DELAWARE MANAGEMENT HOLDINGS CO INC
13F-HR, 1999-08-09
INVESTMENT ADVICE
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			UNITED STATES
		SECURITIES AND EXCHANGE COMMISSION
			WASHINGTON, D.C. 20549

			FORM 13 F

		FORM 13-F COVER PAGE

REPORT FOR THE CALENDAR YEAR OR QUARTER ENDED:  06/30/99

CHECK HERE IS AMENDMENT ( ): AMENDMENT NUMBER:
   THIS AMENDMENT (CHECK ONLY ONE):  ( ) IS A RESTATEMENT
                                     ( ) ADDS NEW HOLDINGS ENTRIES

INSTITUTIONAL INVESTMENT MANAGER FILING THIS REPORT:

NAME:     DELAWARE MANAGEMENT BUSINESS TRUST
ADDRESS:  2005 MMARKET STREET
          ONE COMMERCE SQUARE
          PHILADELPHIA, PA 19103

FORM 13F FILE NUMBER 28-53

THE INSTITUTIONAL INVESTMENT MANAGER FILING THIS REPORT AND THE PERSON BY
WHOM IT IS SIGNED HEREBY REPRESENT THAT THE PERSON SIGNING THE REPORT
IS AUTHORIZED TO SUBMIT IT, THAT ALL INFORMATION CONTAINED HEREIN IS
TRUE, CORRECT AND COMPLETE, AND THAT IT IS UNDERSTOOD THAT ALL REQUIRED
ITEMS, STATEMENTS, SCHEDULES, LISTS, AND TABLES, ARE CONSIDERED INTEGRAL
PARTS OF THIS FORM.

PERSON SIGNING THIS REPORT ON BEHALF OF REPORTING MANAGER:

NAME:   LISA O BRINKLEY
TITLE:  VICE PRESIDENT/COMPLIANCE
PHONE:  215 255 2369

SIGNATURE, PLACE AND DATE OF SIGNING
/s/LISA O. BRINKLEY, PHILADELPHIA PA   DATE: 08/06/99

REPORT TYPE:  (CHECK ONLY ONE)

(x) 13F HOLDING REPORT. (CHECK HERE IF ALL HOLDINGS OF THIS REPORTING
    MANAGER ARE REPORTED IN THIS REPORT)

( ) 13F NOTICE: (CHECK HERE IF NO HOLDINGS REPORTED ARE IN THIS
    REPORT, AND ALL HOLDINGS ARE REPORTED BY OTHER REPORTING
    MANAGER(S).)

( ) 13F COMBINATION REPORT. (CHECK HERE IF NO PORTION OF THE HOLDINGD FOR
    THIS REPORTING MANAGER ARE REPORTED IN THIS REPORT AND A PORTION
    ARE REPORTED BY OTHER REPORTING MANAGER(S).)

(PAGE)

			FORM 13F SUMMARY PAGE

REPORT SUMMARY:

NUMBER OF OTHER INCLUDED MANAGERS:   2

FORM 13F INFORMATION TABLE ENTRY TOTAL: 866

FORM 13F INFORMATION TABLE VALUE TOTAL: 26,031,623

LIST OF OTHER INCLUDED MANAGERS:

NO.     13F FILE NUMBER     NAME
01      28-53               DELAWARE MANAGEMENT BUSINESS TRUST
02      028-05920           DELAWARE CAPITAL MANAGEMENT
03      28-71097            LYNCH & MAYER INC.
<PAGE>

<TABLE>  			<C>					<C>
							FORM 13F INFORMATION TABLE
NAME OF ISSUER			TITLE OF CLASS	  CUSIP	    VALUE    SHARES/  SH/ PUT/ INVSTMT   OTHER      VOTING AUTHORITY
							    (X$1000) PRN AMT  PRN CALL DSCRETN  MANAGERS  SOLE    SHARED   NONE
_______________________________________________________________________________________________________________________________

D 3COM                           COM              885535104 39       1500     SH      SOLE    01         1500     0        0
D A T & T                        COM              001957109 321805   6045016  SH      OTHER   01,02,03   5377793  5400     661823
D A. O. SMITH                    COM              831865209 5813     210450   SH      SOLE    01         210450   0        0
D A.F.P. PROVIDA S.A. - ADR      ADR              00709P108 1643     74700    SH      SOLE    01         74700    0        0
D ABBOTT LABS                    COM              002824100 1883     41418    SH      OTHER   01,03      40618    0        800
D ABERCROMBIE & FITCH CLASS A    COM              002896207 7065     147200   SH      DEFINED 03         29400    0        117800
D ACE LTD                        COM              G0070K103 2692     95300    SH      DEFINED 03         0        0        95300
D ACTIVISION                     CONVBD           004930AC7 2026     2170000  PRN     DEFINED 03         0        0        2170000
D ACXIOM                         COM              005125109 14664    587300   SH      SOLE    01         587300   0        0
D ADAPTEC                        COM              00651F108 123      3500     SH      SOLE    01         3500     0        0
D ADELPHIA COMM CONV PREF        CONVPF           006848402 1567     7800     SH      DEFINED 03         0        0        7800
D ADELPHIA COMMUNICATIONS CL A   COM              006848105 7017     110300   SH      DEFINED 03         0        0        110300
D AES                            COM              00130H105 23587    405800   SH      DEFINED 03         0        0        405800
D AETNA                          COM              008117103 24281    271500   SH      OTHER   01,03      200      0        271300
D AFLAC                          COM              001055102 25196    526300   SH      SOLE    01         526300   0        0
D AGRIBRANDS INTL                COM              00849R105 4        107      SH      SOLE    01         107      0        0
D AIR PRODUCTS AND CHEMICALS     COM              009158106 12       300      SH      SOLE    01         300      0        0
D ALASKA AIR GROUP               COM              011659109 329      7900     SH      SOLE    01         7900     0        0
D ALBERTSON'S                    COM              013104104 20690    401278   SH      SOLE    01         373478   400      27400
D ALCAN ALUMINIUM                COM              013716105 223034   6983500  SH      OTHER   01,02      6834000  7400     142100
D ALCATEL ALSTHOM SPONS ADR 1/5S COM              013904305 6709     236457   SH      DEFINED 02         170248   0        66209
D ALCOA                          COM              013817101 389957   6672329  SH      OTHER   01,02      6425365  7700     239264
D ALEXANDER & BALDWIN            COM              014482103 5775     260300   SH      SOLE    01         260300   0        0
D ALEXANDRIA REAL EST EQUITIES   REIT             015271109 5255     168170   SH      SOLE    01         162270   0        5900
D ALLEGHENY ENERGY               COM              017361106 9        300      SH      SOLE    01         300      0        0
D ALLIED-SIGNAL                  COM              019512102 63       1000     SH      SOLE    01         1000     0        0
D ALLSTATE                       COM              020002101 1343     37470    SH      OTHER   01,03      36570    0        900
D ALLTEL                         COM              020039103 321782   4500461  SH      OTHER   01,02      3950850  3600     546011
D ALPHARMA 144A                  CONVBD           020813AA9 1652     1335000  PRN     DEFINED 03         0        0        1335000
D ALPHARMA 3% CONVERTIBLE        CONVPF           020813AC5 1253     1000000  PRN     DEFINED 03         0        0        1000000
D ALTERA                         COM              021441100 26887    730800   SH      OTHER   01,03      486200   0        244600
D ALZA                           COM              022615108 26185    514700   SH      DEFINED 03         0        0        514700
D AMAZON.COM INCORPORATED        COM              023135106 2642     21125    SH      OTHER   01,03      300      0        20825
D AMB PROPERTY                   REIT             00163T109 5948     253170   SH      SOLE    01         247770   0        5400
D AMBAC FINANCIAL GROUP          COM              023139108 66503    1164193  SH      OTHER   01,02,03   1092064  0        72129
D AMCOR LTD ADR NEW              COM              02341R302 4103     182337   SH      DEFINED 02         129480   0        52857
D AMEREN                         COM              023608102 95       2500     SH      SOLE    01         2500     0        0
D AMERICA ONLINE                 COM              02364J104 5108     46300    SH      OTHER   01,03      31100    0        15200
D AMERICAN BANKERS INSUR GROUP   COM              024456105 2640     48500    SH      DEFINED 03         0        0        48500
D AMERICAN EAGLE OUTFITTERS      COM              02553E106 31986    702546   SH      OTHER   01,02      701458   0        1088
D AMERICAN ELECTRIC POWER        COM              025537101 1878     50000    SH      SOLE    01         50000    0        0
D AMERICAN EXPRESS               COM              025816109 4059     31200    SH      OTHER   01,03      11800    0        19400
D AMERICAN FINANCIAL GROUP       COM              025932104 57       1700     SH      SOLE    01         1700     0        0
D AMERICAN GENERAL               COM              026351106 502887   6914214  SH      OTHER   01,02      6335066  6500     572648
D AMERICAN GENERAL PFD           CONVPF           02637G200 233      2500     SH      SOLE    01         2500     0        0
D AMERICAN HEALTH PROPERTIES     REIT             026494104 1006     50000    SH      SOLE    01         50000    0        0
D AMERICAN HOME PRODUCTS         COM              026609107 103045   1803421  SH      OTHER   01,02,03   966439   0        836982
D AMERICAN INTERNATIONAL GROUP   COM              026874107 30210    258053   SH      OTHER   01,03      245455   0        12598
D AMERICAN POWER CONVERSION      COM              029066107 855      42590    SH      SOLE    01         42590    0        0
D AMERICAN TOWER - CL A          COM              029912201 33894    1412300  SH      OTHER   01,03      1261900  0        150400
D AMERIPATH                      COM              03071D109 24       2900     SH      SOLE    01         2900     0        0
D AMERISOURCE HEALTH - CLASS A   COM              03071P102 645      25300    SH      SOLE    01         25300    0        0
D AMERITECH                      COM              030954101 514757   7247777  SH      OTHER   01,02      7006288  7500     233989
D AMGEN                          COM              031162100 2340     38460    SH      SOLE    01         38460    0        0
D AMKOR TECHNOLOGIES             CONVBD           031652AA8 1558     1615000  PRN     DEFINED 03         0        0        1615000
D AMR                            COM              001765106 849      12450    SH      SOLE    01         12450    0        0
D AMSOUTH BANCORP                COM              032165102 1569     67684    SH      SOLE    01         67684    0        0
D ANADARKO PETROLEUM CORPORATION COM              032511107 33248    903200   SH      OTHER   01,03      193800   0        709400
D ANHEUSER BUSCH                 COM              035229103 49591    699100   SH      SOLE    01         32700    0        666400
D ANNUITY AND LIFE RE            COM              G03910109 1565     69700    SH      SOLE    01         69700    0        0
D ANTEC                          COM              03664P105 3520     109800   SH      DEFINED 03         0        0        109800
D ANTEC                          CONVBD           03664PAB1 713      490000   PRN     DEFINED 03         0        0        490000
D ANTEC 144A                     CONVBD           03664PAA3 2803     1925000  PRN     DEFINED 03         0        0        1925000
D AON                            COM              037389103 333429   8429509  SH      OTHER   01,02      7153779  7650     1268080
D APARTMENT INVT & MGMT          REIT             03748R101 7793     182300   SH      SOLE    01         176600   0        5700
D APOLLO GROUP - CL A            COM              037604105 3256     122600   SH      DEFINED 03         0        0        122600
D APPLE COMPUTER                 COM              037833100 1581     34100    SH      SOLE    01         34100    0        0
D APPLIED MATERIALS              COM              038222105 12974    175700   SH      SOLE    01         175700   0        0
D APPLIED MICRO CIRCUITS CORP    COM              03822W109 64680    778876   SH      OTHER   01,02      777379   0        1497
D ARDEN REALTY GROUP             REIT             039793104 3078     125000   SH      SOLE    01         125000   0        0
D ARMSTRONG WORLD INDUSTRIES     COM              042476101 13505    233600   SH      SOLE    01         0        0        233600
D ARVIN INDUSTRIES               COM              043339100 6942     183300   SH      SOLE    01         183300   0        0
D ASHLAND INCORPORATED           COM              044204105 88       2200     SH      SOLE    01         2200     0        0
D ASSOCIATES FIRST CAPITAL       COM              046008108 22570    509375   SH      SOLE    01         7774     0        501601
D ASTRAZENECA - ADR              ADR              046353108 268664   7130254  SH      OTHER   01,02      6944161  6900     179193
D AT HOME CORPORATION - SERIES A COM              045919107 1235     22900    SH      OTHER   01,03      22900    0        0
D AT&T - LIBERTY MEDIA - A       COM              001957208 19818    539300   SH      OTHER   01,03      61700    0        477600
D ATLANTIC RICHFIELD             COM              048825103 23230    278000   SH      SOLE    01         12900    0        265100
D AUTOMATIC DATA PROCESSING      COM              053015103 2112     48000    SH      SOLE    01         48000    0        0
D AVALONBAY COMMUNITIES          REIT             053484101 6908     186712   SH      SOLE    01         181455   0        5257
D AVERY-DENNISON                 COM              053611109 42       700      SH      SOLE    01         700      0        0
D AVIRON 144A                    CONVBD           053762AA8 1176     1145000  PRN     DEFINED 03         0        0        1145000
D AVIS RENT A CAR                COM              053790101 8807     302400   SH      SOLE    01         302400   0        0
D AVON PRODUCTS                  COM              054303102 3239     58390    SH      SOLE    01         32790    0        25600
D AVX                            COM              002444107 31       1300     SH      SOLE    01         1300     0        0
D B F GOODRICH                   COM              382388106 117      2755     SH      SOLE    01         2755     0        0
D BAKER HUGHES                   COM              057224107 27911    833200   SH      SOLE    01         800700   800      31700
D BALLY TOTAL FITNESS HOLDINGS   COM              05873K108 3175     111900   SH      SOLE    01         111900   0        0
D BANCO BHIF- ADR                ADR              05946H108 26       1800     SH      SOLE    01         1800     0        0
D BANK OF AMERICA                COM              060505104 633641   8911507  SH      OTHER   01,02,03   8600448  9300     301759
D BANK OF BOSTON                 COM              06605R106 50214    982188   SH      OTHER   01,02      246442   0        735746
D BANK ONE                       COM              06423A103 434278   7511259  SH      OTHER   01,02      6718417  7100     785742
D BARCLAYS PLC ADR               COM              06738E204 321      2686     SH      DEFINED 02         2686     0        0
D BARRICK GOLD                   COM              067901108 7        400      SH      SOLE    01         400      0        0
D BASS PUB LTD CO SPONSORED ADR  COM              069904209 5718     382802   SH      DEFINED 02         272878   0        109924
D BAUSCH & LOMB                  COM              071707103 39688    518800   SH      SOLE    01         4300     0        514500
D BAXTER INTERNATIONAL           COM              071813109 416489   7151831  SH      OTHER   01,02,03   5653186  5900     1492745
D BAYER A G SPONSORED ADR        COM              072730302 5126     123184   SH      DEFINED 02         88305    0        34879
D BAYERISCHE HYPO-UND VEREINSBAN COM              072735103 3497     54966    SH      DEFINED 02         40236    0        14730
D BB&T CORPORATION               COM              054937107 785      21400    SH      SOLE    01         21400    0        0
D BCE                            COM              05534B109 42162    855000   SH      SOLE    01         49800    0        805200
D BECTON DICKINSON               COM              075887109 450      15000    SH      DEFINED 03         0        0        15000
D BED BATH & BEYOND              COM              075896100 31303    814400   SH      SOLE    01         814400   0        0
D BELL ATLANTIC CORP             COM              077853109 25669    392654   SH      OTHER   01,02      329823   0        62831
D BELLSOUTH                      COM              079860102 40953    874790   SH      SOLE    01         132010   0        742780
D BEMIS                          COM              081437105 2305     58000    SH      SOLE    01         58000    0        0
D BERGEN BRUNSWIG CL A           COM              083739102 747      43361    SH      SOLE    01         43361    0        0
D BESTFOODS                      COM              08658U101 416989   8714916  SH      OTHER   01,02      8434646  8000     272270
D BETHLEHEM STEEL                COM              087509105 2966     385900   SH      SOLE    01         385900   0        0
D BG PLC ADR FINAL INSTL         COM              055434104 6926     226160   SH      DEFINED 02         162124   0        64036
D BINDVIEW DEVELOPMENT           COM              090327107 14729    621000   SH      SOLE    01         621000   0        0
D BIOGEN                         COM              090597105 51       800      SH      SOLE    01         800      0        0
D BIOMET                         COM              090613100 19950    502700   SH      SOLE    01         502700   0        0
D BJ SERVICES                    COM              055482103 3632     123400   SH      SOLE    01         123400   0        0
D BJ'S WHOLESALER CLUB           COM              05548J106 12304    409300   SH      SOLE    01         409300   0        0
D BLACK & DECKER INC.            COM              091797100 12       200      SH      SOLE    01         200      0        0
D BLOCK H AND R                  COM              093671105 186510   3730200  SH      OTHER   01,02      3632300  3700     94200
D BLUE CIRCLE INDS PLC ADR SPONS COM              095342408 6175     927757   SH      DEFINED 02         663733   0        264024
D BMC SOFTWARE                   COM              055921100 1235     22900    SH      SOLE    01         22900    0        0
D BOC GROUP PLC - ADR            ADR              055617609 23478    582400   SH      SOLE    01         0        0        582400
D BOOTS PLC ADR                  COM              099491201 3738     156652   SH      DEFINED 02         115689   0        40963
D BORG-WARNER AUTOMOTIVE         COM              099724106 11197    203586   SH      SOLE    01         203586   0        0
D BOSTON SCIENTIFIC              COM              101137107 22285    507200   SH      OTHER   01,03      79500    0        427700
D BP AMOCO PLC - ADR             ADR              055622104 347893   3369132  SH      OTHER   01,02      2908450  2800     457882
D BRIGHTPOINT INCORPORATED       COM              109473108 3555     583500   SH      SOLE    01         583500   0        0
D BRINKER INTERNATIONAL          COM              109641100 1117     41100    SH      SOLE    01         41100    0        0
D BRISTOL MYERS SQUIBB           COM              110122108 75175    1075256  SH      OTHER   01,02,03   89516    0        985740
D BRITISH AIRWAYS - ADR          ADR              110419306 278194   4096771  SH      OTHER   01,02      3969076  4000     123695
D BROOKDALE LIVING COMMUNITIES   COM              112462106 15687    1052500  SH      SOLE    01         1052500  0        0
D BROWNING FERRIS                COM              115885105 39409    916500   SH      SOLE    01         0        0        916500
D BSCH BANCO SANTANDER           COM              05964H105 3978     376658   SH      DEFINED 02         267289   0        109369
D BURLINGTON RESOURCES           COM              122014103 25       600      SH      DEFINED 03         0        0        600
D C. R. BARD                     COM              067383109 1027     21500    SH      SOLE    01         21500    0        0
D CABLE AND WIRELESS PLC-ADR     ADR              126830207 216491   5966549  SH      OTHER   01,02      5735422  5300     225827
D CABOT INDUSTRIAL TRUST         REIT             127072106 10762    506520   SH      SOLE    01         498220   0        8300
D CALIFORNIA WATER SERVICE GRP   COM              130788102 3030     116000   SH      SOLE    01         116000   0        0
D CAMDEN PROPERTY TRUST          REIT             133131102 2777     100100   SH      SOLE    01         100000   0        100
D CANON INC ADR                  COM              138006309 6598     226545   SH      DEFINED 02         160527   0        66018
D CAPITAL AUTOMOTIVE REIT        REIT             139733109 905      68800    SH      SOLE    01         68800    0        0
D CAPITAL ONE FINANCIAL          COM              14040H105 30527    548200   SH      SOLE    01         548200   0        0
D CARAUSTAR INDUSTRIES           COM              140909102 3964     161000   SH      SOLE    01         161000   0        0
D CARDINAL HEALTH                COM              14149Y108 3293     51360    SH      OTHER   01,03      17701    0        33659
D CARLISLE COMPANIES             COM              142339100 9        200      SH      SOLE    01         200      0        0
D CARMIKE CINEMAS - CLASS A      COM              143436103 22       1400     SH      SOLE    01         1400     0        0
D CARNIVAL CRUISE LINES          COM              143658102 261      5400     SH      SOLE    01         5400     0        0
D CARRAMERICA REALTY             REIT             144418100 8852     354110   SH      SOLE    01         348870   0        5240
D CASEY'S GENERAL STORES INC     COM              147528103 5739     383400   SH      SOLE    01         383400   0        0
D CATELLUS DEVELOPMENT           COM              149111106 4748     308310   SH      SOLE    01         297510   0        10800
D CBS CORPORATION                COM              12490K107 42223    971800   SH      OTHER   01,03      884700   0        87100
D CEC ENTERTAINMENT              COM              125137109 27989    662488   SH      OTHER   01,02      661564   0        924
D CELLSTAR                       CONVBD           150925AC9 1175     1695000  PRN     DEFINED 03         0        0        1695000
D CENDANT CORPORATION            COM              151313103 22       1100     SH      SOLE    01         1100     0        0
D CENTERTRUST RETAIL PROPERTIES  CORP             152038AA3 2145     2270000  PRN     SOLE    01         2270000  0        0
D CENTEX                         COM              152312104 7        200      SH      SOLE    01         200      0        0
D CENTOCOR                       COM              152342101 35534    761900   SH      DEFINED 03         56600    0        705300
D CENTRAL AND SOUTH WEST         COM              152357109 14       600      SH      SOLE    01         600      0        0
D CENTURYTEL                     COM              156700106 1186     29850    SH      SOLE    01         29850    0        0
D CHANCELLOR MEDIA CL A          COM              158915108 90569    1643673  SH      OTHER   01,02,03   906741   0        736932
D CHASE MANHATTAN                COM              16161A108 292802   3383100  SH      OTHER   01,02,03   2711176  2800     669124
D CHATEAU COMMUNITIES            REIT             161726104 11607    387740   SH      SOLE    01         381940   0        5800
D CHEESECAKE FACTORY             COM              163072101 21697    712850   SH      SOLE    01         712850   0        0
D CHESAPEAKE                     COM              165159104 3069     82000    SH      SOLE    01         82000    0        0
D CHEVRON                        COM              166751107 430893   4662675  SH      OTHER   01,02      4501854  4800     156021
D CHRIS-CRAFT INDUSTRIES         COM              170520100 37       803      SH      SOLE    01         803      0        0
D CHUBB                          COM              171232101 2314     33300    SH      SOLE    01         33300    0        0
D CIA PARANAENSE ENER-COPEL ADR  ADR              20441B407 1519     181471   SH      SOLE    01         181471   0        0
D CIA TELECOM CHILE-SPONS ADR    ADR              204449300 86       3500     SH      SOLE    01         3500     0        0
D CIENA                          COM              171779101 7593     250000   SH      SOLE    01         250000   0        0
D CIGNA                          COM              125509109 50108    563030   SH      SOLE    01         35000    0        528030
D CINCINNATI BELL                COM              171870108 21996    882100   SH      SOLE    01         882100   0        0
D CINTAS CORPORATION             COM              172908105 8280     123300   SH      SOLE    01         123300   0        0
D CIRRUS LOGIC                   CORP             172755AC4 1589     2450000  PRN     DEFINED 03         0        0        2450000
D CISCO SYSTEMS INC              COM              17275R102 87785    1362820  SH      OTHER   01,02,03   689497   0        673323
D CITIGROUP                      COM              172967101 16137    339734   SH      SOLE    01         302047   0        37687
D CITRIX SYSTEMS                 COM              177376100 31079    551600   SH      SOLE    01         551600   0        0
D CITY INVESTING                 COM              177900107 0        600      SH      DEFINED 03         0        0        600
D CITY NATIONAL                  COM              178566105 446      11930    SH      SOLE    01         11930    0        0
D CKE RESTAURANTS                COM              12561E105 64       3990     SH      SOLE    01         3990     0        0
D CLARCOR                        COM              179895107 4939     257450   SH      SOLE    01         257450   0        0
D CLARIFY                        COM              180492100 6798     164700   SH      SOLE    01         164700   0        0
D CLEAR CHANNEL COMMUNICATIONS   COM              184502102 94687    1373541  SH      OTHER   01,03      856150   0        517390
D CLEVELAND CLIFFS IRON          COM              185896107 499      15440    SH      SOLE    01         15440    0        0
D CLOROX                         COM              189054109 687      6440     SH      SOLE    01         6440     0        0
D CMS ENERGY                     COM              125896100 13525    323000   SH      SOLE    01         323000   0        0
D CNA SURETYORATION              COM              12612L108 10       700      SH      DEFINED 03         0        0        700
D CNF TRANSPORTATION             COM              12612W104 4626     120200   SH      OTHER   01,03      2100     0        118100
D CNF TRUST I                    CONVPF           12612V205 856      15000    SH      DEFINED 03         0        0        15000
D COASTAL CORPORATION            COM              190441105 16       400      SH      SOLE    01         400      0        0
D COCA COLA                      COM              191216100 573      9192     SH      OTHER   01,03      6320     0        2872
D COHU                           COM              192576106 46       1300     SH      SOLE    01         1300     0        0
D COLUMBIA HCA HEALTHCARE        COM              197677107 2        100      SH      DEFINED 03         0        0        100
D COLUMBUS MCKINNON              COM              199333105 4438     186900   SH      SOLE    01         186900   0        0
D COMCAST CORP - SPEC CL A       COM              200300200 46       1200     SH      SOLE    01         1200     0        0
D COMERICA                       COM              200340107 754      12687    SH      SOLE    01         12687    0        0
D COMFORT SYSTEMS USA            COM              199908104 5759     320000   SH      SOLE    01         320000   0        0
D COMMER BANKS-EASTERN US        COM              302520101 31       1155     SH      SOLE    01         1155     0        0
D COMPAQ COMPUTER CORP           COM              204493100 495      20900    SH      SOLE    01         20900    0        0
D COMPASS BANCSHARES             COM              20449H109 14028    514200   SH      SOLE    01         514200   0        0
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D COMPUTER SCIENCES              COM              205363104 34       500      SH      SOLE    01         500      0        0
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D COMVERSE TECHNOLOGY 144A CV    CONVBD           205862AF2 2580     1345000  PRN     DEFINED 03         0        0        1345000
D CONAGRA                        COM              205887102 2191     82300    SH      SOLE    01         82300    0        0
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D CONSECO                        COM              208464107 687      22600    SH      SOLE    01         22600    0        0
D CONSOLIDATED EDISON            COM              209115104 18       400      SH      SOLE    01         400      0        0
D CONSOLIDATED GRAPHICS INC      COM              209341106 45070    901417   SH      OTHER   01,02      900363   0        1054
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D CONTINENTAL AG SPONSORED ADR   COM              210771200 2184     92069    SH      DEFINED 02         67198    0        24871
D CONVERSE TECH                  CORP             205862AG0 959      500000   PRN     DEFINED 03         0        0        500000
D COOPER CAMERON                 COM              216640102 96       2600     SH      SOLE    01         2600     0        0
D COOPER INDUSTRIES              COM              216669101 11       223      SH      SOLE    01         0        0        223
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D COST PLUS INC                  COM              221485105 52017    1144788  SH      OTHER   01,02      1143324  0        1464
D COUTRYWIDE CREDIT IND. INC     COM              222372104 23362    546500   SH      SOLE    01         546500   0        0
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D CRESCENT REAL ESTATE EQUITIE   REIT             225756105 7        300      SH      SOLE    01         300      0        0
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D CSX CORP                       COM              126408103 63       1400     SH      SOLE    01         1400     0        0
D CVS CORPORATION                COM              126650100 797      15718    SH      OTHER   01,03      1400     0        14318
D D.R. HORTON                    COM              23331A109 7034     423153   SH      SOLE    01         423153   0        0
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D DANA                           COM              235811106 194239   4216900  SH      OTHER   01,02      4104100  4300     108500
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D DAYTON HUDSON                  COM              239753106 2795     43000    SH      OTHER   01,03      2400     0        40600
D DEERE AND CO                   COM              244199105 352042   9362706  SH      OTHER   01,02      9035983  10100    316623
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D DILLARD INC.                   COM              254067101 7        200      SH      SOLE    01         200      0        0
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D DISCOUNT AUTO PARTS            COM              254642101 28       1200     SH      SOLE    01         1200     0        0
D DOLE FOOD                      COM              256605106 29       1000     SH      SOLE    01         1000     0        0
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D DONNELLEY AND SONS             COM              257867101 40       1100     SH      SOLE    01         1100     0        0
D DORAL FINANCIAL                COM              25811P100 11298    656200   SH      SOLE    01         656200   0        0
D DOUBLECLICK  144A              CORP             258609AA4 1491     1200000  PRN     DEFINED 03         0        0        1200000
D DOW CHEMICAL                   COM              260543103 216107   1703321  SH      OTHER   01,02      1657785  1800     43736
D DQE                            COM              23329J104 76       1900     SH      SOLE    01         1900     0        0
D DU PONT (E.I.) DE NEMOURS      COM              263534109 312736   4768743  SH      OTHER   01,02      3970551  4000     794192
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D DUKE ENERGY CORP               COM              264399106 206548   3795450  SH      OTHER   01,02      3690250  4000     101200
D DUKE WEEKS REALTY              REIT             264411505 12574    557340   SH      SOLE    01         550640   0        6700
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D EASTMAN KODAK                  COM              277461109 33       500      SH      SOLE    01         500      0        0
D EATON CORP                     COM              278058102 37646    409200   SH      SOLE    01         19800    0        389400
D ECHOSTAR COMMUNICATIONS - A    COM              278762109 12275    80000    SH      DEFINED 03         0        0        80000
D ECI TELECOMMUNICATIONS         COM              268258100 1783     53793    SH      OTHER   01,03      7593     0        46200
D ECOLAB                         COM              278865100 57022    1307100  SH      SOLE    01         1307100  0        0
D EDWARDS (A.G.)                 COM              281760108 1041     32288    SH      SOLE    01         32288    0        0
D EISAI CO LTD. - SPONSORED ADR  COM              282579309 5670     287761   SH      DEFINED 02         207298   0        80463
D EL PASO ENER CAP TRUST         CONVPF           283678209 1712     34600    SH      DEFINED 03         0        0        34600
D EL PASO ENERGY                 COM              283905107 15       436      SH      SOLE    01         400      0        36
D ELECTRONICS ARTS               COM              285512109 806      14900    SH      SOLE    01         14900    0        0
D ELF AQUITAINE SPONSORED ADR    COM              286269105 6020     81839    SH      DEFINED 02         58715    0        23124
D ELI LILLY AND CO               COM              532457108 28012    391100   SH      OTHER   01,03      16700    0        374400
D ELSEVIER N V SPONS ADR NEW     COM              290259100 3687     156080   SH      DEFINED 02         111556   0        44524
D EMC                            COM              268648102 32297    587240   SH      OTHER   01,03      98140    0        489100
D EMCOR GROUP CV                 CONVBD           29084QAC4 2229     2175000  PRN     DEFINED 03         0        0        2175000
D EMERSON ELECTRIC CO.           COM              291011104 220970   3683505  SH      OTHER   01,02      3529605  3400     150500
D EMMIS BROADCASTING             COM              291525103 15090    306300   SH      OTHER   01,03      209400   0        96900
D EMPRESA NAC'L ELEC CHILE - ADR ADR              29244T101 541      44674    SH      SOLE    01         44674    0        0
D ENDESA S.A.                    COM              29258N107 3864     181858   SH      DEFINED 02         130062   0        51796
D ENERGY EAST                    COM              29266M109 156      6010     SH      SOLE    01         6010     0        0
D ENGLEHARD                      COM              292845104 135      6000     SH      SOLE    01         6000     0        0
D ENHAHCE FINANCIAL GROUP        COM              293310108 6369     322500   SH      SOLE    01         322500   0        0
D ENRON CORP                     COM              293561106 33606    411104   SH      OTHER   01,02,03   92619    0        318485
D ENTERGY                        COM              29364G103 9        300      SH      SOLE    01         300      0        0
D EQUIFAX                        COM              294429105 38439    1077100  SH      SOLE    01         1077100  0        0
D EQUITABLE                      COM              29444G107 20       300      SH      SOLE    01         300      0        0
D EQUITY OFFICE PROPERTIES TRUST REIT             294741103 7374     287784   SH      SOLE    01         280984   0        6800
D ESSEX PROPERTY TRUST           REIT             297178105 7201     203610   SH      SOLE    01         198610   0        5000
D ESTEE LAUDER CLASS A           COM              518439104 1403     28000    SH      DEFINED 03         28000    0        0
D ETEC SYSTEMS                   COM              26922C103 5323     160700   SH      SOLE    01         160700   0        0
D ETOYS                          COM              297862104 4084     100000   SH      SOLE    01         100000   0        0
D EVEREST REINSURANCE HLDGS      COM              299808105 5282     161915   SH      SOLE    01         161915   0        0
D EXCHANGE APPLICATIONS          COM              300867108 18986    465600   SH      SOLE    01         465600   0        0
D EXODUS COMMUNICATIONS          COM              302088109 2423     20200    SH      DEFINED 03         20200    0        0
D EXTENDED STAY AMERICA          COM              30224P101 13335    1111300  SH      SOLE    01         1111300  0        0
D EXXON CORP                     COM              302290101 3390     43974    SH      OTHER   01,02      43628    0        346
D FAMILY DOLLAR STORES           COM              307000109 29409    1225400  SH      DEFINED 03         96600    0        1128800
D FAMILY GOLF CENTERS SR SB 144A CONVBD           30701AAA4 854      1390000  PRN     DEFINED 03         0        0        1390000
D FARM FAMILY HOLDINGS           COM              307901108 4936     144400   SH      SOLE    01         144400   0        0
D FEDERAL HOME LOAN CORP PFD     COM              313400301 45257    780300   SH      OTHER   01,03      755900   0        24400
D FEDERAL NATIONAL MORTGAGE      COM              313586109 360244   5462365  SH      OTHER   01,02,03   5268680  5300     188385
D FEDERAL SIGNAL CORP            COM              313855108 34982    1651100  SH      SOLE    01         1651100  0        0
D FEDERATED DEPARTMENT STORES    COM              31410H101 1466     27700    SH      OTHER   01,03      16400    0        11300
D FINANCIAL FEDERAL              COM              317492106 5297     240800   SH      SOLE    01         240800   0        0
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D FIRST AMERICAN FINANCIAL       COM              318522307 559      31300    SH      SOLE    01         31300    0        0
D FIRST DATA                     COM              319963104 1595     32600    SH      OTHER   01,03      700      0        31900
D FIRST UNION                    COM              337358105 35987    765432   SH      SOLE    01         198752   0        566680
D FIRST WASHINGTON REALTY TRUST  REIT             337489504 3584     153400   SH      SOLE    01         147300   0        6100
D FIRSTENERGY                    COM              337932107 16       529      SH      SOLE    01         529      0        0
D FLEET FINANCIAL GROUP          COM              338915101 32064    722600   SH      SOLE    01         118000   0        604600
D FLOWERS INDUSTRIES             COM              343496105 93       4300     SH      SOLE    01         4300     0        0
D FOOD LION CLASS A              COM              344775200 15611    1311200  SH      SOLE    01         1311200  0        0
D FOODMAKER                      COM              344839204 17356    611700   SH      SOLE    01         611700   0        0
D FORD MOTOR                     COM              345370100 282235   5006457  SH      OTHER   01,02      3937646  4100     1064711
D FOREST LABORATORIES            COM              345838106 27861    602400   SH      DEFINED 03         0        0        602400
D FORT JAMES CORP                COM              347471104 14       375      SH      SOLE    01         375      0        0
D FORTUNE BRANDS INC             COM              349631101 20393    492900   SH      SOLE    01         4300     0        488600
D FORWARD AIR CORP               COM              349853101 6753     240400   SH      SOLE    01         240400   0        0
D FOSTERS BREWING GROUP LTD SPON COM              350258307 7576     2679034  SH      DEFINED 02         1945113  0        733921
D FOX ENTERTAINMENT              COM              35138T107 6702     248800   SH      DEFINED 03         0        0        248800
D FRANCHISE FINANCE              REIT             351807102 5530     250800   SH      SOLE    01         245800   0        5000
D FREEDOM SECURITIES CORP        COM              35644K103 2292     133900   SH      SOLE    01         133900   0        0
D FREEPORT MC COPP               PS               35671D501 5028     268200   SH      SOLE    01         268200   0        0
D FREEPORT MCMORAN COPPER - B    COM              35671D857 9724     542200   SH      SOLE    01         1000     0        541200
D FRONTIER                       COM              35906P105 51279    869144   SH      SOLE    01         0        0        869144
D FUISZ TECH                     CONVBD           359536AB5 217      410000   PRN     DEFINED 03         0        0        410000
D FUISZ TECHNOLOGIES CV 144A NTS CONVBD           359536AA7 1205     2270000  PRN     DEFINED 03         0        0        2270000
D FURNITURE BRANDS INTERNATIONAL COM              360921100 7932     284581   SH      SOLE    01         284581   0        0
D G&K SERVICES INC - CL A        COM              361268105 10549    201550   SH      SOLE    01         201550   0        0
D GALILEO INTERNATIONAL          COM              363547100 13359    250000   SH      SOLE    01         250000   0        0
D GALLAHER GROUP PLC - ADR       ADR              363595109 11940    488600   SH      SOLE    01         0        0        488600
D GANNETT                        COM              364730101 2664     37330    SH      SOLE    01         37330    0        0
D GAP                            COM              364760108 4577     90880    SH      OTHER   01,03      31594    0        59286
D GATX                           COM              361448103 11532    303000   SH      SOLE    01         303000   0        0
D GEMSTAR INTERNATIONAL GRP LTD  COM              G3788V106 127616   1953991  SH      OTHER   01,02,03   1923202  0        30789
D GENERAL CABLE CORPORATION      COM              369300108 579      36200    SH      SOLE    01         36200    0        0
D GENERAL DYNAMICS               COM              369550108 270456   3934590  SH      OTHER   01,02      3246350  3500     684740
D GENERAL ELECTRIC               COM              369604103 8809     77970    SH      OTHER   01,03      30170    0        47800
D GENERAL GROWTH PROPERTIES      REIT             370021107 2601     73310    SH      SOLE    01         70910    0        2400
D GENERAL INSTRUMENT             COM              370120107 284      6700     SH      SOLE    01         6700     0        0
D GENERAL MILLS                  COM              370334104 2256     28077    SH      SOLE    01         18000    0        10077
D GENERAL MOTORS                 COM              370442105 302900   4781206  SH      OTHER   01,02      4218300  4200     558706
D GENERAL MOTORS CLASS H         COM              370442832 14880    264400   SH      DEFINED 03         0        0        264400
D GENERAL PUBLIC UTILITIES       COM              36225X100 2639     62570    SH      SOLE    01         62570    0        0
D GENTEX CORP                    COM              371901109 4242     151500   SH      DEFINED 03         0        0        151500
D GENUINE PARTS                  COM              372460105 2181     62330    SH      SOLE    01         62000    0        330
D GENZYME - GENERAL DIVISION     COM              372917104 3801     78400    SH      DEFINED 03         23700    0        54700
D GEORGIA-PACIFIC                COM              373298108 22251    469700   SH      SOLE    01         4900     0        464800
D GEORGIA-PACIFIC (TIMBER GROUP) COM              373298702 8569     339400   SH      SOLE    01         107000   0        232400
D GETTY IMAGES INC CV 144A       CONVBD           374276AA1 1898     2095000  PRN     DEFINED 03         0        0        2095000
D GILLETE                        COM              375766102 2418     59000    SH      OTHER   01,03      15200    0        43800
D GLAXO WELLCOME PLC - ADR       ADR              37733W105 245692   4432951  SH      OTHER   01,02      3763083  5200     664668
D GLENBOROUGH REALTY TRUST       REIT             37803P105 4370     249750   SH      SOLE    01         246050   0        3700
D GLOBAL CROSSING LTD            COM              G3921A100 10107    236609   SH      SOLE    01         236609   0        0
D GOLDEN STATE BANCORP           COM              381197102 37       1700     SH      SOLE    01         1700     0        0
D GOLDEN WEST FINANCIAL          COM              381317106 196      2000     SH      SOLE    01         2000     0        0
D GOLF TRUST OF AMERICA          REIT             38168B103 2443     100000   SH      SOLE    01         100000   0        0
D GOODY'S FAMILY CLOTHING INC.   COM              382588101 29       2600     SH      SOLE    01         2600     0        0
D GRACE (W.R.)                   COM              38388F108 36       2000     SH      SOLE    01         2000     0        0
D GRAINGER (W.W.)                COM              384802104 2367     44000    SH      SOLE    01         44000    0        0
D GREAT ATLANTIC & PACIFIC TEA   COM              390064103 23       700      SH      SOLE    01         700      0        0
D GREENPOINT FINANCIAL           COM              395384100 6        200      SH      SOLE    01         200      0        0
D GRIFFON                        COM              398433102 3109     398000   SH      SOLE    01         398000   0        0
D GROVE PROPERTY TRUST           REIT             399613108 4941     380154   SH      SOLE    01         369654   0        10500
D GTE                            COM              362320103 549787   7277078  SH      OTHER   01,02,03   7043426  7700     225952
D GUIDANT                        COM              401698105 22175    432500   SH      OTHER   01,03      48300    0        384200
D GULFSTREAM AEROSPACE           COM              402734107 290      4300     SH      SOLE    01         4300     0        0
D HALLIBURTON                    COM              406216101 52       1174     SH      SOLE    01         800      0        374
D HANNA M. A.                    COM              410522106 4881     297000   SH      SOLE    01         297000   0        0
D HARLEYSVILLE GROUP, INC.       COM              412824104 34       1700     SH      SOLE    01         1700     0        0
D HARSCO CORP.                   COM              415864107 3875     121100   SH      SOLE    01         121100   0        0
D HARTFORD FINANCIAL SERVICES GR COM              416515104 46788    802400   SH      SOLE    01         63600    0        738800
D HEALTH MANAGEMENT ASSOCIATION  COM              421933102 914      81250    SH      SOLE    01         81250    0        0
D HEALTHCARE REALTY TRUST        REIT             421946104 1260     60000    SH      SOLE    01         60000    0        0
D HEINZ H J                      COM              423074103 248401   5311798  SH      OTHER   01,02      4524680  4500     782618
D HELMERICH & PAYNE              COM              423452101 318      13380    SH      SOLE    01         13380    0        0
D HENRY (JACK) & ASSOCIATES      COM              426281101 23052    589200   SH      SOLE    01         589200   0        0
D HERTZ CORPORATION - CL A       COM              428040109 148      2400     SH      SOLE    01         2400     0        0
D HEWLETT PACKARD                COM              428236103 59334    590400   SH      OTHER   01,03      581300   0        9100
D HI/FN                          COM              428358105 9450     124600   SH      SOLE    01         124600   0        0
D HIBBETT SPORTING GOODS         COM              428565105 2922     131000   SH      SOLE    01         131000   0        0
D HIBERNIA - CLASS A             COM              428656102 621      39600    SH      SOLE    01         39600    0        0
D HILLENBRAND INDUSTRIES         COM              431573104 17010    393300   SH      SOLE    01         393300   0        0
D HISPANIC BROADCASTING          COM              43357B104 15479    204100   SH      SOLE    01         204100   0        0
D HITACHI LTD ADR                COM              433578507 4826     51099    SH      DEFINED 02         36368    0        14731
D HNC SOFTWARE CV                CONVBD           40425PAA5 965      1000000  PRN     DEFINED 03         0        0        1000000
D HOME DEPOT INC.                COM              437076102 58605    909500   SH      OTHER   01,03      212900   0        696600
D HON INDUSTRIES                 COM              438092108 30220    1035400  SH      SOLE    01         1035400  0        0
D HONEYWELL                      COM              438506107 25560    220585   SH      SOLE    01         220585   0        0
D HONGKONG ELEC HLDGS LTD SPONSO COM              438580300 2688     834168   SH      DEFINED 02         578367   0        255801
D HORACE MANN EDUCATORS          COM              440327104 9618     353800   SH      SOLE    01         353800   0        0
D HOUSEHOLD INTERNATIONAL        COM              441815107 24       509      SH      SOLE    01         0        0        509
D HUBBELL - CLASS B              COM              443510201 18839    415200   SH      SOLE    01         0        0        415200
D HUSSMANN INTERNATIONAL         COM              448110106 4821     291100   SH      SOLE    01         291100   0        0
D HUTCHISON WHAMPOA LTD ADR      COM              448415208 2347     51849    SH      DEFINED 02         37182    0        14667
D IBP                            COM              449223106 7        300      SH      SOLE    01         300      0        0
D ICN PHARMEACEUTICALS           COM              448924100 2426     75400    SH      DEFINED 03         47400    0        28000
D IDEX                           COM              45167R104 6080     184950   SH      SOLE    01         184950   0        0
D ILLINOIS TOOL WORKS            COM              452308109 2296     28000    SH      SOLE    01         28000    0        0
D IMATION                        COM              45245A107 0        15       SH      SOLE    01         0        0        15
D IMAX CORPORATION 144A CV BD    CONVBD           45245EAC3 995      840000   PRN     DEFINED 03         0        0        840000
D IMPERIAL CHEMICAL - ADR        ADR              452704505 246247   6443407  SH      OTHER   01,02      6254796  6800     181811
D INFINITY BROADCASTING CL A     COM              45662S102 29562    996600   SH      DEFINED 03         0        0        996600
D ING GROEP N V SPONSORED ADR    COM              456837103 3594     65353    SH      DEFINED 02         47023    0        18330
D INGERSOLL-RAND CO              COM              456866102 1530     23687    SH      SOLE    01         23687    0        0
D INTEL                          COM              458140100 31793    534600   SH      OTHER   01,03      473600   0        61000
D INTERMEDIA COMMUNICATIONS      COM              458801107 5487     182900   SH      DEFINED 03         0        0        182900
D INTERNATIONAL BUSINESS MACH    COM              459200101 69690    539200   SH      OTHER   01,03      318800   0        220400
D INTERNATIONAL MULTIFOODS       COM              460043102 43       1920     SH      SOLE    01         1920     0        0
D INTERNATIONAL PAPER            COM              460146103 453997   9351325  SH      OTHER   01,02      9043920  9200     298205
D INTERSTATE BAKERIES            COM              46072H108 415      18520    SH      SOLE    01         18520    0        0
D INTIMATE BRANDS                COM              461156101 49664    1048320  SH      SOLE    01         1048320  0        0
D INTUIT INC                     COM              461202103 5411     60000    SH      SOLE    01         60000    0        0
D IRT PROPERTY                   CORP             450058AA0 2684     2500000  PRN     SOLE    01         2500000  0        0
D ITT                            COM              450911102 1098     28800    SH      SOLE    01         28800    0        0
D ITT EDUCATIONAL SERVICES       COM              45068B109 8014     307500   SH      DEFINED 03         0        0        307500
D J. C. PENNEY                   COM              708160106 12       265      SH      SOLE    01         0        0        265
D J. P. MORGAN                   COM              616880100 386      2750     SH      SOLE    01         2750     0        0
D JACOBS ENGINEERING GROUP INC   COM              469814107 9427     248100   SH      SOLE    01         248100   0        0
D JACOR COMMUNICATIONS CVT       CONVBD           469858AB0 162      300000   PRN     SOLE    01         300000   0        0
D JARDINE MATHESON HLDGS LTD SPO COM              471115303 3906     781220   SH      DEFINED 02         559857   0        221363
D JDN REALTY                     REIT             465917102 5823     260295   SH      SOLE    01         252695   0        7600
D JEFFERSON-PILOT CORP           COM              475070108 13       200      SH      SOLE    01         200      0        0
D JOHN NUVEEN                    COM              478035108 128      3000     SH      SOLE    01         3000     0        0
D JOHNS MANVILLE                 COM              478129109 6        500      SH      SOLE    01         500      0        0
D JOHNSON AND JOHNSON            COM              478160104 54262    553700   SH      OTHER   01,03      283000   0        270700
D JONES APPAREL GROUP            COM              480074103 7607     221700   SH      SOLE    01         221700   0        0
D JOSTENS                        COM              481088102 644      30595    SH      SOLE    01         30595    0        0
D KAUFMAN & BROAD HOME           COM              486168107 689      27700    SH      SOLE    01         27700    0        0
D KEANE                          COM              486665102 219      9700     SH      SOLE    01         9700     0        0
D KEEBLER FOODS                  COM              487256109 1233     40600    SH      SOLE    01         40600    0        0
D KELLWOOD                       COM              488044108 7163     264100   SH      SOLE    01         264100   0        0
D KEMET                          COM              488360108 20       900      SH      SOLE    01         900      0        0
D KERR-MCGEE                     COM              492386107 15       300      SH      SOLE    01         300      0        0
D KEYCORP                        COM              493267108 5718     178000   SH      SOLE    01         178000   0        0
D KILROY REALTY CORPORATION      REIT             49427F108 4366     179600   SH      SOLE    01         179600   0        0
D KIMBALL INTERNATIONAL - B      COM              494274103 106      6300     SH      SOLE    01         0        0        6300
D KIMBERLY - CLARK               COM              494368103 352895   6564461  SH      OTHER   01,02,03   6314615  5900     243946
D KIMCO REALITY CORP             REIT             49446R109 3787     96300    SH      SOLE    01         93200    0        3100
D KNIGHT-RIDDER INCORPORATED     COM              499040103 2048     37295    SH      SOLE    01         5395     0        31900
D KNOLL                          COM              498904101 34       1300     SH      SOLE    01         1300     0        0
D KOHLS                          COM              500255104 23673    306700   SH      SOLE    01         306700   0        0
D KOREA TELECOM - ADR            ADR              50063P103 320      8000     SH      SOLE    01         8000     0        0
D KROGER                         COM              501044101 25126    899400   SH      OTHER   01,03      47200    0        852200
D L-3 COMMUNICATIONS             COM              502424104 4227     87500    SH      DEFINED 03         0        0        87500
D LAFARGE                        COM              505862102 7        200      SH      SOLE    01         200      0        0
D LAMAR ADVERTISING COMPANY      COM              512815101 14407    352200   SH      OTHER   01,03      308800   0        43400
D LEAR                           COM              521865105 24       500      SH      SOLE    01         500      0        0
D LEGATO SYSTEMS                 COM              524651106 46132    798400   SH      SOLE    01         798400   0        0
D LEVEL 3 COMMUNICATIONS         COM              52729N100 1537     25600    SH      OTHER   01,03      800      0        24800
D LEXMARK INTERNATIONAL GROUP A  COM              529771107 2034     30800    SH      SOLE    01         30800    0        0
D LIBERTY                        COM              530370105 21       400      SH      DEFINED 03         0        0        400
D LIBERTY FINANCIAL COMPANIES    COM              530512102 4054     139800   SH      SOLE    01         139800   0        0
D LIBERTY PROPERTY TRUST         REIT             531172104 4757     191305   SH      SOLE    01         186305   0        5000
D LIFEPOINT HOSPITALS            COM              53219L109 0        5        SH      DEFINED 03         0        0        5
D LINCARE HOLDINGS               COM              532791100 256      10230    SH      SOLE    01         10230    0        0
D LINENS 'N THINGS INC           COM              535679104 37857    865312   SH      OTHER   01,02      863904   0        1408
D LITTON INDUSTRIES              COM              538021106 100      1400     SH      SOLE    01         1400     0        0
D LOCKHEED MARTIN                COM              539830109 187814   5406551  SH      OTHER   01,02      5198197  5600     202754
D LOEWS CORPORATION              COM              540424108 102      1300     SH      SOLE    01         1300     0        0
D LORAL SPACE & COMMUNICATIONS   COM              G56462107 18       1000     SH      DEFINED 03         0        0        1000
D LOWE'S COMPANIES               COM              548661107 3468     61200    SH      OTHER   01,03      21200    0        40000
D LSI LOGIC 144A                 CORP             502161AB8 1643     1000000  PRN     DEFINED 03         0        0        1000000
D LTC HEALTHCARE                 COM              50217R104 8        4515     SH      SOLE    01         4515     0        0
D LTC PROPERTIES                 CORP             502175AC6 592      700000   PRN     SOLE    01         700000   0        0
D LTV CORPORATION                COM              501921100 3063     458100   SH      SOLE    01         458100   0        0
D LUBRIZOL                       COM              549271104 289      10300    SH      SOLE    01         10300    0        0
D LUCENT TECHNOLOGIES            COM              549463107 21586    320102   SH      OTHER   01,03      64200    0        255902
D LVMH MOET HENNESSY LOUIS VUTAD COM              502441207 4059     67926    SH      DEFINED 02         48734    0        19192
D M.S. CARRIERS                  COM              553533100 5937     200200   SH      SOLE    01         200200   0        0
D MACERICH                       REIT             554382101 5596     213205   SH      SOLE    01         211605   0        1600
D MAGNA INTERNATIONAL CONV       CONVBD           559222AG9 49       50000    PRN     SOLE    01         50000    0        0
D MAGNA INTL 144A                CONVBD           559222AF1 182      185000   PRN     SOLE    01         185000   0        0
D MAIL-WELL                      CONVBD           560321AD3 3211     2950000  PRN     SOLE    01         2950000  0        0
D MALAN REALITY INVESTORS        CORP             561063AA6 2265     2300000  PRN     SOLE    01         2300000  0        0
D MARRIOTT INTERNATIONAL-CL A    COM              571903202 26       700      SH      SOLE    01         700      0        0
D MARSH & MC LENNAN              COM              571748102 583      7735     SH      SOLE    01         7735     0        0
D MASCO                          COM              574599106 64913    2248100  SH      SOLE    01         1733900  0        514200
D MASCOTECH                      CONVBD           574670AB1 2432     3040000  PRN     SOLE    01         3040000  0        0
D MATSUSHITA ELEC INDL LTD ADR 1 COM              576879209 8223     41465    SH      DEFINED 02         29550    0        11915
D MATTEL                         COM              577081102 132      5000     SH      SOLE    01         5000     0        0
D MAY DEPARTMENT STORES          COM              577778103 279960   7113773  SH      OTHER   01,02      6376445  6700     730628
D MAYTAG                         COM              578592107 4095     58700    SH      SOLE    01         58700    0        0
D MBNA                           COM              55262L100 55       1800     SH      SOLE    01         1800     0        0
D MC DONALDS                     COM              580135101 3391     82400    SH      OTHER   01,03      20200    0        62200
D MCI WORLDCOM                   COM              55268B106 75986    883100   SH      OTHER   01,03      149800   0        733300
D MCKESSON HBOC                  COM              58155Q103 848      26421    SH      SOLE    01         26421    0        0
D MEAD CORPORATION               COM              582834107 8        200      SH      SOLE    01         200      0        0
D MEDIAONE GROUP                 COM              58440J104 77       1041     SH      SOLE    01         1041     0        0
D MEDTRONIC                      COM              585055106 51956    667179   SH      OTHER   01,03      68979    0        598200
D MELLON BANK                    COM              585509102 371647   10700137 SH      OTHER   01,02      9216195  9200     1474742
D MERCANTILE BANCORPORATION      COM              587342106 29416    514950   SH      SOLE    01         18750    0        496200
D MERCK & CO.                    COM              589331107 8861     120200   SH      OTHER   01,03      62200    0        58000
D MERCURY INTERACTIVE            COM              589405109 3643     103000   SH      DEFINED 03         0        0        103000
D MERISTAR HOSPITALITY           REIT             58984Y103 5100     227306   SH      SOLE    01         227306   0        0
D MERITOR AUTOMOTIVE             COM              59000G100 10       400      SH      SOLE    01         400      0        0
D MERRILL LYNCH AND COMPANY      COM              590188108 23       300      SH      SOLE    01         300      0        0
D MESABA HOLDINGS                COM              59066B102 3790     298050   SH      SOLE    01         298050   0        0
D METAMOR WORLDWIDE              COM              59133P100 2028     84500    SH      SOLE    01         84500    0        0
D METRIS COMPANIES               COM              591598107 26446    649016   SH      OTHER   01,02      648049   0        967
D METRO INFORMATION SERVICES     COM              59162P104 2153     130000   SH      SOLE    01         130000   0        0
D METRO NETWORKS                 COM              591918107 10688    200500   SH      SOLE    01         200500   0        0
D METRO-GOLDWYN-MAYER            COM              591610100 10       600      SH      SOLE    01         600      0        0
D METROMEDIA INTERNATIONAL GROUP COM              591695101 0        73       SH      SOLE    01         73       0        0
D METROMEDIA INTL GROUP CONV PRF CONVPF           591695200 1911     54800    SH      SOLE    01         54800    0        0
D METTLER-TOLEDO INTERNATIONAL   COM              592688105 41375    1666772  SH      OTHER   01,02      1664874  0        1898
D METZLER GROUP                  COM              592903108 3751     135800   SH      DEFINED 03         0        0        135800
D MICHAEL STORES                 COM              594087108 24       800      SH      SOLE    01         800      0        0
D MICREL INC                     COM              594793101 55116    743598   SH      OTHER   01,02      742771   0        827
D MICROSOFT                      COM              594918104 67584    749659   SH      OTHER   01,03      126860   0        622799
D MID ATLANTIC REALTY            CORP             595232AA7 1500     1500000  PRN     SOLE    01         1500000  0        0
D MILACRON                       COM              598709103 5374     290500   SH      SOLE    01         290500   0        0
D MILLER (HERMAN)                COM              600544100 32       1550     SH      SOLE    01         1550     0        0
D MINDSPRING ENTERPRISES CVT.    CORP             602683AA2 368      390000   PRN     SOLE    01         390000   0        0
D MINNESOTA MINING & MFG         COM              604059105 23017    264759   SH      SOLE    01         12200    0        252559
D MOBIL                          COM              607059102 460440   4830357  SH      OTHER   01,02      4194784  4600     630973
D MOBILE MINI                    COM              60740F105 4867     250000   SH      SOLE    01         250000   0        0
D MODIS PROFESSIONAL SERVICES    COM              607830106 5461     397200   SH      SOLE    01         397200   0        0
D MONSANTO                       COM              611662107 69       1780     SH      SOLE    01         1100     0        680
D MORGAN STANLEY DEAN WITTER     COM              617446448 17609    171700   SH      OTHER   01,03      22000    0        149700
D MOTOROLA                       COM              620076109 6064     64000    SH      SOLE    01         64000    0        0
D MUELLER INDUSTRIES             COM              624756102 5446     160500   SH      SOLE    01         160500   0        0
D MYLAN LABORATORIES             COM              628530107 56715    2140200  SH      SOLE    01         2140200  0        0
D NABISCO GROUP HOLDINGS         COM              62952P102 164275   8397520  SH      OTHER   01,02      7739600  0        657920
D NATIONAL AUSTRALIA BANK-UNITS  CONVPF           632525309 1382     45500    SH      SOLE    01         45500    0        0
D NATIONAL AUSTRALIA BK LTD ADR  COM              632525408 7992     95148    SH      DEFINED 02         68235    0        26913
D NATIONAL CITY CORP             COM              635405103 11347    173253   SH      OTHER   01,02      139980   0        33273
D NATIONAL DATA CORP. CONV.      CONVBD           635621AA3 211      200000   PRN     SOLE    01         200000   0        0
D NATIONAL EQUIPMENT SERVICES    COM              635847106 4597     383200   SH      SOLE    01         383200   0        0
D NATIONWIDE FINANCIAL SERV - A  COM              638612101 22842    504800   SH      SOLE    01         504800   0        0
D NATIONWIDE HEALTH PROPERTIES   REIT             638620104 6115     320800   SH      SOLE    01         320800   0        0
D NAVISTAR INTERNATIONAL         COM              63934E108 100      2000     SH      SOLE    01         2000     0        0
D NEON SYSTEMS                   COM              640509105 2646     79600    SH      SOLE    01         79600    0        0
D NETWORK APPLIANCE INC          COM              64120L104 72774    1301741  SH      OTHER   01,02      1300292  0        1449
D NETWORK ASSOCIATES             COM              640938106 0        0        SH      DEFINED 03         0        0        0
D NETWORK ASSOCIATES             CONVBD           640938AA4 90       300000   PRN     SOLE    01         300000   0        0
D NETWORK ASSOCIATES             CONVBD           640938AB2 66       220000   PRN     SOLE    01         220000   0        0
D NEW ERA OF NETWORKS            COM              644312100 25715    585700   SH      OTHER   01,03      570600   0        15100
D NEW JERSEY RESOURCES           COM              646025106 18       500      SH      SOLE    01         500      0        0
D NEW PLAN EXCEL REALTY TRUST    REIT             648053106 3962     220160   SH      SOLE    01         220160   0        0
D NEW YORK TIMES                 COM              650111107 1279     34770    SH      SOLE    01         34770    0        0
D NEWELL RUBBERMAID              COM              651229106 478      10296    SH      SOLE    01         10296    0        0
D NEWHALL LAND & FARMING         LTDPART          651426108 985      40000    SH      SOLE    01         40000    0        0
D NEWPORT NEWS SHIPBUILDING      COM              652228107 1        39       SH      SOLE    01         0        0        39
D NEXTEL COMM                    COM              65332V103 25       500      SH      SOLE    01         500      0        0
D NEXTLINK COMMUNICATIONS-A      COM              65333H707 31836    455951   SH      OTHER   01,02      427547   0        681
D NFO WORLDWIDE INC              COM              62910N108 39       2800     SH      SOLE    01         2800     0        0
D NICOR                          COM              654086107 8187     215100   SH      SOLE    01         215100   0        0
D NIKE                           COM              654106103 2659     42000    SH      SOLE    01         42000    0        0
D NOBLE AFFILIATES INCORPORATED  COM              654894104 84       3009     SH      SOLE    01         3009     0        0
D NORFOLK SOUTHERN               COM              655844108 229494   7618100  SH      OTHER   01,02      6872200  6600     739300
D NORTEL NETWORKS                COM              656569100 10443    120300   SH      SOLE    01         120300   0        0
D NORTH AMERICAN VACCINE CV NT   CONVBD           657201AC3 713      2460000  PRN     DEFINED 03         0        0        2460000
D NORTH FORK BANCOPORATION       COM              659424105 8762     411137   SH      SOLE    01         411137   0        0
D NORTHROP                       COM              666807102 13       200      SH      SOLE    01         200      0        0
D NUI                            COM              629430109 3253     130800   SH      SOLE    01         130800   0        0
D O'REILLY AUTOMOTIVE            COM              686091109 17530    348450   SH      SOLE    01         348450   0        0
D OAK INDUSTRIES                 CONVBD           671400AL3 12       10000    PRN     DEFINED 03         0        0        10000
D OAK INDUSTRIES 144A            CONVBD           671400AJ8 2127     1640000  PRN     DEFINED 03         0        0        1640000
D OCCIDENTAL PETROLEUM           COM              674599105 9        468      SH      SOLE    01         0        0        468
D OCEAN ENERGY                   COM              67481E106 3876     402800   SH      OTHER   01,03      371800   0        31000
D OCEANEERING INTERNATIONAL      COM              675232102 5595     347000   SH      SOLE    01         347000   0        0
D OGE ENERGY                     COM              670837103 836      35200    SH      SOLE    01         35200    0        0
D OLD KENT FINANCIAL             COM              679833103 8        210      SH      SOLE    01         210      0        0
D OLD REPUBLIC INTERNATIONAL     COM              680223104 434      25082    SH      SOLE    01         25082    0        0
D OM GROUP                       COM              670872100 5244     152000   SH      SOLE    01         152000   0        0
D OMNICARE                       CONVBD           681904AD0 185      250000   PRN     SOLE    01         250000   0        0
D OMNICOM GROUP                  COM              681919106 26604    332560   SH      SOLE    01         332560   0        0
D ONEOK                          COM              682680103 15       500      SH      SOLE    01         500      0        0
D ONYX SOFTWARE                  COM              683402101 4840     224500   SH      SOLE    01         224500   0        0
D ORACLE                         COM              68389X105 32189    867050   SH      OTHER   01,03      55550    0        811500
D OUTBACK STEAKHOUSE             COM              689899102 44264    1128650  SH      SOLE    01         1128650  0        0
D OUTDOOR SYSTEMS                COM              690057104 4667     127874   SH      DEFINED 03         0        0        127874
D OXFORD HEALTH PLANS            COM              691471106 23       1500     SH      SOLE    01         1500     0        0
D P.P.G. INDUSTRIES              COM              693506107 141      2400     SH      SOLE    01         2400     0        0
D PACCAR                         COM              693718108 208      3900     SH      SOLE    01         3900     0        0
D PACIFICARE HEALTH SYSTEMS      COM              695112102 7        100      SH      SOLE    01         100      0        0
D PACIFICORP                     COM              695114108 3384     184200   SH      SOLE    01         184200   0        0
D PACKAGED ICE                   COM              695148106 2632     441200   SH      SOLE    01         441200   0        0
D PAINE WEBBER GROUP             COM              695629105 36851    788270   SH      SOLE    01         788270   0        0
D PAN PACIFIC RETAIL PROPERTIES  REIT             69806L104 11092    570780   SH      SOLE    01         564580   0        6200
D PAPA JOHN'S INTERNATIONAL      COM              698813102 25873    579400   SH      SOLE    01         579400   0        0
D PE - CELERA GENOMICS GROUP     COM              69332S201 373      23050    SH      DEFINED 03         0        0        23050
D PE CORP- PE BIOSYSTEMS GROUP   COM              69332S102 6162     53700    SH      DEFINED 03         0        0        53700
D PECO ENERGY                    COM              693304107 1278     30400    SH      SOLE    01         30400    0        0
D PENN REAL ESTATE INVEST TST    REIT             709102107 996      47600    SH      SOLE    01         47600    0        0
D PENTAIR                        COM              709631105 15847    346400   SH      SOLE    01         346400   0        0
D PEOPLES HERITAGE FINANCIAL GRP COM              711147108 9323     494800   SH      SOLE    01         494800   0        0
D PEPSICO                        COM              713448108 261590   6761628  SH      OTHER   01,02,03   6577050  10200    174378
D PEREGRINE SYSTEMS              COM              71366Q101 7491     292000   SH      SOLE    01         292000   0        0
D PERSONNEL GROUP OF AMERICA     CONVBD           715338AE9 2067     2480000  PRN     DEFINED 03         0        0        2480000
D PERSONNEL GRP OF AMER CV 144A  CONVBD           715338AC3 337      405000   PRN     DEFINED 03         0        0        405000
D PFIZER                         COM              717081103 1300     11900    SH      OTHER   01,03      5700     0        6200
D PG&E                           COM              69331C108 118935   3664800  SH      OTHER   01,02      3542300  4000     118500
D PHARMACIA & UPJOHN INC         COM              716941109 75171    1323145  SH      OTHER   01,02      417412   300      905433
D PHARMACOPEIA                   COM              71713B104 2540     229600   SH      SOLE    01         229600   0        0
D PHELPS DODGE                   COM              717265102 111      1800     SH      SOLE    01         1800     0        0
D PHILIP MORRIS                  COM              718154107 300876   7486848  SH      OTHER   01,02      6506600  0        980248
D PHILIPPINE LONG DISTANCE ADR   ADR              718252604 138      4600     SH      SOLE    01         4600     0        0
D PHILIPS INTERNATIONAL REALTY   REIT             718333107 1687     100000   SH      SOLE    01         100000   0        0
D PHILLIPS PETROLEUM CO.         COM              718507106 5        100      SH      SOLE    01         100      0        0
D PIER 1 IMPORTS                 COM              720279108 7262     645520   SH      SOLE    01         645520   0        0
D PINNACLE HOLDINGS              COM              72346N101 22380    915400   SH      OTHER   01,03      737700   0        177700
D PITNEY BOWES                   COM              724479100 453287   7381115  SH      OTHER   01,02,03   5382227  5400     1993488
D PITTSTON BRINK'S GROUP         COM              725701106 3528     131900   SH      SOLE    01         131900   0        0
D PLACER DOME                    COM              725906101 30       2600     SH      SOLE    01         2600     0        0
D PLANTRONICS                    COM              727493108 45       700      SH      DEFINED 03         0        0        700
D PMC - SIERRA INC               COM              69344F106 63647    1079354  SH      OTHER   01,02      1078728  0        626
D PNC FINANCIAL GROUP            COM              693475105 218      3800     SH      SOLE    01         3800     0        0
D POHANG IRON & STEEL-SPON ADR   ADR              730450103 530      15780    SH      SOLE    01         15780    0        0
D POPULAR INC                    COM              733174106 9        300      SH      SOLE    01         300      0        0
D POWERGEN PLC SPONS ADR FINAL   COM              738905405 5390     125708   SH      DEFINED 02         90175    0        35533
D PPG INDS INC                   COM              693506107 247      4188     SH      DEFINED 02         1958     0        2230
D PRAXAIR                        COM              74005P104 19       400      SH      SOLE    01         400      0        0
D PRECISION CASTPARTS            COM              740189105 38       900      SH      SOLE    01         900      0        0
D PREMARK INTERNATIONAL          COM              740459102 15922    424600   SH      SOLE    01         424600   0        0
D PRENTISS PROPERTIES TRUST      REIT             740706106 12345    525235   SH      SOLE    01         525235   0        0
D PRICE (T,ROWE) ASSOCIATES      COM              741477103 237      6200     SH      SOLE    01         6200     0        0
D PRIME HOSPITALITY              COM              741917108 11347    945700   SH      OTHER   01,03      945300   0        400
D PRIMEDIA                       COM              74157K101 25       1500     SH      DEFINED 03         0        0        1500
D PROCTER & GAMBLE               COM              742718109 1612     18080    SH      OTHER   01,03      4580     0        13500
D PROFIT RECOVERY GROUP          COM              743168106 34944    79469    SH      OTHER   01,02      738038   0        1041
D PROTECTIVE LIFE                COM              743674103 4775     144700   SH      SOLE    01         144700   0        0
D PROVIDENT BANKSHARES           COM              743859100 34       1470     SH      SOLE    01         1470     0        0
D PSINET                         CONVPF           74437C309 2061     45000    SH      DEFINED 03         0        0        45000
D PUBLIC SERVICE ENTERPRISE GRP  COM              744573106 24       600      SH      SOLE    01         600      0        0
D PUBLIC STORAGE                 REIT             74460D109 8213     293370   SH      SOLE    01         287770   0        5600
D QLT PHOTOTHERAPUTICS           COM              746927102 5737     104500   SH      SOLE    01         104500   0        0
D QUADRAMED CORP CONV            CORP             74730WAC5 220      385000   PRN     DEFINED 03         0        0        385000
D QUAKER OATS                    COM              747402105 2940     44315    SH      SOLE    01         44315    0        0
D QUALCOMM                       COM              747525103 3674     25600    SH      SOLE    01         25600    0        0
D QUESTAR                        COM              748356102 160      8300     SH      SOLE    01         8300     0        0
D QUILMES INDUSTRIAL QUINS - ADR ADR              74838Y108 64       5200     SH      SOLE    01         5200     0        0
D QUINENCO ADR                   ADR              748718103 89       9500     SH      SOLE    01         9500     0        0
D QWEST COMMUNICATIONS INTL      COM              749121109 59       1800     SH      SOLE    01         1800     0        0
D R.H. DONNELLEY                 COM              74955W307 442      22631    SH      SOLE    01         22631    0        0
D RADIAN GROUP                   COM              750236101 4398     90100    SH      SOLE    01         90100    0        0
D RADIO ONE                      COM              75040P108 9741     210050   SH      SOLE    01         210050   0        0
D RALSTON-RALSTON PURINA         COM              751277302 73       2400     SH      SOLE    01         2400     0        0
D RATIONAL SOFTWARE CORPORATION  COM              75409P202 4858     147500   SH      DEFINED 03         0        0        147500
D RAYONIER                       COM              754907103 5324     106900   SH      SOLE    01         106900   0        0
D RAYTHEON CO.- CLASS A          COM              755111309 1998     29027    SH      SOLE    01         2231     0        26796
D READERS DIGEST ASSOCIATION     COM              755267101 2842     71500    SH      DEFINED 03         0        0        71500
D RECKSON ASSOC REALTY  SER A    CONVPF           75621K205 280      12300    SH      SOLE    01         12300    0        0
D RECKSON ASSOCIATES REALTY      REIT             75621K106 13897    591220   SH      SOLE    01         582620   0        8600
D RECKSON ASSOCIATES REALTY-B    REIT             75621K304 418      17520    SH      SOLE    01         17520    0        0
D REGAL BELOIT                   COM              758750103 4916     208100   SH      SOLE    01         208100   0        0
D RELIANCE GROUP HOLDINGS        COM              759464100 297      39950    SH      SOLE    01         39950    0        0
D RELIANT ENERGY                 COM              75952J108 2769     100271   SH      SOLE    01         100000   0        271
D RENAL CARE GROUP               COM              759930100 5488     212400   SH      SOLE    01         212400   0        0
D REPUBLIC BANCORP               COM              760282103 38       2500     SH      SOLE    01         2500     0        0
D REPUBLIC SERVICES - CL A       COM              760759100 17857    721500   SH      OTHER   01,03      300000   0        421500
D RES-CARE                       CONVBD           760943AC4 655      510000   PRN     DEFINED 03         0        0        510000
D RES-CARE INC 144A CV SR SB NT  CONVBD           760943AA8 154      120000   PRN     DEFINED 03         0        0        120000
D RESEARCH IN MOTION             COM              760975102 303      15000    SH      DEFINED 03         0        0        15000
D REXALL SUNDOWN                 COM              761648104 717      59000    SH      SOLE    01         59000    0        0
D REYNOLDS & REYNOLDS CLASS A    COM              761695105 249      10700    SH      SOLE    01         10700    0        0
D REYNOLDS METALS                COM              761763101 778      13200    SH      SOLE    01         0        0        13200
D RHONE-POULENC SA - ADR         ADR              762426609 28248    612332   SH      SOLE    01         23132    0        589200
D RIO TINTO PLC SPONSORED ADR    COM              767204100 5933     88219    SH      DEFINED 02         62592    0        25627
D RITE AID                       COM              767754104 16821    683100   SH      SOLE    01         683100   0        0
D RJ REYNOLDS TOBACCO HOLDINGS   COM              76182K105 109911   3468237  SH      OTHER   01,02      3224130  0        244106
D ROCHESTER GAS & ELECTRIC       COM              771367109 2800     103500   SH      SOLE    01         103500   0        0
D ROCKWELL INTERNATIONAL         COM              773903109 249575   4108250  SH      OTHER   01,02      3988350  4400     115500
D ROGERS COMMUNICATIONS - CL B   COM              775109200 32       2000     SH      DEFINED 03         0        0        2000
D ROSS STORES                    COM              778296103 1104     21975    SH      SOLE    01         21975    0        0
D ROUSE                          REIT             779273101 718      28300    SH      SOLE    01         28300    0        0
D ROYAL CARIBBEAN CRUISES LTD    COM              V7780T103 21542    492400   SH      SOLE    01         492400   0        0
D ROYAL DUTCH PETROL-NY SHARES   NYSHRS           780257804 467885   7875283  SH      OTHER   01,02      7675207  8300     191776
D RUBY TUESDAY                   COM              781182100 5889     310000   SH      SOLE    01         310000   0        0
D RWE AG SPONSORED ADR           COM              74975E303 3832     82757    SH      DEFINED 02         59620    0        23137
D SABRATEK                       CONVBD           78571UAA6 879      1325000  PRN     DEFINED 03         0        0        1325000
D SAFEWAY                        COM              786514208 13502    272800   SH      OTHER   01,03      26600    0        246200
D SANMINA CORP CONV 144A         CORP             800907AA5 560      500000   PRN     DEFINED 03         0        0        500000
D SANTA FE INTERNATIONAL         COM              G7805C108 39       1700     SH      SOLE    01         1700     0        0
D SANTA FE SNYDER                COM              80218K105 3017     395800   SH      SOLE    01         395800   0        0
D SARA LEE                       COM              803111103 47       2100     SH      SOLE    01         2100     0        0
D SBC COMMUNICATIONS             COM              78387G103 64075    1104754  SH      OTHER   01,03      993440   0        111314
D SCHERING PLOUGH                COM              806605101 2004     37820    SH      SOLE    01         37820    0        0
D SCHLUMBERGER LTD.              COM              806857108 18762    294600   SH      OTHER   01,03      264700   0        29900
D SCHULTZ SAV-O STORES           COM              808196109 6039     374600   SH      SOLE    01         374600   0        0
D SCHWAB (CHARLES) CORPORATION   COM              808513105 1043     9500     SH      DEFINED 03         9500     0        0
D SCOTTS                         COM              810186106 13201    277200   SH      SOLE    01         277200   0        0
D SEAGATE TECHNOLOGY             COM              811804103 17       700      SH      SOLE    01         700      0        0
D SEALED AIR                     COM              81211K100 6448     99411    SH      OTHER   01,03      2511     0        96900
D SEALED AIR                     CONVPF           81211K209 17491    279862   SH      SOLE    01         279862   0        0
D SEARS ROEBUCK & COMPANY        COM              812387108 31       700      SH      SOLE    01         700      0        0
D SEPACOR INC 144A               CORP             817315AF1 986      1000000  PRN     DEFINED 03         0        0        1000000
D SEPRACOR                       COM              817315104 2728     33600    SH      DEFINED 03         13800    0        19800
D SERVICEMASTER COMPANY          COM              81760N109 753      40200    SH      SOLE    01         40200    0        0
D SHAW INDUSTRIES                COM              820286102 168      10200    SH      SOLE    01         10200    0        0
D SHELL TRANSPORT&TRADING-ADR    ADR              822703609 2736     59000    SH      SOLE    01         59000    0        0
D SHERWIN-WILLIAMS CO.           COM              824348106 18856    679500   SH      SOLE    01         679500   0        0
D SIEBEL SYSTEMS                 COM              826170102 5749     86700    SH      DEFINED 03         0        0        86700
D SIEMENS A G ADR NEW            COM              826197402 7057     91487    SH      DEFINED 02         65684    0        25803
D SIERRA HEALTH SERVICES         COM              826322109 21       1500     SH      SOLE    01         1500     0        0
D SIERRA PACIFIC RESOURCES       COM              826425100 4623     127100   SH      SOLE    01         127100   0        0
D SIGMA-ALDRICH                  COM              826552101 2481     72000    SH      SOLE    01         72000    0        0
D SIME DARBY BERHAD ADR          COM              828617209 487      412315   SH      DEFINED 02         282553   0        129762
D SIMON PROPERTY GROUP           REIT             828806109 5650     222720   SH      SOLE    01         217720   0        5000
D SIZELER PROP 8.0% CONV         CONVBD           830137AA3 1359     1500000  PRN     SOLE    01         1500000  0        0
D SKYTEL CONV PREF               CONVPF           83087Q302 1500     40000    SH      DEFINED 03         0        0        40000
D SL GREEN REALTY                REIT             78440X101 5092     249170   SH      SOLE    01         240870   0        8300
D SLM HOLDING                    COM              78442A109 858      18741    SH      SOLE    01         18741    0        0
D SMITHKLINE BEECHAM - ADR       ADR              832378301 53489    809678   SH      SOLE    01         49200    0        760478
D SNYDER COMMUNICATIONS          COM              832914105 514      15700    SH      SOLE    01         15700    0        0
D SOCIETE GENERALE FRANCE SPONSO COM              83364L109 4716     133797   SH      DEFINED 02         96038    0        37759
D SOFTWORKS                      COM              83404P102 6089     552100   SH      SOLE    01         552100   0        0
D SOLECTRON CORPORATION          COM              834182107 26       400      SH      SOLE    01         400      0        0
D SOLUTIA INC                    COM              834376105 2        136      SH      SOLE    01         0        0        136
D SOLVAY SA - SPONSORED ADR      COM              834437105 2452     36942    SH      DEFINED 02         26903    0        10039
D SONAT                          COM              835415100 306528   9631378  SH      OTHER   01,02      9298647  9000     323731
D SONIC                          COM              835451105 25552    789200   SH      SOLE    01         789200   0        0
D SONY CORP AMERN SH NEW         COM              835699307 7788     70560    SH      DEFINED 02         49681    0        20879
D SOUTHDOWN                      COM              841297104 89       1400     SH      SOLE    01         1400     0        0
D SOUTHERN                       COM              842587107 3312     125000   SH      SOLE    01         125000   0        0
D SOUTHTRUST                     COM              844730101 2066     53900    SH      SOLE    01         53900    0        0
D SOUTHWEST AIRLINES             COM              844741108 42       1381     SH      SOLE    01         1381     0        0
D SPIEKER PROPERTIES             REIT             848497103 6940     178555   SH      SOLE    01         174455   0        4100
D SPINNAKER INDUSTRIES COMMON    COM              848926200 1891     141428   SH      SOLE    01         141428   0        0
D SPORTSLINE USA CONV            CORP             848934AA3 716      1000000  PRN     DEFINED 03         0        0        1000000
D SPRINGS INDUSTRIES - CLASS A   COM              851783100 4070     93300    SH      SOLE    01         93300    0        0
D SPRINT                         COM              852061100 21       400      SH      SOLE    01         400      0        0
D ST PAUL COS INC                COM              792860108 10561    331997   SH      OTHER   01,02      263524   0        68473
D STAPLES INC                    COM              855030102 91628    2964724  SH      OTHER   01,02      2962785  0        1939
D STARWOOD HOTELS & RESORTS WOR  COM              85590A203 8364     273710   SH      SOLE    01         267510   0        6200
D STERIS                         COM              859152100 145      7500     SH      SOLE    01         7500     0        0
D STERLING SOFTWARE              COM              859547101 93       3500     SH      SOLE    01         3500     0        0
D STEWART ENTERPRISES            COM              860370105 36819    2533800  SH      SOLE    01         2533800  0        0
D STORAGE USA                    REIT             861907103 4274     134100   SH      SOLE    01         134100   0        0
D SUIZA FOODS                    COM              865077101 20079    479500   SH      SOLE    01         479500   0        0
D SUMMIT BANCORP                 COM              866005101 258456   6465075  SH      OTHER   01,02      5437149  5500     1022426
D SUN COMMUNITIES                REIT             866674104 15055    424100   SH      SOLE    01         419200   0        4900
D SUN INTERNATIONAL HOTELS       COM              P8797T133 16946    378700   SH      SOLE    01         378700   0        0
D SUN MICROSYSTEMS               COM              866810104 12828    186200   SH      OTHER   01,03      48100    0        138100
D SUNGARD DATA SYSTEMS           COM              867363103 43322    1255751  SH      OTHER   01,03      1254570  0        1181
D SUNOCO                         COM              86764P109 132      4400     SH      SOLE    01         4400     0        0
D SUNTRUST BANKS                 COM              867914103 43350    624307   SH      SOLE    01         36864    0        587443
D SUPERVALU                      COM              868536103 7        300      SH      SOLE    01         300      0        0
D SYMANTEC                       COM              871503108 135      5300     SH      SOLE    01         5300     0        0
D SYMBOL TECHNOLOGIES            COM              871508107 50797    1377550  SH      SOLE    01         1377550  0        0
D SYNOPSYS INCORPORATED          COM              871607107 11257    204100   SH      SOLE    01         204100   0        0
D SYSCO CORP.                    COM              871829107 2086     70000    SH      SOLE    01         70000    0        0
D TALBOTS                        COM              874161102 7785     204200   SH      SOLE    01         204200   0        0
D TANDY                          COM              875382103 38493    787600   SH      DEFINED 03         61600    0        726000
D TCA CABLE TV                   COM              872241104 27158    489900   SH      SOLE    01         489900   0        0
D TELEBRAS - ADR                 ADR              879287100 0        1800     SH      SOLE    01         1800     0        0
D TELEBRAS - SPONS ADR PFD BLOCK ADR              879287308 162      1800     SH      SOLE    01         1800     0        0
D TELECOM CORP NEW ZEALAND LTDSP COM              879278208 5006     143294   SH      DEFINED 02         103111   0        40183
D TELEFLEX                       COM              879369106 16306    375400   SH      SOLE    01         375400   0        0
D TELEFONICA DEL PERU-ADR        ADR              879384105 662      43800    SH      SOLE    01         43800    0        0
D TELEFONICA S. A.               COM              879382208 7864     53452    SH      DEFINED 02         38580    0        14872
D TELEFONOS MEX CONV             CORP             879403AD5 1543     1500000  PRN     DEFINED 03         0        0        1500000
D TELLABS                        COM              879664100 2324     34390    SH      SOLE    01         34390    0        0
D TEMPLE-INLAND                  COM              879868107 22103    323800   SH      SOLE    01         13800    0        310000
D TENNECO INC                    COM              88037E101 8465     354578   SH      OTHER   01,02      289323   0        65255
D TERADYNE                       COM              880770102 25477    355100   SH      OTHER   01,03      306100   0        49000
D TESORO PETROLEUM               CONVPF           881609408 1896     120405   SH      DEFINED 03         0        0        120405
D TEXACO                         COM              881694103 47248    755970   SH      SOLE    01         66770    0        689200
D TEXAS INDUSTRIES               COM              882491103 42       1100     SH      SOLE    01         1100     0        0
D TEXAS INSTRUMENTS              COM              882508104 8120     56000    SH      SOLE    01         56000    0        0
D TEXAS UTILITIES CO             COM              882848104 10003    241426   SH      OTHER   01,02      192565   0        48861
D THE MCGRAW-HILL COMPANIES      COM              580645109 637895   12237989 SH      OTHER   01,02      10164420 9900     2063669
D THE NEWS CORP LIMITED - ADR    ADR              652487703 43148    1221900  SH      OTHER   01,03      56000    0        1165900
D THERMO FIBERTEK                CONVBD           88355WAA3 2142     2570000  PRN     SOLE    01         2570000  0        0
D THOMAS & BETTS                 COM              884315102 224934   4984368  SH      OTHER   01,02      4439250  3800     541318
D TICKETMASTER ONLINE-CITY B     COM              88633P203 851      25000    SH      SOLE    01         25000    0        0
D TIDEWATER                      COM              886423102 982      32200    SH      SOLE    01         32200    0        0
D TIME WARNER - NEW              COM              887315109 62607    865740   SH      OTHER   01,03      51240    0        814500
D TJX COS INC NEW                COM              872540109 1088     32670    SH      SOLE    01         32670    0        0
D TOLL BROTHERS                  COM              889478103 1500     70000    SH      SOLE    01         70000    0        0
D TOMMY HILFIGER                 COM              G8915Z102 16067    218785   SH      SOLE    01         218785   0        0
D TORONTO DOMINION BANK          COM              891160509 27677    608300   SH      SOLE    01         608300   0        0
D TOWER AUTOMOTIVE               COM              891707101 3184     125200   SH      DEFINED 03         0        0        125200
D TOWER AUTOMOTIVE 5% CNVT 144A  CONVBD           891707AA9 572      505000   PRN     SOLE    01         505000   0        0
D TOWER AUTOMOTIVE CONVERTIBLE   CONVBD           891707AE1 107      95000    PRN     SOLE    01         95000    0        0
D TRANSOCEAN OFFSHORE            COM              G90076103 42       1600     SH      SOLE    01         1600     0        0
D TREDEGAR                       COM              894650100 813      37400    SH      SOLE    01         37400    0        0
D TRIAD HOSPITALS                COM              89579K109 0        5        SH      DEFINED 03         0        0        5
D TRIGON HEALTHCARE              COM              89618L100 23606    649000   SH      SOLE    01         649000   0        0
D TRIUMPH GROUP                  COM              896818101 25       1000     SH      SOLE    01         1000     0        0
D TRIZEC HAHN CORPORATION        COM              896938107 4859     238500   SH      SOLE    01         230800   0        7700
D TRW                            COM              872649108 195068   3554800  SH      OTHER   01,02      3461600  4000     89200
D TUPPERWARE CORPORATION         COM              899896104 25       1000     SH      SOLE    01         1000     0        0
D TWEETER HOME ENTERTAINMENT     COM              901167106 13988    358100   SH      SOLE    01         358100   0        0
D TYCO INTERNATIONAL             COM              902124106 69276    731150   SH      SOLE    01         731150   0        0
D U S BANCORP                    COM              902973106 420918   12540220 SH      OTHER   01,02      11301680 12200    1226340
D U S WEST                       COM              91273H101 1902     32404    SH      SOLE    01         32404    0        0
D UAL CORPORATION                COM              902549500 404      6220     SH      SOLE    01         6220     0        0
D UICI                           COM              902737105 303      11000    SH      SOLE    01         11000    0        0
D UNIBANCO - GDR                 GDR              90458E107 195      8120     SH      SOLE    01         8120     0        0
D UNICOM                         COM              904911104 2911     75500    SH      SOLE    01         75500    0        0
D UNIGATE LTD ADR                COM              904750403 4378     689128   SH      DEFINED 02         500093   0        189035
D UNILEVER N V WI                COM              904784709 1988     28504    SH      DEFINED 02         20591    0        7913
D UNION PACIFIC                  COM              907818108 25601    439040   SH      SOLE    01         2200     0        436840
D UNION PACIFIC RESOURCES        COM              907834105 1        118      SH      SOLE    01         0        0        118
D UNIONBANCAL                    COM              908906100 16411    454300   SH      SOLE    01         454300   0        0
D UNISYS                         COM              909214108 5303     136200   SH      DEFINED 03         0        0        136200
D UNITED DOMINION INDUSTRIES     COM              909914103 37       1500     SH      SOLE    01         1500     0        0
D UNITED HEALTHCARE              COM              910581107 1866     29800    SH      OTHER   01,03      29800    0        0
D UNITED STATIONERS              COM              913004107 700      31800    SH      SOLE    01         31800    0        0
D UNITED TECHNOLOGIES            COM              913017109 519      7240     SH      SOLE    01         7240     0        0
D UNIVERSAL FOODS                COM              913538104 30870    1461340  SH      SOLE    01         1461340  0        0
D UNOCAL                         COM              915289102 346226   9064284  SH      OTHER   01,02      8763914  8800     291570
D UNUM                           COM              903192102 16310    297900   SH      SOLE    01         297900   0        0
D US INDUSTRIES                  COM              912080108 83       4900     SH      SOLE    01         4900     0        0
D USA NETWORKS INC               COM              902984103 43888    1094451  SH      OTHER   01,02,03   862205   0        232246
D USFREIGHTWAYS                  COM              916906100 7507     163100   SH      SOLE    01         163100   0        0
D USG CORPORATION                COM              903293405 53       950      SH      SOLE    01         950      0        0
D UST                            COM              902911106 1989     68000    SH      SOLE    01         68000    0        0
D USX MARATHON GROUP             COM              902905827 50224    1542420  SH      OTHER   01,02      411930   0        1130490
D USX-U.S. STEEL GROUP           COM              90337T101 124      4620     SH      SOLE    01         4620     0        0
D UTILICORP UNITED               COM              918005109 753      31000    SH      SOLE    01         31000    0        0
D VALAASSIS COMMUNICATIONS       COM              918866104 803      21950    SH      SOLE    01         21950    0        0
D VALERO ENERGY W/I              COM              91913Y100 3762     175500   SH      SOLE    01         175500   0        0
D VALLEY NATIONAL BANCORP        COM              919794107 935      32550    SH      SOLE    01         32550    0        0
D VALSPAR CORPORATION            COM              920355104 17077    449400   SH      SOLE    01         449400   0        0
D VARIAN ASSOCIATES              COM              92220P105 5966     236300   SH      SOLE    01         236300   0        0
D VERITAS SOFTWARE CO            COM              923436109 63970    677752   SH      OTHER   01,02      676292   0        1460
D VIACOM CLASS B                 COM              925524308 92       2100     SH      SOLE    01         2100     0        0
D VIAD                           COM              92552R109 19171    619700   SH      SOLE    01         619700   0        0
D VITESSE SEMICONDUCTOR          COM              928497106 2926     43400    SH      DEFINED 03         0        0        43400
D VODAFONE GROUP PLC - ADR       ADR              92857T107 197      1000     SH      SOLE    01         1000     0        0
D VULCAN MATERIALS COMPANY       COM              929160109 101      2100     SH      SOLE    01         2100     0        0
D WAL MART STORES                COM              931142103 7903     163800   SH      OTHER   01,03      95400    0        68400
D WALLACE COMPUTER SERVICES      COM              932270101 12380    495200   SH      SOLE    01         495200   0        0
D WALT DISNEY                    COM              254687106 847      27500    SH      SOLE    01         27500    0        0
D WARNER LAMBERT                 COM              934488107 16585    239510   SH      OTHER   01,03      400      0        239110
D WASHINGTON MUTUAL              COM              939322103 2862     80910    SH      SOLE    01         80910    0        0
D WASTE CONNECTIONS              COM              941053100 21008    688800   SH      SOLE    01         688800   0        0
D WASTE MANAGEMENT               COM              94106L109 56732    1055486  SH      DEFINED 03         56200    0        999286
D WASTE MANAGEMENT CV            CONVBD           94106LAA7 2231     1670000  PRN     DEFINED 03         0        0        1670000
D WATERS                         COM              941848103 12973    244200   SH      SOLE    01         244200   0        0
D WATSON PHARMACEUTICAL          COM              942683103 20739    591500   SH      SOLE    01         591500   0        0
D WATTS INDUSTRIES               COM              942749102 3052     159100   SH      SOLE    01         159100   0        0
D WEATHERFORD INTERNATIONAL      COM              947074100 3874     105800   SH      SOLE    01         105800   0        0
D WEBSTER FINANCIAL              COM              947890109 15715    578100   SH      SOLE    01         578100   0        0
D WELLS FARGO                    COM              949746101 4531     106000   SH      SOLE    01         57400    0        48600
D WENDY'S INTERNATIONAL          COM              950590109 113      4000     SH      SOLE    01         4000     0        0
D WESLEY JESSEN VISIONCARE       COM              951018100 6430     200000   SH      SOLE    01         200000   0        0
D WEST MARINE                    COM              954235107 5891     403800   SH      SOLE    01         403800   0        0
D WESTAMERICA BANCORPORATION     COM              957090103 7683     210700   SH      SOLE    01         210700   0        0
D WESTPOINT STEVENS              COM              961238102 956      32100    SH      SOLE    01         32100    0        0
D WESTVACO                       COM              961548104 72       2500     SH      SOLE    01         2500     0        0
D WEYERHAEUSER                   COM              962166104 393591   5724975  SH      OTHER   01,02      5230575  5500     488900
D WHARF HOLDINGS LTD ORD FOR     FOREIGN COMMON S Y9551M108 41       13185    SH      DEFINED 02         11185    0        2000
D WHIRLPOOL CORP                 COM              963320106 14       200      SH      SOLE    01         200      0        0
D WHOLE FOODS MARKET 144A        CONVBD           966837AA4 109      300000   PRN     SOLE    01         300000   0        0
D WILLAMETTE INDUSTRIES          COM              969133107 1883     40900    SH      SOLE    01         40900    0        0
D WILLIAMS                       COM              969457100 44831    1053300  SH      SOLE    01         118500   0        934800
D WINSTAR COMMUNICATIONS         COM              975515107 460      9445     SH      OTHER   01,03      956      0        8489
D WITCO                          COM              977385103 12       621      SH      SOLE    01         400      0        221
D WOLVERINE WORLD WIDE           COM              978097103 4992     356600   SH      SOLE    01         356600   0        0
D WORLD COLOR PRESS              COM              981443104 6737     245000   SH      SOLE    01         245000   0        0
D WORLD COLR PRESS               CONVBD           981443AA2 142      150000   PRN     SOLE    01         150000   0        0
D WRIGLEY WM JR CO COM           COM              982526105 321      3600     SH      DEFINED 02         3600     0        0
D XEROX                          COM              984121103 345532   5850297  SH      OTHER   01,02,03   4232150  4400     1613747
D XILINX                         COM              983919101 24819    433300   SH      SOLE    01         433300   0        0
D XL CAPITAL LIMITED - CLASS A   COM              G98255105 6192     109600   SH      SOLE    01         109600   0        0
D XOMED SURGICAL PRODUCTS        COM              98412V107 5086     105000   SH      SOLE    01         105000   0        0
D YAHOO                          COM              984332106 1635     9500     SH      OTHER   01,03      400      0        9100
D YORK INTERNATIONAL             COM              986670107 8        200      SH      SOLE    01         200      0        0
D ZALE                           COM              988858106 24328    608200   SH      OTHER   01,03      389600   0        218600
D ZANY BRAINY                    COM              98906Q101 4887     506200   SH      SOLE    01         506200   0        0
S REPORT SUMMARY             866    DATA RECORDS          26031623             02 OTHER MANAGERS ON WHOSE BEHALF REPORT IS FILED

</TABLE>



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