SA ADR     COMMON   879382208              26          440   X                        276         0       164
TELEFONOS DE MEXICO S A         COMMON   879403780          79,403    1,492,884   X               36 1,467,707     1,670    23,471
TELESP CELULAR PARTICIPACOESAD  COMMON   87952L108           4,222      128,204   X                    128,095         0       109
TELESP CELULAR PARTICIPACOESRT  WARRANT  87952L116               0            1   X                          0         0         1
TELLABS INC                     COMMON   879664100             311        6,496   X                      6,442         0        54
TELETECH HOLDINGS INC           COMMON   879939106          14,758      596,300   X                    449,300         0   147,000
TEMPLETON GLOBAL INCOME FD      COMMON   880198106               2          300   X                        300         0         0
TEMPLETON GROWTH FD INC CL I    MUTUAL   880199104               0            3   X                          0         0         3
TENET HEALTHCARE CORP           COMMON   88033G100          58,230    1,598,614   X               73   452,058   256,868   155,416
TERADYNE INC                    COMMON   880770102             724       20,663   X                     17,359         0     3,304
TERAYON COMMUN 144A             CONVERT  880775AA9           1,847    2,331,000   X                  2,331,000         0         0
TESCO PLC ADR SPONSORED         COMMON   881575302          16,304    1,479,504   X               53   828,111    24,771    92,207
TEVA PHARMACEUTICAL INDS ADR    COMMON   881624209         165,386    2,259,761   X               12 1,969,128     4,882   162,356
</TABLE>


<PAGE>
<TABLE>
<CAPTION>

PORTVUE-SEC13F.LRP                                                                                                        PAGE 40

RUN DATE: 11/03/00 08:25 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                   DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)            (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)       (ITEM 6)    (ITEM 7)       (ITEM 8)
                                                                                  INVESTMENT               VOTING AUTHORITY
                                                                                  DISCRETION                   (SHARES)
                                                                                 -----------------  ------------------------------
             NAME                TITLE                    FAIR      SHARES OR              SHARED
              OF                   OF       CUSIP        MARKET     PRINCIPAL   SOLE SHARED OTHER       SOLE     SHARED     NONE
            ISSUER               CLASS      NUMBER        VALUE       AMOUNT     (A)   (B)   (C) MGR     (A)       (B)       (C)
------------------------------- -------  ---------- -------------- ------------ ----- ----- ----- -- --------- --------- ---------
<S>                             <C>      <C>        <C>            <C>          <C>   <C>   <C>  <C><C>       <C>       <C>
TETRA TECHNOLOGIES INC D        COMMON   88162F105             478       31,500   X                     31,500         0         0
TEXACO INC                      COMMON   881694103               1           20   X                          0         0        20
TEXAS BIOTECHNOLOGY CORP        COMMON   88221T104           1,920      120,000   X                     61,400         0    58,600
TEXAS INSTRUMENTS INC           COMMON   882508104             158        3,347   X                      3,121         0       226
TEXTRON INC                     COMMON   883203101           1,220       26,438   X                     16,918         0     9,520
THERMA-WAVE INC                 COMMON   88343A108           3,470      120,700   X                    120,700         0         0
THERMO ELECTRON CORP            COMMON   883556102           1,724       66,300   X                     66,300         0         0
3-D SYS CORP DEL                COMMON   88554D205           1,314       70,100   X                     70,100         0         0
THREE FIVE SYS INC              COMMON   88554L108           1,169       39,949   X                     13,249         0    26,700
TIBCO SOFTWARE INC COM          COMMON   88632Q103         123,733    1,465,392   X               A    811,309   134,515   132,778
TIDEWATER INC                   COMMON   886423102             196        4,299   X                      2,569         0     1,730
TIFFANY & CO NEW COM            COMMON   886547108          55,301    1,434,091   X               64   406,256   223,773   162,397
TIMBERLAND CO CL A              COMMON   887100105          48,678    1,187,260   X                    853,560         0   333,700
TIME WARNER INC                 COMMON   887315109              11          141   X                         26         0       115
TIME WARNER TELECOM INC CL A    COMMON   887319101          33,203      687,250   X                    494,850         0   192,400
TITAN PHARMACEUTICALS IN        COMMON   888314101          53,684      825,900   X                    683,800         0   142,100
TNT POST GROEP N V ADR SPONSOR  COMMON   888742103               5          175   X                         50         0       125
TOLL BROTHERS INC               COMMON   889478103           2,069       60,200   X                     57,400         0     2,800
TOLLGRADE COMMUNICATIONS INCCO  COMMON   889542106          80,387      579,100   X                    457,500         0   121,600
TOMRA SYS A/S ADR               COMMON   889905204          21,056      640,414   X               24   342,763    10,256    45,028
TOO INC COM                     COMMON   890333107           7,521      316,700   X                    232,100         0    84,600
TOPPS INC                       COMMON   890786106           3,500      381,000   X                    381,000         0         0
TORO CO                         COMMON   891092108             398       12,630   X                     12,630         0         0
TOSCO CORP COM NEW              COMMON   891490302              82        2,622   X                        623         0     1,999
TOTAL S A SPONSORED ADR         COMMON   89151E109          12,398      168,820   X               63    90,338     2,728    11,814
TOYOTA MTR LTD ADR NEW          COMMON   892331307               7           89   X                         82         0         7
TRANSACTION SYS ARCHITEC        COMMON   893416107           2,615      160,900   X                    117,300         0    43,600
TRANSGENOMIC INC                COMMON   89365K206           2,192       96,600   X                     69,700         0    26,900
TRANSOCEAN SEDCO                CONVERT  893830AA7          18,652   29,547,000   X                 27,198,000         0 2,349,000
TRANSWITCH CORP COMMON          COMMON   894065101          99,080    1,554,194   X               A  1,372,294         0   181,900
TRANSWITCH CORP 144A            CONVERT  894065AA9          13,585   11,000,000   X                 10,285,000         0   715,000
TRIAD HOSPITALS INC             COMMON   89579K109          16,453      560,100   X                    388,600         0   171,500
TRIARC CONS/BEVERAGE            CONVERT  89589TAC2          11,003    9,890,000   X                  9,340,000         0   550,000
TRIAD GTY INC                   COMMON   895925105             812       27,300   X                     27,300         0         0
TRIBUNE CO                      COMMON   896047107              86        1,967   X                      1,818         0       149
TRICO MARINE SERVICES IN        COMMON   896106101           4,272      269,100   X                    259,100         0    10,000
TRICORD SYSTEMS INC             COMMON   896121100           3,412      228,400   X                    163,300         0    65,100
TRICOM SA                       COMMON   89612A100          17,112    1,122,100   X                  1,122,100         0         0
TRIKON TECHNOLOGIES INC         COMMON   896187408           5,249      371,600   X                    284,800         0    86,800
TRIGON HEALTHCARE INC           COMMON   89618L100          13,761      261,800   X                    187,200         0    74,600
TRIMBLE NAVIGATION LTD          COMMON   896239100           6,167      275,600   X                    266,700         0     8,900
TRIMERIS INC                    COMMON   896263100          19,645      280,900   X                    214,400         0    66,500
TRIQUINT SEMICONDUCTOR I        COMMON   89674K103           5,888      161,600   X                    161,600         0         0
TRITON NETWORK SYS INC          COMMON   896775103             921       70,200   X                     70,200         0         0
</TABLE>


<PAGE>
<TABLE>
<CAPTION>

PORTVUE-SEC13F.LRP                                                                                                        PAGE 41

RUN DATE: 11/03/00 08:25 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                   DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)            (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)       (ITEM 6)    (ITEM 7)       (ITEM 8)
                                                                                  INVESTMENT               VOTING AUTHORITY
                                                                                  DISCRETION                   (SHARES)
                                                                                 -----------------  ------------------------------
             NAME                TITLE                    FAIR      SHARES OR              SHARED
              OF                   OF       CUSIP        MARKET     PRINCIPAL   SOLE SHARED OTHER       SOLE     SHARED     NONE
            ISSUER               CLASS      NUMBER        VALUE       AMOUNT     (A)   (B)   (C) MGR     (A)       (B)       (C)
------------------------------- -------  ---------- -------------- ------------ ----- ----- ----- -- --------- --------- ---------
<S>                             <C>      <C>        <C>            <C>          <C>   <C>   <C>  <C><C>       <C>       <C>
TUBOS DE ACERO DE MEXICO        COMMON   898592506             704       42,000   X                     42,000         0         0
TULARIK INC                     COMMON   899165104             404       12,248   X                     12,248         0         0
TURNSTONE SYSTEMS INC           COMMON   900423104          42,980      926,800   X                    796,900         0   129,900
TUT SYSTEMS                     COMMON   901103101          44,891      520,100   X                    403,500         0   116,600
TV AZTECA S A DE C V            COMMON   901145102          41,973    3,260,000   X                  3,260,000         0         0
TWEETER HOME ENT                COMMON   901167106          16,657      458,700   X                    342,600         0   116,100
II VI INC                       COMMON   902104108           7,678      411,200   X                    282,000         0   129,200
TYCO INTL LTD NEW COM           COMMON   902124106              14          274   X               11       130         0        33
UGI CORP NEW                    COMMON   902681105             546       22,500   X                     22,500         0         0
USX MARATHON GROUP              COMMON   902905827           3,121      110,000   X                     71,300         0    38,700
US BANCORP DEL                  COMMON   902973106           1,836       80,700   X                     52,500         0    28,200
UTI ENERGY CORP COM             COMMON   903387108          55,730    1,248,850   X                  1,080,850         0   168,000
ULTICOM INC                     COMMON   903844108           4,161       88,300   X                     88,300         0         0
ULTIMATE ELECTRS INC            COMMON   903849107           2,986       72,600   X                     66,900         0     5,700
USA ED INC COM                  COMMON   90390U102              59        1,225   X                          0         0     1,225
ULTRAMAR DIAMOND SHAMROC        COMMON   904000106           3,352      132,100   X                    132,100         0         0
ULTRAPAR PARTICIPACOES S A ADR  COMMON   90400P101               2          200   X                          0         0       200
UNIBANCO-UNIAO DE BANCOS        COMMON   90458E107          19,526      591,700   X                    591,700         0         0
UNILEVER PLC ADR SPON NEW       COMMON   904767704               2           50   X                         50         0         0
UNILEVER N V NEW YORK SHS N     COMMON   904784709               1           15   X                         15         0         0
UNICOM CORP                     COMMON   904911104           2,557       45,500   X                     29,700         0    15,800
UNION CARBIDE CORP              COMMON   905581104               8          221   X                        219         0         2
UNION PAC CORP                  COMMON   907818108           1,582       40,700   X                     26,500         0    14,200
UNION PLANTERS CORP             COMMON   908068109             853       25,800   X                     16,800         0     9,000
UNISYS CORP COM                 COMMON   909214108              29        2,559   X                        379         0     2,180
UNIT CORP                       COMMON   909218109           7,477      506,900   X                    366,500         0   140,400
UNITED MICROELECTRONICS         COMMON   910873207          24,408    2,055,400   X                  2,055,400         0         0
UNITED PAN-EUROPE COMMUNICATAD  COMMON   911300200              20          987   X                        710         0       277
UNITED STATES CELLULAR C        COMMON   911684108           1,946       27,800   X                     27,800         0         0
UNITED STATIONERS INC           COMMON   913004107          14,386      535,300   X                    411,000         0   124,300
UNITED TECHNOLOGIES CORP        COMMON   913017109          29,050      419,446   X                     99,200         0   320,246
UNITED THERAPEUTICS CORP        COMMON   91307C102           9,943      113,800   X                    113,800         0         0
UNITEDGLOBALCOM PFD CV 1/20 DS  PREFERD  913247201           2,282       53,621   X                     45,784         0     7,837
UNITEDGLOBALCOM                 PREFERD  913247805          14,384      435,885   X                    418,733         0    17,152
UNITEDHEALTH GROUP INC          COMMON   91324P102           7,644       77,400   X                     67,200         0    10,200
UNIVERSAL COMPRESSION HL        COMMON   913431102           2,852       92,200   X                     92,200         0         0
UNIVERSAL CORP VA               COMMON   913456109             535       18,200   X                     18,200         0         0
UNIVERSAL ELECTRS INC           COMMON   913483103          13,238      547,300   X                    395,600         0   151,700
UNIVERSAL HLTH SVCS INC         COMMON   913903100           4,101       47,900   X                     46,000         0     1,900
UNIVERSAL HEALTH SV 144A        CONVERT  913903AJ9          27,968   49,282,000   X                 46,479,000         0 2,803,000
UNIVISION COMMUNICATIONS INCCL  COMMON   914906102           4,891      130,858   X               A    112,028         0    13,030
UNOCAL CORP                     COMMON   915289102               1           30   X                          0         0        30
UPM-KYMMENE CORP ADR SPONSORED  COMMON   915436109               3          142   X                         40         0       102
VYYO INC                        COMMON   918458100           9,579      319,300   X                    284,300         0    35,000
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

PORTVUE-SEC13F.LRP                                                                                                        PAGE 42

RUN DATE: 11/03/00 08:25 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                   DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)            (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)       (ITEM 6)    (ITEM 7)       (ITEM 8)
                                                                                  INVESTMENT               VOTING AUTHORITY
                                                                                  DISCRETION                   (SHARES)
                                                                                 -----------------  ------------------------------
             NAME                TITLE                    FAIR      SHARES OR              SHARED
              OF                   OF       CUSIP        MARKET     PRINCIPAL   SOLE SHARED OTHER       SOLE     SHARED     NONE
            ISSUER               CLASS      NUMBER        VALUE       AMOUNT     (A)   (B)   (C) MGR     (A)       (B)       (C)
------------------------------- -------  ---------- -------------- ------------ ----- ----- ----- -- --------- --------- ---------
<S>                             <C>      <C>        <C>            <C>          <C>   <C>   <C>  <C><C>       <C>       <C>
VALASSIS COMMUNICATIONS INC CO  COMMON   918866104             469       21,055   X                     20,954         0       101
VALENCE TECHNOLOGY INC          COMMON   918914102           7,537      436,900   X                    330,900         0   106,000
VALERO ENERGY CORP NEW          COMMON   91913Y100          34,502      980,510   X                    790,910         0   189,600
VARCO INTL INC DEL              COMMON   922122106          14,842      713,126   X                    590,268         0   122,858
VARIAGENICS INC                 COMMON   922196100           1,884       84,200   X                     60,400         0    23,800
VARIAN INC COM                  COMMON   922206107          24,636      572,100   X                    467,000         0   105,100
VARIAN SEMICONDUCTOR EQU        COMMON   922207105          34,416      919,300   X                    727,800         0   191,500
VASCULAR SOLUTIONS INC          COMMON   92231M109           2,871      153,000   X                    110,200         0    42,800
VASTERA INC                     COMMON   92239N109           1,133       51,500   X                     51,500         0         0
VEECO INSTRS INC DEL            COMMON   922417100          28,883      271,800   X                    184,700         0    87,100
VENATOR GROUP INC               COMMON   922944103             452       36,500   X                     36,500         0         0
VERITAS SOFTWARE CO COMMON      COMMON   923436109         394,227    2,776,230   X               C  1,466,143       885 1,225,097
VERITAS SOFTWARE CO             CONVERT  923436AB5          39,844    2,581,000   X                  2,382,000         0   199,000
VERITY INC                      COMMON   92343C106          26,427      740,500   X                    559,500         0   181,000
VERISIGN INC COM                COMMON   92343E102         217,494    1,073,710   X               A    658,808       418   376,331
VERITAS SOFTWARE CORP /         CONVERT  92343RAA1          20,201    4,915,000   X                  4,729,000         0   186,000
VERIZON COMMUNICATIONS          COMMON   92343V104           4,676       96,548   X                     70,740         0    25,808
VERSATA INC                     COMMON   925298101           5,952      224,600   X                    136,800         0    87,800
VERSATEL TELECOM B V ADR SPONS  COMMON   925301103              63        2,668   X                        481     2,124        63
VERTEX PHARMACEUTICALS I        COMMON   92532F100          76,101      900,600   X               A    826,100         0    74,500
VERTEX PHARM  144A              CONVERT  92532FAC4          20,995   19,000,000   X                 17,753,000         0 1,247,000
VIACOM INC COM                  COMMON   925524100          67,729    1,157,752   X                  1,004,753         0    16,299
VIACOM INC COM NON VTG          COMMON   925524308             977       16,713   X                     16,593         0       120
VIATEL INC                      COMMON   925529208           4,980      485,900   X                    393,600         0    92,300
VIASAT INC                      COMMON   92552V100          12,785      571,400   X                    417,600         0   153,800
VIANT CORP                      COMMON   92553N107             131       22,300   X                     22,300         0         0
VIGNETTE CORP COM               COMMON   926734104          25,645      858,426   X                    744,326         0   114,100
VINTAGE PETE INC                COMMON   927460105          14,719      647,000   X                    642,300         0     4,700
VIRATA CORP                     COMMON   927646109          34,573      522,838   X                    431,138         0    91,700
VIROLOGIC INC OC-COM            COMMON   92823R201             717       42,500   X                      9,100         0    33,400
VISHAY INTERTECHNOLOGY I        COMMON   928298108           7,300      237,392   X                    197,702         0    39,690
VISIBLE GENETICS INC            COMMON   92829S104           3,601       89,200   X                     76,700         0    12,500
VISTEON CORP COM                COMMON   92839U107               0            7   X                          7         0         0
VISX INC DEL COMMON             COMMON   92844S105             423       15,697   X                      4,176         0    11,521
VITESSE SEMICONDUCTOR COCOMMON  COMMON   928497106         166,277    1,869,602   X               A    991,024   179,602   183,789
VITRIA TECHNOLOGY INC COM       COMMON   92849Q104          83,919    1,799,878   X               41 1,148,372     1,382   645,926
VIVENDI ADR SPONSORED           COMMON   92851S105              99        6,737   X               69     6,229         0       439
VODAFONE GROUP PLC              COMMON   92857W100              81        2,162   X               98     1,394         0       670
VOICESTREAM WIRELESS            COMMON   928615103             198        1,701   X                      1,406         0       295
VORNADO RLTY TR                 PREFERD  929042208           3,137       59,957   X                     54,293         0     5,664
WJ COMMUNICATIONS INC           COMMON   929284107           1,887       51,000   X                     51,000         0         0
WMS INDS INC                    COMMON   929297109           8,816      391,800   X                    327,000         0    64,800
WADDELL & REED FINL INC         COMMON   930059100          17,469      563,500   X                    531,100         0    32,400
WAL MART STORES INC             COMMON   931142103         116,605    2,422,941   X               A  2,237,840         0    28,801
</TABLE>


<PAGE>
<TABLE>
<CAPTION>

PORTVUE-SEC13F.LRP                                                                                                        PAGE 43

RUN DATE: 11/03/00 08:25 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                    DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)            (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)       (ITEM 6)    (ITEM 7)       (ITEM 8)
                                                                                  INVESTMENT               VOTING AUTHORITY
                                                                                  DISCRETION                   (SHARES)
                                                                                 -----------------  ------------------------------
             NAME                TITLE                    FAIR      SHARES OR              SHARED
              OF                   OF       CUSIP        MARKET     PRINCIPAL   SOLE SHARED OTHER       SOLE     SHARED     NONE
            ISSUER               CLASS      NUMBER        VALUE       AMOUNT     (A)   (B)   (C) MGR     (A)       (B)       (C)
------------------------------- -------  ---------- -------------- ------------ ----- ----- ----- -- --------- --------- ---------
<S>                             <C>      <C>        <C>            <C>          <C>   <C>   <C>  <C><C>       <C>       <C>
WASHINGTON MUT INC              COMMON   939322103           2,110       53,000   X                     35,100         0    17,900
WASTE CONNECTIONS INC           COMMON   941053100           8,956      349,500   X                    249,400         0   100,100
WASTE MGMT INC DEL              COMMON   94106L109           1,430       82,043   X                     81,900         0       143
WATCHGUARD TECHNOLOGIES         COMMON   941105108          22,320      372,000   X                    346,700         0    25,300
WATERS CORP COM                 COMMON   941848103         290,663    3,265,872   X               A  2,149,169     1,508 1,110,040
WAVECOM S A                     COMMON   943531103          21,889      180,900   X                    140,500         0    40,400
WEATHERFORD INTL INC            COMMON   947074100          28,492      662,600   X                    576,700         0     9,000
WEBMETHODS INC                  COMMON   94768C108          11,764      102,183   X                    101,182         0     1,001
WEBTRENDS CORP                  COMMON   94844D104          12,304      329,200   X                    281,700         0    47,500
WELLPOINT HEALTH NTWRKS NEW CO  COMMON   94973H108           1,736       18,075   X                     18,059         0        16
WELLS FARGO NEW                 COMMON   949746101               7          144   X                         39         0       105
WEST COAST BANCORP ORE N        COMMON   952145100             226       18,950   X                     18,950         0         0
WESTELL TECHNOLOGIES INC        COMMON   957541105           5,065      393,400   X                    388,400         0     5,000
WESTERN GAS RES INC             COMMON   958259103          10,544      420,700   X                    288,600         0   132,100
WESTERN WIRELESS CORP CL A      COMMON   95988E204           5,310      149,045   X                    149,000         0        45
WESTWOOD ONE INC                COMMON   961815107          12,177      568,000   X                    550,700         0    17,300
WILLIAMS CO                     COMMON   969457100               3           65   X                          0         0        65
WILLIAMS CLAYTON ENERGY         COMMON   969490101           7,306      180,400   X                    118,400         0    62,000
WILLIAMS SONOMA INC             COMMON   969904101          14,560      418,994   X                    370,700         0    48,294
WILSON GREATBATCH TECHNO        COMMON   972232102           2,949      128,900   X                    105,600         0    23,300
WINNEBAGO INDS INC              COMMON   974637100           4,115      329,200   X                    287,800         0    41,400
WINSTAR COMMUNICATIONS CV PFD   PREFERD  975515602             721       27,667   X                     23,106         0     4,561
WINSTAR COMM PFD 7%             PREFERD  975515875           6,619      219,725   X                    204,363         0    15,362
WITNESS SYS INC                 COMMON   977424100           2,852      157,900   X                    131,200         0    26,700
WOLVERINE WORLD WIDE INC        COMMON   978097103             165       17,700   X                     17,700         0         0
WOODHEAD INDS INC               COMMON   979438108             949       45,600   X                     45,600         0         0
WORLD COLOR PRESS INC DE        CONVERT  981443AA2          11,761   11,474,000   X                 10,639,000         0   835,000
WORLDCOM INC GA NEW COM         COMMON   98157D106          34,337    1,130,438   X                  1,096,253         0    34,185
XM SATELLITE RADIO HLDGS        COMMON   983759101          14,150      328,600   X                    310,300         0    18,300
XILINX INC                      COMMON   983919101           6,620       77,304   X               79    77,058         0       167
XIRCOM INC COM                  COMMON   983922105              26        1,016   X                        811         0       205
YAHOO INC COM                   COMMON   984332106          12,362      135,834   X                     44,731         0    91,103
YOUNG & RUBICAM INC             COMMON   987425105             520       10,500   X                      8,000         0     2,500
Z TEL TECHNOLOGIES INC          COMMON   988792107             634       87,500   X                     72,400         0    15,100
ZALE CORP NEW COM               COMMON   988858106          15,203      468,690   X                    403,790         0    64,900
ZORAN CORP                      COMMON   98975F101           6,908      141,700   X                    106,700         0    35,000
ZURICH ALLIED AG ADR SPONSORED  COMMON   98981P101           9,856      106,402   X               40    58,160     1,774     5,777
ZYGO CORP                       COMMON   989855101          24,238      278,600   X                    246,700         0    31,900
LERNOUT & HAUSPIE SPEECH PRDOR  COMMON   B5628B104               8          621   X                        513         0       108
ACE LTD                         COMMON   G0070K103               2           40   X                          0         0        40
AMDOCS LTD ORD                  COMMON   G02602103          32,670      523,757   X                    456,258         0    67,499
CORECOMM LTD COM                COMMON   G2422R109             239       30,075   X                      6,975         0    23,100
GLOBAL CROSSING CV PFD          PREFERD  G3921A126           2,906       33,546   X                     33,546         0         0
KNIGHTSBRIDGE TANKERS LT        COMMON   G5299G106           2,227      101,800   X                     95,200         0     6,600
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

PORTVUE-SEC13F.LRP                                                                                                        PAGE 44

RUN DATE: 11/03/00 08:25 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                   DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)            (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)       (ITEM 6)    (ITEM 7)       (ITEM 8)
                                                                                  INVESTMENT               VOTING AUTHORITY
                                                                                  DISCRETION                   (SHARES)
                                                                                 -----------------  ------------------------------
             NAME                TITLE                    FAIR      SHARES OR              SHARED
              OF                   OF       CUSIP        MARKET     PRINCIPAL   SOLE SHARED OTHER       SOLE     SHARED     NONE
            ISSUER               CLASS      NUMBER        VALUE       AMOUNT     (A)   (B)   (C) MGR     (A)       (B)       (C)
------------------------------- -------  ---------- -------------- ------------ ----- ----- ----- -- --------- --------- ---------
<S>                             <C>      <C>        <C>            <C>          <C>   <C>   <C>  <C><C>       <C>       <C>
OPENTV CORP                     COMMON   G67543101          26,909      809,307   X                    634,956         0   174,351
ORIENT-EXPRESS HOTELS LT        COMMON   G67743107           6,745      350,400   X                    283,800         0    66,600
O2MICRO INTERNATIONAL LI        COMMON   G6797E106           1,898      110,300   X                    105,800         0     4,500
RSL COMMUNICATIONS LTD / PLCOR  COMMON   G7702U102               0           60   X                          0         0        60
SANTA FE INTL CORP ORD          COMMON   G7805C108         115,084    2,554,839   X               12 2,113,788     5,146   143,789
TRANSOCEAN SEDCO FOREX INC      COMMON   G90078109          57,337      978,030   X               15   729,830     6,256    88,275
TRITON ENERGY LTD               COMMON   G90751101          10,113      259,300   X                    249,200         0    10,100
TYCOM LTD                       COMMON   G9144B106          47,044    1,225,900   X                  1,047,600         0    18,700
VODAFONE AIRTOUCH PLC ORD       COMMON   G9387S105             556      149,070   X               17   122,866        85    24,410
XOMA LTD                        COMMON   G9825R107           3,296      228,300   X                     14,600         0   213,700
UBS AG ADR SHS                  COMMON   H8920G155               1           10   X                         10         0         0
METRO INTL S A CLASS A          COMMON   L63631102              88        8,164   X               65       748       765        70
METRO INTL S A CLASS B          COMMON   L63631110             231       19,314   X               15     1,748     1,803       164
SBS BROADCASTING SA             COMMON   L8137F102           9,607      241,300   X                    224,700         0    16,600
AUDIOCODES LTD ORD              COMMON   M15342104          31,548      370,600   X                    343,200         0    27,400
BACKWEB TECHNOLOGIES LTD        COMMON   M15633106           1,473      145,300   X                     57,300         0    88,000
BREEZECOM LTD                   COMMON   M20385106           8,050      244,400   X                    222,500         0    21,900
CERAGON NETWORKS LTD            COMMON   M22013102           1,424       53,000   X                     53,000         0         0
CHECK POINT SOFTWARE TECH LTOR  COMMON   M22465104         199,469    1,266,471   X               A    705,834   125,345    71,882
COMMTOUCH SOFTWARE LTD          COMMON   M25596103          11,262      594,700   X                    442,400         0   152,300
PRECISE SOFTWARE SOLUTIONS LCO  COMMON   M41450103           2,864       66,400   X                     40,300         0    26,100
M SYS FLASH DISK PIONEER        COMMON   M7061C100          49,361    1,292,600   X                  1,174,400         0   118,200
OPTIBASE LTD                    COMMON   M7524R108           4,640      264,200   X                    217,600         0    46,600
ORBOTECH LTD                    COMMON   M75253100           8,589      157,050   X                    157,050         0         0
RADWARE LTD                     COMMON   M81873107           7,857      261,900   X                    240,900         0    21,000
ASM INTL N V                    COMMON   N07045102          18,237    1,042,100   X                    886,300         0   155,800
ASM LITHOGRAPHY HOLDING N V OR  COMMON   N07059111          64,099    1,983,731   X               13 1,613,164     5,851   225,757
CNH GLOBAL NV COM               COMMON   N20935107               2          196   X                        196         0         0
QIAGEN NV ORD                   COMMON   N72482107             327        6,957   X                        165         0     6,792
PANAMERICAN BEVERAGES IN        COMMON   P74823108           8,585      505,000   X                    505,000         0         0
ROYAL CARIBBEAN CRUISES LTD     COMMON   V7780T103              41        1,600   X                          0         0     1,600
ASE TEST LTD                    COMMON   Y02516105          11,223      534,444   X                    534,444         0         0
FLEXTRONICS INTL LTD ORD        COMMON   Y2573F102         144,330    1,757,453   X               52   897,412   157,421   174,467
TEEKAY SHIPPING MARSHALL        COMMON   Y8564W103           6,510      138,700   X                    136,900         0     1,800

     TOTAL                                              40,825,297
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

PORTVUE-SEC13F.LRP                                                                                                 PAGE 1

RUN DATE: 11/03/00 08:26 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                   DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)   (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)                               (ITEM 6)
                                                                                                 INVESTMENT
                                                                                                 DISCRETION
                                                                                ---------------------------------------------
          NAME          TITLE                     FAIR     SHARES OR                                                   SHARED
           OF             OF       CUSIP        MARKET     PRINCIPAL                       SOLE         SHARED          OTHER
         ISSUER         CLASS      NUMBER        VALUE       AMOUNT                         (A)           (B)            (C)
---------------------- ------   ---------- -------------- ------------               ----------     ----------     ----------
<S>                    <C>      <C>        <C>            <C>                        <C>            <C>            <C>
ADC TELECOMMUNICATION  COMMON   000886101         62,143    2,310,950                 2,310,950
ABN AMRO HLDG N V SPON COMMON   000937102              5          235                       235
ACT MFG INC            COMMON   000973107         25,726      487,700                   487,700
AES TRUST VII          PREFERD  00103V305         40,933      497,663                   497,663
AFLAC INC              COMMON   001055102         32,744      510,855                   510,855
AGL RES INC            COMMON   001204106          2,526      125,900                   125,900
AES CORP COM           COMMON   00130H105        171,203    2,499,011                 2,499,011
AES CORP 4.500% 08/15/ CONVERT  00130HAN5            111       43,000                    43,000
AK STL HLDG CORP       COMMON   001547108            202       21,544                    21,544
AMR CORP               COMMON   001765106              1           45                        45
AT&T CORP              COMMON   001957109          1,675       57,007                    57,007
LIBERTY MEDIA GROUP    COMMON   001957208         56,139    3,118,795                 3,118,795
AT&T CORP AT&T WRLSS G COMMON   001957406             13          650                       650
ALLIED IRISH BANK O    COMMON   0019783           38,332    3,514,400                 3,514,400
ASM LITHOGRAPHY HOLDIN CONVERT  00207EAB6         22,174   19,820,000                19,820,000
AVT CORP               COMMON   002420107            211       37,910                    37,910
AVX CORP NEW           COMMON   002444107          8,165      313,300                   313,300
AXA FINL INC           COMMON   002451102            942       18,500                    18,500
ABBOTT LABS            COMMON   002824100         10,307      216,700                   216,700
ABERCROMBIE & FITCH CO COMMON   002896207         23,453    1,230,322                 1,230,322
ABGENIX INC COM        COMMON   00339B107         76,537      947,094                   944,194
ABOUT COM INC          COMMON   003736105          6,491      200,500                   200,500
ACACIA RESH CORP COM   COMMON   003881109          5,870      168,300                   168,300
ABITIBI-CONSOLIDATED I COMMON   003924107         45,324    4,834,684                 4,834,684
ACCOR S A SPONSORED AD COMMON   00435F101         12,273      660,947                   660,947
ACCREDO HEALTH INC COM COMMON   00437V104         14,093      288,350                   288,350
SAFEWAY PLC            COMMON   0049241           21,688    5,111,400                 5,111,400
ACTEL CORP             COMMON   004934105          5,585      155,400                   155,400
ACTIVE POWER INC       COMMON   00504W100          6,287      101,400                   101,400
ACTUATE CORP           COMMON   00508B102          6,046      175,000                   175,000
ADAC LABS              COMMON   005313200         17,763      853,490                   853,490
BILLITON PLC           COMMON   0056650           31,969    8,944,600                 8,944,600
ADAPTEC INC            CONVERT  00651FAC2          7,594    9,000,000                 9,000,000
BAA ORD                COMMON   0067340           25,793    3,261,000                 3,261,000
ADELPHIA COMMUNICATION COMMON   006848105              7          253                       253
ADEPT TECHNOLOGY INC   COMMON   006854103         10,633      202,300                   202,300
ADMINISTAFF INC        COMMON   007094105         27,782      367,000                   367,000
ADOBE SYS INC COM      COMMON   00724F101        111,213      716,352                   716,352
ADVANCE PARADIGM INC   COMMON   007491103         16,791      398,000                   398,000
ADVANCED TECHNICAL PRO COMMON   007548100          2,013      545,800                   545,800
ADVANCED FIBRE COMMUNI COMMON   00754A105          6,545      172,800                   172,800
ADVO INC COM           COMMON   007585102         15,422      467,300                   467,300
AEROFLEX INC           COMMON   007768104         17,368      357,175                   357,175
BARCLAYS ORD           COMMON   0078201           26,422      954,700                   954,700
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

PORTVUE-SEC13F.LRP                                                                                                 PAGE 2

RUN DATE: 11/03/00 08:26 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                   DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)   (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)                               (ITEM 6)
                                                                                                 INVESTMENT
                                                                                                 DISCRETION
                                                                                ---------------------------------------------
          NAME          TITLE                     FAIR     SHARES OR                                                   SHARED
           OF             OF       CUSIP        MARKET     PRINCIPAL                       SOLE         SHARED          OTHER
         ISSUER         CLASS      NUMBER        VALUE       AMOUNT                         (A)           (B)            (C)
---------------------- ------   ---------- -------------- ------------               ----------     ----------     ----------
<S>                    <C>      <C>        <C>            <C>                        <C>            <C>            <C>
ADVANCED MICRO DEVICES COMMON   007903107          5,818      246,200                   246,200
ADVANCED ENERGY INDS   COMMON   007973100          2,904       88,000                    88,000
ADVENT SOFTWARE INC CO COMMON   007974108            754       10,800                    10,800
AFFILIATED COMPUTER SE COMMON   008190100          8,414      168,700                   168,700
AFFYMETRIX INC OC-CAP  COMMON   00826T108          3,551       71,203                    71,203
AGENCY COM LTD         COMMON   008447104            335       22,400                    22,400
AGILENT TECHNOLOGIES I COMMON   00846U101              8          157                       157
AGILE SOFTWARE CORP DE COMMON   00846X105         77,292      859,400                   856,500
AIR PRODS & CHEMS INC  COMMON   009158106            242        6,725                     6,725
AIRGATE PCS INC        COMMON   009367103          6,570      146,400                   146,400
AIRNET COMMUNICATIONS  COMMON   00941P106          5,969      267,500                   267,500
AIRSPAN NETWORKS INC   COMMON   00950H102            866       75,300                    75,300
AKAMAI TECHNOLOGIES IN COMMON   00971T101             34          645                       645
AKTIEBOLAGET ELECTROLU COMMON   010198208              2           80                        80
ALAMOSA PCS HOLDINGS   COMMON   011593100          7,851      485,000                   485,000
ALBANY MOLECULAR RESH  COMMON   012423109          4,495       80,000                    80,000
ALBEMARLE CORP         COMMON   012653101          2,519      124,800                   124,800
AMVESCAP PLC           COMMON   0128269           48,316    2,232,300                 2,232,300
ALBERTA ENERGY LTD COM COMMON   012873105          9,541      229,224                   229,224
ALCOA INC COM          COMMON   013817101          1,904       75,236                    75,236
ALCATEL ALSTHOM SPONSO COMMON   013904305         21,678      344,759                   344,759
BRITISH TELECOM ORD    COMMON   0140843              528       50,200                    50,200
BRITISH SKY BROADCASTI COMMON   0141192            1,317       85,600                    85,600
ALEXION PHARMACEUTICAL COMMON   015351109         31,145      273,200                   273,200
CABLE & WIRELESS       COMMON   0162557           29,415    2,061,770                 2,061,770
CAMBRIDGE ANTIBODY TEC COMMON   0166225              893       15,000                    15,000
SEMA GROUP             COMMON   0172857           35,525    2,071,480                 2,071,480
ALLEGHENY ENERGY INC   COMMON   017361106          3,685       96,500                    96,500
ALLEGIANCE TELECOM INC COMMON   01747T102          6,666      178,950                   178,950
CELLTECH GROUP PLC.    COMMON   0182276           14,461      725,100                   725,100
ALLERGAN INC COM       COMMON   018490102        230,298    2,727,645                 2,724,245
ALLIANT CORP           COMMON   018802108            455       15,490                    15,490
ALLIANT TECHSYSTEMS IN COMMON   018804104            577        7,030                     7,030
ALLIED ZURICH PLC ADR  COMMON   01959Q101              7          330                       330
ALLMERICA FINL CORP    COMMON   019754100          3,817       59,700                    59,700
ALLSTATE CORP          COMMON   020002101          2,451       70,543                    70,543
ALPHA INDS INC         COMMON   020753109         14,875      436,700                   436,700
ALPHARMA INC           COMMON   020813101         50,349      823,700                   823,700
ALPHARMA INC 3.000% 06 CONVERT  020813AD3         29,965   14,626,000                14,626,000
ALZA CORP DEL          COMMON   022615108        190,392    2,201,071                 2,197,171
ALZA CORP DEL          CONVERT  022615AC2         43,964   38,607,000                38,607,000
ALZA CORP              CONVERT  02261WAA7          4,263    6,200,000                 6,200,000
AMAZON COM INC COM     COMMON   023135106             19          500                       500
AMBAC FINL GROUP INC   COMMON   023139108          6,820       93,100                    93,100
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

PORTVUE-SEC13F.LRP                                                                                                 PAGE 3

RUN DATE: 11/03/00 08:26 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                   DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)   (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)                               (ITEM 6)
                                                                                                 INVESTMENT
                                                                                                 DISCRETION
                                                                                ---------------------------------------------
          NAME          TITLE                     FAIR     SHARES OR                                                   SHARED
           OF             OF       CUSIP        MARKET     PRINCIPAL                       SOLE         SHARED          OTHER
         ISSUER         CLASS      NUMBER        VALUE       AMOUNT                         (A)           (B)            (C)
---------------------- ------   ---------- -------------- ------------               ----------     ----------     ----------
<S>                    <C>      <C>        <C>            <C>                        <C>            <C>            <C>
AMEREN CORP            COMMON   023608102          5,787      138,200                   138,200
AMERICA ONLINE INC DEL COMMON   02364J104         33,950      631,618                   631,618
AMERICA ONLINE INC DEL CONVERT  02364JAB0          7,326      890,000                   890,000
AMERICA ONLINE 0% 12/0 CONVERT  02364JAC8         48,848   94,393,000                94,393,000
DIAGEO PLC             COMMON   0237400            3,235      362,000                   362,000
AMERICAN CLASSIC VOYAG COMMON   024928103          2,473      169,100                   169,100
AMERICAN CAPITAL STRAT COMMON   024937104          4,415      186,400                   186,400
AMERICAN EAGLE OUTFITT COMMON   02553E106         18,938      601,196                   601,196
MATALAN PLC            COMMON   0259426           14,119    1,736,400                 1,736,400
AMERICAN FREIGHTWAYS C COMMON   02629V108          3,489      219,800                   219,800
BAE SYSTEMS PLC        COMMON   0263494           33,850    6,272,938                 6,272,938
AMERICAN GREETINGS COR COMMON   026375105            396       22,640                    22,640
AMERICAN HOME PRODS CO COMMON   026609107         64,922    1,150,062                 1,150,062
AMERICAN INTL GROUP IN COMMON   026874107        155,976    1,630,061                 1,630,061
AMERICAN MED SYS HLDGS COMMON   02744M108          1,550       99,200                    99,200
ALLIED ZURICH PLC      COMMON   0287579              420       36,900                    36,900
AMERICAN PWR CONVERSIO COMMON   029066107             60        3,082                     3,082
AMERICAN STD COS INC D COMMON   029712106          1,826       41,100                    41,100
AMERICAN TOWER CORP CL COMMON   029912201         13,461      357,179                   357,179
AMERICAN TOWER    CVT  CONVERT  029912AF9         22,713   23,877,000                23,877,000
AMERICAN SUPERCONDUCTO COMMON   030111108         14,924      303,600                   303,600
AMERICREDIT CORP       COMMON   03060R101         10,747      373,000                   373,000
AMERON INTL INC        COMMON   030710107            386       10,510                    10,510
AMERISOURCE HEALTH COR COMMON   03071P102         26,654      567,100                   567,100
AMGEN INC              COMMON   031162100         38,967      558,042                   558,042
AMKOR TECHNOLOGY INC   CONVERT  031652AH3          9,163   11,599,000                11,599,000
ENTERPRISE OIL         COMMON   0318866           19,231    2,350,100                 2,350,100
AMPHENOL CORP NEW CL A COMMON   032095101         56,175      986,600                   986,600
AMYLIN PHARMACEUTICALS COMMON   032346108          3,957      368,100                   368,100
AMVESCAP PLC ADR SPONS COMMON   03235E100         20,771      187,333                   187,333
ANADARKO PETE CORP     COMMON   032511107         86,568    1,302,563                 1,302,563
ANADARKO PETE CORP     CONVERT  032511AP2         30,168   36,129,000                36,129,000
ANALOG DEVICES INC     COMMON   032654105         90,127    1,091,600                 1,091,600
ANAREN MICROWAVE INC   COMMON   032744104         53,667      395,700                   395,700
ANCHOR GAMING          COMMON   033037102         11,974      150,500                   150,500
ANDRX CORP COM         COMMON   034551101              3           29                        29
ANDRX GROUP            COMMON   034553107        152,856    1,637,002                 1,634,502
ANGLO AMERICAN         COMMON   03485P102              1           23                        23
ANHEUSER BUSCH COS INC COMMON   035229103          5,298      125,208                   125,208
ANIXTER INTL INC       COMMON   035290105         19,595      672,800                   672,800
ANNTAYLOR STORES CORP. COMMON   036115103         30,937      804,861                   804,861
ANSOFT CORP            COMMON   036384105          1,787      134,900                   134,900
ANTEC CORP             COMMON   03664P105          3,891      131,900                   131,900
GLAXO HLDGS            COMMON   0371784            1,344       44,400                    44,400
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

PORTVUE-SEC13F.LRP                                                                                                 PAGE 4

RUN DATE: 11/03/00 08:26 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                   DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)   (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)                               (ITEM 6)
                                                                                                 INVESTMENT
                                                                                                 DISCRETION
                                                                                ---------------------------------------------
          NAME          TITLE                     FAIR     SHARES OR                                                   SHARED
           OF             OF       CUSIP        MARKET     PRINCIPAL                       SOLE         SHARED          OTHER
         ISSUER         CLASS      NUMBER        VALUE       AMOUNT                         (A)           (B)            (C)
---------------------- ------   ---------- -------------- ------------               ----------     ----------     ----------
<S>                    <C>      <C>        <C>            <C>                        <C>            <C>            <C>
APACHE CORP            COMMON   037411105          2,080       35,175                    35,175
APOLLO GROUP INC       COMMON   037604105          2,727       68,377                    68,377
APPLE COMPUTER INC     COMMON   037833100          4,366      169,550                   169,550
APPLICA INC            COMMON   03815A106            176       28,510                    28,510
APPLIED FILMS CORP     COMMON   038197109          7,571      279,100                   279,100
APPLIED INDL TECHNOLOG COMMON   03820C105          1,574       90,900                    90,900
APPLIED MATLS INC      COMMON   038222105         55,111      929,162                   929,162
APPLIED MICRO CIRCUITS COMMON   03822W109        360,635    1,741,678                 1,738,278
APPLIED SCIENCE & TECH COMMON   038236105            738       50,000                    50,000
APPLIED MOLECULAR EVOL COMMON   03823E108          5,601      139,600                   139,600
CMG PLC GBP            COMMON   0384737           53,020    2,739,700                 2,739,700
ARACRUZ CELULOSE S A A COMMON   038496204          8,050      486,037                   486,037
ARADIGM CORP           COMMON   038505103          7,813      340,600                   340,600
AREMISSOFT CORP DEL    COMMON   040026106          4,901      130,700                   130,700
ARENA PHARMACEUTICALS  COMMON   040047102          3,887       90,400                    90,400
ARGOSY GAMING CO       COMMON   040228108          2,744      151,400                   151,400
ARIAD PHARMACEUTICALS  COMMON   04033A100          2,089      166,300                   166,300
ARIBA INC COM          COMMON   04033V104        392,442    2,739,252                 2,735,652
ARKANSAS BEST CORP DEL COMMON   040790107          6,234      405,440                   405,440
ARM HLDGS PLC ADR SPON COMMON   042068106              2           70                        70
ARQULE INC             COMMON   04269E107          7,852      460,200                   460,200
ARROW ELECTRS INC      COMMON   042735100          1,656       48,600                    48,600
ART TECHNOLOGY GROUP I COMMON   04289L107        186,238    1,965,577                 1,963,677
ARTESYN TECHNOLOGIES I COMMON   043127109         11,939      409,920                   409,920
ASAHI GLASS ADR        COMMON   043393206             10          100                       100
BALTIMORE TECHNOLOGIES COMMON   0436122           19,174    1,879,600                 1,879,600
ASPECT COMMUNICATIONS  COMMON   04523Q102             67        3,255                     3,255
ASPEN TECHNOLOGY INC   COMMON   045327103         42,043      931,700                   931,700
ASSOCIATED BANC CORP   COMMON   045487105            417       15,900                    15,900
AT HOME CORP COM SER A COMMON   045919107              0           23                        23
ASTORIA FINL CORP      COMMON   046265104            669       17,310                    17,310
ASTRA ZENECA PLC ADR   COMMON   046353108            198        3,751                     3,751
AT RD INC              COMMON   04648K105            719      100,000                   100,000
ASYST TECHNOLOGY CORP  COMMON   04648X107          6,208      306,550                   306,550
SPIRENT PLC            COMMON   0472609           41,366    4,176,100                 4,176,100
ATLANTIC COAST AIRLINE COMMON   048396105          7,210      224,000                   224,000
ATLAS AIR INC          COMMON   049164106         10,909      258,200                   258,200
ATMEL CORP             COMMON   049513104         18,785    1,236,870                 1,236,870
ATWOOD OCEANICS INC    COMMON   050095108          6,032      144,700                   144,700
PARTHUS TECHNOLOGIES   COMMON   0504427            9,001    2,293,100                 2,293,100
COOKSON GROUP          COMMON   0508407            6,624    2,364,500                 2,364,500
AURORA BIOSCIENCES COR COMMON   051920106         18,396      270,530                   270,530
LOGICA PLC             COMMON   0522708           96,056    2,920,090                 2,920,090
AUTOMATIC DATA PROCESS CONVERT  053015AC7         30,300   17,179,000                17,179,000
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

PORTVUE-SEC13F.LRP                                                                                                 PAGE 5

RUN DATE: 11/03/00 08:26 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                   DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)   (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)                               (ITEM 6)
                                                                                                 INVESTMENT
                                                                                                 DISCRETION
                                                                                ---------------------------------------------
          NAME          TITLE                     FAIR     SHARES OR                                                   SHARED
           OF             OF       CUSIP        MARKET     PRINCIPAL                       SOLE         SHARED          OTHER
         ISSUER         CLASS      NUMBER        VALUE       AMOUNT                         (A)           (B)            (C)
---------------------- ------   ---------- -------------- ------------               ----------     ----------     ----------
<S>                    <C>      <C>        <C>            <C>                        <C>            <C>            <C>
AVANEX CORP            COMMON   05348W109         70,804      657,500                   655,500
AVAX TECHNOLOGIES INC  COMMON   053495305          1,080      138,200                   138,200
AVANTGO INC            COMMON   05349M100          1,200       60,000                    60,000
AVENTIS ADR SPONSORED  COMMON   053561106         15,418      204,729                   204,729
AVERY DENNISON CORP    COMMON   053611109         37,838      815,909                   815,909
AVICI SYS INC          COMMON   05367L109         35,044      368,400                   368,400
AVID TECHNOLOGY INC    COMMON   05367P100          1,541      110,100                   110,100
AVIRON                 COMMON   053762100         15,744      270,000                   270,000
AVOCENT CORP COM       COMMON   053893103         12,001      217,700                   217,700
HSBC HOLDINGS PLC      COMMON   0540528              718       50,500                    50,500
AVON PRODUCTS INC      COMMON   054303102         29,839      730,025                   730,025
AXA SA SPONSORED ADR   COMMON   054536107            151        2,326                     2,326
AWARE INC MASS         COMMON   05453N100         12,763      331,500                   331,500
AXENT TECHNOLOGIES INC COMMON   05459C108          4,571      212,000                   212,000
AXYS PHARMACEUTICALS I COMMON   054635107            443       65,000                    65,000
AZTAR CORP             COMMON   054802103          6,264      407,400                   407,400
BAA PLC ADR SPONSORED  COMMON   05518L206         12,230    1,546,920                 1,546,920
BAE SYS PLC SPONSORED  COMMON   05523R107         17,459      809,166                   809,166
BEI TECHNOLOGIES INC   COMMON   05538P104         17,076      409,000                   409,000
BG PLC ADR FNL INSTLLM COMMON   055434203         16,208      504,513                   504,513
BJ SVCS CO COMMON      COMMON   055482103         90,511    1,480,769                 1,475,969
BJS WHOLESALE CLUB INC COMMON   05548J106         16,592      486,200                   486,200
BP AMOCO ADS           COMMON   055622104            880       16,624                    16,624
BMC SOFTWARE INC       COMMON   055921100             31        1,626                     1,626
BAKER HUGHES INC       COMMON   057224107        118,012    3,178,820                 3,178,820
CENTRICA PLC           COMMON   0573438           53,761   16,738,330                16,738,330
BALLARD PWR SYS INC CO COMMON   05858H104         36,970      338,343                   338,343
BALTIMORE TECHNOLOGIES COMMON   059284109          6,271      317,498                   317,498
BANCO BRADESCO S A ADR COMMON   059460105         31,737    3,836,220                 3,836,220
BSCH BANCO SANTANDER   COMMON   05964H105         11,094    1,014,222                 1,014,222
BANK NEW YORK INC      COMMON   064057102              1           25                        25
BANK ONE CORP          COMMON   06423A103          1,097       28,400                    28,400
BANK TOKYO-MITSUBISHI  COMMON   065379109              4          287                       287
BANKNORTH GROUP INC NE COMMON   06646R107            610       34,110                    34,110
ROYAL BANK OF SCOTLAND COMMON   0676401              168      139,300                   139,300
BARNES & NOBLE INC     COMMON   067774109            207       10,500                    10,500
BARR LABS INC          COMMON   068306109         18,667      281,500                   281,500
BARRA INC              COMMON   068313105          7,323      118,000                   118,000
BARRETT RES CORP       COMMON   068480201            414       11,000                    11,000
BASIN EXPL INC         COMMON   070107107          6,800      348,700                   348,700
PSION ORD              COMMON   0709545           11,898    1,087,500                 1,087,500
BAXTER INTL INC        COMMON   071813109         16,777      210,200                   210,200
RIO TINTO PLC          COMMON   0718875           33,107    2,282,700                 2,282,700
VODAFONE AIRTOUCH PLC  COMMON   0719210           47,342   12,681,907                12,681,907
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

PORTVUE-SEC13F.LRP                                                                                                 PAGE 6

RUN DATE: 11/03/00 08:26 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                   DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)   (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)                               (ITEM 6)
                                                                                                 INVESTMENT
                                                                                                 DISCRETION
                                                                                ---------------------------------------------
          NAME          TITLE                     FAIR     SHARES OR                                                   SHARED
           OF             OF       CUSIP        MARKET     PRINCIPAL                       SOLE         SHARED          OTHER
         ISSUER         CLASS      NUMBER        VALUE       AMOUNT                         (A)           (B)            (C)
---------------------- ------   ---------- -------------- ------------               ----------     ----------     ----------
<S>                    <C>      <C>        <C>            <C>                        <C>            <C>            <C>
FUTURE NETWORK PLC     COMMON   0723998            6,390      738,800                   738,800
BAYCORP HLDGS CORP     COMMON   072728108          2,062      239,100                   239,100
BEA SYS INC COM        COMMON   073325102        235,203    3,020,272                 3,020,272
BEA SYSTEMS INC        CONVERT  073325AC6         32,011   13,338,000                13,338,000
BEA SYSTEMS INC 4.000% CONVERT  073325AD4          9,667    4,028,000                 4,028,000
BEAR STEARNS COS INC   COMMON   073902108             49          782                       782
ROYAL BK SCOT GRP      COMMON   0754783           65,965    3,124,570                 3,124,570
BEAZER HOMES USA INC   COMMON   07556Q105            524       19,240                    19,240
BED BATH & BEYOND INC  COMMON   075896100         49,089    2,012,640                 2,012,640
BELDEN INC             COMMON   077459105          2,202       93,200                    93,200
BELL MICROPRODUCTS INC COMMON   078137106          6,767      216,550                   216,550
BP AMOCO PLC           COMMON   0798059            2,117      237,900                   237,900
BELLSOUTH CORP         COMMON   079860102         70,373    1,748,367                 1,748,367
SHELL TRNSPT&TRDG      COMMON   0803414           51,790    6,357,703                 6,357,703
INVENSYS               COMMON   0807041               32       14,500                    14,500
BENCHMARK ELECTRS INC  COMMON   08160H101          7,904      152,000                   152,000
DIMENSION DATA HLDGS   COMMON   0843540            4,071      439,200                   439,200
BEST BUY INC           COMMON   086516101         79,653    1,251,913                 1,251,913
BG GROUP PLC           COMMON   0876289           66,492   10,465,460                10,465,460
ENERGIS PLC            COMMON   0889782           27,924    3,951,460                 3,951,460
BILLITON PLC ADR       COMMON   090171109         10,283    2,878,134                 2,878,134
BINDLEY WESTN INDS INC COMMON   090324104            797       24,900                    24,900
BINDVIEW DEV CORP      COMMON   090327107          5,126      677,800                   677,800
BIOCRYST PHARMACEUTICA COMMON   09058V103          3,459      166,200                   166,200
BIOGEN N V             COMMON   090597105         35,073      574,973                   574,973
BIOSOURCE INTL INC     COMMON   09066H104          3,100      100,000                   100,000
BIOVAIL CORP           COMMON   09067J109        106,687    1,310,041                 1,310,041
BIOVAIL CORP           PREFERD  09067J208         24,319      324,250                   324,250
BIOVAIL CORP INTL NEW  COMMON   09067K106              9          170                       170
BIOSITE DIAGNOSTICS IN COMMON   090945106          6,232      156,300                   156,300
BATM ADVANCED COMM     COMMON   0911146           20,050    2,127,380                 2,127,380
BLACK BOX CORP DEL     COMMON   091826107          9,372      201,000                   201,000
PHARMAGENE PLC         COMMON   0923163            4,217      851,400                   851,400
EIDOS PLC              COMMON   0934897           13,922    2,777,900                 2,777,900
BLUE WAVE SYS INC      COMMON   096081104          2,072      411,800                   411,800
IQE INTL QUANTUM EPITA COMMON   0961992            4,989      622,000                   622,000
BOEING CO              COMMON   097023105         62,761      996,215                   996,215
BOISE CASCADE CORP     COMMON   097383103             10          381                       381
BOMBARDIER INC         COMMON   097751200         38,012    2,199,730                 2,199,730
BOOKHAM TECHNOLOGY PLC COMMON   09856Q108         36,974      862,342                   862,342
ASTRAZENECA GROUP PLC  COMMON   0989529            1,222       23,320                    23,320
BORON LEPORE & ASSOCS  COMMON   10001P102            335       32,710                    32,710
BOSTON COMMUNICATIONS  COMMON   100582105          6,065      315,090                   315,090
BOSTON PRIVATE FINL HL COMMON   101119105          1,480       89,700                    89,700
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

PORTVUE-SEC13F.LRP                                                                                                 PAGE 7

RUN DATE: 11/03/00 08:26 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                   DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)   (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)                               (ITEM 6)
                                                                                                 INVESTMENT
                                                                                                 DISCRETION
                                                                                ---------------------------------------------
          NAME          TITLE                     FAIR     SHARES OR                                                   SHARED
           OF             OF       CUSIP        MARKET     PRINCIPAL                       SOLE         SHARED          OTHER
         ISSUER         CLASS      NUMBER        VALUE       AMOUNT                         (A)           (B)            (C)
---------------------- ------   ---------- -------------- ------------               ----------     ----------     ----------
<S>                    <C>      <C>        <C>            <C>                        <C>            <C>            <C>
BRAUN CONSULTING INC   COMMON   105651103            268       13,550                    13,550
BRIGHT HORIZON FAMILY  COMMON   109195107            414       16,200                    16,200
BRINKER INTL INC       COMMON   109641100         10,107      335,500                   335,500
BRISTOL MYERS SQUIBB C COMMON   110122108          7,078      123,901                   123,901
BRITISH AWYS PLC ADR 2 COMMON   110419306             22          514                       514
BRITISH TELECOMM P L C COMMON   111021408             11           96                        96
BROADBASE SOFTWARE     COMMON   11130R100          3,290      242,600                   242,600
BROADCOM CORP COM      COMMON   111320107         10,654       43,705                    43,705
BROADVISION INC COM    COMMON   111412102         83,445    3,248,523                 3,248,523
BROCADE COMMUNICATIONS COMMON   111621108        321,991    1,364,363                 1,361,563
BROOKS AUTOMATION INC  COMMON   11434A100          5,239      158,147                   158,147
BROOKTROUT INC         COMMON   114580103         10,504      318,900                   318,900
BRUKER DALTONICS INC   COMMON   116795105          6,190      139,500                   139,500
BRUSH ENGINEERED MATLS COMMON   117421107          2,163      100,000                   100,000
BUCKEYE TECHNOLOGIES I COMMON   118255108          2,785      134,200                   134,200
BURLINGTON NORTHN SANT COMMON   12189T104              1           50                        50
BURLINGTON RES INC     COMMON   122014103            817       22,200                    22,200
BUSINESS OBJECTS ADR   COMMON   12328X107         55,242      488,600                   488,600
C&D TECHNOLOGIES INC   COMMON   124661109         22,558      397,500                   397,500
C BRIDGE INTERNET SOL  COMMON   12500B105            894       47,700                    47,700
C COR NET CORP         COMMON   125010108          4,039      263,800                   263,800
C-CUBE MICROSYSTEMS IN COMMON   12501N108          7,964      388,500                   388,500
CDW COMPUTER CTRS INC  COMMON   125129106         19,306      279,800                   279,800
C H ROBINSON WORLDWIDE COMMON   12541W100            231        4,100                     4,100
CIGNA CORP             COMMON   125509109          1,295       12,400                    12,400
CMGI INC COM           COMMON   125750109            715       25,576                    25,576
CMS ENERGY CORP        COMMON   125896100              0           14                        14
C-MAC INDS INC COM     COMMON   125920108         22,272      387,341                   387,341
CNET INC               COMMON   12613R104          2,477      101,700                   101,700
CSG SYS INTL INC COM   COMMON   126349109         12,076      416,400                   416,400
CTS CORP               COMMON   126501105         19,389      383,000                   383,000
CVS CORP COM           COMMON   126650100              7          143                       143
CV THERAPEUTICS INC    COMMON   126667104          5,204       66,900                    66,900
CABLE&WIRELESS SP/ADR  COMMON   126830207              2           50                        50
CABLEVISION SYS CORP C COMMON   12686C109          2,219       33,450                    33,450
CABLE DESIGN TECHNOLOG COMMON   126924109         15,210      625,600                   625,600
CACHEFLOW INC COM      COMMON   126946102        107,962      754,972                   752,872
CADBURY SCHWEPPES P L  COMMON   127209302              6          255                       255
CAL DIVE INTL INC      COMMON   127914109         17,425      304,700                   304,700
CALIFORNIA PIZZA KITCH COMMON   13054D109          4,768      170,300                   170,300
CALIPER TECHNOLOGIES C COMMON   130876105          5,834      100,700                   100,700
CALLAWAY GOLF CO       COMMON   131193104            409       26,600                    26,600
CALPINE CAP TRUST 5.75 CONVERT  131346207            127          690                       690
CALPINE CORP COM       COMMON   131347106        383,320    3,672,360                 3,666,360
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

PORTVUE-SEC13F.LRP                                                                                                 PAGE 8

RUN DATE: 11/03/00 08:26 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                   DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)   (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)                               (ITEM 6)
                                                                                                 INVESTMENT
                                                                                                 DISCRETION
                                                                                ---------------------------------------------
          NAME          TITLE                     FAIR     SHARES OR                                                   SHARED
           OF             OF       CUSIP        MARKET     PRINCIPAL                       SOLE         SHARED          OTHER
         ISSUER         CLASS      NUMBER        VALUE       AMOUNT                         (A)           (B)            (C)
---------------------- ------   ---------- -------------- ------------               ----------     ----------     ----------
<S>                    <C>      <C>        <C>            <C>                        <C>            <C>            <C>
CALPINE CAP TRUST II   PREFERD  13134E309         51,143      485,342                   485,342
CANADIAN PAC LTD NEW C COMMON   135923100              4          135                       135
CANON INC ADR          COMMON   138006309            190        4,313                     4,313
CAPITAL ONE FINL CORP  COMMON   14040H105         67,638      965,389                   965,389
CAREER EDUCATION CORP  COMMON   141665109          3,502       78,700                    78,700
CAREMARK RX INC        COMMON   141705103          4,463      396,700                   396,700
CARRAMERICA RLTY CORP  COMMON   144418100            428       14,160                    14,160
CARREKER CORP          COMMON   144433109          7,190      368,700                   368,700
CATHAY PAC AWYS LTD AD COMMON   148906308              2          169                       169
CATERPILLAR INC        COMMON   149123101            337       10,879                    10,879
CATO CORP NEW          COMMON   149205106            447       35,770                    35,770
CELERITEK INC          COMMON   150926103         22,741      603,400                   603,400
CELL THERAPEUTICS INC  COMMON   150934107         35,491      532,200                   532,200
CELESTICA INC SUB VTG  COMMON   15101Q108         27,074      390,949                   390,949
CELESTICA INC          CONVERT  15101QAA6         19,823   39,645,000                39,645,000
CELGENE CORP COM       COMMON   151020104         18,528      311,400                   311,400
CELLTECH GROUP PLC ADR COMMON   151158102         14,232      363,745                   363,745
CEMEX S A              COMMON   151290889          1,938       96,598                    96,598
CENDANT CORP           COMMON   151313103          1,396      128,400                   128,400
CENTERPOINT PPTYS TR   COMMON   151895109            362        7,850                     7,850
CENTEX CORPORATION     COMMON   152312104             46        1,434                     1,434
CENTRAL GARDEN & PET C COMMON   153527106            344       49,520                    49,520
CENTURYTEL INC         COMMON   156700106          1,060       38,900                    38,900
CEPHALON INC           COMMON   156708109            679       14,000                    14,000
CERNER CORP            COMMON   156782104         15,817      340,600                   340,600
CERPROBE CORP          COMMON   156787103          1,192       80,800                    80,800
CERUS CORP             COMMON   157085101          3,929       70,800                    70,800
CESKE RADIOKOMUNICACE  COMMON   157139106          7,399      196,780                   196,780
CESKE RADIOKOMNIKCE RE COMMON   157139205          4,244      112,860                   112,860
CHAMPIONSHIP AUTO RACI COMMON   158711101            527       21,600                    21,600
CHARLES RIV LABS INTL  COMMON   159864107         15,487      455,500                   455,500
CHARTERED SEMICONDUCTO COMMON   16133R106          7,564      124,625                   124,625
THE CHASE MANHATTEN CO COMMON   16161A108             37          803                       803
CHASE RESOURCE CORP NE COMMON   161908108              0        2,000                     2,000
CHECKPOINT SYS INC     COMMON   162825103              1          115                       115
CHEESECAKE FACTORY INC COMMON   163072101         10,868      251,275                   251,275
CHEUNG KONG HLDGS LTD  COMMON   166744201         23,268    1,924,659                 1,924,659
CHEVRON CORPORATION    COMMON   166751107          4,621       54,200                    54,200
CHICOS FAS INC         COMMON   168615102         18,394      541,000                   541,000
CHIEFTAIN INTL INC     COMMON   16867C101            999       48,300                    48,300
CHILDRENS PL RETAIL ST COMMON   168905107          5,910      229,500                   229,500
CHINA UNICOM LTD       COMMON   16945R104         11,260      516,200                   516,200
CHIRON CORP            COMMON   170040109          6,417      142,600                   142,600
CHRISTOPHER & BANKS CO COMMON   171046105         11,797      303,450                   303,450
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

PORTVUE-SEC13F.LRP                                                                                                 PAGE 9

RUN DATE: 11/03/00 08:26 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                   DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)   (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)                               (ITEM 6)
                                                                                                 INVESTMENT
                                                                                                 DISCRETION
                                                                                ---------------------------------------------
          NAME          TITLE                     FAIR     SHARES OR                                                   SHARED
           OF             OF       CUSIP        MARKET     PRINCIPAL                       SOLE         SHARED          OTHER
         ISSUER         CLASS      NUMBER        VALUE       AMOUNT                         (A)           (B)            (C)
---------------------- ------   ---------- -------------- ------------               ----------     ----------     ----------
<S>                    <C>      <C>        <C>            <C>                        <C>            <C>            <C>
CHROMAVISION MED SYS I COMMON   17111P104            311       32,700                    32,700
CHURCH & DWIGHT INC    COMMON   171340102            414       22,520                    22,520
CIENA CORP COM         COMMON   171779101        493,894    4,021,528                 4,013,628
CINCINNATI FINL CORP C COMMON   172062101            678       19,097                    19,097
CIPHERGEN BIOSYSTEMS I COMMON   17252Y104          1,680       52,500                    52,500
CIRCUIT CITY STORES IN COMMON   172737108              3          139                       139
CIRRUS LOGIC INC       COMMON   172755100         62,737    1,556,264                 1,556,264
CIRRUS LOGIC CORP      CONVERT  172755AC4         26,702   15,150,000                15,150,000
CISCO SYS INC          COMMON   17275R102        415,612    7,522,430                 7,522,430
CINTAS CORP            COMMON   172908105          1,124       25,800                    25,800
CITIGROUP INC.         COMMON   172967101        352,937    6,528,305                 6,528,305
CITRIX SYS INC COM     COMMON   177376100            219       10,892                    10,892
CITY NATL CORP         COMMON   178566105         10,437      270,200                   270,200
CLARENT CORP DEL COM   COMMON   180461105          2,085       52,961                    52,961
CLARUS CORP            COMMON   182707109         11,614      509,100                   509,100
CLEAR CHANNEL COMMUNIC COMMON   184502102             43          772                       772
CLEAR CHANNEL COMMUNIC CONVERT  184502AB8         10,187    9,282,000                 9,282,000
CLEAR CHANNEL          CONVERT  184502AE2         31,002   33,113,000                33,113,000
CLICK COMMERCE INC     COMMON   18681D109          6,934      162,200                   162,200
CLICKACTION INC        COMMON   18681E107          1,478      162,000                   162,000
CLICK2LEARN COM INC    COMMON   18681S106          6,745      459,200                   459,200
CLOROX CO DEL          COMMON   189054109          1,899       48,000                    48,000
CLP HLDGS LTD ADR SPON COMMON   18946Q101              2          335                       335
COASTAL CORP           COMMON   190441105             14          188                       188
COASTAL CORP .25% PFD  PREFERD  190441857          1,160       32,229                    32,229
COASTAL CORP CV PFD 6. PREFERD  190441865         28,008      672,868                   672,868
COCA-COLA FEMSA S A DE COMMON   191241108         22,198    1,109,900                 1,109,900
COFLEXIP SPONSORED ADR COMMON   192384105              1           21                        21
COGNEX CORP            COMMON   192422103          6,870      174,200                   174,200
COGNIZANT TECHNOLOGY S COMMON   192446102          4,077      104,550                   104,550
COGNOS INC COMMON      COMMON   19244C109         52,008    1,276,294                 1,276,294
COHERENT INC           COMMON   192479103          1,693       24,900                    24,900
COLDWATER CREEK INC    COMMON   193068103          5,878      217,700                   217,700
COLE KENNETH PRODTNS I COMMON   193294105         15,022      425,400                   425,400
COLGATE PALMOLIVE CO   COMMON   194162103         30,577      647,810                   647,810
COLONIAL BANCGROUP INC COMMON   195493309            299       28,840                    28,840
COLONIAL PPTYS TR      COMMON   195872106            314       12,230                    12,230
COLT TELECOM GROUP PLC COMMON   196877104              2           16                        16
COLUMBIA SPORTSWEAR CO COMMON   198516106         10,744      234,200                   234,200
ATS AUTOMATION TOOLING COMMON   2002587            7,837      382,200                   382,200
COMCAST CORPORATION CL COMMON   200300101             41        1,000                     1,000
COMCAST CORP CL A SPL  COMMON   200300200             59        1,461                     1,461
COMDISCO INC           COMMON   200336105         14,730      772,700                   772,700
COMERICA INC           COMMON   200340107         23,106      395,400                   395,400
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

PORTVUE-SEC13F.LRP                                                                                                 PAGE 10

RUN DATE: 11/03/00 08:26 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                   DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)   (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)                               (ITEM 6)
                                                                                                 INVESTMENT
                                                                                                 DISCRETION
                                                                                ---------------------------------------------
          NAME          TITLE                     FAIR     SHARES OR                                                   SHARED
           OF             OF       CUSIP        MARKET     PRINCIPAL                       SOLE         SHARED          OTHER
         ISSUER         CLASS      NUMBER        VALUE       AMOUNT                         (A)           (B)            (C)
---------------------- ------   ---------- -------------- ------------               ----------     ----------     ----------
<S>                    <C>      <C>        <C>            <C>                        <C>            <C>            <C>
COMMERCE BANCSHARES IN COMMON   200525103          2,687       73,000                    73,000
COMMERCE ONE INC DEL C COMMON   200693109          2,416       30,778                    30,778
AIMGLOBAL TECHNOLOGIES COMMON   2011077            1,917      257,500                   257,500
ALBERTA ENERGY CO LTD  COMMON   2012456           34,633      834,400                   834,400
ANDERSON EXPLORATION L COMMON   2032421           64,498    2,949,660                 2,949,660
COMMSCOPE INC COM      COMMON   203372107         10,712      437,219                   437,219
COMMUNITY BK SYS INC   COMMON   203607106            436       16,810                    16,810
COMPANHIA BRASILEIRA D COMMON   20440T201         20,951      563,400                   563,400
COMPANHIA VALE DO RIO  COMMON   204412100          1,663       66,700                    66,700
COMPAQ COMPUTER CORP   COMMON   204493100              1           25                        25
COMPUTER ASSOC INTL IN COMMON   204912109              2           75                        75
COMPUTER NETWORK TECH  COMMON   204925101            402       11,700                    11,700
COMPUTER LEARNING CTRS COMMON   205199102              0          224                       224
COMPUTER SCIENCES CORP COMMON   205363104             14          183                       183
COMPUWARE CORP         COMMON   205638109             42        5,020                     5,020
COMSTOCK RES INC       COMMON   205768203          6,390      561,800                   561,800
COMVERSE TECHNOLOGY IN COMMON   205862402        215,788    1,998,040                 1,994,240
COMVERSE TECHNOLOGY IN CONVERT  205862AG0         41,902    8,214,000                 8,214,000
CONCORD CAMERA CORP    COMMON   206156101         34,822    1,358,900                 1,358,900
CONCORD EFS INC        COMMON   206197105            781       22,003                    22,003
CONCURRENT COMPUTER CO COMMON   206710204          8,518      448,300                   448,300
TALISMAN ENERGY INC(CA COMMON   2068299              403       11,500                    11,500
CONEXANT SYSTEMS INC   COMMON   207142100         67,594    1,614,169                 1,608,769
BANCO BRADESCO S.A. PR COMMON   2074520           22,687    2,742,900                 2,742,900
CONNETICS CORP         COMMON   208192104          8,451      350,300                   350,300
CONOCO INC CL A        COMMON   208251306              5          184                       184
CONOCO INC CL B        COMMON   208251405          2,957      109,784                   109,784
CONSOL ENERGY INC      COMMON   20854P109          4,745      295,400                   295,400
TV AZTECA SA DE CV     COMMON   2096911            3,407    4,267,000                 4,267,000
CONSTELLATION BRANDS I COMMON   21036P108         13,154      242,200                   242,200
CONSTELLATION ENERGY C COMMON   210371100          4,592       92,300                    92,300
CONVERGYS CORP COM     COMMON   212485106          4,246      109,219                   109,219
WALMART DE MEXICO V    COMMON   2135212            8,686    4,185,000                 4,185,000
DESCARTES SYS GROUP IN COMMON   2141941            8,361      168,300                   168,300
C MAC INDUSTRIES INC   COMMON   2158877           18,365      321,300                   321,300
COOKSON GROUP PLC - SP COMMON   216379107         10,229      730,492                   730,492
COOPER CAMERON CORP CO COMMON   216640102          1,521       20,650                    20,650
COOPER COS INC         COMMON   216648402          4,524      127,900                   127,900
COORS ADOLPH COMPANY   COMMON   217016104          3,381       53,497                    53,497
COPPER MTN NETWORKS IN COMMON   217510106          4,267      113,790                   113,790
COR THERAPEUTICS INC   COMMON   217753102         95,880    1,538,700                 1,534,900
CARSO TELECOM          COMMON   2178336              698      288,000                   288,000
CERTICOM CORP          COMMON   2188476           29,776      751,700                   751,700
CORNING INC COM        COMMON   219350105        276,507    1,041,821                 1,041,821
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

PORTVUE-SEC13F.LRP                                                                                                 PAGE 11

RUN DATE: 11/03/00 08:26 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                   DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)   (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)                               (ITEM 6)
                                                                                                 INVESTMENT
                                                                                                 DISCRETION
                                                                                ---------------------------------------------
          NAME          TITLE                     FAIR     SHARES OR                                                   SHARED
           OF             OF       CUSIP        MARKET     PRINCIPAL                       SOLE         SHARED          OTHER
         ISSUER         CLASS      NUMBER        VALUE       AMOUNT                         (A)           (B)            (C)
---------------------- ------   ---------- -------------- ------------               ----------     ----------     ----------
<S>                    <C>      <C>        <C>            <C>                        <C>            <C>            <C>
CORPORATE EXECUTIVE BR COMMON   21988R102         11,101      275,800                   275,800
CORSAIR COMMUNICATIONS COMMON   220406102          5,476      700,900                   700,900
CORUS GROUP            COMMON   22087M101              2          251                       251
CORVIS CORP COM        COMMON   221009103         95,550    1,565,248                 1,565,248
COSINE COMMUNICATIONS  COMMON   221222102         24,092      433,600                   433,600
COSTCO WHOLESALE CORP  COMMON   22160K105             38        1,092                     1,092
COUNTRYWIDE CREDIT IND COMMON   222372104          1,885       49,930                    49,930
CORP INTER AM ENTERTAI COMMON   2224347           60,058   12,397,584                12,397,584
COVAD COMMUNICATIONS G COMMON   222814204             65        4,856                     4,856
COVENTRY HEALTH CARE I COMMON   222862104          6,200      409,900                   409,900
COX COMMUNICATIONS INC COMMON   224044107              4          115                       115
FOMENTO ECON MEXIC UNI COMMON   2242059              723      186,000                   186,000
CREDENCE SYS CORP COM  COMMON   225302108          8,937      297,900                   297,900
CREO PRODS INC         COMMON   225606102          1,846       54,300                    54,300
CIA VALE DO RIO DOCE   COMMON   2257127           19,105      761,300                   761,300
CELESTICA INC          COMMON   2263362           64,418      935,100                   935,100
CRITICAL PATH INC      COMMON   22674V100         18,547      305,300                   305,300
CROSS TIMBERS OIL CO   COMMON   227573102          3,552      185,100                   185,100
CROWN CASTLE INTL CORP COMMON   228227104         79,126    2,547,300                 2,539,000
CROWN CASTLE INTL      PREFERD  228227401          2,229       43,590                    43,590
CUBIST PHARMACEUTICALS COMMON   229678107         14,328      275,200                   275,200
CUMMINS ENGINE INC     COMMON   231021106              1           47                        47
CURAGEN CORP COM       COMMON   23126R101         27,056      507,800                   507,800
CURON MED INC          COMMON   231292103          1,150      100,000                   100,000
CUTTER & BUCK INC      COMMON   232217109          4,221      339,350                   339,350
CYBEAR GROUP NEW       COMMON   23243C102             72       54,319                    54,319
CANADIAN HUNTER EXP LT COMMON   2324418            9,386      386,900                   386,900
CYBEROPTICS CORP       COMMON   232517102          5,332      291,150                   291,150
CYMER INC              COMMON   232572107         27,858      907,800                   907,800
CYMER INC              CONVERT  232572AC1         17,323   17,928,000                17,928,000
CYPRESS SEMICONDUCTOR  COMMON   232806109         27,757      667,837                   667,837
CYPRESS SEMICONDUCTOR  CONVERT  232806AE9         20,413   17,945,000                17,945,000
DDI CORP COM           COMMON   233162106         17,146      387,500                   387,500
DMC STRATEX NETWORKS I COMMON   23322L106         12,819      798,100                   798,100
DSP GROUP INC          COMMON   23332B106         35,418      947,650                   947,650
DAIWA HOUSE IND LTD AD COMMON   234062206              6           93                        93
DANAHER CORP SHS BEN I COMMON   235851102              1           23                        23
DANKA BUSINESS SYS PLC COMMON   236277109              1          479                       479
DANSKE BK A/S ADR      COMMON   236363107              1            5                         5
DARDEN RESTAURANTS INC COMMON   237194105          3,965      190,507                   190,507
DATUM INC              COMMON   238208102          1,027       39,500                    39,500
GRUPO FINANCIERO BANAM COMMON   2401300           18,615    4,046,000                 4,046,000
DE BEERS CONS MINES LT COMMON   240253302             12          420                       420
EMPRESA BRAS DE AERONA COMMON   2428569            1,452      190,000                   190,000
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

PORTVUE-SEC13F.LRP                                                                                                 PAGE 12

RUN DATE: 11/03/00 08:26 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                   DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)   (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)                               (ITEM 6)
                                                                                                 INVESTMENT
                                                                                                 DISCRETION
                                                                                ---------------------------------------------
          NAME          TITLE                     FAIR     SHARES OR                                                   SHARED
           OF             OF       CUSIP        MARKET     PRINCIPAL                       SOLE         SHARED          OTHER
         ISSUER         CLASS      NUMBER        VALUE       AMOUNT                         (A)           (B)            (C)
---------------------- ------   ---------- -------------- ------------               ----------     ----------     ----------
<S>                    <C>      <C>        <C>            <C>                        <C>            <C>            <C>
CROWN CASTLE DECS TR V PREFERD  24366F203         24,308      829,265                   829,265
METROMEDIA DEC TRST VI PREFERD  24366Q209         14,383      319,614                   319,614
BANCO ITAU S.A.        COMMON   2459581            9,298  104,600,000               104,600,000
DELL COMPUTER CORP     COMMON   247025109         20,715      672,337                   672,337
DELPHI AUTOMOTIVE SYS  COMMON   247126105            495       32,700                    32,700
DELPHI FINL GROUP INC  COMMON   247131105            924       22,818                    22,818
DELTA & PINE LD CO     COMMON   247357106            508       19,770                    19,770
DELTA AIRLINES INC     COMMON   247361108          3,826       86,220                    86,220
DELTAGEN INC           COMMON   24783R103          8,328      269,200                   269,200
DELTEK SYS INC         COMMON   24785A108            243       31,690                    31,690
KOOKMIN BK GDR REG S   COMMON   2496373              804       65,900                    65,900
DESCARTES SYS GROUP IN COMMON   249906108         33,941      685,672                   685,672
DEUTSCHE BK A G SPON A COMMON   251525309              8           92                        92
LUFTHANSA-SPONS ADR    COMMON   251561304          9,290      451,555                   451,555
DEUTSCHE TELEKOM AG SP COMMON   251566105             17          514                       514
DEVON ENERGY CORP NEW  CONVERT  25179MAA1         13,884   14,350,000                14,350,000
DIAGEO PLC SPONSORED A COMMON   25243Q205             46        1,309                     1,309
DIAGNOSTIC PRODS CORP  COMMON   252450101          3,185       59,400                    59,400
DIAL CORP NEW COM      COMMON   25247D101              2          159                       159
DIAMOND OFFSHORE DRILL COMMON   25271C102         42,353    1,033,000                 1,033,000
DIAMOND OFFSHORE DRILL CONVERT  25271CAA0         29,429   25,957,000                25,957,000
DIAMOND TECHNOLOGY PAR COMMON   252762109         12,422      167,300                   167,300
DIGENE CORP            COMMON   253752109          5,281      146,700                   146,700
DIGEX INC DEL CL A     COMMON   253756100            564       12,031                    12,031
DIGIMARC CORP          COMMON   253807101          1,244       66,800                    66,800
DIGITAL LIGHTWAVE INC  COMMON   253855100         38,007      523,330                   523,330
DISNEY WALT PRODTNS    COMMON   254687106        165,545    4,327,985                 4,327,985
DIRECT FOCUS INC       COMMON   254931108          6,014      151,300                   151,300
DITECH COMMUNICATIONS  COMMON   25500M103         11,517      280,900                   280,900
DIVERSINET CORP        COMMON   25536K204            488       83,100                    83,100
MAGNA INTL CL A        COMMON   2554475              744       17,100                    17,100
DOCENT INC             COMMON   25608L106          3,663      200,000                   200,000
DOCUMENTUM INC         COMMON   256159104         59,129      728,300                   728,300
DOLLAR GEN CORP        COMMON   256669102            487       29,102                    29,102
DOLLAR TREE STORES INC COMMON   256747106         33,282      820,500                   820,500
DONCASTERS PLC ADR SPO COMMON   257692103          2,963      146,307                   146,307
NORTEL NETWORKS CORP   COMMON   2583877              408        6,800                     6,800
DOUBLECLICK INC COM    COMMON   258609304             15          489                       489
DOVER CORP             COMMON   260003108         85,576    1,823,200                 1,823,200
DOW CHEMICAL CORP      COMMON   260543103         25,771    1,033,450                 1,033,450
DOW JONES & CO INC COM COMMON   260561105          4,478       74,000                    74,000
DOWNEY FINL CORP       COMMON   261018105          4,385      111,000                   111,000
DRESDNER BK A G ADR SP COMMON   261561302         18,397      421,346                   421,346
DRESS BARN INC         COMMON   261570105          1,067       50,800                    50,800
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

PORTVUE-SEC13F.LRP                                                                                                 PAGE 13

RUN DATE: 11/03/00 08:26 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                   DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)   (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)                               (ITEM 6)
                                                                                                 INVESTMENT
                                                                                                 DISCRETION
                                                                                ---------------------------------------------
          NAME          TITLE                     FAIR     SHARES OR                                                   SHARED
           OF             OF       CUSIP        MARKET     PRINCIPAL                       SOLE         SHARED          OTHER
         ISSUER         CLASS      NUMBER        VALUE       AMOUNT                         (A)           (B)            (C)
---------------------- ------   ---------- -------------- ------------               ----------     ----------     ----------
<S>                    <C>      <C>        <C>            <C>                        <C>            <C>            <C>
PIVOTAL CORP           COMMON   2622899            7,300      137,300                   137,300
DSET CORP              COMMON   262504103          1,547       75,000                    75,000
DU PONT E I DE NEMOURS COMMON   263534109              3           65                        65
DURA PHARMACEUTICALS I COMMON   26632S109         24,027      679,200                   679,200
DURECT CORP            COMMON   266605104          1,575      105,000                   105,000
DYAX CORP              COMMON   26746E103          5,779      132,100                   132,100
DYCOM INDS INC COM     COMMON   267475101         53,865    1,294,040                 1,294,040
DYNEGY INC NEW CL A    COMMON   26816Q101        245,903    4,313,713                 4,309,313
PETRO CANADA           COMMON   2684316           22,272    1,000,300                 1,000,300
E M C CORP MASS        COMMON   268648102        322,223    3,248,037                 3,248,037
ENSCO INTL INC COM     COMMON   26874Q100        116,356    3,041,987                 3,035,287
ENI S P A SPONSORED AD COMMON   26874R108             42          781                       781
EOG RESOURCES INC.     COMMON   26875P101         66,735    1,716,679                 1,716,679
EOP OPER LTD PARTNERSH CONVERT  268766BP6         16,232   15,759,000                15,759,000
EPIX MEDICAL INC       COMMON   26881Q101          1,022       73,000                    73,000
E PIPHANY INC COM      COMMON   26881V100          3,067       39,800                    39,800
EVI INC SUB DBCV 5%    PREFERD  268939402         17,967      375,301                   375,301
E TRADE GROUP INC COM  COMMON   269246104              0            1                         1
RELIANCE INDS GDR REG  COMMON   2730598            7,563      484,000                   484,000
RIO ALTO EXPLORATION L COMMON   2740241            6,066      285,200                   285,200
ROCTEST LTD            COMMON   2746108              806       73,500                    73,500
EAST WEST BANCORP INC  COMMON   27579R104            855       43,700                    43,700
EATON VANCE CORP       COMMON   278265103          6,594      129,300                   129,300
ECHOSTAR COMMUNICATION COMMON   278762109         32,028      607,173                   607,173
ECHOSTAR COMMUNICATION CONVERT  278762AD1         27,759   20,891,000                20,891,000
EDEN BIOSCIENCE CORP   COMMON   279445100          1,726       52,300                    52,300
EDISON INTL            COMMON   281020107            402       20,800                    20,800
EDWARDS AG INC         COMMON   281760108          1,041       19,900                    19,900
EFFICIENT NETWORKS INC COMMON   282056100         12,109      324,538                   324,538
EFFICIENT NETWORKS INC CONVERT  282056AB6         11,258   17,591,000                17,591,000
EIDOS PLC ADR SPONSORE COMMON   282485101              1          275                       275
EL PASO ELEC CO        COMMON   283677854          2,945      213,900                   213,900
ELAN FINANCE           CONVERT  284129AC7         23,829   29,601,000                29,601,000
ELAN PLC ADR           COMMON   284131208         59,816    1,092,480                 1,092,480
ELANTEC SEMICONDUCTOR  COMMON   284155108         17,185      172,500                   172,500
ELBIT COMPUTERS LTD    COMMON   284275104          2,614      286,500                   286,500
ELECTRIC LIGHTWAVE INC COMMON   284895109            677       79,700                    79,700
ELECTRO SCIENTIFIC IND COMMON   285229100         24,092      685,900                   685,900
ELECTRONICS FOR IMAGIN COMMON   286082102              7          272                       272
TESCO CORP             COMMON   2884310            7,357      718,800                   718,800
ELOYALTY CORP          COMMON   290151109          2,487      195,030                   195,030
EMBRAER-EMPRESA BRASIL COMMON   29081M102         27,761      895,500                   895,500
EMBRATEL PARTICIPACOES COMMON   29081N100         28,618    1,546,900                 1,546,900
EMCORE CORP            COMMON   290846104         26,818      645,000                   645,000
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

PORTVUE-SEC13F.LRP                                                                                                 PAGE 14

RUN DATE: 11/03/00 08:26 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                   DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)   (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)                               (ITEM 6)
                                                                                                 INVESTMENT
                                                                                                 DISCRETION
                                                                                ---------------------------------------------
          NAME          TITLE                     FAIR     SHARES OR                                                   SHARED
           OF             OF       CUSIP        MARKET     PRINCIPAL                       SOLE         SHARED          OTHER
         ISSUER         CLASS      NUMBER        VALUE       AMOUNT                         (A)           (B)            (C)
---------------------- ------   ---------- -------------- ------------               ----------     ----------     ----------
<S>                    <C>      <C>        <C>            <C>                        <C>            <C>            <C>
EMCOR GROUP INC        COMMON   29084Q100          2,871      110,420                   110,420
EMERSON ELEC CO        COMMON   291011104              4           65                        65
EMISPHERE TECHNOLOGIES COMMON   291345106            925       30,900                    30,900
EMULEX CORP            COMMON   292475209         68,604      560,035                   557,935
                       COMMON   29250D107              3          482                       482
ENDESA S A SPONSORED A COMMON   29258N107             12          677                       677
ENDOCARE INC           COMMON   29264P104          2,554      129,300                   129,300
ENERGEN CORP           COMMON   29265N108          2,504       84,180                    84,180
ENERGY EAST CORP       COMMON   29266M109          1,695       74,900                    74,900
ENGELHARD CORP         COMMON   292845104          2,215      136,290                   136,290
ENGINEERED SUPPORT SYS COMMON   292866100          3,161      165,300                   165,300
ENHANCE FINL SVCS GROU COMMON   293310108            252       19,360                    19,360
ENRON CORP             COMMON   293561106         99,630    1,136,998                 1,136,998
ENTRAVISION COMMUNICAT COMMON   29382R107         18,744    1,078,800                 1,078,800
ENTRUST TECHNOLOGIES I COMMON   293848107          8,814      319,069                   319,069
ENZON INC COM          COMMON   293904108         76,824    1,164,000                 1,164,000
EPCOS AG ADR           COMMON   29410P107             29          365                       365
EQUANT N V SHS-N Y REG COMMON   294409107             19          510                       510
EQUITABLE RES INC      COMMON   294549100         19,855      313,300                   313,300
EQUITY OFFICE PROPERTI PREFERD  294741509          9,200      200,000                   200,000
ERICSSON L M TEL CO AD COMMON   294821400         75,682    5,109,364                 5,109,364
ESCO TECHNOLOGIES INC  COMMON   296315104          1,239       71,300                    71,300
ESPEED INC CL A        COMMON   296643109            492       17,297                    17,297
ESTERLINE TECHNOLOGIES COMMON   297425100          3,239      164,530                   164,530
ETHAN ALLEN INTERIORS  COMMON   297602104         20,222      714,250                   714,250
EVERGREEN RES INC      COMMON   299900308          6,102      175,600                   175,600
EVERGREEN TAX STRATEGI MUTUAL   299921106              1           84                        84
EXAR CORP              COMMON   300645108         74,324      614,250                   614,250
EXCALIBUR TECHNOLOGIES COMMON   300651205         12,410      184,700                   184,700
EXCEL TECHNOLOGY INC   COMMON   30067T103          1,308       40,800                    40,800
EXCELON CORP           COMMON   300691102          1,583      127,900                   127,900
EXCHANGE APPLICATIONS  COMMON   300867108          2,530      558,300                   558,300
EXE TECHNOLOGIES INC   COMMON   301504106          3,392      226,100                   226,100
EXELIXIS INC COM       COMMON   30161Q104            364       11,600                    11,600
EXTENDED SYSTEMS INC   COMMON   301973103          6,853      127,500                   127,500
EXODUS COMMUNICATIONS  COMMON   302088109         40,394      818,100                   818,100
EXODUS COMMUNICATIONS  CONVERT  302088AJ8         27,392   17,630,000                17,630,000
EXPEDITORS INTL WASH I COMMON   302130109         12,973      287,900                   287,900
EXTREME NETWORKS INC C COMMON   30226D106        100,058      873,879                   871,979
EXXON MOBIL CORP       COMMON   30231G102         67,656      759,109                   759,109
F M C CORP             COMMON   302491303          2,045       30,500                    30,500
FNB CORP PA            COMMON   302520101            428       20,036                    20,036
FSI INTL INC           COMMON   302633102          4,097      287,500                   287,500
F Y I INC              COMMON   302712104          4,414      118,100                   118,100
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

PORTVUE-SEC13F.LRP                                                                                                 PAGE 15

RUN DATE: 11/03/00 08:26 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                   DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)   (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)                               (ITEM 6)
                                                                                                 INVESTMENT
                                                                                                 DISCRETION
                                                                                ---------------------------------------------
          NAME          TITLE                     FAIR     SHARES OR                                                   SHARED
           OF             OF       CUSIP        MARKET     PRINCIPAL                       SOLE         SHARED          OTHER
         ISSUER         CLASS      NUMBER        VALUE       AMOUNT                         (A)           (B)            (C)
---------------------- ------   ---------- -------------- ------------               ----------     ----------     ----------
<S>                    <C>      <C>        <C>            <C>                        <C>            <C>            <C>
FACTORY 2-U INC        COMMON   303072102         13,759      450,200                   450,200
FAIRCHILD SEMICONDUCTO COMMON   303726103          3,954      140,600                   140,600
FAIRFIELD CMNTYS INC   COMMON   304231301            505       49,900                    49,900
FAMILY DLR STORES INC  COMMON   307000109            777       40,408                    40,408
FEDERAL HOME LN MTG CO COMMON   313400301          2,354       43,541                    43,541
FEDERAL NATL MTG ASSN  COMMON   313586109          3,327       46,521                    46,521
FEDERATED DEPT STORES  COMMON   31410H101          1,954       74,800                    74,800
FINISAR                COMMON   31787A101         60,856    1,258,000                 1,251,900
FIRST FIN DATA CORP    COMMON   319963104         19,266      493,200                   493,200
FIRST ESSEX BANCORP IN COMMON   320103104            282       13,340                    13,340
FIRST HORIZON PHARMACE COMMON   32051K106          3,785      208,800                   208,800
FIRST HEALTH GROUP COR COMMON   320960107            967       29,976                    29,976
FIRST UNION CORP       COMMON   337358105            946       29,400                    29,400
FISERV INC COMMON      COMMON   337738108         14,831      247,700                   247,700
FIRSTMERIT CORP        COMMON   337915102            456       19,880                    19,880
FLAMEL TECHNOLOGIES SA COMMON   338488109            523       73,300                    73,300
FLEETBOSTON FINL CORP  COMMON   339030108         26,274      673,692                   673,692
FOCAL COMMUNICATIONS C COMMON   344155106          3,558      230,500                   230,500
FOMENTO ECONOMICO MEXI COMMON   344419106          1,681       43,100                    43,100
FORD MOTOR             COMMON   345370100              3           54                        54
FORD MTR CO DEL        COMMON   345370860          3,074      121,460                   121,460
FOREST LABS INC COM    COMMON   345838106        141,436    1,233,231                 1,231,031
FOREST OIL CORP        COMMON   346091606          6,925      427,800                   427,800
FORRESTER RESH INC     COMMON   346563109         19,794      310,500                   310,500
FORTIS NL ADR SPONSORE COMMON   34956J101             46        1,513                     1,513
FORTUNE BRANDS INC COM COMMON   349631101              1           25                        25
FORWARD AIR CORP       COMMON   349853101         20,120      571,800                   571,800
FOX ENTMT GROUP INC CL COMMON   35138T107          1,102       41,586                    41,586
FRANCO NEV MNG LTD COM COMMON   351860101              3          177                       177
FRESENIUS MED CARE AG  COMMON   358029106             13          439                       439
FRONTIER AIRLINES INC  COMMON   359065109            497       25,560                    25,560
FUELCELL ENERGY INC    COMMON   35952H106          1,444       15,000                    15,000
FUJITSU LTD ADR 5 COM  COMMON   359590304          7,982       68,684                    68,684
FURUKAWA ELEC LTD ADR  COMMON   361118102         14,297       51,720                    51,720
GBC BANCORP CALIF      COMMON   361475106          3,774      110,800                   110,800
GKN PUB LTD CO ADR     COMMON   361755606              2          202                       202
GABELLI ASSET MGMT INC COMMON   36239Y102          2,088       69,600                    69,600
GADZOOKS INC           COMMON   362553109          1,848      103,400                   103,400
GANNETT INC DEL        COMMON   364730101         36,830      694,900                   694,900
GASONICS INTL CORP     COMMON   367278108          8,537      696,900                   696,900
GATEWAY INC.           COMMON   367626108              5           92                        92
GEMSTAR TV GUIDE INTER COMMON   36866W106        106,867    1,225,718                 1,225,718
GENENCOR INTL INC      COMMON   368709101          4,450      150,200                   150,200
GENENTECH INC COM NEW  COMMON   368710406        140,591      757,142                   757,142
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

PORTVUE-SEC13F.LRP                                                                                                 PAGE 16

RUN DATE: 11/03/00 08:26 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                   DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)   (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)                               (ITEM 6)
                                                                                                 INVESTMENT
                                                                                                 DISCRETION
                                                                                ---------------------------------------------
          NAME          TITLE                     FAIR     SHARES OR                                                   SHARED
           OF             OF       CUSIP        MARKET     PRINCIPAL                       SOLE         SHARED          OTHER
         ISSUER         CLASS      NUMBER        VALUE       AMOUNT                         (A)           (B)            (C)
---------------------- ------   ---------- -------------- ------------               ----------     ----------     ----------
<S>                    <C>      <C>        <C>            <C>                        <C>            <C>            <C>
GENERAL DYNAMICS CORP  COMMON   369550108          5,484       87,300                    87,300
GENERAL ELEC CO        COMMON   369604103        426,536    7,390,556                 7,390,556
GENERAL MLS INC        COMMON   370334104          1,523       42,900                    42,900
GENERAL MTRS CORP      COMMON   370442105         30,877      475,034                   475,034
GENERAL MTRS CORP      COMMON   370442832          1,304       35,101                    35,101
GENESCO INC            COMMON   371532102         14,475      854,600                   854,600
GENTEX CORP COM        COMMON   371901109              2           80                        80
GENOMICA CORP          COMMON   37243Q101          3,110      160,000                   160,000
GENOMIC SOLUTIONS INC  COMMON   37243R109          5,613      326,600                   326,600
GENSET SA SPONSORED AD COMMON   37244T104              2           84                        84
GENZYME TRANSGENICS CO COMMON   37246E105         19,529      554,000                   554,000
GENZYME CORP           COMMON   372917104         37,592      551,300                   551,300
GEORGIA GULF CORP      COMMON   373200203          5,481      479,200                   479,200
GEORGIA PAC CORP       COMMON   373298108             19          796                       796
GETTY IMAGES INC       COMMON   374276103          8,483      278,700                   278,700
GILEAD SCIENCES INC    COMMON   375558103         44,145      402,459                   402,459
GILDAN ACTIVEWEAR INC  COMMON   375916103          3,267       97,900                    97,900
GLATFELTER P H CO      COMMON   377316104            509       42,000                    42,000
GLENAYRE TECHNOLOGIES  COMMON   377899109          5,010      460,700                   460,700
GLIMCHER RLTY TR       COMMON   379302102            309       20,680                    20,680
GLOBAL CROSSING 144A   PREFERD  37932J202          9,699      111,969                   111,969
GLOBAL INDS LTD        COMMON   379336100         13,942    1,115,300                 1,115,300
GLOBAL MARINE INC      COMMON   379352404         38,708    1,253,700                 1,246,800
GLOBECOMM SYSTEMS INC  COMMON   37956X103          3,166      245,900                   245,900
GLOBESPAN INC COM      COMMON   379571102         98,384      806,436                   804,736
GLOBIX CORP COM        COMMON   37957F101          8,976      385,000                   385,000
GLOBO CABO S A         COMMON   37957X102          9,742      728,400                   728,400
GOLDEN TELECOM INC     COMMON   38122G107            641       36,900                    36,900
GOLDEN WEST FINL CORP  COMMON   381317106         27,499      512,800                   512,800
GOLDMAN SACHS GROUP IN COMMON   38141G104         33,661      295,293                   295,293
GOLF TR AMER INC       COMMON   38168B103            168       12,430                    12,430
GO2NET INC COM         COMMON   383486107            428        7,900                     7,900
GREAT PLAINS SOFTWARE  COMMON   39119E105            591       21,000                    21,000
GREATER BAY BANCORP    COMMON   391648102         15,212      219,080                   219,080
GROUPE DANONE          COMMON   399449107         20,986      752,212                   752,212
GRUPO TELEVISA SA DE C COMMON   40049J206          9,443      163,700                   163,700
GRUPO IUSACELL SA DE C COMMON   40050B100          5,973      503,000                   503,000
AUTONOMY CORP PLC      COMMON   4012001           22,174      395,962                   395,962
ALLEANZA ASSICURAZ     COMMON   4015970           57,681    4,357,580                 4,357,580
GUIDANT CORP           COMMON   401698105             87        1,223                     1,223
GUILFORD PHARMACEUTICA COMMON   401829106          6,206      269,100                   269,100
ALTRAN TECHNOLOGIES    COMMON   4021869           15,392       72,950                    72,950
GULF ISLAND FABRICATIO COMMON   402307102            472       26,760                    26,760
AXA                    COMMON   4026927              538        4,120                     4,120
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

PORTVUE-SEC13F.LRP                                                                                                 PAGE 17

RUN DATE: 11/03/00 08:26 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                   DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)   (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)                               (ITEM 6)
                                                                                                 INVESTMENT
                                                                                                 DISCRETION
                                                                                ---------------------------------------------
          NAME          TITLE                     FAIR     SHARES OR                                                   SHARED
           OF             OF       CUSIP        MARKET     PRINCIPAL                       SOLE         SHARED          OTHER
         ISSUER         CLASS      NUMBER        VALUE       AMOUNT                         (A)           (B)            (C)
---------------------- ------   ---------- -------------- ------------               ----------     ----------     ----------
<S>                    <C>      <C>        <C>            <C>                        <C>            <C>            <C>
VIVENDI ENVIRONNEMENT  COMMON   4031879           38,305    1,033,500                 1,033,500
EGIS                   COMMON   4040499            9,997      223,600                   223,600
HCA-HEALTHCARE CO      COMMON   404119109         10,833      291,800                   291,800
HNC SOFTWARE INC       COMMON   40425P107         17,573      214,800                   214,800
HSBC HOLDINGS PLC      COMMON   404280406         21,262      297,800                   297,800
HS RES INC             COMMON   404297103          4,731      140,700                   140,700
ASCOM HLDG AG BEARER   COMMON   4052740           10,712        3,195                     3,195
HALL KINION ASSOCIATES COMMON   406069104         16,684      586,700                   586,700
HALLIBURTON COMPANY    COMMON   406216101              4           83                        83
LEICA GEOSYSTEMS AG    COMMON   4064693              876        2,800                     2,800
LOGITECH INTERNATIONAL COMMON   4066848           14,585       46,340                    46,340
UNITED MEDICAL SYSTEMS COMMON   4074818            1,119       59,000                    59,000
ARNOLDO MONDADORI EDIT COMMON   4084895           15,349    1,290,300                 1,290,300
UNILABS                COMMON   4088187            2,253        2,900                     2,900
LION BIOSCIENCE  AG    COMMON   4095444            2,224       22,500                    22,500
HANCOCK JOHN FINL SVCS COMMON   41014S106              2           90                        90
HANDLEMAN CO DEL       COMMON   410252100          1,647      133,130                   133,130
HANSON PLC ADR SPONSOR COMMON   411352404             24          877                       877
BAER HLDGS AG          COMMON   4116958           24,275        4,680                     4,680
HARLEY DAVIDSON INC    COMMON   412822108         99,248    2,073,089                 2,068,489
HARMAN INTL INDS INC   COMMON   413086109          4,324      110,600                   110,600
JM AB   B SHS          COMMON   4155508            3,896      166,800                   166,800
CAP GEMINI SA          COMMON   4163437              338        1,800                     1,800
HARTFORD FINANCIAL SER COMMON   416515104              2           23                        23
HASBRO BRADLEY INC     COMMON   418056107              1          123                       123
COFLEXIP SA            COMMON   4181741           15,203      120,900                   120,900
CENTROS COMERCIALES PR COMMON   4184267            5,291      387,097                   387,097
HEALTHSOUTH CORP       COMMON   421924101          2,259      278,000                   278,000
HEALTH MGMT ASSOC INC  COMMON   421933102             65        3,147                     3,147
HEARTLAND EXPRESS INC  COMMON   422347104            391       22,500                    22,500
HEIDRICK & STRUGGLES I COMMON   422819102         20,596      400,900                   400,900
HEINEKEN N V ADR       COMMON   423012202         10,490      188,573                   188,573
HELIX TECHNOLOGY CORP  COMMON   423319102         14,631      489,750                   489,750
HELLER FINL INC CL A   COMMON   423328103          6,564      229,800                   229,800
HELMERICH & PAYNE INC  COMMON   423452101         15,935      441,100                   441,100
ALPHA CREDIT BANK      COMMON   4235864           63,345    1,603,300                 1,603,300
CUKUROVA ELEKTRIK AS   COMMON   4239800                0       85,000                    85,000
CREDIT SUISSE GRP      COMMON   4245614              953        5,100                     5,100
HENRY JACK & ASSOC INC COMMON   426281101         17,176      396,000                   396,000
METRO INTERNATIONAL SA COMMON   4280240              715       57,435                    57,435
HERTZ CORP CL A        COMMON   428040109              1           18                        18
HEWLETT PACKARD CO     COMMON   428236103         19,347      199,450                   199,450
HEWLETT PACKARD CO 0.0 CONVERT  428236AC7         31,923   43,432,000                43,432,000
HEXCEL CORP NEW        CONVERT  428291AA6          1,517    1,500,000                 1,500,000
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

PORTVUE-SEC13F.LRP                                                                                                 PAGE 18

RUN DATE: 11/03/00 08:26 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                   DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)   (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)                               (ITEM 6)
                                                                                                 INVESTMENT
                                                                                                 DISCRETION
                                                                                ---------------------------------------------
          NAME          TITLE                     FAIR     SHARES OR                                                   SHARED
           OF             OF       CUSIP        MARKET     PRINCIPAL                       SOLE         SHARED          OTHER
         ISSUER         CLASS      NUMBER        VALUE       AMOUNT                         (A)           (B)            (C)
---------------------- ------   ---------- -------------- ------------               ----------     ----------     ----------
<S>                    <C>      <C>        <C>            <C>                        <C>            <C>            <C>
KUDELSKI SA  BEARER    COMMON   4329422           21,807       14,250                    14,250
FUGRO MCCLELLAND       COMMON   4332895           12,323      215,000                   215,000
HISPANIC BROADCASTING  COMMON   43357B104          5,444      195,300                   195,300
DEPFA DEUTSCHE PFANDBF COMMON   4355063           14,112      176,700                   176,700
HOME DEPOT INC         COMMON   437076102         45,513      857,719                   857,719
HON HAI PREC GDR 144A  COMMON   438090102          7,611      590,034                   590,034
HONEYWELL INTL INC     COMMON   438516106          1,657       46,500                    46,500
HOT TOPIC INC          COMMON   441339108          4,884      162,800                   162,800
HOTJOBS COM INC        COMMON   441474103          9,896      580,000                   580,000
HOUSEHOLD INTL CORP    COMMON   441815107              5           85                        85
INTL QUANTUM EPITAXY P COMMON   4419839              120       15,000                    15,000
HOUSTON EXPL CO        COMMON   442120101          2,326       92,100                    92,100
ENI SPA                COMMON   4436399           35,477    6,700,490                 6,700,490
HURRIYET GAZETECILIK   COMMON   4445276            7,670  810,226,400               810,226,400
HUMAN GENOME SCIENCES  COMMON   444903108        176,785    1,044,033                 1,042,233
INDRA SISTEMAS SA      COMMON   4476210           10,866      502,600                   502,600
HUTCHISON WHAMPOA LTD  COMMON   448415208         10,381      156,379                   156,379
ICN PHARMACEUTICALS IN COMMON   448924100          1,017       30,597                    30,597
ICOS CORP              COMMON   449295104          3,946       72,900                    72,900
IDEC PHARMACEUTICALS C COMMON   449370105         65,047      370,934                   369,134
IASIAWORKS INC         COMMON   45072L101          2,500      250,000                   250,000
IBASIS INC             COMMON   450732102          4,747      299,000                   299,000
IDACORP INC            COMMON   451107106          2,718       58,770                    58,770
ILEX ONCOLOGY INC      COMMON   451923106          7,845      260,400                   260,400
ILLUMINA INC           COMMON   452327109          3,394       74,800                    74,800
ILLUMINET HLDGS INC CD COMMON   452334105              3          100                       100
IMMERSION CORP         COMMON   452521107          2,968      191,500                   191,500
IMMUNEX CORP NEW COM   COMMON   452528102         87,342    2,007,882                 2,003,182
IMMUNOGEN INC          COMMON   45253H101          9,658      282,500                   282,500
IMPERIAL BANCORP       COMMON   452556103            313       16,379                    16,379
IMMUNOMEDICS INC       COMMON   452907108          5,588      266,900                   266,900
INCYTE PHARMACEUTICALS COMMON   45337C102          5,337      129,788                   129,788
INDEPENDENT ENERGY HLD COMMON   45384X108             12        1,641                     1,641
LEGRAND SA             COMMON   4558583              345        2,100                     2,100
INFINEON TECHNOLOGIES  COMMON   45662N103              2           58                        58
INFINITY BROADCASTING  COMMON   45662S102             19          580                       580
INET TECHNOLOGIES INC  COMMON   45662V105          7,312      250,000                   250,000
INFOCUS CORP           COMMON   45665B106         42,954      810,450                   810,450
INFORMATION HLDGS INC  COMMON   456727106          4,061      114,600                   114,600
INFOSYS TECHNOLOGIES L COMMON   456788108              7           50                        50
ING GROEP N.V. ADR     COMMON   456837103         15,260      231,640                   231,640
INGERSOLL-RAND COMPANY COMMON   456866102            135        3,953                     3,953
INKTOMI CORP COM       COMMON   457277101         20,656      181,188                   181,188
INNERDYNE INC          COMMON   45764D102          2,958      422,500                   422,500
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

PORTVUE-SEC13F.LRP                                                                                                 PAGE 19

RUN DATE: 11/03/00 08:26 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                   DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)   (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)                               (ITEM 6)
                                                                                                 INVESTMENT
                                                                                                 DISCRETION
                                                                                ---------------------------------------------
          NAME          TITLE                     FAIR     SHARES OR                                                   SHARED
           OF             OF       CUSIP        MARKET     PRINCIPAL                       SOLE         SHARED          OTHER
         ISSUER         CLASS      NUMBER        VALUE       AMOUNT                         (A)           (B)            (C)
---------------------- ------   ---------- -------------- ------------               ----------     ----------     ----------
<S>                    <C>      <C>        <C>            <C>                        <C>            <C>            <C>
INSIGHT ENTERPRISES IN COMMON   45765U103         25,947      952,165                   952,165
INSITUFORM TECHNOLOGIE COMMON   457667103          8,252      245,400                   245,400
INSILICON CORP         COMMON   45769H108          3,555      245,200                   245,200
INRANGE TECHNOLOGIES C COMMON   45769V206          7,950      150,000                   150,000
INNKEEPERS USA TR      COMMON   4576J0104            324       31,590                    31,590
INSPIRE PHARMACEUTICAL COMMON   457733103          2,973       99,100                    99,100
INTEGRATED MEASUREMENT COMMON   457923100          1,284       95,100                    95,100
INTEGRATED DEVICE TECH COMMON   458118106        129,245    1,428,099                 1,428,099
INTEGRATED SILICON SOL COMMON   45812P107         11,217      790,600                   790,600
INTEL CORP             COMMON   458140100        197,785    4,758,765                 4,758,765
INTEGRATED TELECOM EXP COMMON   45817U101          1,079       52,000                    52,000
INTER TEL INC          COMMON   458372109              2          145                       145
INTERCEPT GROUP INC    COMMON   45845L107          4,893      209,900                   209,900
INTEREP NATL RADIO SAL COMMON   45866V109            316      101,100                   101,100
INTERLINK ELECTRS      COMMON   458751104          5,828      300,800                   300,800
INTERMAGNETICS GEN COR COMMON   458771102          7,541      283,218                   283,218
INTERNAP NETWORK SVCS  COMMON   45885A102            336       10,400                    10,400
NOBEL BIOCARE AB       COMMON   4590585            1,607       64,500                    64,500
INTERNATIONAL BUSINESS COMMON   459200101         34,957      310,408                   310,408
INTERNATIONAL FIBERCOM COMMON   45950T101          9,440      645,500                   645,500
INTERNATIONAL GAME TEC COMMON   459902102          6,617      196,800                   196,800
INTL RECTIFIER CORP    COMMON   460254105         59,822    1,184,600                 1,184,600
INTL RECTIFIER CORP 14 CONVERT  460254AD7         15,959   17,207,000                17,207,000
INTL SPECIALTY PRODS I COMMON   460337108            206       38,310                    38,310
INTERNET CAPITAL GROUP COMMON   46059C106             19        1,086                     1,086
INTERNET PICTURES CORP COMMON   46059S101          1,450      266,603                   266,603
INTERNET INITIATIVE JA COMMON   46059T109              7          157                       157
INTERNET SEC SYS INC C COMMON   46060X107         34,498      459,200                   459,200
INTERPUBLIC GROUP COS  COMMON   460690100          1,032       30,300                    30,300
INTERPUBLIC GROUP COS  CONVERT  460690AJ9          4,721    5,155,000                 5,155,000
INTERSPEED INC         COMMON   46070W107          1,859      270,400                   270,400
INTRANET SOLUTIONS INC COMMON   460939309          7,480      149,600                   149,600
INTERNET COM CORP      COMMON   460967102          5,417      175,100                   175,100
INTERTAN INC           COMMON   461120107          6,584      456,050                   456,050
INTERWOVEN INC COM     COMMON   46114T102        165,099    1,460,246                 1,458,246
INTIMATE BRANDS INC CL COMMON   461156101          2,185      116,854                   116,854
INTRABIOTICS PHARMACEU COMMON   46116T100            813       50,000                    50,000
INTUIT INC             COMMON   461202103         59,973    1,052,180                 1,052,180
INVENSYS PLC ADR SPONS COMMON   461204109              8        1,835                     1,835
INVERNESS MED TECHNOLO COMMON   461268104          2,272      118,000                   118,000
UNAXIS HOLDING AG R    COMMON   4612757           18,154       65,100                    65,100
INVESTMENT TECHNOLOGY  COMMON   46145F105            511       12,800                    12,800
NESTLE SA              COMMON   4616696           47,793       22,946                    22,946
INVITROGEN CORP        COMMON   46185R100         51,807      728,400                   728,400
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

PORTVUE-SEC13F.LRP                                                                                                 PAGE 20

RUN DATE: 11/03/00 08:26 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                   DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)   (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)                               (ITEM 6)
                                                                                                 INVESTMENT
                                                                                                 DISCRETION
                                                                                ---------------------------------------------
          NAME          TITLE                     FAIR     SHARES OR                                                   SHARED
           OF             OF       CUSIP        MARKET     PRINCIPAL                       SOLE         SHARED          OTHER
         ISSUER         CLASS      NUMBER        VALUE       AMOUNT                         (A)           (B)            (C)
---------------------- ------   ---------- -------------- ------------               ----------     ----------     ----------
<S>                    <C>      <C>        <C>            <C>                        <C>            <C>            <C>
IONA TECHNOLOGIES PLC  COMMON   46206P109         21,198      305,000                   305,000
NATIONAL BANK OF GREEC COMMON   4625959           22,815      554,290                   554,290
ISLE OF CAPRI CASINOS  COMMON   464592104          1,479       95,400                    95,400
I2 TECHNOLOGIES INC CO COMMON   465754109         96,558      516,179                   514,379
I2 TECHNOLOGIES INC    CONVERT  465754AF6         40,834   15,344,000                15,344,000
IVAX CORP              COMMON   465823102         67,137    1,459,485                 1,459,485
IXOS SOFTWARE AG ADR S COMMON   46600V108              0           26                        26
JDS UNIPHASE CORP      COMMON   46612J101        164,478    1,737,060                 1,737,060
JDA SOFTWARE GROUP INC COMMON   46612K108          9,936      779,300                   779,300
JNI CORP COM           COMMON   46622G105            561        6,300                     6,300
JACK IN THE BOX INC    COMMON   466367109         14,301      667,100                   667,100
JACO ELECTRS INC       COMMON   469783104            162       10,800                    10,800
JAPAN AIR LINES LTD AD COMMON   471034306             49        6,175                     6,175
JAPAN TELECOM SPON ADR COMMON   471104109         10,077      348,787                   348,787
PARMALAT FINANZ        COMMON   4714404           12,151    8,320,100                 8,320,100
RAS SPA                COMMON   4718246           53,845    4,095,100                 4,095,100
AVENTIS SA EUR3.82     COMMON   4736817           47,309      630,713                   630,713
MERCK KGAA             COMMON   4741844            6,086      179,100                   179,100
JEFFERSON PILOT CORP C COMMON   475070108         18,855      277,800                   277,800
THE SWATCH GROUP AG B  COMMON   4762403           24,241       16,759                    16,759
EDISON SPA             COMMON   4764465           48,929    4,972,800                 4,972,800
SAIPEM ITL1000         COMMON   4768768           16,003    2,878,500                 2,878,500
JOHNSON & JOHNSON      COMMON   478160104         78,459      835,229                   835,229
JOHNSON CTLS INC       COMMON   478366107          2,819       53,000                    53,000
SCHIBSTED ASA          COMMON   4790534           16,257      925,300                   925,300
JONES APPAREL GROUP IN COMMON   480074103              7          252                       252
SGL CARBON AG          COMMON   4818351           14,950      233,800                   233,800
JUNIPER NETWORKS INC C COMMON   48203R104        240,353    1,097,816                 1,097,816
JUNIPER NETWORKS       CONVERT  48203RAA2         38,164   24,762,000                24,762,000
KLA INSTRS CORP        COMMON   482480100             34          820                       820
SCHNEIDER ELECTRIC SA  COMMON   4834108           32,172      510,600                   510,600
KAMAN CORP             COMMON   483548103            559       44,290                    44,290
KANA COMMUNICATIONS    COMMON   483600102          3,474      156,133                   156,133
SCHERING AG            COMMON   4845757            2,805       42,900                    42,900
SAP                    COMMON   4846288            4,665       23,800                    23,800
SAP AG PREF SHS        COMMON   4846868           56,742      229,600                   229,600
STOREBRAND ASA         COMMON   4852832           14,955    2,104,900                 2,104,900
KEEBLER FOODS CO COM   COMMON   487256109            653       15,537                    15,537
KEITHLEY INSTRS INC    COMMON   487584104         40,362      576,600                   573,700
TELECOM ITALIA MOBILE  COMMON   4876746            1,093      135,200                   135,200
KEMET CORP             COMMON   488360108         24,899      901,300                   901,300
TOTAL FINA ELF SA      COMMON   4905413           49,713      339,777                   339,777
KENT ELECTRS CORP      COMMON   490553104         18,386      770,100                   770,100
CIE NATIONAL AIR FRANC COMMON   4916039           10,687      605,800                   605,800
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

PORTVUE-SEC13F.LRP                                                                                                 PAGE 21

RUN DATE: 11/03/00 08:26 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                   DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)   (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)                               (ITEM 6)
                                                                                                 INVESTMENT
                                                                                                 DISCRETION
                                                                                ---------------------------------------------
          NAME          TITLE                     FAIR     SHARES OR                                                   SHARED
           OF             OF       CUSIP        MARKET     PRINCIPAL                       SOLE         SHARED          OTHER
         ISSUER         CLASS      NUMBER        VALUE       AMOUNT                         (A)           (B)            (C)
---------------------- ------   ---------- -------------- ------------               ----------     ----------     ----------
<S>                    <C>      <C>        <C>            <C>                        <C>            <C>            <C>
KERR MCGEE CORP        COMMON   492386107            749       11,300                    11,300
KERR MCGEE CORP        CONVERT  492386AP2         23,255   18,641,000                18,641,000
KEY ENERGY SVCS INC    COMMON   492914106          2,192      223,400                   223,400
KEYNOTE SYS INC        COMMON   493308100          2,702      101,000                   101,000
SAMSUNG ELCR II REG S  COMMON   4942818            2,498       26,900                    26,900
E.ON AG                COMMON   4942904           46,714      908,000                   908,000
KIMBERLY CLARK CORP    COMMON   494368103         51,939      930,600                   930,600
PECHINEY SA            COMMON   4943792            9,898      247,600                   247,600
KING PHARMACEUTICALS I COMMON   495582108         87,082    2,603,243                 2,603,243
VNU NV                 COMMON   4970950            1,342       26,670                    26,670
KNIGHT TRADING GROUP I COMMON   499063105             71        1,968                     1,968
KOHLS CORP             COMMON   500255104        161,312    2,796,286                 2,791,486
KOHL'S CORPORATION 144 CONVERT  500255AG9         18,655   31,753,000                31,753,000
KOHLS CORP             CONVERT  500255AJ3            397      675,000                   675,000
KOMATSU LTD ADR NEW    COMMON   500458401         21,985      903,319                   903,319
KONINKLIJKE AHOLD NV A COMMON   500467303         20,232      717,788                   717,788
KONINKLIJKE PHILIPS EL COMMON   500472303         56,985    1,340,834                 1,340,834
KOREA ELECTRIC PWR ADR COMMON   500631106          3,031      232,083                   232,083
KOREA TELECOM ADR SPON COMMON   50063P103          3,870      115,113                   115,113
KORN FERRY INTL        COMMON   500643200         11,839      313,100                   313,100
KROGER CO              COMMON   501044101          1,141       50,590                    50,590
KUBOTA LTD CORP        COMMON   501173207              2           37                        37
KULICKE & SOFFA INDS I COMMON   501242101            174       13,060                    13,060
KYOCERA CORP           COMMON   501556203             36          238                       238
LSI LOGIC CORP         COMMON   502161102              1           50                        50
LSI LOGIC 4.000% 02/15 CONVERT  502161AE2             66       82,000                    82,000
LTX CORP               COMMON   502392103         14,532      767,350                   767,350
LABORATORY CORP AMER H COMMON   50540R409         42,703      356,600                   356,600
ING GROEP NV           COMMON   5058877            2,085       31,300                    31,300
LAGARDERE GROUPE S C A COMMON   507069102             66        1,095                     1,095
HENKEL KGAA            COMMON   5076705           14,612      242,400                   242,400
MEDIASET SPA           COMMON   5077946           42,120    2,827,600                 2,827,600
SMEDVIG ASA B          COMMON   5120066            5,523      309,500                   309,500
LAM RESEARCH CORP      COMMON   512807108             84        4,018                     4,018
LAM RESEARCH 5.00% 9/0 CONVERT  512807AC2             94       90,000                    90,000
LAMAR ADVERTISING CO   CONVERT  512815AF8         12,452   12,421,000                12,421,000
NOVO NORDISK AS SER B  COMMON   5154656           51,653      232,900                   232,900
LARGE SCALE BIOLOGY CO COMMON   517053104         16,273      496,900                   496,900
FRANCE TELECOM S.A.    COMMON   5176177           48,648      454,100                   454,100
LAUDER ESTEE COS INC C COMMON   518439104          3,032       82,782                    82,782
UNIQUE INTL            COMMON   5184716            6,154      303,183                   303,183
LEARNING TREE INTL INC COMMON   522015106         28,941      607,700                   607,700
SAMPO INSURANCE CO LTD COMMON   5226038           16,192      331,200                   331,200
LEGATO SYS INC COMMON  COMMON   524651106             54        4,000                     4,000
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

PORTVUE-SEC13F.LRP                                                                                                 PAGE 22

RUN DATE: 11/03/00 08:26 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                   DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)   (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)                               (ITEM 6)
                                                                                                 INVESTMENT
                                                                                                 DISCRETION
                                                                                ---------------------------------------------
          NAME          TITLE                     FAIR     SHARES OR                                                   SHARED
           OF             OF       CUSIP        MARKET     PRINCIPAL                       SOLE         SHARED          OTHER
         ISSUER         CLASS      NUMBER        VALUE       AMOUNT                         (A)           (B)            (C)
---------------------- ------   ---------- -------------- ------------               ----------     ----------     ----------
<S>                    <C>      <C>        <C>            <C>                        <C>            <C>            <C>
LEGG MASON INC         COMMON   524901105          3,854       66,300                    66,300
LEHMAN BROS HLDGS INC  COMMON   524908100          1,040        7,000                     7,000
AHOLD (KON) NV         COMMON   5252602           23,056      813,150                   813,150
PROSIEBEN MEDIA AG     COMMON   5252884           15,165      132,700                   132,700
AUTOGRILL SPA          COMMON   5256206           22,944    1,963,750                 1,963,750
LENNAR CORP            COMMON   526057104            610       20,500                    20,500
LENNAR CORP            CONVERT  526057AA2         16,135   33,354,000                33,354,000
ENDESA                 COMMON   5271782           42,748    2,274,250                 2,274,250
LEVEL 3 COMMUNICATIONS CONVERT  52729NAG5          9,424    7,000,000                 7,000,000
ALTANA AG              COMMON   5273131           11,207       97,700                    97,700
LEXMARK INTL GROUP INC COMMON   529771107              7          165                       165
LIBERTY MEDIA CORP     CONVERT  530715AG6         24,523   26,123,000                26,123,000
SWISSLOG HOLDING CHF20 COMMON   5310715           21,812       35,300                    35,300
LIBERTY SATELLITE & TE COMMON   531182103          1,658      156,000                   156,000
TGS NOPEC GEOPHYSICAL  COMMON   5321676            6,885      504,100                   504,100
LIFEPOINT HOSPS INC CO COMMON   53219L109         16,507      465,000                   465,000
LIGHTBRIDGE INC        COMMON   532226107          2,194      188,700                   188,700
GN STORE NORD          COMMON   5323274           37,288      262,700                   262,700
LILLY ELI AND COMPANY  COMMON   532457108          4,675       57,620                    57,620
LIMITED INC            COMMON   532716107            542       24,600                    24,600
LINCOLN NATL CORP IND  COMMON   534187109         23,702      492,500                   492,500
LINEAR TECHNOLOGY CORP COMMON   535678106             86        1,333                     1,333
LION BIOSCIENCE AKTIEN COMMON   536191109         15,799      160,583                   160,583
LITHIA MTRS INC        COMMON   536797103            958       79,000                    79,000
LITTELFUSE INC         COMMON   537008104          3,096      104,300                   104,300
PROKOM SOFTWARE        COMMON   5372878            8,383      188,100                   188,100
ERGO VERSICHERUNGS GRP COMMON   5377947           16,777      111,900                   111,900
NORDIC BALTIC HLDG AB  COMMON   5380031           38,442    5,366,870                 5,366,870
LIZ CLAIBORNE INC      COMMON   539320101          7,559      196,324                   196,324
KONINKLIJKE NUMICO NV  COMMON   5402601           46,648      909,060                   909,060
LOEWS CORP             CONVERT  540424AL2          9,315   10,540,000                10,540,000
LOGITECH INTL S A SPON COMMON   541419107         18,402      598,473                   598,473
LONDON PAC GROUP LTD   COMMON   542073101          8,049      405,000                   405,000
LONE STAR TECHNOLOGIES COMMON   542312103          6,613      143,300                   143,300
ALTADIS SA             COMMON   5444012           35,036    2,428,340                 2,428,340
AKZO NOBEL NLG5        COMMON   5458314           29,358      696,000                   696,000
LOUIS DREYFUS NAT GAS  COMMON   546011107         20,383      514,400                   514,400
SKANDIA FORSAKRINGS AB COMMON   5461572            1,953       98,500                    98,500
STRAUMANN HOLDINGS AG  COMMON   5464355           28,066       12,600                    12,600
CE CONSUMER ELECTRONIC COMMON   5465972            6,213      205,200                   205,200
AIXTRON ORD            COMMON   5468346           33,959      271,770                   271,770
ALSTOM                 COMMON   5474978              291       12,620                    12,620
GRETAG IMAGING GRP     COMMON   5476305           22,783      100,200                   100,200
CESKE RADIOKOMUNIKACE  COMMON   5479207              736       19,420                    19,420
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

PORTVUE-SEC13F.LRP                                                                                                 PAGE 23

RUN DATE: 11/03/00 08:26 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                   DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)   (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)                               (ITEM 6)
                                                                                                 INVESTMENT
                                                                                                 DISCRETION
                                                                                ---------------------------------------------
          NAME          TITLE                     FAIR     SHARES OR                                                   SHARED
           OF             OF       CUSIP        MARKET     PRINCIPAL                       SOLE         SHARED          OTHER
         ISSUER         CLASS      NUMBER        VALUE       AMOUNT                         (A)           (B)            (C)
---------------------- ------   ---------- -------------- ------------               ----------     ----------     ----------
<S>                    <C>      <C>        <C>            <C>                        <C>            <C>            <C>
INTRACOM               COMMON   5482023           15,355      451,165                   451,165
LOWES CO               COMMON   548661107              4           80                        80
ZURICH ALLIED AG       COMMON   5486779           41,133       88,980                    88,980
SEZ HOLDING AG         COMMON   5493995           22,768       29,700                    29,700
LUCENT TECHNOLOGIES IN COMMON   549463107              5          157                       157
REXEL                  COMMON   5499335            7,468       99,800                    99,800
INTERSHOP COMM         COMMON   5499551           31,906      486,945                   486,945
LYNX THERAPEUTICS INC  COMMON   551812308            711       22,700                    22,700
M & T BK CORP          COMMON   55261F104          2,040        4,000                     4,000
MBNA CORP              COMMON   55262L100         31,049      806,475                   806,475
MCSI INC               COMMON   55270M108          3,816      113,500                   113,500
MEMC ELECTR MATLS INC  COMMON   552715104          2,717      211,000                   211,000
MGIC INVT CORP WIS     COMMON   552848103              4           58                        58
MGI PHARMA INC         COMMON   552880106          6,609      220,300                   220,300
MGM MIRAGE             COMMON   552953101        103,437    2,708,660                 2,708,660
MKS INSTRUMENT INC     COMMON   55306N104            266        9,700                     9,700
MMC NETWORKS INC COM   COMMON   55308N102         51,068      403,700                   403,700
MRV COMMUNICATIONS INC COMMON   553477100         24,451      539,600                   539,600
MSC INDL DIRECT INC    COMMON   553530106          1,450       95,100                    95,100
MACERICH CO            COMMON   554382101            301       14,160                    14,160
MACROVISION CORP COM   COMMON   555904101         62,986      777,600                   777,600
MACROMEDIA INC COMMON  COMMON   556100105         13,108      162,214                   162,214
MACRONIX INTL LTD ADR  COMMON   556103109              4          290                       290
FRONTLINE LTD          COMMON   5561052           15,042      965,075                   965,075
MADDEN STEVEN LTD      COMMON   556269108            288       33,420                    33,420
CLASS EDITORI          COMMON   5574878           20,758    1,292,453                 1,292,453
TECIS HOLDING AG       COMMON   5575268            3,307       45,700                    45,700
GRUPO ACCIONA SA       COMMON   5579107           12,905      390,400                   390,400
MAGNA INTL INC CL A    COMMON   559222401            533       12,326                    12,326
FORTIS (B) EUR         COMMON   5596593              316       10,280                    10,280
MAGYAR TAVKOZLESI RT A COMMON   559776109              6          294                       294
SENATOR FILM AG        COMMON   5602713           20,565    1,090,000                 1,090,000
MAIL-WELL INC          CONVERT  560321AD3          7,121    9,000,000                 9,000,000
MAINSPRING INC         COMMON   56062U100            565       75,900                    75,900
MANAGEMENT NETWORK GRO COMMON   561693102          2,818      135,000                   135,000
INTERTAINMENT AG       COMMON   5617029            4,684       91,520                    91,520
MANHATTAN ASSOCS INC C COMMON   562750109         45,634      745,050                   745,050
MANNESMANN A G SPONS   COMMON   563775303              3           22                        22
MANPOWER INC           COMMON   56418H100         12,680      397,000                   397,000
MANUFACTURED HOME CMNT COMMON   564682102            336       13,450                    13,450
MANUGISTICS GROUP INC  COMMON   565011103         45,353      462,200                   462,200
MANULIFE FINL CORP COM COMMON   56501R106         17,544      845,479                   845,479
MAPINFO CORP           COMMON   565105103          4,382      139,950                   139,950
ADVA AG OPTICAL NETWOR COMMON   5653487           34,274      361,300                   361,300
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

PORTVUE-SEC13F.LRP                                                                                                 PAGE 24

RUN DATE: 11/03/00 08:26 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                   DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)   (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)                               (ITEM 6)
                                                                                                 INVESTMENT
                                                                                                 DISCRETION
                                                                                ---------------------------------------------
          NAME          TITLE                     FAIR     SHARES OR                                                   SHARED
           OF             OF       CUSIP        MARKET     PRINCIPAL                       SOLE         SHARED          OTHER
         ISSUER         CLASS      NUMBER        VALUE       AMOUNT                         (A)           (B)            (C)
---------------------- ------   ---------- -------------- ------------               ----------     ----------     ----------
<S>                    <C>      <C>        <C>            <C>                        <C>            <C>            <C>
ABB LTD                COMMON   5661190            2,994       30,800                    30,800
SYNTHES STRATEC        COMMON   5661480           23,094       34,000                    34,000
MARCHFIRST INC COM     COMMON   566244109             33        2,044                     2,044
MARCONI PLC ADR        COMMON   566306106              0            8                         8
MARCONI PLC ADR SPONSO COMMON   566306205            603       22,054                    22,054
TELEGATE AG            COMMON   5665750           11,235      106,100                   106,100
D LOGISTICS AG         COMMON   5669279            9,055      135,200                   135,200
SANOFI SYNTHELABO      COMMON   5671735           75,281    1,400,800                 1,400,800
MARIMBA INC            COMMON   56781Q109            826       67,600                    67,600
SUESS MICROTEC AG      COMMON   5679137            8,123      254,700                   254,700
MARINE DRILLING COS IN COMMON   568240204         36,457    1,276,400                 1,276,400
GRUPO DRAGADOS SA      COMMON   5687000           13,304    1,673,200                 1,673,200
VIVENDI EX GEN DES EAU COMMON   5687237              475        6,390                     6,390
TECAN AG               COMMON   5696200           13,903       13,060                    13,060
ELISA COMMUNICATIONS O COMMON   5701513           22,334      625,064                   625,064
PERLOS OYJ             COMMON   5703133           12,129      459,700                   459,700
SVENSKA HANDELSBANKEN  COMMON   5703661           67,250    4,179,500                 4,179,500
GALERIES LAFAYETTE     COMMON   5704556           20,250      116,600                   116,600
NEG MICON A/S          COMMON   5705593           15,777      296,400                   296,400
BANCO SANTANDER CENTRA COMMON   5705946           57,217    5,212,100                 5,212,100
SINGULUS TECHNOLOGIES  COMMON   5718665           16,255      345,600                   345,600
MARSCHOLLEK LAUT UND P COMMON   5720284           20,732      138,200                   138,200
AUSTRIA TECHNOLOGIE &  COMMON   5724112            8,427      276,800                   276,800
VERSATEL TELECOM INTL  COMMON   5731532           11,175      485,200                   485,200
QIAGEN NV              COMMON   5732825           27,059      568,900                   568,900
MARUBENI CORP ADR      COMMON   573810207             11          417                       417
MARUI LTD ADR NEW      COMMON   573814308             48        1,526                     1,526
SOL MELIA SA           COMMON   5738298           10,874    1,113,100                 1,113,100
BAYER MOTOREN WERK     COMMON   5756029           60,159    1,759,280                 1,759,280
HON HAI PREC GDR REG S COMMON   5758218            3,882      300,907                   300,907
MASTEC INC COM         COMMON   576323109         24,623      787,973                   787,973
MATRIX PHARMACEUTICAL  COMMON   576844104          3,458      222,200                   222,200
HYUNDAI MTRS REG S     COMMON   5772661            1,197      169,800                   169,800
MAXTOR CORP            COMMON   577729205         10,518    1,001,700                 1,001,700
MAXIM INTEGRATED PRODS COMMON   57772K101        132,288    1,644,610                 1,639,910
MAY DEPT STORES CO     COMMON   577778103              1           40                        40
MAVERICK TUBE CORP     COMMON   577914104          9,907      367,788                   367,788
MAYTAG CORP COM        COMMON   578592107              3          118                       118
MCAFEE COM CORP        COMMON   579062100          1,596      107,300                   107,300
PERBIO SCIENCE AB      COMMON   5797556            2,956      302,900                   302,900
MCCORMICK & CO INC     COMMON   579780206          5,260      176,800                   176,800
MCDATA CORP            COMMON   580031102          1,364       11,100                    11,100
MCDONALDS CORP         COMMON   580135101            704       23,320                    23,320
DRESDNER BANK AG       COMMON   5801628           51,376    1,169,540                 1,169,540
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

PORTVUE-SEC13F.LRP                                                                                                 PAGE 25

RUN DATE: 11/03/00 08:26 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                   DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)   (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)                               (ITEM 6)
                                                                                                 INVESTMENT
                                                                                                 DISCRETION
                                                                                ---------------------------------------------
          NAME          TITLE                     FAIR     SHARES OR                                                   SHARED
           OF             OF       CUSIP        MARKET     PRINCIPAL                       SOLE         SHARED          OTHER
         ISSUER         CLASS      NUMBER        VALUE       AMOUNT                         (A)           (B)            (C)
---------------------- ------   ---------- -------------- ------------               ----------     ----------     ----------
<S>                    <C>      <C>        <C>            <C>                        <C>            <C>            <C>
MCGRAW HILL INC        COMMON   580645109          9,725      153,000                   153,000
F SECURE OYJ           COMMON   5806850            8,555    1,303,100                 1,303,100
DIREKT ANLAGE BANK AG  COMMON   5811928            8,258      167,100                   167,100
MCK COMMUNICATIONS INC COMMON   581243102          1,738       76,800                    76,800
MCKESSON HBOC INC      COMMON   58155Q103         10,486      343,100                   343,100
MCLEODUSA INC COM      COMMON   582266102         22,634    1,581,420                 1,581,420
MCLEODUSA INC          PREFERD  582266201         19,140       46,272                    46,272
SCHNEIDER RUNDFUNKWERK COMMON   5824272            6,768      123,700                   123,700
MEADE INSTRUMENTS CORP COMMON   583062104          7,033      348,400                   348,400
MECHANICAL TECHNOLOGY  COMMON   583538103          4,889      452,200                   452,200
TOMRA SYSTEMS ASA      COMMON   5837010           25,146      764,790                   764,790
MEDAREX INC COM        COMMON   583916101         76,047      648,235                   648,235
MEDICINES CO           COMMON   584688105          3,077       90,000                    90,000
MEDICIS PHARMACEUTICAL COMMON   584690309         40,058      651,348                   651,348
MEDIMMUNE INC COMMON   COMMON   584699102        377,373    4,885,091                 4,879,991
MEDTRONIC INC          COMMON   585055106          2,179       42,050                    42,050
ACCOR SA               COMMON   5852842           30,603      824,520                   824,520
MELLON FINL CORP       COMMON   58551A108          3,668       79,100                    79,100
MELTRONIX INC COM      COMMON   585730104              0           66                        66
FINMECCANICA SPA       COMMON   5859951           42,962   36,277,580                36,277,580
MENS WEARHOUSE INC     COMMON   587118100         17,155      605,900                   605,900
MENTOR GRAPHICS CORP   COMMON   587200106         13,571      576,000                   576,000
MERCANTILE BANKSHARES  COMMON   587405101            639       17,600                    17,600
MERCK & CO INC         COMMON   589331107        136,530    1,834,150                 1,834,150
MERCURY INTERACTIVE CO COMMON   589405109        386,257    2,464,157                 2,459,457
MERCURY INTERACT 144A  CONVERT  589405AA7         29,611   19,135,000                19,135,000
MEREDITH CORP COM      COMMON   589433101             13          442                       442
MERIX CORP             COMMON   590049102         56,432      870,700                   870,700
MERRILL LYNCH & CO INC COMMON   590188108            983       14,900                    14,900
METASOLV SOFTWARE INC  COMMON   591393103              2           50                        50
METHODE ELECTRS INC    COMMON   591520200         21,155      477,400                   477,400
METLIFE INC EQTY SEC U CONVERT  59156R207            132        1,550                     1,550
METRIS COS INC         COMMON   591598107         51,341    1,299,777                 1,299,777
METRO GOLDWYN MAYER IN COMMON   591610100          1,269       52,892                    52,892
METROMEDIA FIBER NETWO COMMON   591689104         72,304    2,974,000                 2,974,000
TELESENS AG            COMMON   5922994            7,554      148,100                   148,100
METTLER-TOLEDO INTL IN COMMON   592688105         10,525      239,200                   239,200
AEGON NLG 0.50         COMMON   5927375            2,071       54,900                    54,900
THIEL LOGISTIK AG      COMMON   5928776           22,894      155,800                   155,800
SSI LTD GDR REG S      COMMON   5932205            1,312      226,200                   226,200
MICHAEL FOOD INC NEW   COMMON   594079105          1,636       70,000                    70,000
MICHAELS STORES INC    COMMON   594087108         17,592      439,800                   439,800
MICREL INC             COMMON   594793101         75,362    1,124,800                 1,124,800
MICROSOFT CORP         COMMON   594918104         53,975      894,928                   894,928
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

PORTVUE-SEC13F.LRP                                                                                                 PAGE 26

RUN DATE: 11/03/00 08:26 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                   DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)   (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)                               (ITEM 6)
                                                                                                 INVESTMENT
                                                                                                 DISCRETION
                                                                                ---------------------------------------------
          NAME          TITLE                     FAIR     SHARES OR                                                   SHARED
           OF             OF       CUSIP        MARKET     PRINCIPAL                       SOLE         SHARED          OTHER
         ISSUER         CLASS      NUMBER        VALUE       AMOUNT                         (A)           (B)            (C)
---------------------- ------   ---------- -------------- ------------               ----------     ----------     ----------
<S>                    <C>      <C>        <C>            <C>                        <C>            <C>            <C>
ASM LITHOGRAPHY HOLDIN COMMON   5949368              409       12,326                    12,326
MICROCHIP TECHNOLOGY I COMMON   595017104          9,154      276,875                   276,875
MICROMUSE INC COM      COMMON   595094103        145,940      726,302                   724,802
TELELOGIC AB           COMMON   5951266           10,765    1,346,700                 1,346,700
MICROSEMI CORP         COMMON   595137100         22,463      589,200                   589,200
MICROTUNE INC DEL      COMMON   59514P109          1,077       20,100                    20,100
MID ATLANTIC MED SVCS  COMMON   59523C107         11,710      774,200                   774,200
ISS DC                 COMMON   5952816           17,754      285,900                   285,900
ERICSSON LM TEL        COMMON   5959378            1,072       70,481                    70,481
UBS AG                 COMMON   5962354           41,696      313,340                   313,340
VESTAS WIND SYSTEMS A/ COMMON   5964651           38,166      746,900                   746,900
HIQ INTERNATIONAL AB   COMMON   5972494            6,501      797,700                   797,700
ALCATEL                COMMON   5975006           46,470      726,346                   726,346
SERONO SA B            COMMON   5981070           34,304       28,100                    28,100
DANONE                 COMMON   5981810           19,512      142,102                   142,102
ENEA DATA AB           COMMON   5985191           15,359    2,665,800                 2,665,800
KONINKLIJKE PHILIPS EL COMMON   5986622              229        5,331                     5,331
M6 METROPOLE TELEVISIO COMMON   5993901            5,916      118,339                   118,339
TELEVISION FRANCAISE   COMMON   5997118           45,305      789,840                   789,840
PYROSEQUENCING AB      COMMON   5997141            7,364      492,600                   492,600
MILLENNIUM PHARMACTCLS COMMON   599902103        152,959    1,077,391                 1,075,891
MILLENNIUM PHARMACEUTI CONVERT  599902AB9         30,911   16,157,000                16,157,000
MILLIPORE CORP         COMMON   601073109          6,981      144,117                   144,117
CHINA SOUTHERN AIRLINE COMMON   6013693            6,109   19,642,000                19,642,000
ALL NIPPON AIRWAYS CO  COMMON   6014908           11,447    3,436,000                 3,436,000
ALPS ELECTRIC CO       COMMON   6021500           30,073    1,377,000                 1,377,000
AMANO                  COMMON   6027304              924       90,000                    90,000
CRESCO LIMITED 4674JP  COMMON   6036009              753       11,000                    11,000
NET ONE SYSTEMS CO7518 COMMON   6036548              938           33                        33
MINIMED INC COMMON     COMMON   60365K108        119,103    1,332,621                 1,329,621
MINNESOTA MNG & MFG CO COMMON   604059105         42,528      466,700                   466,700
MIPS TECHNOLOGIES INC  COMMON   604567107          3,910       85,000                    85,000
PT BANK UNIVERSAL TBK  COMMON   6052469              105   13,218,500                13,218,500
ASATSU INC.            COMMON   6056052              205        6,000                     6,000
MITSUBISHI ELEC CORP A COMMON   606776201         16,782      202,476                   202,476
CHINA MOBILE (HONG KON COMMON   6073556           34,465    5,192,600                 5,192,600
NATSTEEL ELECTRONICS L COMMON   6073750            9,245    3,575,500                 3,575,500
BANK HAPOALIM LTD      COMMON   6075808           20,175    6,578,800                 6,578,800
MODERN TIMES GROUP MTG COMMON   607698107             86          665                       665
MOLECULAR DEVICES CORP COMMON   60851C107          2,515       25,600                    25,600
JIT HOLDINGS           COMMON   6085409               60       24,000                    24,000
MORITEX CORPORATION 77 COMMON   6086769            1,185       10,000                    10,000
MONACO COACH CORP      COMMON   60886R103          7,249      439,310                   439,310
RELIANCE INDUSTRY DEMA COMMON   6099626           10,242    1,376,200                 1,376,200
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

PORTVUE-SEC13F.LRP                                                                                                 PAGE 27

RUN DATE: 11/03/00 08:26 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                   DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)   (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)                               (ITEM 6)
                                                                                                 INVESTMENT
                                                                                                 DISCRETION
                                                                                ---------------------------------------------
          NAME          TITLE                     FAIR     SHARES OR                                                   SHARED
           OF             OF       CUSIP        MARKET     PRINCIPAL                       SOLE         SHARED          OTHER
         ISSUER         CLASS      NUMBER        VALUE       AMOUNT                         (A)           (B)            (C)
---------------------- ------   ---------- -------------- ------------               ----------     ----------     ----------
<S>                    <C>      <C>        <C>            <C>                        <C>            <C>            <C>
EGYPTIAN MOBILE PHONE  COMMON   6103925            2,754      122,800                   122,800
STANDARD BANK          COMMON   6108005               85       22,160                    22,160
POWERCHIP SEMICONDUCTO COMMON   6108997              215      195,000                   195,000
COMPUTER & TECHNOLOGIE COMMON   6115113            3,040    4,052,000                 4,052,000
MONTANA PWR CO COM     COMMON   612085100             10          303                       303
TREND MICRO            COMMON   6125286           31,219      232,500                   232,500
FUJITSU SUPPORT &SERVI COMMON   6127130              441        3,700                     3,700
NTT DOMOCO INC.        COMMON   6129277           36,175        1,261                     1,261
BRIDGESTONE  5108JP    COMMON   6132101              638       53,000                    53,000
HANARO TELECOM INC     COMMON   6134817              276       59,913                    59,913
SHANDONG INTL PWR H    COMMON   6142780              180    1,124,000                 1,124,000
VIA TECHNOLOGIES INC   COMMON   6146823            1,442      136,500                   136,500
SIAM COMMERCIAL BK CON PREFERD  6153726           10,342   26,855,300                26,855,300
HSBC HOLDINGS PLC      COMMON   6158163           57,021    4,078,795                 4,078,795
CKD CORP               COMMON   6160050              495       54,000                    54,000
PAC CENTURY CYBERWORKS COMMON   6164007              157      139,000                   139,000
PROTEL INTERNATIONAL L COMMON   6167697            1,099      402,000                   402,000
MORGAN J P & CO INC    COMMON   616880100          4,035       24,700                    24,700
MORGAN STANLEY DEAN WI COMMON   617446448         13,465      147,260                   147,260
MORGAN STANLEY (CISCO) CONVERT  617446CY3         14,175    5,000,000                 5,000,000
OBIC BUSINESS CONSULT  COMMON   6174620            2,648       28,900                    28,900
HONDA TSUSHIN KOGYO CO COMMON   6174631            1,064       25,000                    25,000
DBS HOLDINGS           COMMON   6175203            1,396      126,578                   126,578
CHEUNG KONG (HOLDINGS) COMMON   6190273           62,846    5,199,000                 5,199,000
CITIC PACIFIC          COMMON   6196152           10,153    2,356,000                 2,356,000
CITIZEN WATCH CO       COMMON   6197304           35,778    3,330,000                 3,330,000
MOTIENT CORP           COMMON   619908106          5,694      403,100                   403,100
ITOCHU TECHNO SCIENCE  COMMON   6200194           44,837      244,700                   244,700
MOTOROLA INC           COMMON   620076109          1,056       35,809                    35,809
KOREA TELECOM FREETEL  COMMON   6201421            6,825      155,960                   155,960
INFOSYS TECH DEMAT     COMMON   6205122           12,328       77,280                    77,280
TANAKA CHAEMICAL CORP  COMMON   6214203              219       11,000                    11,000
COMMONWEALTH BK OF AUS COMMON   6215035              420       28,100                    28,100
LEGEND HOLDINGS LTD    COMMON   6218089            7,805    8,224,000                 8,224,000
HONGKONG.COM CORP      COMMON   6219305               19      249,200                   249,200
LIVIN' ON THE EDGE CO  COMMON   6223135              316           18                        18
SK TELECOM CO LTD      COMMON   6224871           27,101      111,110                   111,110
PETROCHINA CO LTD      COMMON   6226576           76,967  377,425,600               377,425,600
OPEN TELECOMMUNICATION COMMON   6239477            2,079    2,000,000                 2,000,000
SATYAM COMPUTER SVCS D COMMON   6241858            4,771      450,800                   450,800
DATACRAFT ASIA         COMMON   6246831           64,374    7,755,884                 7,755,884
MUELLER INDS INC       COMMON   624756102            329       14,660                    14,660
DAIICHI PHARM CO       COMMON   6250218           15,038      592,000                   592,000
DAIKIN KOGYO CO        COMMON   6250724           31,142    1,614,000                 1,614,000
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

PORTVUE-SEC13F.LRP                                                                                                 PAGE 28

RUN DATE: 11/03/00 08:26 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                   DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)   (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)                               (ITEM 6)
                                                                                                 INVESTMENT
                                                                                                 DISCRETION
                                                                                ---------------------------------------------
          NAME          TITLE                     FAIR     SHARES OR                                                   SHARED
           OF             OF       CUSIP        MARKET     PRINCIPAL                       SOLE         SHARED          OTHER
         ISSUER         CLASS      NUMBER        VALUE       AMOUNT                         (A)           (B)            (C)
---------------------- ------   ---------- -------------- ------------               ----------     ----------     ----------
<S>                    <C>      <C>        <C>            <C>                        <C>            <C>            <C>
DATAPULSE TECH         COMMON   6253206              324    1,139,000                 1,139,000
MULTEX COM INC         COMMON   625367107          1,188       69,400                    69,400
DIMENSION DATA HLDGS P COMMON   6264639           45,412    4,908,986                 4,908,986
MURPHY OIL CORP        COMMON   626717102          4,064       62,700                    62,700
SEIKOH GIKEN CO LTD    COMMON   6277552              449        1,000                     1,000
JOHNSON ELECTRIC HLDGS COMMON   6281939               47       22,000                    22,000
GIORDANO INTL LIMITED  COMMON   6282040           12,435   21,426,000                21,426,000
MYLAN LABS INC         COMMON   628530107          3,055      113,400                   113,400
MYRIAD GENETICS INC    COMMON   62855J104         30,706      355,500                   355,500
LI & FUNG LTD          COMMON   6286257            3,747    1,776,000                 1,776,000
MIZUHO HOLDINGS INC.   COMMON   6286280              404           49                        49
NBTY INC               COMMON   628782104          2,409      368,800                   368,800
NCI BUILDING SYS INC   COMMON   628852105            286       19,550                    19,550
NCO GROUP INC          COMMON   628858102            186       15,690                    15,690
FUJITSU BROAD SOLUTION COMMON   6289751              398        8,600                     8,600
NEC CORP ADR ORD       COMMON   629050204         16,429      147,511                   147,511
NL INDS INC            COMMON   629156407            994       46,900                    46,900
NPS PHARMACEUTICALS IN COMMON   62936P103         20,357      359,900                   359,900
NRG ENERGY INC         COMMON   629377102         27,211      745,500                   745,500
NTL INC COM            COMMON   629407107             10          233                       233
NTL INC 7.00% 12/15/20 CONVERT  629407AL1             62       47,000                    47,000
NTL INC  144A          CONVERT  629407AN7         14,986   21,486,000                21,486,000
NTL DEL INC / NTL INC  CONVERT  62940TAA7          1,248    1,776,000                 1,776,000
NTT DOCOMO INC         COMMON   62942M201             90          627                       627
NUI CORP               COMMON   629430109            314       10,390                    10,390
NVR INC                COMMON   62944T105            543        6,700                     6,700
NABORS INDS INC        COMMON   629568106         62,851    1,199,453                 1,199,453
NACCO INDS INC         COMMON   629579103            423       10,080                    10,080
EAST JPN RAILWAY       COMMON   6298542              545           98                        98
NANOMETRICS INC        COMMON   630077105         25,933      485,300                   485,300
ELEC & ELTEK           COMMON   6308032               41      335,000                   335,000
FAST RETAILING CO   99 COMMON   6332439              204        1,000                     1,000
NATIONAL BK GREECE S A COMMON   633643408          7,387      875,425                   875,425
COSCO PACIFIC          COMMON   6354251           25,940   34,280,000                34,280,000
NATIONAL COMM BANCORP  COMMON   635449101          1,256       63,000                    63,000
NATIONAL DISC BROKERS  COMMON   635646102            984       31,800                    31,800
FUJIKURA               COMMON   6356707           21,801    2,647,000                 2,647,000
FUJISAWA PHARMACEUTICA COMMON   6356804              516       14,000                    14,000
FANUC LTD              COMMON   6356934           69,559      629,000                   629,000
FUJITSU LTD            COMMON   6356945           41,648    1,793,000                 1,793,000
FURUKAWA ELECTRIC      COMMON   6357562           46,794    1,694,000                 1,694,000
NATIONAL INSTRS CORP   COMMON   636518102         11,894      269,550                   269,550
NATIONAL-OILWELL INC   COMMON   637071101         43,828    1,402,500                 1,402,500
NATIONAL PWR PLC ADR S COMMON   637194705         20,466      296,609                   296,609
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

PORTVUE-SEC13F.LRP                                                                                                 PAGE 29

RUN DATE: 11/03/00 08:26 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                   DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)   (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)                               (ITEM 6)
                                                                                                 INVESTMENT
                                                                                                 DISCRETION
                                                                                ---------------------------------------------
          NAME          TITLE                     FAIR     SHARES OR                                                   SHARED
           OF             OF       CUSIP        MARKET     PRINCIPAL                       SOLE         SHARED          OTHER
         ISSUER         CLASS      NUMBER        VALUE       AMOUNT                         (A)           (B)            (C)
---------------------- ------   ---------- -------------- ------------               ----------     ----------     ----------
<S>                    <C>      <C>        <C>            <C>                        <C>            <C>            <C>
NATIONAL R V HLDGS INC COMMON   637277104            261       25,960                    25,960
LG CABLE LTD           COMMON   6375780            6,339      415,800                   415,800
NATURAL MICROSYSTEMS C COMMON   638882100         57,891    1,076,100                 1,076,100
NAVIDEC INC            COMMON   63934Q101          2,170      280,000                   280,000
NAVISITE INC           COMMON   63935M109          6,899      256,100                   256,100
NAVIGANT CONSULTING IN COMMON   63935N107              0          151                       151
NEIMAN MARCUS GROUP IN COMMON   640204202            671       20,700                    20,700
HALLA CLIMATE CONTROL  COMMON   6404316              480       15,820                    15,820
NEON COMMUNICATIONS IN COMMON   640506101          7,809      223,900                   223,900
NEORX CORP             COMMON   640520300          8,568      349,700                   349,700
NEOSE TECHNOLOGIES INC COMMON   640522108            585       12,100                    12,100
HANKUK ELECTRIC GLASS  COMMON   6409162            5,177       91,640                    91,640
NEOPHARM INC           COMMON   640919106         15,772      399,300                   399,300
NESTLE S A SPON ADR RE COMMON   641069406         17,986      172,715                   172,715
NETEGRITY INC          COMMON   64110P107         30,433      434,750                   434,750
NETOPIA INC            COMMON   64114K104          7,182      652,900                   652,900
NETRO CORP             COMMON   64114R109         50,475      851,900                   851,900
NETSPEAK CORP          COMMON   64115D109          2,405      212,600                   212,600
NETIQ CORP COM         COMMON   64115P102         13,066      198,906                   198,906
NETWORK APPLIANCE INC  COMMON   64120L104        425,837    3,343,163                 3,337,919
CHINA MERCHANTS (HLDGS COMMON   6416139            4,509    5,908,000                 5,908,000
HIKARI TSUSHIN INC     COMMON   6416322            4,524      117,800                   117,800
HIROSE ELECTRIC6806JP  COMMON   6428725              457        3,500                     3,500
HITACHI                COMMON   6429104           27,004    2,327,000                 2,327,000
HITACHI CABLE 5812JP   COMMON   6429148           16,140    1,418,000                 1,418,000
HON HAI PRECISION      COMMON   6438564            5,378      817,880                   817,880
HOYA CORP              COMMON   6441506           10,370      132,300                   132,300
HUTCHISON WHAMPOA      COMMON   6448068           75,562    5,692,284                 5,692,284
HYUNDAI ELECTRONICS IN COMMON   6450267           28,216    1,972,710                 1,972,710
HYUNDAI MOTOR CO LTD   COMMON   6451055           14,978    1,151,890                 1,151,890
IMPALA PLATINUM HOLDIN COMMON   6457804           26,659      616,600                   616,600
JAPAN ASSOC FIN        COMMON   6471439              292        2,000                     2,000
PT JAYA REAL PROPERTY  COMMON   6478106               30      480,000                   480,000
KEYENCE CORP 6861JP    COMMON   6490995            1,589        4,590                     4,590
NEW WORLD DEV LTD ADR  COMMON   649274305         10,384    3,645,950                 3,645,950
KIRIN BREWERY          COMMON   6493745            4,838      471,000                   471,000
KOREA ELEC POWER CORP  COMMON   6495730           43,757    1,676,830                 1,676,830
KOMATSU (6301)         COMMON   6496584           32,771    5,390,000                 5,390,000
KONAMI CO LTD          COMMON   6496681           55,884      677,000                   677,000
KYOCERA CORP           COMMON   6499260              260        1,700                     1,700
NEW YORK TIMES CO CL A COMMON   650111107         17,337      441,000                   441,000
KOREA TELECOM CORP     COMMON   6505316           24,278      405,300                   405,300
NEWFIELD EXPL CO       COMMON   651290108            686       14,700                    14,700
NEWPARK RES INC        COMMON   651718504            453       48,990                    48,990
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

PORTVUE-SEC13F.LRP                                                                                                 PAGE 30

RUN DATE: 11/03/00 08:26 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                   DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)   (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)                               (ITEM 6)
                                                                                                 INVESTMENT
                                                                                                 DISCRETION
                                                                                ---------------------------------------------
          NAME          TITLE                     FAIR     SHARES OR                                                   SHARED
           OF             OF       CUSIP        MARKET     PRINCIPAL                       SOLE         SHARED          OTHER
         ISSUER         CLASS      NUMBER        VALUE       AMOUNT                         (A)           (B)            (C)
---------------------- ------   ---------- -------------- ------------               ----------     ----------     ----------
<S>                    <C>      <C>        <C>            <C>                        <C>            <C>            <C>
NEWPORT CORP COM       COMMON   651824104        261,808    1,643,838                 1,642,138
QQQ DEC91 PUTS         COMMON   651990210            793      104,000                   104,000
NEWPORT NEWS SHIPBLDG  COMMON   652228107            482       11,120                    11,120
NEWS AMER HLDGS INC    CONVERT  652478AS7         28,350   25,033,000                25,033,000
NEWS COPR LTD ADR      COMMON   652487703             17          308                       308
NEXTEL COMMUNICATIONS  COMMON   65332V103         55,276    1,182,361                 1,182,361
NEXTEL COMMUNICATIONS  CONVERT  65332VAY9         49,040   52,032,000                52,032,000
NEXTEL PARTNERS INC    COMMON   65333F107         29,399    1,009,400                 1,009,400
NEXTLINK COMMUNICATION COMMON   65333H707         42,535    1,208,800                 1,208,800
NEXTLINK COMMUNICATION PREFERD  65333H863         15,243       92,103                    92,103
NEXT LEVEL COMMUNICATI COMMON   65333U104             28          422                       422
NICE SYS LTD ADR       COMMON   653656108         12,830      178,200                   178,200
NIKE INC CLASS B       COMMON   654106103              5          129                       129
NINTENDO LTD ADR NEW   COMMON   654445303             28        1,174                     1,174
NIPPON TELEG & TEL COR COMMON   654624105             22          437                       437
NOBLE AFFILIATES INC   COMMON   654894104          1,767       47,590                    47,590
NOKIA CORP             COMMON   654902204         34,315      861,875                   861,875
NOBLE DRILLING CORP    COMMON   655042109        129,655    2,571,363                 2,567,263
NOMURA SECS LTD JAPAN  COMMON   655361301             20           91                        91
MALAYAN BANKING        COMMON   6556325           17,647    4,593,000                 4,593,000
NORTEK INC             COMMON   656559101            362       20,670                    20,670
NORTEL NETWORKS CORP N COMMON   656568102        202,514    3,400,820                 3,400,820
MATSUSHITA COMM        COMMON   6572666            1,893       14,000                    14,000
MEITEC   9744JP        COMMON   6576356           29,150      630,000                   630,000
CREDIT SAISON 8253JP   COMMON   6591809           10,678      491,000                   491,000
NORTH FORK BANCORP INC COMMON   659424105             68        3,150                     3,150
MITSUBISHI CHEMICAL CO COMMON   6597001              590      170,000                   170,000
MITSUBISHI ELECTRIC    COMMON   6597045           54,821    6,619,000                 6,619,000
MITSUI FUDOSAN 8801JP  COMMON   6597603           37,503    2,993,000                 2,993,000
SAKURA BANK            COMMON   6598714              940      126,000                   126,000
MURATA MANUFACTNG6981J COMMON   6610403            2,068       15,000                    15,000
NGK INSULATORS         COMMON   6619507           33,679    2,348,000                 2,348,000
NEW WORLD DEVEL        COMMON   6633767           15,742   11,057,466                11,057,466
NIPPON SYS DEV         COMMON   6639602           16,224      142,420                   142,420
NEC CORP               COMMON   6640400           43,211    1,902,000                 1,902,000
NIPPON TEL & TEL       COMMON   6641373           19,393        1,977                     1,977
NIPPON SHEET GLASS     COMMON   6641447           50,897    3,170,000                 3,170,000
NITTO DENKO CORPORATIO COMMON   6641801           15,014      400,600                   400,600
NIKON CORP JPY50       COMMON   6642321              303       15,000                    15,000
NIPPON STEEL           COMMON   6642569              565      318,000                   318,000
NIPPON ELEC GLASS      COMMON   6642666           23,436    1,013,000                 1,013,000
NISSAN MOTORS          COMMON   6642860              384       67,000                    67,000
NOMURA SECURITIES      COMMON   6643108           41,907    1,927,000                 1,927,000
OKI ELECTRIC IND JPY50 COMMON   6657682           25,439    3,675,000                 3,675,000
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

PORTVUE-SEC13F.LRP                                                                                                 PAGE 31

RUN DATE: 11/03/00 08:26 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                   DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)   (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)                               (ITEM 6)
                                                                                                 INVESTMENT
                                                                                                 DISCRETION
                                                                                ---------------------------------------------
          NAME          TITLE                     FAIR     SHARES OR                                                   SHARED
           OF             OF       CUSIP        MARKET     PRINCIPAL                       SOLE         SHARED          OTHER
         ISSUER         CLASS      NUMBER        VALUE       AMOUNT                         (A)           (B)            (C)
---------------------- ------   ---------- -------------- ------------               ----------     ----------     ----------
<S>                    <C>      <C>        <C>            <C>                        <C>            <C>            <C>
NORTHERN TR CORP COM   COMMON   665859104        101,513    1,142,206                 1,142,206
OMRON CORP             COMMON   6659428              632       24,000                    24,000
ONO PHARMACEUTICAL     COMMON   6660107           10,601      258,000                   258,000
O U B OVERSEAS UN BK   COMMON   6663838           10,714    2,302,000                 2,302,000
PIONEER ELEC CORP      COMMON   6688745           65,515    1,609,000                 1,609,000
NOVA CORP GA           COMMON   669784100          3,600      210,195                   210,195
NOVARTIS AG - ADR      COMMON   66987V109              2           60                        60
NU HORIZONS ELECTRS CO COMMON   669908105          5,563      200,000                   200,000
NOVADIGM INC COMMON    COMMON   669937104          4,318      278,900                   278,900
NUANCE COMMUNICATIONS  COMMON   669967101         39,269      322,700                   322,700
NOVELL INC             COMMON   670006105             29        2,922                     2,922
NOVELLUS SYSTEMS INC   COMMON   670008101         14,974      321,581                   321,581
NOVEN PHARMACEUTICALS  COMMON   670009109         40,394      944,900                   944,900
PROMISE CO (8574)      COMMON   6703295              572        7,400                     7,400
NUMERICAL TECHNOLOGIES COMMON   67053T101          1,740       60,400                    60,400
NVIDIA CORP            COMMON   67066G104          4,470       54,600                    54,600
NYCOMED AMERSHAM PLC A COMMON   67066H102              1           15                        15
OM GROUP INC           COMMON   670872100            458       10,500                    10,500
OSI PHARMACEUTICALS IN COMMON   671040103         50,351      719,300                   719,300
OYO GEOSPACE CORP      COMMON   671074102          3,955      158,200                   158,200
OAK INDUSTRIES 4.875%  CONVERT  671400AL3         34,498    5,335,000                 5,335,000
OAK TECHNOLOGY INC     COMMON   671802106          3,624      132,400                   132,400
OAKLEY INC             COMMON   673662102          4,075      232,000                   232,000
OBJECTIVE SYS INTEGRAT COMMON   674424106          2,926      336,800                   336,800
OCCIDENTAL PETE CORP D COMMON   674599105         29,929    1,372,100                 1,372,100
OCEAN ENERGY INC.      COMMON   67481E106          8,679      562,200                   562,200
OCEANFIRST FINL CORP   COMMON   675234108            496       23,900                    23,900
SOFTBANK CORP          COMMON   6770620            4,991       53,400                    53,400
SAMSUNG ELECTRONICS    COMMON   6771720           59,884      330,594                   330,594
SANYO ELECTRIC CO      COMMON   6776769           53,417    6,076,000                 6,076,000
LUKOIL SPONSD ADR      COMMON   677862104         89,209    1,550,886                 1,550,886
OJI PAPER CO ADR       COMMON   678123100             12          204                       204
SEVEN ELEVEN JAPAN8183 COMMON   6797179              401        6,900                     6,900
SHIN ETSU CHEM CO4063J COMMON   6804585              295        7,000                     7,000
SHANGHAI INDUSTRIAL HL COMMON   6810010           14,174    7,319,000                 7,319,000
SINGAPORE AIRLINES LTD COMMON   6811734           23,599    2,489,000                 2,489,000
SODICK CO LTD          COMMON   6818832              428       66,000                    66,000
OMNICOM GROUP          COMMON   681919106            208        2,851                     2,851
OMNICOM GROUP INC      CONVERT  681919AG1         21,577   14,045,000                14,045,000
1-800 CONTACTS INC     COMMON   681977104            230        4,800                     4,800
OMNIVISION TECHNOLOGIE COMMON   682128103          3,014       83,300                    83,300
OMNISKY CORP           COMMON   68213L103          3,047      150,000                   150,000
SONY CORP 6758JP       COMMON   6821506           60,358      595,100                   595,100
ON ASSIGNMENT INC      COMMON   682159108          7,063      225,100                   225,100
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

PORTVUE-SEC13F.LRP                                                                                                 PAGE 32

RUN DATE: 11/03/00 08:26 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                   DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)   (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)                               (ITEM 6)
                                                                                                 INVESTMENT
                                                                                                 DISCRETION
                                                                                ---------------------------------------------
          NAME          TITLE                     FAIR     SHARES OR                                                   SHARED
           OF             OF       CUSIP        MARKET     PRINCIPAL                       SOLE         SHARED          OTHER
         ISSUER         CLASS      NUMBER        VALUE       AMOUNT                         (A)           (B)            (C)
---------------------- ------   ---------- -------------- ------------               ----------     ----------     ----------
<S>                    <C>      <C>        <C>            <C>                        <C>            <C>            <C>
ONI SYSTEMS CORP       COMMON   68273F103         31,979      370,500                   370,500
OPTICAL CABLE CORP COM COMMON   683827109            435       17,850                    17,850
OPTIMAL ROBOTICS CORP  COMMON   68388R208         14,442      358,800                   358,800
ORACLE SYS CORP        COMMON   68389X105        361,618    4,591,964                 4,591,964
ORAPHARMA INC          COMMON   68554E106          1,341       99,800                    99,800
SUMITOMO OSAKA CEMENT  COMMON   6858548           19,739    4,627,000                 4,627,000
SUMITOMO CHEMICAL CO   COMMON   6858560            2,086      419,000                   419,000
ORIX CORP ADR SPONSORE COMMON   686330101         11,116      190,837                   190,837
TAKEDA CHEMICAL IND450 COMMON   6870445            1,189       18,000                    18,000
ORTHODONTIC CTRS AMER  COMMON   68750P103          5,587      167,700                   167,700
TAISHIN INTL BANK      COMMON   6876001              351      578,900                   578,900
OSCA INC               COMMON   687836106          1,594       95,900                    95,900
OSHKOSH TRUCK CORP     COMMON   688239201          7,316      188,800                   188,800
OSICOM TECHNOLOGIES IN COMMON   688271501          3,024      122,200                   122,200
KOOKMIN BANK           COMMON   6885881           16,619    1,393,420                 1,393,420
THAI FARMERS BK FOREIG COMMON   6888794            8,780   17,230,400                17,230,400
TAIWAN SEMICONDUCTOR   COMMON   6889106           22,034    6,637,755                 6,637,755
TOKYO ELEC PWR         COMMON   6895404            1,597       67,800                    67,800
TOKYU CORP             COMMON   6896548            1,306      253,000                   253,000
TOSHIBA CORP           COMMON   6897217           65,248    8,095,000                 8,095,000
OUTBACK STEAKHOUSE INC COMMON   689899102            267        9,880                     9,880
TOYOTA MOTOR           COMMON   6900643              277        7,000                     7,000
TINGY(CAYMAN)HOLDING C COMMON   6903556              245    2,326,000                 2,326,000
OVERSEAS SHIPHOLDING G COMMON   690368105          4,317      157,700                   157,700
TENAGA NASIONAL BHD    COMMON   6904612           38,167   12,835,000                12,835,000
OWENS & MINOR INC NEW  COMMON   690732102          4,794      304,370                   304,370
OXFORD HEALTH PLANS IN COMMON   691471106         16,000      520,578                   520,578
UNITED MICROELECTRONIC COMMON   6916628           22,722   10,625,000                10,625,000
USHIO INC              COMMON   6918981           15,568      722,000                   722,000
VENTURE MANUFACTURING  COMMON   6927374           22,560    2,337,000                 2,337,000
PC-TEL INC             COMMON   69325Q105          2,497      107,400                   107,400
PECO ENERGY CO         COMMON   693304107          2,459       40,600                    40,600
PE CORP PE BIOSYS GROU COMMON   69332S102        239,896    2,059,068                 2,054,468
PE CORP COM CLRA GENOM COMMON   69332S201         82,462      827,721                   827,721
P F CHANGS CHINA BISTR COMMON   69333Y108          3,653      105,700                   105,700
PMC-SIERRA INC COM     COMMON   69344F106        203,208      944,053                   942,553
PMI GROUP INC          COMMON   69344M101         33,380      492,700                   492,700
PACKARD BIOSCIENCE INC COMMON   695172205          6,755      346,400                   346,400
PAIN THERATEUTICS INC  COMMON   69562K100          3,267      164,900                   164,900
PALM INC COM           COMMON   696642107        192,301    3,632,601                 3,623,401
WING TAI HLDGS         COMMON   6972385              244      274,000                   274,000
CHINA RESOURCES        COMMON   6972459           17,319   14,520,000                14,520,000
PANERA BREAD CO        COMMON   69840W108          4,567      218,800                   218,800
YAMATAKE CORP          COMMON   6985543              937       83,000                    83,000
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

PORTVUE-SEC13F.LRP                                                                                                 PAGE 33

RUN DATE: 11/03/00 08:26 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                   DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)   (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)                               (ITEM 6)
                                                                                                 INVESTMENT
                                                                                                 DISCRETION
                                                                                ---------------------------------------------
          NAME          TITLE                     FAIR     SHARES OR                                                   SHARED
           OF             OF       CUSIP        MARKET     PRINCIPAL                       SOLE         SHARED          OTHER
         ISSUER         CLASS      NUMBER        VALUE       AMOUNT                         (A)           (B)            (C)
---------------------- ------   ---------- -------------- ------------               ----------     ----------     ----------
<S>                    <C>      <C>        <C>            <C>                        <C>            <C>            <C>
YAMATO TRANSPORT       COMMON   6985565              929       42,000                    42,000
ZHEJIANG EXPRESS-H SHS COMMON   6990763              814    4,806,000                 4,806,000
PARADYNE NETWORKS INC  COMMON   69911G107             71       13,200                    13,200
PARK PL ENTMT CORP COM COMMON   700690100          1,461       96,543                    96,543
PARKVALE FINL CORP     COMMON   701492100            228       12,640                    12,640
PATINA OIL & GAS CORP  COMMON   703224105         12,422      621,100                   621,100
PATTERSON DENTAL CO    COMMON   703412106          6,453      286,800                   286,800
PATTERSON ENERGY INC C COMMON   703414102         40,280    1,171,800                 1,171,800
PAXAR CORP             COMMON   704227107            517       57,840                    57,840
PAYCHEX INC            COMMON   704326107        137,259    2,614,496                 2,614,496
PEARSON PLC SPONSORED  COMMON   705015105             21          785                       785
PECHINEY ADR SPONSORED COMMON   705151207         10,852      539,253                   539,253
PECO II INC            COMMON   705221109          9,030      192,900                   192,900
PECOM ENERGIA S A ADR  COMMON   70570522M              3          350                       350
PEGASUS COMMUNICATIONS COMMON   705904100         12,334      255,300                   255,300
PENTON MEDIA INC       COMMON   709668107         13,302      483,700                   483,700
PEPSI BOTTLING GROUP I COMMON   713409100          3,698      123,000                   123,000
PEPSICO INC            COMMON   713448108        103,468    2,249,300                 2,249,300
PERICOM SEMICONDUCTOR  COMMON   713831105         41,837    1,113,800                 1,113,800
PERKINELMER INC COM    COMMON   714046109         72,966      699,075                   699,075
PERKINELMER INC        CONVERT  714046AA7         14,795   21,520,000                21,520,000
P T TELEKOMUNIKASI IND COMMON   715684106              0           29                        29
PETROCHINA CO LTD SPON COMMON   71646E100          8,623      436,684                   436,684
PETROLEO BRASILEIRO SA COMMON   71654V408        132,960    4,422,819                 4,422,819
PFIZER INC             COMMON   717081103        331,737    7,382,591                 7,382,591
PHARMACOPEIA INC COM   COMMON   71713B104          6,542      256,500                   256,500
PHARMACIA CORP         COMMON   71713U102              9          154                       154
PHILIP MORRIS COS INC  COMMON   718154107          1,654       56,200                    56,200
PHILLIPS PETROLEUM COM COMMON   718507106          4,982       79,400                    79,400
PHILLIPS VAN HEUSEN CO COMMON   718592108            121       11,700                    11,700
PHYSIOMETRIX INC       COMMON   718928104          2,166       97,900                    97,900
PHOENIX TECHNOLOGY LTD COMMON   719153108          6,904      433,200                   433,200
PHONE COM INC COM      COMMON   71920Q100             10           87                        87
PHOTON DYNAMICS INC CO COMMON   719364101         25,595      678,000                   678,000
PHOTRONICS INC         COMMON   719405102          5,782      265,100                   265,100
PIER 1 IMPORTS INC COM COMMON   720279108         28,191    2,078,600                 2,078,600
PILOT NETWORK SVCS INC COMMON   721596104          4,024      387,900                   387,900
PINNACLE HLDGS INC     COMMON   72346N101         13,715      515,100                   515,100
PIONEER CORP JAPAN ADR COMMON   723646105         24,933      604,407                   604,407
PIONEER STD ELECTRS IN COMMON   723877106            441       32,500                    32,500
PITNEY BOWES INC       COMMON   724479100              1           20                        20
PIXELWORKS INC COM     COMMON   72581M107         16,061      336,800                   336,800
PIVOTAL CORP           COMMON   72581R106         13,676      260,500                   260,500
PLANAR SYS INC         COMMON   726900103          2,509      134,700                   134,700
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

PORTVUE-SEC13F.LRP                                                                                                 PAGE 34

RUN DATE: 11/03/00 08:26 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                   DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)   (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)                               (ITEM 6)
                                                                                                 INVESTMENT
                                                                                                 DISCRETION
                                                                                ---------------------------------------------
          NAME          TITLE                     FAIR     SHARES OR                                                   SHARED
           OF             OF       CUSIP        MARKET     PRINCIPAL                       SOLE         SHARED          OTHER
         ISSUER         CLASS      NUMBER        VALUE       AMOUNT                         (A)           (B)            (C)
---------------------- ------   ---------- -------------- ------------               ----------     ----------     ----------
<S>                    <C>      <C>        <C>            <C>                        <C>            <C>            <C>
PLANTRONICS INC NEW CO COMMON   727493108          6,035      158,800                   158,800
PLATO LEARNING INC     COMMON   72764Y100            740       35,900                    35,900
PLAYBOY ENTERPRISES IN COMMON   728117300          3,468      232,200                   232,200
PLEXUS CORP            COMMON   729132100          7,149      101,400                   101,400
POGO PRODUCING CO      COMMON   730448107          3,480      137,150                   137,150
POLYCOM INC COM        COMMON   73172K104         28,991      432,900                   432,900
POLYMEDICA CORP        COMMON   731738100         28,915      674,400                   674,400
POMEROY COMPUTER RES   COMMON   731822102          1,977      104,400                   104,400
PORTAL SOFTWARE INC CO COMMON   736126103          4,445      111,115                   111,115
PORTUGAL TELECOM S A S COMMON   737273102             25        2,504                     2,504
POWER INTEGRATIONS INC COMMON   739276103          5,365      384,900                   384,900
POWER-ONE INC COM      COMMON   739308104         33,787      558,319                   558,319
POWERWAVE TECHNOLOGIES COMMON   739363109         18,597      489,800                   489,800
POWERTEL INC           COMMON   73936C109         26,683      350,800                   350,800
PRAECIS PHARMACEUTICAL COMMON   739421105         15,670      368,700                   368,700
PRE PAID LEGAL SVCS IN COMMON   740065107          1,906       59,000                    59,000
PRECISION DRILLING COR COMMON   74022D100         31,242      876,938                   876,938
PRECISION OPTICS INC M COMMON   740294103          1,795      227,900                   227,900
PRICE COMMUNICATIONS C COMMON   741437305         16,857      861,710                   861,710
PRIMACOM AG ADR SPONSO COMMON   74154N108              7          523                       523
PRIMA ENERGY CORP      COMMON   741901201          8,792      165,100                   165,100
PRIDE INTL INC         COMMON   741932107         10,894      411,100                   411,100
PRIORITY HEALTHCARE CO COMMON   74264T102         44,789      587,400                   587,400
PROCTER & GAMBLE COMPA COMMON   742718109          2,252       33,615                    33,615
PROSOFT TRAINING COM C COMMON   743477101            499       35,000                    35,000
PROTEIN DESIGN LABS IN COMMON   74369L103         74,975      622,200                   620,500
PROTON ENERGY SYS INC  COMMON   74371K101          2,176       76,000                    76,000
PROVIDENT FINL GROUP I COMMON   743866105            392       13,350                    13,350
PROVIDIAN FINL CORP CO COMMON   74406A102         64,766      509,970                   509,970
PROXIM INC             COMMON   744284100          2,652       59,600                    59,600
PSINET INC COM         COMMON   74437C101              3          318                       318
PSINET INC             PREFERD  74437C309            699       18,160                    18,160
PSINET INC             PREFERD  74437C507            827       31,487                    31,487
PSI TECHNOLOGIES HLDGS COMMON   74438Q109          2,778      217,900                   217,900
PUBLIC SVC ENTERPRISE  COMMON   744573106            818       18,300                    18,300
PUBLIC STORAGE INC DEP COMMON   74460D729              0            1                         1
PUBLICIS GROUPE S A NE COMMON   74463M106              8          283                       283
PULTE CORP             COMMON   745867101          9,415      285,300                   285,300
PUMA TECHNOLOGY INC    COMMON   745887109         13,004      640,200                   640,200
PURCHASEPRO COM        COMMON   746144104         30,686      349,200                   349,200
QLT PHOTOTHERAPEUTICS  COMMON   746927102            581        8,207                     8,207
QLOGIC CORP COM        COMMON   747277101         22,584      256,640                   256,640
QUAKER OATS CO COM     COMMON   747402105         40,552      512,500                   512,500
QUALCOMM INC           COMMON   747525103          4,692       65,857                    65,857
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

PORTVUE-SEC13F.LRP                                                                                                 PAGE 35

RUN DATE: 11/03/00 08:26 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                   DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)   (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)                               (ITEM 6)
                                                                                                 INVESTMENT
                                                                                                 DISCRETION
                                                                                ---------------------------------------------
          NAME          TITLE                     FAIR     SHARES OR                                                   SHARED
           OF             OF       CUSIP        MARKET     PRINCIPAL                       SOLE         SHARED          OTHER
         ISSUER         CLASS      NUMBER        VALUE       AMOUNT                         (A)           (B)            (C)
---------------------- ------   ---------- -------------- ------------               ----------     ----------     ----------
<S>                    <C>      <C>        <C>            <C>                        <C>            <C>            <C>
QUANEX CORP            COMMON   747620102            246       12,930                    12,930
QUANTA SVCS INC COM    COMMON   74762E102         21,736      766,697                   766,697
QUANTUM CORP           COMMON   747906204            529       35,130                    35,130
QUEST DIAGNOSTICS INC  COMMON   74834L100          7,435       64,800                    64,800
QUEST SOFTWARE INC     COMMON   74834T103         37,117      597,600                   597,600
QWEST COMMUNICATIONS I COMMON   749121109         69,233    1,440,471                 1,440,471
QWEST COMM TRENDS 144A PREFERD  74912L105         23,045      288,514                   288,514
RSA SEC INC            COMMON   749719100         14,188      329,000                   329,000
RMH TELESERVICES INC   COMMON   749938106          3,539      220,300                   220,300
RF MICRO DEVICES INC C COMMON   749941100          2,527       78,954                    78,954
RADIO ONE INC          COMMON   75040P405          3,326      470,900                   470,900
RADIOSHACK CORP        COMMON   750438103            155        2,400                     2,400
RADISYS CORP COMMON    COMMON   750459109            652       12,900                    12,900
RADYNE COMSTREAM INC   COMMON   750611402          2,628      336,400                   336,400
RAINBOW TECHNOLOGIES I COMMON   750862104          2,798       79,100                    79,100
RALCORP HLDGS INC NEW  COMMON   751028101            655       46,400                    46,400
RATIONAL SOFTWARE CORP COMMON   75409P202          7,863      113,336                   113,336
RATIONAL SOFTWARE 144A CONVERT  75409PAA1         29,696   14,294,000                14,294,000
RATIONAL SOFTWARE CORP CONVERT  75409PAC7          4,467    2,150,000                 2,150,000
READ-RITE CORP         COMMON   755246105          4,493      399,400                   399,400
READERS DIGEST ASSN IN COMMON   755267101              6          158                       158
REALNETWORKS INC COM   COMMON   75605L104             55        1,396                     1,396
REDBACK NETWORKS INC C COMMON   757209101        183,368    1,118,093                 1,115,893
REDBACK NETWORKS INC   CONVERT  757209AB7         25,369   22,651,000                22,651,000
REEBOK INTERNATIONAL L COMMON   758110100            480       25,500                    25,500
REED INTL PLC ADR SPON COMMON   758212872              0            4                         4
REGENT COMMUNICATIONS  COMMON   758865109          1,761      316,500                   316,500
REGENERON PHARMACEUTIC COMMON   75886F107         10,417      319,300                   319,300
REHABCARE GROUP INC    COMMON   759148109         11,628      273,600                   273,600
REINSURANCE GROUP AMER COMMON   759351109            587       17,140                    17,140
RELIANCE IND GDR 144A  COMMON   759470107          8,491      543,400                   543,400
RELIANT ENERGY INC     COMMON   75952J108         33,294      716,000                   716,000
REMEC INC              COMMON   759543101         21,486      729,900                   729,900
REMEDY CORP            COMMON   759548100          1,955      103,600                   103,600
RENT A CTR INC NEW     COMMON   76009N100         10,413      300,200                   300,200
REPSOL ADS SPONSORED A COMMON   76026T205              7          338                       338
RESONATE INC           COMMON   76115Q104          2,026       51,300                    51,300
RETEK INC              COMMON   76128Q109          4,049       76,400                    76,400
REUTERS GROUP PLC-SPON COMMON   76132M102         36,406      323,981                   323,981
REYNOLDS & REYNOLDS CO COMMON   761695105          5,704      287,000                   287,000
RHODIA ADR SPONSORED   COMMON   762397107             16        1,425                     1,425
RICHARDSON ELECTRS LTD COMMON   763165107            526       31,400                    31,400
RIO TINTO PLC ADR SPON COMMON   767204100             95        1,600                     1,600
ROBERT HALF INTL INC   COMMON   770323103         56,009    1,614,700                 1,614,700
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

PORTVUE-SEC13F.LRP                                                                                                 PAGE 36

RUN DATE: 11/03/00 08:26 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                   DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)   (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)                               (ITEM 6)
                                                                                                 INVESTMENT
                                                                                                 DISCRETION
                                                                                ---------------------------------------------
          NAME          TITLE                     FAIR     SHARES OR                                                   SHARED
           OF             OF       CUSIP        MARKET     PRINCIPAL                       SOLE         SHARED          OTHER
         ISSUER         CLASS      NUMBER        VALUE       AMOUNT                         (A)           (B)            (C)
---------------------- ------   ---------- -------------- ------------               ----------     ----------     ----------
<S>                    <C>      <C>        <C>            <C>                        <C>            <C>            <C>
ROBINSON NUGENT INC CO COMMON   770810109             17        1,000                     1,000
ROCHE HLDGS/ GENENTECH CONVERT  771196AG7         32,543   34,076,000                34,076,000
ROCKWELL INTL CORP NEW COMMON   773903109             10          335                       335
ROGERS CORP            COMMON   775133101          1,916       60,600                    60,600
ROLLS-ROYCE PLC SPONSO COMMON   775781206             22        1,803                     1,803
ROSETTA INPHARMATICS I COMMON   777777103          2,532       90,800                    90,800
ROSS STORES INC        COMMON   778296103             18        1,260                     1,260
ROWAN COS INC COM      COMMON   779382100        140,696    4,851,564                 4,842,264
ROYAL PTT NEDERLAND N  COMMON   780641205             15          718                       718
RURAL CELLULAR CORP CL COMMON   781904107          1,152       16,900                    16,900
SBC COMMUNICATIONS INC COMMON   78387G103         27,923      558,469                   558,469
SBA COMMUNICATIONS COR COMMON   78388J106            302        7,200                     7,200
SCP POOL CORP          COMMON   784028102         11,224      378,875                   378,875
SDL INC COMMON         COMMON   784076101        329,060    1,063,848                 1,062,248
SEI INVESTMENTS CO     COMMON   784117103         19,633      277,500                   277,500
SOUTHERN ENERGY        PREFERD  78411Y104         23,940      360,000                   360,000
SK TELECOM LTD         COMMON   78440P108          3,234      126,190                   126,190
SPS TECHNOLOGIES INC   COMMON   784626103            613       12,630                    12,630
S1 CORPORATION         COMMON   78463B101          3,900      326,700                   326,700
SSI LTD GDR 144A       COMMON   784663106            522       90,000                    90,000
S3 INC                 COMMON   784849101          4,791      464,600                   464,600
SABA SOFTWARE INC      COMMON   784932105          4,057      144,900                   144,900
SABRE HLDGS CORP CL A  COMMON   785905100              1           32                        32
SAFEGUARD SCIENTIFICS  COMMON   786449108             18          887                       887
SAFEWAY INC NEW        COMMON   786514208            853       18,272                    18,272
SAN PAOLO-MII S P A    COMMON   799175104         18,809      577,654                   577,654
SANDISK CORP           COMMON   80004C101          1,836       27,500                    27,500
SANGAMO BIOSCIENCES IN COMMON   800677106          5,840      150,700                   150,700
SANMINA CORP COMMON    COMMON   800907107        143,493    1,532,626                 1,529,626
SANMINA CORP 4.250% 05 CONVERT  800907AB3         27,605   12,235,000                12,235,000
SANWA BK LTD JAPAN ADR COMMON   803030204              4           48                        48
SAP AKTIENGESELLSCHAFT COMMON   803054204          2,417       39,317                    39,317
SAPIENT CORP COM       COMMON   803062108             54        1,324                     1,324
SATCON TECHNOLOGY CORP COMMON   803893106          5,731      160,300                   160,300
SATYAM INFOWAY LTD ADR COMMON   804099109              2          156                       156
SCANSOURCE INC         COMMON   806037107         10,515      197,000                   197,000
SCHERING PLOUGH CORP   COMMON   806605101          3,433       73,815                    73,815
SCHLUMBERGER LTD       COMMON   806857108         10,867      132,012                   132,012
SCHOLASTIC CORP        COMMON   807066105          3,190       40,100                    40,100
SCHOOL SPECIALTY INC   COMMON   807863105          3,557      166,900                   166,900
SCHWAB CHARLES CORP NE COMMON   808513105              7          204                       204
SCIENTIFIC ATLANTA INC COMMON   808655104         93,023    1,462,061                 1,462,061
SCIENTIFIC LEARNING CO COMMON   808760102            463       85,200                    85,200
SCOTT TECHNOLOGIES INC COMMON   810022301            307       17,300                    17,300
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

PORTVUE-SEC13F.LRP                                                                                                 PAGE 37

RUN DATE: 11/03/00 08:26 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                   DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)   (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)                               (ITEM 6)
                                                                                                 INVESTMENT
                                                                                                 DISCRETION
                                                                                ---------------------------------------------
          NAME          TITLE                     FAIR     SHARES OR                                                   SHARED
           OF             OF       CUSIP        MARKET     PRINCIPAL                       SOLE         SHARED          OTHER
         ISSUER         CLASS      NUMBER        VALUE       AMOUNT                         (A)           (B)            (C)
---------------------- ------   ---------- -------------- ------------               ----------     ----------     ----------
<S>                    <C>      <C>        <C>            <C>                        <C>            <C>            <C>
SEACHANGE INTL INC     COMMON   811699107          9,253      277,250                   277,250
SEALED AIR CORP NEW CO COMMON   81211K100              4           95                        95
SEALED AIR CORP NEW PF PREFERD  81211K209         19,860      441,326                   441,326
SEARS ROEBUCK & CO     COMMON   812387108          2,762       85,200                    85,200
SECURE COMPUTING CORP  COMMON   813705100         18,017      691,300                   691,300
SEITEL INC             COMMON   816074306          2,498      173,800                   173,800
SEMTECH CORP COM       COMMON   816850101         99,557    2,406,200                 2,406,200
SEMITOOL INC           COMMON   816909105          5,272      411,500                   411,500
SEPRACOR INC COMMON    COMMON   817315104        151,939    1,238,422                 1,236,122
SERENA SOFTWARE INC    COMMON   817492101         42,622      925,300                   925,300
SERONO S A SPONSORED A COMMON   81752M101         81,794    2,703,924                 2,703,924
SEVEN ELEVEN JAPAN CO  COMMON   817828205             17          302                       302
SHARPER IMAGE CORP     COMMON   820013100          2,490      141,300                   141,300
SHAW GROUP INC COM     COMMON   820280105            846       12,000                    12,000
SHAW INDS INC          COMMON   820286102              1           68                        68
SHELL TRANS & TRADING  COMMON   822703609              6          126                       126
SHIRE PHARMACEUTICALS  COMMON   82481R106         10,067      195,014                   195,014
SHURGARD STORAGE CTRS  COMMON   82567D104            267       11,820                    11,820
SIEBEL SYSTEMS INC     COMMON   826170102        277,029    2,488,757                 2,488,757
SIEBEL SYSTEMS 5.500%  CONVERT  826170AC6         41,189    8,521,000                 8,521,000
SIEMENS A G ADR NEW    COMMON   826197402              8           62                        62
SIERRA PAC RES NEW     COMMON   826428104            564       31,360                    31,360
SIERRA WIRELESS INC    COMMON   826516106          6,501      105,700                   105,700
SIGNALSOFT CORP        COMMON   82668M102          4,412      108,600                   108,600
SILICON STORAGE TECHNO COMMON   827057100          8,420      309,700                   309,700
SILICON VY BANCSHARES  COMMON   827064106         63,176    1,084,850                 1,084,850
SILVERSTREAM SOFTWARE  COMMON   827907106          2,157       71,600                    71,600
SIME DARBY BERHAD ADR  COMMON   828617209              4        3,707                     3,707
SIMPSON MANUFACTURING  COMMON   829073105          4,268       95,500                    95,500
SIRIUS SATELLITE RADIO COMMON   82966U103         15,069      285,000                   285,000
SKECHERS U S A INC     COMMON   830566105          3,194      211,200                   211,200
SKILLSOFT CORP         COMMON   83066P101          1,211       65,900                    65,900
SKYWEST INC            COMMON   830879102         32,942      642,767                   642,767
SMARTDISK CORP         COMMON   83169Q105          1,486      103,400                   103,400
SMARTFORCE PUB LTD CO  COMMON   83170A206          9,099      192,064                   192,064
SMITH INTL INC         COMMON   832110100         94,474    1,158,300                 1,154,800
SMITHFIELD FOODS       COMMON   832248108             25          937                       937
SMTC CORP              COMMON   832682108          1,825       84,900                    84,900
SMURFIT-STONE CONTAINE COMMON   832727101             20        1,691                     1,691
SOFTWARE COM INC       COMMON   83402P104         17,908       98,700                    98,700
SOLECTRON CORP COMMON  COMMON   834182107             95        2,070                     2,070
SOLECTRON CORP         CONVERT  834182AJ6          3,338    5,000,000                 5,000,000
SOLECTRON              CONVERT  834182AK3         50,453   75,023,000                75,023,000
SONERA CORP - SPON ADR COMMON   835433202              6          268                       268
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

PORTVUE-SEC13F.LRP                                                                                                 PAGE 38

RUN DATE: 11/03/00 08:26 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                   DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)   (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)                               (ITEM 6)
                                                                                                 INVESTMENT
                                                                                                 DISCRETION
                                                                                ---------------------------------------------
          NAME          TITLE                     FAIR     SHARES OR                                                   SHARED
           OF             OF       CUSIP        MARKET     PRINCIPAL                       SOLE         SHARED          OTHER
         ISSUER         CLASS      NUMBER        VALUE       AMOUNT                         (A)           (B)            (C)
---------------------- ------   ---------- -------------- ------------               ----------     ----------     ----------
<S>                    <C>      <C>        <C>            <C>                        <C>            <C>            <C>
SONIC CORP             COMMON   835451105            318       10,100                    10,100
SONIC AUTOMOTIVE INC   COMMON   83545G102          3,598      432,900                   432,900
SONICWALL INC          COMMON   835470105         12,016      421,600                   421,600
SONY CORP 6758JP       COMMON   835699307         30,735      304,476                   304,476
SOTHEBYS HLDGS INC     COMMON   835898107          1,545       62,100                    62,100
SOUTHDOWN INC          COMMON   841297104             31          434                       434
SOUTHERN ENERGY INC DE COMMON   842816100         41,352    1,318,000                 1,311,300
SOUTHWEST BANCORPORATI COMMON   84476R109            458       14,000                    14,000
SPECTRALINK CORP       COMMON   847580107          2,918      309,219                   309,219
SPEECHWORKS INTL INC   COMMON   84764M101          2,492       40,200                    40,200
SPLASH TECHNOLOGY HLDG COMMON   848623104            413       44,600                    44,600
SPORTSLINE COM INC     COMMON   848934105          2,064      149,400                   149,400
SPRINT CORP            COMMON   852061100            877       29,945                    29,945
SPRINT CORP PCS COM SE COMMON   852061506          9,107      259,731                   259,731
STANCORP FINL GROUP IN COMMON   852891100          4,690      109,700                   109,700
STANDARD MICROSYSTEMS  COMMON   853626109          2,929      134,300                   134,300
STANDARD PAC CORP NEW  COMMON   85375C101          3,514      195,200                   195,200
STANFORD MICRODEVICES  COMMON   854399102         10,326      193,000                   193,000
STARBUCKS CORP         COMMON   855244109         46,132    1,151,500                 1,151,500
STARTEK INC            COMMON   85569C107          1,418       48,900                    48,900
STATE STR CORP         COMMON   857477103         14,625      112,500                   112,500
STEWART & STEVENSON SV COMMON   860342104            333       19,100                    19,100
STILWELL FINL INC COM  COMMON   860831106         48,246    1,109,065                 1,109,065
STMICROELECTRONICS N V COMMON   861012102         59,331    1,245,465                 1,245,465
STMICROELECTRONICS N V CONVERT  861012AB8          4,497    3,319,000                 3,319,000
STONE ENERGY CORP      COMMON   861642106         20,757      377,400                   377,400
STORAGENETWORKS INC OC COMMON   86211E103         73,918      723,362                   723,362
SUIZA FOODS CORP       COMMON   865077101          9,610      189,600                   189,600
SUMITOMO BK LTD JAPAN  COMMON   865601207              7           59                        59
SUMMIT PPTYS INC       COMMON   866239106            395       16,410                    16,410
SUN MICROSYSTEMS INC   COMMON   866810104        332,235    2,845,697                 2,845,697
SUNGARD DATA SYS INC   COMMON   867363103              0            6                         6
SUNGLASS HUT INTL INC  COMMON   86736F106          1,666      255,040                   255,040
SUPERCONDUCTOR TECHNOL COMMON   867931107          1,550       85,800                    85,800
SUPPORT COM INC        COMMON   868587106          5,399      176,300                   176,300
SURGUTNEFTEGAS JSC     COMMON   868861204         26,324    1,799,900                 1,799,900
SURMODICS INC          COMMON   868873100          2,239       40,900                    40,900
SWIFT ENERGY CO        COMMON   870738101         19,967      480,410                   480,410
SWIFT TRANSN CO        COMMON   870756103          1,509      115,525                   115,525
SYBASE INC             COMMON   871130100         20,491      890,900                   890,900
SYCAMORE NETWORKS INC  COMMON   871206108          7,096       65,700                    65,700
SYMANTEC CORP          COMMON   871503108         44,125    1,002,836                 1,002,836
SYMIX SYS INC          COMMON   871535100            432       78,100                    78,100
SYMMETRICOM INC        COMMON   871543104          6,355      406,750                   406,750
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

PORTVUE-SEC13F.LRP                                                                                                 PAGE 39

RUN DATE: 11/03/00 08:26 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                   DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)   (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)                               (ITEM 6)
                                                                                                 INVESTMENT
                                                                                                 DISCRETION
                                                                                ---------------------------------------------
          NAME          TITLE                     FAIR     SHARES OR                                                   SHARED
           OF             OF       CUSIP        MARKET     PRINCIPAL                       SOLE         SHARED          OTHER
         ISSUER         CLASS      NUMBER        VALUE       AMOUNT                         (A)           (B)            (C)
---------------------- ------   ---------- -------------- ------------               ----------     ----------     ----------
<S>                    <C>      <C>        <C>            <C>                        <C>            <C>            <C>
SYNCOR INTL CORP DEL   COMMON   87157J106            773       21,000                    21,000
SYNOPSYS INC           COMMON   871607107             15          390                       390
SYNTELLECT INC         COMMON   87161L105          1,433      159,800                   159,800
SYSCO CORPORATION      COMMON   871829107         52,625    1,136,299                 1,136,299
TCF FINL CORP          COMMON   872275102          2,999       79,700                    79,700
TDK CORP               COMMON   872351408            134        1,040                     1,040
TJX COMPANIES INC (NEW COMMON   872540109            192        8,531                     8,531
T / R SYS INC          COMMON   87263U102          1,034      116,500                   116,500
TRW INC                COMMON   872649108          1,361       33,500                    33,500
TMP WORLDWIDE INC COM  COMMON   872941109         78,609      976,500                   976,500
TTM TECHNOLOGIES  INC  COMMON   87305R109          4,113      175,000                   175,000
TVIA INC               COMMON   87307P101          5,015      279,600                   279,600
TAIWAN SEMICONDUCTOR M COMMON   874039100         33,115    1,625,280                 1,625,280
TAIYO YUDEN LTD ADR    COMMON   874047202             11           54                        54
TALARIAN CORP          COMMON   874090103          1,053       54,900                    54,900
TALBOTS INC COM        COMMON   874161102         12,475      188,300                   188,300
TARGET CORP            COMMON   87612E106              5          176                       176
TAUBMAN CTRS INC       COMMON   876664103            319       27,610                    27,610
TECH SQUARED INC ESCRO COMMON   878302991              0      293,500                   293,500
TECHNE CORP            COMMON   878377100         19,678      175,700                   175,700
TECHNITROL INC COM     COMMON   878555101         41,794      413,800                   413,800
TEKTRONIX INC          COMMON   879131100         55,697      725,097                   725,097
TELE CELULAR SUL PART  COMMON   879238103          6,585      219,500                   219,500
TELE CENTRO OESTE CELU COMMON   87923P105            937       88,200                    88,200
TELE DANMARK A/S SPONS COMMON   879242105             22          770                       770
TELE NORTE LESTE PARTI COMMON   879246106         37,491    1,638,963                 1,638,963
TELE SUDESTE CELULAR P COMMON   879252104              0            8                         8
TELECOM ITALIA SPA-SP  COMMON   87927W106             16          153                       153
TELECOMUNICACOES BRASI COMMON   879287308          6,979       88,200                    88,200
TELECOMMUNICATION SYS  COMMON   87929J103          1,920      100,400                   100,400
TELEDYNE TECHNOLOGIES  COMMON   879360105          8,440      289,800                   289,800
TELEFONICA DE ESPANA S COMMON   879382208             26          440                       440
TELEFONOS DE MEXICO S  COMMON   879403780         79,403    1,492,884                 1,492,884
TELESP CELULAR PARTICI COMMON   87952L108          4,222      128,204                   128,204
TELESP CELULAR PARTICI WARRANT  87952L116              0            1                         1
TELLABS INC            COMMON   879664100            311        6,496                     6,496
TELETECH HOLDINGS INC  COMMON   879939106         14,758      596,300                   596,300
TEMPLETON GLOBAL INCOM COMMON   880198106              2          300                       300
TEMPLETON GROWTH FD IN MUTUAL   880199104              0            3                         3
TENET HEALTHCARE CORP  COMMON   88033G100         58,230    1,598,614                 1,598,614
TERADYNE INC           COMMON   880770102            724       20,663                    20,663
TERAYON COMMUN 144A    CONVERT  880775AA9          1,847    2,331,000                 2,331,000
TESCO PLC ADR SPONSORE COMMON   881575302         16,304    1,479,504                 1,479,504
TEVA PHARMACEUTICAL IN COMMON   881624209        165,386    2,259,761                 2,259,761
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

PORTVUE-SEC13F.LRP                                                                                                 PAGE 40

RUN DATE: 11/03/00 08:26 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                   DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)   (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)                               (ITEM 6)
                                                                                                 INVESTMENT
                                                                                                 DISCRETION
                                                                                ---------------------------------------------
          NAME          TITLE                     FAIR     SHARES OR                                                   SHARED
           OF             OF       CUSIP        MARKET     PRINCIPAL                       SOLE         SHARED          OTHER
         ISSUER         CLASS      NUMBER        VALUE       AMOUNT                         (A)           (B)            (C)
---------------------- ------   ---------- -------------- ------------               ----------     ----------     ----------
<S>                    <C>      <C>        <C>            <C>                        <C>            <C>            <C>
TETRA TECHNOLOGIES INC COMMON   88162F105            478       31,500                    31,500
TEXACO INC             COMMON   881694103              1           20                        20
TEXAS BIOTECHNOLOGY CO COMMON   88221T104          1,920      120,000                   120,000
TEXAS INSTRUMENTS INC  COMMON   882508104            158        3,347                     3,347
TEXTRON INC            COMMON   883203101          1,220       26,438                    26,438
THERMA-WAVE INC        COMMON   88343A108          3,470      120,700                   120,700
THERMO ELECTRON CORP   COMMON   883556102          1,724       66,300                    66,300
3-D SYS CORP DEL       COMMON   88554D205          1,314       70,100                    70,100
THREE FIVE SYS INC     COMMON   88554L108          1,169       39,949                    39,949
TIBCO SOFTWARE INC COM COMMON   88632Q103        123,733    1,465,392                 1,462,692
TIDEWATER INC          COMMON   886423102            196        4,299                     4,299
TIFFANY & CO NEW COM   COMMON   886547108         55,301    1,434,091                 1,434,091
TIMBERLAND CO CL A     COMMON   887100105         48,678    1,187,260                 1,187,260
TIME WARNER INC        COMMON   887315109             11          141                       141
TIME WARNER TELECOM IN COMMON   887319101         33,203      687,250                   687,250
TITAN PHARMACEUTICALS  COMMON   888314101         53,684      825,900                   825,900
TNT POST GROEP N V ADR COMMON   888742103              5          175                       175
TOLL BROTHERS INC      COMMON   889478103          2,069       60,200                    60,200
TOLLGRADE COMMUNICATIO COMMON   889542106         80,387      579,100                   579,100
TOMRA SYS A/S ADR      COMMON   889905204         21,056      640,414                   640,414
TOO INC COM            COMMON   890333107          7,521      316,700                   316,700
TOPPS INC              COMMON   890786106          3,500      381,000                   381,000
TORO CO                COMMON   891092108            398       12,630                    12,630
TOSCO CORP COM NEW     COMMON   891490302             82        2,622                     2,622
TOTAL S A SPONSORED AD COMMON   89151E109         12,398      168,820                   168,820
TOYOTA MTR LTD ADR NEW COMMON   892331307              7           89                        89
TRANSACTION SYS ARCHIT COMMON   893416107          2,615      160,900                   160,900
TRANSGENOMIC INC       COMMON   89365K206          2,192       96,600                    96,600
TRANSOCEAN SEDCO       CONVERT  893830AA7         18,652   29,547,000                29,547,000
TRANSWITCH CORP COMMON COMMON   894065101         99,080    1,554,194                 1,549,994
TRANSWITCH CORP 144A   CONVERT  894065AA9         13,585   11,000,000                11,000,000
TRIAD HOSPITALS INC    COMMON   89579K109         16,453      560,100                   560,100
TRIARC CONS/BEVERAGE   CONVERT  89589TAC2         11,003    9,890,000                 9,890,000
TRIAD GTY INC          COMMON   895925105            812       27,300                    27,300
TRIBUNE CO             COMMON   896047107             86        1,967                     1,967
TRICO MARINE SERVICES  COMMON   896106101          4,272      269,100                   269,100
TRICORD SYSTEMS INC    COMMON   896121100          3,412      228,400                   228,400
TRICOM SA              COMMON   89612A100         17,112    1,122,100                 1,122,100
TRIKON TECHNOLOGIES IN COMMON   896187408          5,249      371,600                   371,600
TRIGON HEALTHCARE INC  COMMON   89618L100         13,761      261,800                   261,800
TRIMBLE NAVIGATION LTD COMMON   896239100          6,167      275,600                   275,600
TRIMERIS INC           COMMON   896263100         19,645      280,900                   280,900
TRIQUINT SEMICONDUCTOR COMMON   89674K103          5,888      161,600                   161,600
TRITON NETWORK SYS INC COMMON   896775103            921       70,200                    70,200
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

PORTVUE-SEC13F.LRP                                                                                                 PAGE 41

RUN DATE: 11/03/00 08:26 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                   DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)   (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)                               (ITEM 6)
                                                                                                 INVESTMENT
                                                                                                 DISCRETION
                                                                                ---------------------------------------------
          NAME          TITLE                     FAIR     SHARES OR                                                   SHARED
           OF             OF       CUSIP        MARKET     PRINCIPAL                       SOLE         SHARED          OTHER
         ISSUER         CLASS      NUMBER        VALUE       AMOUNT                         (A)           (B)            (C)
---------------------- ------   ---------- -------------- ------------               ----------     ----------     ----------
<S>                    <C>      <C>        <C>            <C>                        <C>            <C>            <C>
TUBOS DE ACERO DE MEXI COMMON   898592506            704       42,000                    42,000
TULARIK INC            COMMON   899165104            404       12,248                    12,248
TURNSTONE SYSTEMS INC  COMMON   900423104         42,980      926,800                   926,800
TUT SYSTEMS            COMMON   901103101         44,891      520,100                   520,100
TV AZTECA S A DE C V   COMMON   901145102         41,973    3,260,000                 3,260,000
TWEETER HOME ENT       COMMON   901167106         16,657      458,700                   458,700
II VI INC              COMMON   902104108          7,678      411,200                   411,200
TYCO INTL LTD NEW COM  COMMON   902124106             14          274                       274
UGI CORP NEW           COMMON   902681105            546       22,500                    22,500
USX MARATHON GROUP     COMMON   902905827          3,121      110,000                   110,000
US BANCORP DEL         COMMON   902973106          1,836       80,700                    80,700
UTI ENERGY CORP COM    COMMON   903387108         55,730    1,248,850                 1,248,850
ULTICOM INC            COMMON   903844108          4,161       88,300                    88,300
ULTIMATE ELECTRS INC   COMMON   903849107          2,986       72,600                    72,600
USA ED INC COM         COMMON   90390U102             59        1,225                     1,225
ULTRAMAR DIAMOND SHAMR COMMON   904000106          3,352      132,100                   132,100
ULTRAPAR PARTICIPACOES COMMON   90400P101              2          200                       200
UNIBANCO-UNIAO DE BANC COMMON   90458E107         19,526      591,700                   591,700
UNILEVER PLC ADR SPON  COMMON   904767704              2           50                        50
UNILEVER N V NEW YORK  COMMON   904784709              1           15                        15
UNICOM CORP            COMMON   904911104          2,557       45,500                    45,500
UNION CARBIDE CORP     COMMON   905581104              8          221                       221
UNION PAC CORP         COMMON   907818108          1,582       40,700                    40,700
UNION PLANTERS CORP    COMMON   908068109            853       25,800                    25,800
UNISYS CORP COM        COMMON   909214108             29        2,559                     2,559
UNIT CORP              COMMON   909218109          7,477      506,900                   506,900
UNITED MICROELECTRONIC COMMON   910873207         24,408    2,055,400                 2,055,400
UNITED PAN-EUROPE COMM COMMON   911300200             20          987                       987
UNITED STATES CELLULAR COMMON   911684108          1,946       27,800                    27,800
UNITED STATIONERS INC  COMMON   913004107         14,386      535,300                   535,300
UNITED TECHNOLOGIES CO COMMON   913017109         29,050      419,446                   419,446
UNITED THERAPEUTICS CO COMMON   91307C102          9,943      113,800                   113,800
UNITEDGLOBALCOM PFD CV PREFERD  913247201          2,282       53,621                    53,621
UNITEDGLOBALCOM        PREFERD  913247805         14,384      435,885                   435,885
UNITEDHEALTH GROUP INC COMMON   91324P102          7,644       77,400                    77,400
UNIVERSAL COMPRESSION  COMMON   913431102          2,852       92,200                    92,200
UNIVERSAL CORP VA      COMMON   913456109            535       18,200                    18,200
UNIVERSAL ELECTRS INC  COMMON   913483103         13,238      547,300                   547,300
UNIVERSAL HLTH SVCS IN COMMON   913903100          4,101       47,900                    47,900
UNIVERSAL HEALTH SV 14 CONVERT  913903AJ9         27,968   49,282,000                49,282,000
UNIVISION COMMUNICATIO COMMON   914906102          4,891      130,858                   130,858
UNOCAL CORP            COMMON   915289102              1           30                        30
UPM-KYMMENE CORP ADR S COMMON   915436109              3          142                       142
VYYO INC               COMMON   918458100          9,579      319,300                   319,300
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

PORTVUE-SEC13F.LRP                                                                                                 PAGE 42

RUN DATE: 11/03/00 08:26 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                   DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)   (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)                               (ITEM 6)
                                                                                                 INVESTMENT
                                                                                                 DISCRETION
                                                                                ---------------------------------------------
          NAME          TITLE                     FAIR     SHARES OR                                                   SHARED
           OF             OF       CUSIP        MARKET     PRINCIPAL                       SOLE         SHARED          OTHER
         ISSUER         CLASS      NUMBER        VALUE       AMOUNT                         (A)           (B)            (C)
---------------------- ------   ---------- -------------- ------------               ----------     ----------     ----------
<S>                    <C>      <C>        <C>            <C>                        <C>            <C>            <C>
VALASSIS COMMUNICATION COMMON   918866104            469       21,055                    21,055
VALENCE TECHNOLOGY INC COMMON   918914102          7,537      436,900                   436,900
VALERO ENERGY CORP NEW COMMON   91913Y100         34,502      980,510                   980,510
VARCO INTL INC DEL     COMMON   922122106         14,842      713,126                   713,126
VARIAGENICS INC        COMMON   922196100          1,884       84,200                    84,200
VARIAN INC COM         COMMON   922206107         24,636      572,100                   572,100
VARIAN SEMICONDUCTOR E COMMON   922207105         34,416      919,300                   919,300
VASCULAR SOLUTIONS INC COMMON   92231M109          2,871      153,000                   153,000
VASTERA INC            COMMON   92239N109          1,133       51,500                    51,500
VEECO INSTRS INC DEL   COMMON   922417100         28,883      271,800                   271,800
VENATOR GROUP INC      COMMON   922944103            452       36,500                    36,500
VERITAS SOFTWARE CO CO COMMON   923436109        394,227    2,776,230                 2,776,230
VERITAS SOFTWARE CO    CONVERT  923436AB5         39,844    2,581,000                 2,581,000
VERITY INC             COMMON   92343C106         26,427      740,500                   740,500
VERISIGN INC COM       COMMON   92343E102        217,494    1,073,710                 1,073,710
VERITAS SOFTWARE CORP  CONVERT  92343RAA1         20,201    4,915,000                 4,915,000
VERIZON COMMUNICATIONS COMMON   92343V104          4,676       96,548                    96,548
VERSATA INC            COMMON   925298101          5,952      224,600                   224,600
VERSATEL TELECOM B V A COMMON   925301103             63        2,668                     2,668
VERTEX PHARMACEUTICALS COMMON   92532F100         76,101      900,600                   897,600
VERTEX PHARM  144A     CONVERT  92532FAC4         20,995   19,000,000                19,000,000
VIACOM INC COM         COMMON   925524100         67,729    1,157,752                 1,157,752
VIACOM INC COM NON VTG COMMON   925524308            977       16,713                    16,713
VIATEL INC             COMMON   925529208          4,980      485,900                   485,900
VIASAT INC             COMMON   92552V100         12,785      571,400                   571,400
VIANT CORP             COMMON   92553N107            131       22,300                    22,300
VIGNETTE CORP COM      COMMON   926734104         25,645      858,426                   858,426
VINTAGE PETE INC       COMMON   927460105         14,719      647,000                   647,000
VIRATA CORP            COMMON   927646109         34,573      522,838                   522,838
VIROLOGIC INC OC-COM   COMMON   92823R201            717       42,500                    42,500
VISHAY INTERTECHNOLOGY COMMON   928298108          7,300      237,392                   237,392
VISIBLE GENETICS INC   COMMON   92829S104          3,601       89,200                    89,200
VISTEON CORP COM       COMMON   92839U107              0            7                         7
VISX INC DEL COMMON    COMMON   92844S105            423       15,697                    15,697
VITESSE SEMICONDUCTOR  COMMON   928497106        166,277    1,869,602                 1,865,702
VITRIA TECHNOLOGY INC  COMMON   92849Q104         83,919    1,799,878                 1,799,878
VIVENDI ADR SPONSORED  COMMON   92851S105             99        6,737                     6,737
VODAFONE GROUP PLC     COMMON   92857W100             81        2,162                     2,162
VOICESTREAM WIRELESS   COMMON   928615103            198        1,701                     1,701
VORNADO RLTY TR        PREFERD  929042208          3,137       59,957                    59,957
WJ COMMUNICATIONS INC  COMMON   929284107          1,887       51,000                    51,000
WMS INDS INC           COMMON   929297109          8,816      391,800                   391,800
WADDELL & REED FINL IN COMMON   930059100         17,469      563,500                   563,500
WAL MART STORES INC    COMMON   931142103        116,605    2,422,941                 2,422,941
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

PORTVUE-SEC13F.LRP                                                                                                 PAGE 43

RUN DATE: 11/03/00 08:26 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                   DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)   (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)                               (ITEM 6)
                                                                                                 INVESTMENT
                                                                                                 DISCRETION
                                                                                ---------------------------------------------
          NAME          TITLE                     FAIR     SHARES OR                                                   SHARED
           OF             OF       CUSIP        MARKET     PRINCIPAL                       SOLE         SHARED          OTHER
         ISSUER         CLASS      NUMBER        VALUE       AMOUNT                         (A)           (B)            (C)
---------------------- ------   ---------- -------------- ------------               ----------     ----------     ----------
<S>                    <C>      <C>        <C>            <C>                        <C>            <C>            <C>
WASHINGTON MUT INC     COMMON   939322103          2,110       53,000                    53,000
WASTE CONNECTIONS INC  COMMON   941053100          8,956      349,500                   349,500
WASTE MGMT INC DEL     COMMON   94106L109          1,430       82,043                    82,043
WATCHGUARD TECHNOLOGIE COMMON   941105108         22,320      372,000                   372,000
WATERS CORP COM        COMMON   941848103        290,663    3,265,872                 3,259,272
WAVECOM S A            COMMON   943531103         21,889      180,900                   180,900
WEATHERFORD INTL INC   COMMON   947074100         28,492      662,600                   662,600
WEBMETHODS INC         COMMON   94768C108         11,764      102,183                   102,183
WEBTRENDS CORP         COMMON   94844D104         12,304      329,200                   329,200
WELLPOINT HEALTH NTWRK COMMON   94973H108          1,736       18,075                    18,075
WELLS FARGO NEW        COMMON   949746101              7          144                       144
WEST COAST BANCORP ORE COMMON   952145100            226       18,950                    18,950
WESTELL TECHNOLOGIES I COMMON   957541105          5,065      393,400                   393,400
WESTERN GAS RES INC    COMMON   958259103         10,544      420,700                   420,700
WESTERN WIRELESS CORP  COMMON   95988E204          5,310      149,045                   149,045
WESTWOOD ONE INC       COMMON   961815107         12,177      568,000                   568,000
WILLIAMS CO            COMMON   969457100              3           65                        65
WILLIAMS CLAYTON ENERG COMMON   969490101          7,306      180,400                   180,400
WILLIAMS SONOMA INC    COMMON   969904101         14,560      418,994                   418,994
WILSON GREATBATCH TECH COMMON   972232102          2,949      128,900                   128,900
WINNEBAGO INDS INC     COMMON   974637100          4,115      329,200                   329,200
WINSTAR COMMUNICATIONS PREFERD  975515602            721       27,667                    27,667
WINSTAR COMM PFD 7%    PREFERD  975515875          6,619      219,725                   219,725
WITNESS SYS INC        COMMON   977424100          2,852      157,900                   157,900
WOLVERINE WORLD WIDE I COMMON   978097103            165       17,700                    17,700
WOODHEAD INDS INC      COMMON   979438108            949       45,600                    45,600
WORLD COLOR PRESS INC  CONVERT  981443AA2         11,761   11,474,000                11,474,000
WORLDCOM INC GA NEW CO COMMON   98157D106         34,337    1,130,438                 1,130,438
XM SATELLITE RADIO HLD COMMON   983759101         14,150      328,600                   328,600
XILINX INC             COMMON   983919101          6,620       77,304                    77,304
XIRCOM INC COM         COMMON   983922105             26        1,016                     1,016
YAHOO INC COM          COMMON   984332106         12,362      135,834                   135,834
YOUNG & RUBICAM INC    COMMON   987425105            520       10,500                    10,500
Z TEL TECHNOLOGIES INC COMMON   988792107            634       87,500                    87,500
ZALE CORP NEW COM      COMMON   988858106         15,203      468,690                   468,690
ZORAN CORP             COMMON   98975F101          6,908      141,700                   141,700
ZURICH ALLIED AG ADR S COMMON   98981P101          9,856      106,402                   106,402
ZYGO CORP              COMMON   989855101         24,238      278,600                   278,600
LERNOUT & HAUSPIE SPEE COMMON   B5628B104              8          621                       621
ACE LTD                COMMON   G0070K103              2           40                        40
AMDOCS LTD ORD         COMMON   G02602103         32,670      523,757                   523,757
CORECOMM LTD COM       COMMON   G2422R109            239       30,075                    30,075
GLOBAL CROSSING CV PFD PREFERD  G3921A126          2,906       33,546                    33,546
KNIGHTSBRIDGE TANKERS  COMMON   G5299G106          2,227      101,800                   101,800
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

PORTVUE-SEC13F.LRP                                                                                                 PAGE 44

RUN DATE: 11/03/00 08:26 AM                     NICHOLAS-APPLEGATE CAPITAL MANAGEMENT                 AS OF DATE: 09/30/00


                                                   DISCRETIONARY OWNERSHIP FOR 13F

           (ITEM 1)   (ITEM 2)   (ITEM 3)     (ITEM 4)     (ITEM 5)                               (ITEM 6)
                                                                                                 INVESTMENT
                                                                                                 DISCRETION
                                                                                ---------------------------------------------
          NAME          TITLE                     FAIR     SHARES OR                                                   SHARED
           OF             OF       CUSIP        MARKET     PRINCIPAL                       SOLE         SHARED          OTHER
         ISSUER         CLASS      NUMBER        VALUE       AMOUNT                         (A)           (B)            (C)
---------------------- ------   ---------- -------------- ------------               ----------     ----------     ----------
<S>                    <C>      <C>        <C>            <C>                        <C>            <C>            <C>
OPENTV CORP            COMMON   G67543101         26,909      809,307                   809,307
ORIENT-EXPRESS HOTELS  COMMON   G67743107          6,745      350,400                   350,400
O2MICRO INTERNATIONAL  COMMON   G6797E106          1,898      110,300                   110,300
RSL COMMUNICATIONS LTD COMMON   G7702U102              0           60                        60
SANTA FE INTL CORP ORD COMMON   G7805C108        115,084    2,554,839                 2,554,839
TRANSOCEAN SEDCO FOREX COMMON   G90078109         57,337      978,030                   978,030
TRITON ENERGY LTD      COMMON   G90751101         10,113      259,300                   259,300
TYCOM LTD              COMMON   G9144B106         47,044    1,225,900                 1,225,900
VODAFONE AIRTOUCH PLC  COMMON   G9387S105            556      149,070                   149,070
XOMA LTD               COMMON   G9825R107          3,296      228,300                   228,300
UBS AG ADR SHS         COMMON   H8920G155              1           10                        10
METRO INTL S A CLASS A COMMON   L63631102             88        8,164                     8,164
METRO INTL S A CLASS B COMMON   L63631110            231       19,314                    19,314
SBS BROADCASTING SA    COMMON   L8137F102          9,607      241,300                   241,300
AUDIOCODES LTD ORD     COMMON   M15342104         31,548      370,600                   370,600
BACKWEB TECHNOLOGIES L COMMON   M15633106          1,473      145,300                   145,300
BREEZECOM LTD          COMMON   M20385106          8,050      244,400                   244,400
CERAGON NETWORKS LTD   COMMON   M22013102          1,424       53,000                    53,000
CHECK POINT SOFTWARE T COMMON   M22465104        199,469    1,266,471                 1,266,471
COMMTOUCH SOFTWARE LTD COMMON   M25596103         11,262      594,700                   594,700
PRECISE SOFTWARE SOLUT COMMON   M41450103          2,864       66,400                    66,400
M SYS FLASH DISK PIONE COMMON   M7061C100         49,361    1,292,600                 1,292,600
OPTIBASE LTD           COMMON   M7524R108          4,640      264,200                   264,200
ORBOTECH LTD           COMMON   M75253100          8,589      157,050                   157,050
RADWARE LTD            COMMON   M81873107          7,857      261,900                   261,900
ASM INTL N V           COMMON   N07045102         18,237    1,042,100                 1,042,100
ASM LITHOGRAPHY HOLDIN COMMON   N07059111         64,099    1,983,731                 1,983,731
CNH GLOBAL NV COM      COMMON   N20935107              2          196                       196
QIAGEN NV ORD          COMMON   N72482107            327        6,957                     6,957
PANAMERICAN BEVERAGES  COMMON   P74823108          8,585      505,000                   505,000
ROYAL CARIBBEAN CRUISE COMMON   V7780T103             41        1,600                     1,600
ASE TEST LTD           COMMON   Y02516105         11,223      534,444                   534,444
FLEXTRONICS INTL LTD O COMMON   Y2573F102        144,330    1,757,453                 1,757,453
TEEKAY SHIPPING MARSHA COMMON   Y8564W103          6,510      138,700                   138,700

     TOTAL                                    40,825,297
</TABLE>











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