<PAGE> 1
UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
Form 13F
Form 13F COVER PAGE
Report for the Calendar Year or Quarter Ended: September 30, 2000
------------------
Check here if Amendent [ ]; Amendent Number:
------
This Amendment (Check only one.): [ ] is a restatement.
[ ] adds new holdings entries.
Institutional Investments Manager Filing this report:
Name: Munder Capital Management
------------------------------------
Address: 480 Pierce Street
------------------------------------
Birmingham, MI 48009
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------------------------------------
Form 13F File Number: 28- 1874
---------
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: Mary Ann C. Shumaker
------------------------------------
Title: Associate General Counsel
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Phone: 248-647-9200
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Signature, Place, and Date of Signing:
/s/ Mary Ann C. Shumaker Birmingham, MI 11/10/00
------------------------ ----------------- ----------
[Signature] [City, State] [Date]
Report Type (Check only one.):
[ ] 13F HOLDINGS REPORT. (Check here if all holdings of this reporting manager
are reported in this report.)
[ ] 13F NOTICE. (Check here if no holdings reported are in this report, and
all holdings are reported by other reporting manager(s).)
[X] 13F COMBINATION REPORT. (Check here if a portion of the holdings for this
reporting manager are reported in this report and a portion are reported by
other reporting manager(s).)
List of Other Managers Reporting for this Manager:
Form 13F File Number Name
28- 4980 World Asset Management, L.L.C.
------- ------------------------------------------
28- 412 Comerica Bank
Form 13F SUMMARY PAGE
Report Summary:
Number of Other Included Managers: 1
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Form 13F Information Table Entry Total: 560
-----------------
Form 13F Information Table Value Total: $ 10,952,289
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(thousands)
List of Other Included Managers:
Provide a numbered list of the name(s) and Form 13F file number(s) of all
institutional investment managers with respect to which this report is filed,
other than the manager filing this report.
[If there are no entries in this list, state "NONE" and omit the column headings
and list entries.]
<TABLE>
<CAPTION>
No. Form 13F File Number Name
<S> <C> <C>
1 28- 412 Comerica Bank
--- ---------- ------------------------
</TABLE>
<PAGE> 2
MUNDER CAPITAL MANAGEMENT
FORM 13F 9/30/2000
<TABLE>
<CAPTION>
-------------------------------------------------------------------------------------
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5
SHARES OF
NAME OF ISSUER TITLE CUSIP FAIR MARKET PRINCIPAL PUT/
OF CLASS NUMBER VALUE AMOUNT CALL
(x $1000)
-------------------------------------------------------------------------------------
<S> <C> <C> <C> <C>
@Road Inc. COMMON 04648K105 6 750
24/7 Media Inc. COMMON 901314104 13 1,200
3 Dimensional Pharmaceutic COMMON 88554W104 2,880 80,000
3Com Corp. COMMON 885535104 242 12,600
Abbott Laboratories COMMON 002824100 4,315 90,710
Accord Networks Ltd. COMMON M01690102 2,159 221,400
ACE Ltd. COMMON G0070K103 5,321 135,550
ACT Manufacturing Inc. COMMON 000973107 1,340 25,400
Actrade Fin'l Technologies COMMON 00507P102 1,422 47,300
Adac Laboratories COMMON 005313200 3,413 163,962
ADC Telecommunications Inc COMMON 000886101 30,416 1,131,050
Adtran Inc. COMMON 00738A106 4,486 105,426
Advanced Digital Info. Cor COMMON 007525108 4,409 290,308
Aegon N.V. ARS COMMON 007924103 39 1,040
Affiliated Computer Svcs. COMMON 008190100 13,949 279,664
Affiliated Managers Group COMMON 008252108 1,020 17,900
Air Methods Corp. COMMON 009128307 1,228 344,750
Air Products & Chemicals I COMMON 009158106 2,531 70,300
Alcatel SA ADR COMMON 013904305 6 80
Alcoa Inc. COMMON 013817101 1,966 77,670
Allegheny Energy Inc. COMMON 017361106 574 15,000
Allied Capital Corp Funds COMMON 01903Q108 571 27,500
Allscripts Pharmaceuticals COMMON 019886100 2,529 179,023
Alltel Corp. COMMON 020039103 1,367 26,180
Alteon WebSystems Inc. COMMON 02145A109 253,484 2,338,600
Altera Corp. COMMON 021441100 48,571 1,017,184
Amazon.com Inc. COMMON 023135106 70,263 1,828,000
AMB Property Corp. COMMON 00163T109 2,788 113,500
America Online Inc. COMMON 02364J104 153,180 2,855,164
American Capital Strategie COMMON 024937104 1,038 43,800
American Financial Holding COMMON 026075101 277 15,700
American Home Products Cor COMMON 026609107 1,067 18,905
American International Gro COMMON 026874107 60,647 633,798
AmeriTrade Holding Corp. C COMMON 03072H109 24,025 1,353,500
Amgen Inc. COMMON 031162100 32,285 462,345
Anadarko Petroleum Corp. COMMON 032511107 49 733
Anheuser-Busch Companies I COMMON 035229103 44,248 1,045,752
AON Corp. COMMON 037389103 40 1,000
Apache Corp. COMMON 037411105 781 13,200
Apartment Invt. & Mgmt. Co COMMON 03748R101 6,389 138,700
Apollo Group Inc. Cl A COMMON 037604105 475 11,900
Applied Films Corp. COMMON 038197109 2,718 100,200
Applied Micro Circuits Cor COMMON 03822W109 331,911 1,602,950
Arguss Communications Inc. COMMON 040282105 2,115 103,450
Ariba Inc. COMMON 04033V104 115,778 808,130
Artesyn Technologies Inc. COMMON 043127109 292 10,000
ASI Solutions Inc. COMMON 00206F108 1,118 60,000
Asiacontent.com COMMON G05354108 985 350,000
Ask Jeeves Inc. COMMON 045174109 9,402 490,000
Assoc. First Capital Corp. COMMON 046008108 22,144 582,728
AT&T Corp. Pfd 9.72% PREFER 87228U205 8,320 320,000
Automatic Data Processing COMMON 053015103 68,674 1,026,892
AvalonBay Communities Inc. COMMON 053484101 2,023 42,418
Avanex Corp. COMMON 05348W109 324 3,000
Avantgo Inc. COMMON 05349M100 6 300
Avax Technologies Inc. COMMON 053495305 1,110 142,000
Avemco Corp. COMMON 053555108 8 103
Avery Dennison Corp. COMMON 053611109 26,332 567,785
Avici Systems Inc. COMMON 05367L109 2 15
Avocent Corporation COMMON 053893103 6,365 115,453
AXA Financial Inc. COMMON 002451102 62 1,200
Barrett Resources Corp. COMMON 068480201 926 24,600
Baxter International Inc. COMMON 071813109 47,858 599,622
</TABLE>
<TABLE>
<CAPTION>
--------------------------------------------------------
ITEM 6 ITEM 7 ITEM 8
OTHER
INVESTMENT DISCRETION MANA-
GERS VOTING AUTHORITY
Sole Shared None
--------------------------------------------------------
<S> <C> <C> <C> <C>
@Road Inc. Defined 1 750
24/7 Media Inc. Defined 1 1,200
3 Dimensional Pharmaceutic Defined 1 80,000
3Com Corp. Defined 1 12,600
Abbott Laboratories Defined 1 63,800 26,910
Accord Networks Ltd. Defined 1 221,400
ACE Ltd. Defined 1 134,500 1,050
ACT Manufacturing Inc. Defined 1 25,400
Actrade Fin'l Technologies Defined 1 47,300
Adac Laboratories Defined 1 163,962
ADC Telecommunications Inc Defined 1 785,310 345,740
Adtran Inc. Defined 1 105,426
Advanced Digital Info. Cor Defined 1 290,308
Aegon N.V. ARS Defined 1 1,040
Affiliated Computer Svcs. Defined 1 157,060 122,604
Affiliated Managers Group Defined 1 13,400 4,500
Air Methods Corp. Defined 1 344,750
Air Products & Chemicals I Defined 1 69,800 500
Alcatel SA ADR Defined 1 80
Alcoa Inc. Defined 1 77,000 670
Allegheny Energy Inc. Defined 1 8,000 7,000
Allied Capital Corp Funds Defined 1 27,500
Allscripts Pharmaceuticals Defined 1 179,023
Alltel Corp. Defined 1 25,830 350
Alteon WebSystems Inc. Defined 1 2,316,400 22,200
Altera Corp. Defined 1 609,851 407,333
Amazon.com Inc. Defined 1 1,810,500 17,500
AMB Property Corp. Defined 1 94,600 18,900
America Online Inc. Defined 1 2,826,364 28,800
American Capital Strategie Defined 1 43,800
American Financial Holding Defined 1 15,700
American Home Products Cor Defined 1 9,005 9,900
American International Gro Defined 1 360,899 272,899
AmeriTrade Holding Corp. C Defined 1 1,350,000 3,500
Amgen Inc. Defined 1 315,834 146,511
Anadarko Petroleum Corp. Defined 1 153 580
Anheuser-Busch Companies I Defined 1 698,220 347,532
AON Corp. Defined 1 1,000
Apache Corp. Defined 1 7,100 6,100
Apartment Invt. & Mgmt. Co Defined 1 123,325 15,375
Apollo Group Inc. Cl A Defined 1 6,400 5,500
Applied Films Corp. Defined 1 100,200
Applied Micro Circuits Cor Defined 1 1,587,050 15,900
Arguss Communications Inc. Defined 1 103,450
Ariba Inc. Defined 1 800,130 8,000
Artesyn Technologies Inc. Defined 1 10,000
ASI Solutions Inc. Defined 1 60,000
Asiacontent.com Defined 1 350,000
Ask Jeeves Inc. Defined 1 490,000
Assoc. First Capital Corp. Defined 1 530,228 52,500
AT&T Corp. Pfd 9.72% Defined 1 320,000
Automatic Data Processing Defined 1 608,829 418,063
AvalonBay Communities Inc. Defined 1 35,293 7,125
Avanex Corp. Defined 1 1,850 1,150
Avantgo Inc. Defined 1 300
Avax Technologies Inc. Defined 1 142,000
Avemco Corp. Defined 1 103
Avery Dennison Corp. Defined 1 331,084 236,701
Avici Systems Inc. Defined 1 15
Avocent Corporation Defined 1 115,453
AXA Financial Inc. Defined 1 1,200
Barrett Resources Corp. Defined 1 24,600
Baxter International Inc. Defined 1 405,700 193,922
</TABLE>
<PAGE> 3
<TABLE>
<CAPTION>
MUNDER CAPITAL MANAGEMENT
FORM 13F 9/30/2000
-------------------------------------------------------------------------------------
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5
SHARES OF
NAME OF ISSUER TITLE CUSIP FAIR MARKET PRINCIPAL PUT/
OF CLASS NUMBER VALUE AMOUNT CALL
(x $1000)
-------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C>
Bellsouth Corp. COMMON 079860102 3,553 87,721
Bellwether Exploration Co. COMMON 079895207 2,608 339,200
Berkshire Hathaway Inc. Cl COMMON 084670207 17 8
Bestfoods COMMON 08658U101 14,692 201,950
Biomatrix Inc. COMMON 09060P102 2,387 136,220
Biomet Inc. COMMON 090613100 39,111 1,117,445
Blue Martini Software Inc. COMMON 095698106 9,255 273,210
Blue Wave Systems Inc. COMMON 096081104 373 74,000
Borg-Warner Automotive Inc COMMON 099724106 772 23,300
Boston Properties Inc. COMMON 101121101 6,739 156,950
Bottomline Technologies In COMMON 101388106 19 500
Brinker International Inc. COMMON 109641100 17,276 573,476
Bristol-Myers Squibb Co. COMMON 110122108 892 15,510
Broadbase Software Inc. COMMON 11130R100 5,905 435,400
Broadwing Inc. COMMON 111620100 407 15,900
Brown, (Tom) Inc. COMMON 115660201 321 13,100
BTU International Inc. COMMON 056032105 1,859 126,000
Burlington Resources Inc. COMMON 122014103 13,191 358,310
Buy.com Inc. COMMON 124269101 58 20,594
C & D Technologies Inc. COMMON 124661109 5,324 93,805
Calpine Corp. COMMON 131347106 1,025 9,800
Cambrex Corp. COMMON 132011107 659 17,800
Camden Property Trust COMMON 133131102 2,875 92,740
Cardinal Health Inc. COMMON 14149Y108 50,734 575,295
Cardiodynamics Intl. Corp. COMMON 141597104 1,418 271,650
Carreker Corp. COMMON 144433109 878 45,000
CBL & Associates Propertie COMMON 124830100 2,598 103,650
C-Cube MicroSystems Inc. COMMON 12501N108 433 21,100
CDW Computer Centers Inc. COMMON 125129106 449 6,500
Celestica Inc. COMMON 15101Q108 170 2,450
Centerpoint Properties Cor COMMON 151895109 5,557 120,625
Ceradyne Inc. COMMON 156710105 1,586 160,600
CFS Bancorp Inc. COMMON 12525D102 276 26,700
Charles River Associates I COMMON 159852102 3,441 283,757
Charles River Laboratories COMMON 159864107 3,046 89,579
Charter Communications Inc COMMON 16117M107 21,834 1,342,300
Charter One Financial Inc. COMMON 160903100 6,224 255,338
Chase Manhattan Corp. COMMON 16161A108 3,234 70,000
Check Point Software Tech. COMMON M22465104 389,797 2,474,900
Chelsea GCA Realty Inc. COMMON 163262108 106 3,000
Chiron Corp. COMMON 170040109 302 6,700
Cigna Corp. COMMON 125509109 4,093 39,200
Ciphergen Biosystems Inc. COMMON 17252Y104 80 2,500
Cisco Systems Inc. COMMON 17275R102 357,009 6,461,692
Citigroup Inc. COMMON 172967101 18,436 341,002
Clear Channel Communicatio COMMON 184502102 1,743 30,835
Cleco Corp. COMMON 12561W105 796 17,000
ClickAction Inc. COMMON 18681E107 2,749 301,250
CMGI Inc. COMMON 125750109 58,070 2,078,600
CNET Networks Inc. COMMON 12613R104 63,202 2,594,600
Coastal Corp. COMMON 190441105 55,876 753,805
Coca-Cola Enterprises COMMON 191219104 224 14,000
Coherent Inc. COMMON 192479103 330 4,850
Comcast Corp. Special Cl A COMMON 200300200 2,690 65,705
Comdisco Inc. COMMON 200336105 39,623 2,078,600
Commerce Bancorp Inc. NJ COMMON 200519106 27 450
Computer Sciences Corp. COMMON 205363104 20,393 274,640
Comstock Resources Inc. COMMON 205768203 2,159 189,800
Comverse Technology Inc. COMMON 205862402 67,436 624,400
Concord Camera Corp. COMMON 206156101 3,044 118,755
Concord EFS Inc. COMMON 206197105 1,034 29,100
Consolidated Edison Inc. COMMON 209115104 403 11,800
Constellation Brands Inc-A COMMON 21036P108 1,641 30,200
</TABLE>
<TABLE>
<CAPTION>
--------------------------------------------------------
ITEM 6 ITEM 7 ITEM 8
OTHER
INVESTMENT DISCRETION MANA-
GERS VOTING AUTHORITY
Sole Shared None
--------------------------------------------------------
<S> <C> <C> <C> <C>
Bellsouth Corp. Defined 1 71,768 15,953
Bellwether Exploration Co. Defined 1 339,200
Berkshire Hathaway Inc. Cl Defined 1 8
Bestfoods Defined 1 188,050 13,900
Biomatrix Inc. Defined 1 136,220
Biomet Inc. Defined 1 792,228 325,217
Blue Martini Software Inc. Defined 1 266,810 6,400
Blue Wave Systems Inc. Defined 1 74,000
Borg-Warner Automotive Inc Defined 1 23,300
Boston Properties Inc. Defined 1 139,150 17,800
Bottomline Technologies In Defined 1 500
Brinker International Inc. Defined 1 444,695 128,781
Bristol-Myers Squibb Co. Defined 1 1,400 14,110
Broadbase Software Inc. Defined 1 420,000 15,400
Broadwing Inc. Defined 1 8,400 7,500
Brown, (Tom) Inc. Defined 1 13,100
BTU International Inc. Defined 1 126,000
Burlington Resources Inc. Defined 1 266,855 91,455
Buy.com Inc. Defined 1 20,594
C & D Technologies Inc. Defined 1 93,805
Calpine Corp. Defined 1 5,300 4,500
Cambrex Corp. Defined 1 17,800
Camden Property Trust Defined 1 77,315 15,425
Cardinal Health Inc. Defined 1 365,005 210,290
Cardiodynamics Intl. Corp. Defined 1 271,650
Carreker Corp. Defined 1 45,000
CBL & Associates Propertie Defined 1 86,425 17,225
C-Cube MicroSystems Inc. Defined 1 21,100
CDW Computer Centers Inc. Defined 1 3,300 3,200
Celestica Inc. Defined 1 2,450
Centerpoint Properties Cor Defined 1 107,250 13,375
Ceradyne Inc. Defined 1 160,600
CFS Bancorp Inc. Defined 1 26,700
Charles River Associates I Defined 1 283,757
Charles River Laboratories Defined 1 89,579
Charter Communications Inc Defined 1 1,340,300 2,000
Charter One Financial Inc. Defined 1 50,208 205,130
Chase Manhattan Corp. Defined 1 69,500 500
Check Point Software Tech. Defined 1 2,453,700 21,200
Chelsea GCA Realty Inc. Defined 1 3,000
Chiron Corp. Defined 1 3,400 3,300
Cigna Corp. Defined 1 39,000 200
Ciphergen Biosystems Inc. Defined 1 2,500
Cisco Systems Inc. Defined 1 5,731,456 730,236
Citigroup Inc. Defined 1 169,361 171,641
Clear Channel Communicatio Defined 1 30,585 250
Cleco Corp. Defined 1 17,000
ClickAction Inc. Defined 1 301,250
CMGI Inc. Defined 1 2,058,000 20,600
CNET Networks Inc. Defined 1 2,571,100 23,500
Coastal Corp. Defined 1 461,015 292,790
Coca-Cola Enterprises Defined 1 14,000
Coherent Inc. Defined 1 2,650 2,200
Comcast Corp. Special Cl A Defined 1 65,205 500
Comdisco Inc. Defined 1 2,059,000 19,600
Commerce Bancorp Inc. NJ Defined 1 450
Computer Sciences Corp. Defined 1 200,985 73,655
Comstock Resources Inc. Defined 1 189,800
Comverse Technology Inc. Defined 1 392,521 231,879
Concord Camera Corp. Defined 1 118,755
Concord EFS Inc. Defined 1 15,100 14,000
Consolidated Edison Inc. Defined 1 11,800
Constellation Brands Inc-A Defined 1 30,200
</TABLE>
<PAGE> 4
<TABLE>
<CAPTION>
MUNDER CAPITAL MANAGEMENT
FORM 13F 9/30/2000
-------------------------------------------------------------------------------------
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5
SHARES OF
NAME OF ISSUER TITLE CUSIP FAIR MARKET PRINCIPAL PUT/
OF CLASS NUMBER VALUE AMOUNT CALL
(x $1000)
-------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C>
Convergys Corp. COMMON 212485106 401 10,300
Cooper Industries Inc. COMMON 216669101 423 12,000
Corio Inc. COMMON 218875102 1,546 201,900
Corporate Office Propertie COMMON 22002T108 1,734 174,400
Correctional Properties Tr COMMON 22025E104 3,701 389,475
Corvis Corporation COMMON 221009103 9,512 155,800
Cosine Communications Inc. COMMON 221222102 3,313 59,625
Costar Group Inc. COMMON 22160N109 1,418 38,300
Costco Wholesale Corp. COMMON 22160K105 514 14,700
Covad Communications Group COMMON 222814204 15,284 1,142,675
Critical Path Inc. COMMON 22674V100 127,727 2,102,500
Crosswave Communications A COMMON 227686102 4,100 400,000
Crown Castle Intl. Corp. COMMON 228227104 1,788 57,535
CSP Inc. COMMON 126389105 467 81,150
CTS Corp. COMMON 126501105 7,754 153,164
Curis Inc. COMMON 231269101 195 9,765
Curon Medical Inc. COMMON 231292103 1,836 159,600
Cutter & Buck Inc. COMMON 232217109 3,019 242,718
Cymer Inc. COMMON 232572107 2,502 81,513
Cysive Inc. COMMON 23281T108 134 20,000
Deere & Co. COMMON 244199105 3,273 98,420
Del Monte Foods Co. COMMON 24522P103 716 115,700
Dell Computer Corp. COMMON 247025109 38,528 1,250,400
Dendreon Corp. COMMON 24823Q107 5,235 222,025
Developers Diversified Rea COMMON 251591103 852 66,150
Diamond Technology Partner COMMON 252762109 69,372 934,300
Digex Inc. COMMON 253756100 51,870 1,106,550
Digital Insight COMMON 25385P106 29 800
Digital Island COMMON 25385N101 15,577 830,738
Diodes Inc. COMMON 254543101 2,569 167,025
Discovery Partners Intl. COMMON 254675101 2,740 134,870
Diversa Corp. COMMON 255064107 3,055 113,130
DMC Stratex Networks Inc. COMMON 23322L106 2,550 158,728
Dobson Communications Corp COMMON 256069105 204 13,850
Dollar Thrifty Automotive COMMON 256743105 1,134 57,400
Dollar Tree Stores Inc. COMMON 256747106 439 10,800
DoubleClick Inc. COMMON 258609304 123,700 3,865,620
Dover Corp. COMMON 260003108 4,707 100,280
DPL Inc. COMMON 233293109 593 19,900
DSP Group Inc. COMMON 23332B106 5,479 146,575
Duke Energy Corp. COMMON 264399106 5,732 66,830
Duke-Weeks Realty Corp. COMMON 264411505 7,171 297,235
Dura Automotive Systems In COMMON 265903104 379 41,000
Duraswitch Industries Inc. COMMON 266905207 345 30,000
E*trade Group Inc. COMMON 269246104 18,019 1,096,200
EarthWeb Inc. COMMON 27032C108 4,607 548,000
Eastman Chemical Co. COMMON 277432100 1 25
eBay Inc. COMMON 278642103 212,820 3,098,400
Eden Bioscience Corporatio COMMON 279445100 654 19,800
EGL Inc. COMMON 268484102 3,868 127,865
EL Paso Energy Corp. COMMON 283905107 8,042 130,492
Elastic Networks Inc. COMMON 284159100 1,538 110,300
EMC Corp-MA COMMON 268648102 310,659 3,130,057
Engage Technologies Inc. COMMON 292827102 8,142 1,002,054
Enron Corp. COMMON 293561106 1,418 16,174
Ensco International Inc. COMMON 26874Q100 2,234 58,400
EnTrust Technologies Inc. COMMON 293848107 69,441 2,513,700
Enzon Inc. COMMON 293904108 3,673 55,650
Equinix Inc. COMMON 29444U106 13,338 1,502,800
Equitable Resources Inc. COMMON 294549100 723 11,400
Equity Office Properties T COMMON 294741103 6,103 196,658
Equity Res. Properties Tr. COMMON 29476L107 4,193 87,350
EToys Inc. COMMON 297862104 2,138 400,000
</TABLE>
<TABLE>
<CAPTION>
--------------------------------------------------------
ITEM 6 ITEM 7 ITEM 8
OTHER
INVESTMENT DISCRETION MANA-
GERS VOTING AUTHORITY
Sole Shared None
--------------------------------------------------------
<S> <C> <C> <C> <C>
Convergys Corp. Defined 1 5,500 4,800
Cooper Industries Inc. Defined 1 12,000
Corio Inc. Defined 1 200,000 1,900
Corporate Office Propertie Defined 1 145,600 28,800
Correctional Properties Tr Defined 1 352,775 36,700
Corvis Corporation Defined 1 154,400 1,400
Cosine Communications Inc. Defined 1 59,150 475
Costar Group Inc. Defined 1 32,200 6,100
Costco Wholesale Corp. Defined 1 3,800 10,900
Covad Communications Group Defined 1 1,131,275 11,400
Critical Path Inc. Defined 1 2,078,000 24,500
Crosswave Communications A Defined 1 400,000
Crown Castle Intl. Corp. Defined 1 48,135 9,400
CSP Inc. Defined 1 81,150
CTS Corp. Defined 1 149,464 3,700
Curis Inc. Defined 1 9,765
Curon Medical Inc. Defined 1 159,600
Cutter & Buck Inc. Defined 1 242,718
Cymer Inc. Defined 1 81,513
Cysive Inc. Defined 1 20,000
Deere & Co. Defined 1 97,100 1,320
Del Monte Foods Co. Defined 1 115,700
Dell Computer Corp. Defined 1 1,233,400 17,000
Dendreon Corp. Defined 1 222,025
Developers Diversified Rea Defined 1 41,575 24,575
Diamond Technology Partner Defined 1 925,500 8,800
Digex Inc. Defined 1 1,096,050 10,500
Digital Insight Defined 1 800
Digital Island Defined 1 823,138 7,600
Diodes Inc. Defined 1 167,025
Discovery Partners Intl. Defined 1 134,870
Diversa Corp. Defined 1 113,130
DMC Stratex Networks Inc. Defined 1 158,728
Dobson Communications Corp Defined 1 7,050 6,800
Dollar Thrifty Automotive Defined 1 57,400
Dollar Tree Stores Inc. Defined 1 5,700 5,100
DoubleClick Inc. Defined 1 3,831,440 34,180
Dover Corp. Defined 1 99,590 690
DPL Inc. Defined 1 10,800 9,100
DSP Group Inc. Defined 1 146,575
Duke Energy Corp. Defined 1 66,000 830
Duke-Weeks Realty Corp. Defined 1 263,440 33,795
Dura Automotive Systems In Defined 1 41,000
Duraswitch Industries Inc. Defined 1 30,000
E*trade Group Inc. Defined 1 1,072,500 23,700
EarthWeb Inc. Defined 1 548,000
Eastman Chemical Co. Defined 1 25
eBay Inc. Defined 1 3,071,800 26,600
Eden Bioscience Corporatio Defined 1 19,800
EGL Inc. Defined 1 127,865
EL Paso Energy Corp. Defined 1 111,862 18,630
Elastic Networks Inc. Defined 1 110,300
EMC Corp-MA Defined 1 2,949,747 180,310
Engage Technologies Inc. Defined 1 999,354 2,700
Enron Corp. Defined 1 9,974 6,200
Ensco International Inc. Defined 1 57,500 900
EnTrust Technologies Inc. Defined 1 2,490,600 23,100
Enzon Inc. Defined 1 52,350 3,300
Equinix Inc. Defined 1 1,490,300 12,500
Equitable Resources Inc. Defined 1 11,400
Equity Office Properties T Defined 1 163,808 32,850
Equity Res. Properties Tr. Defined 1 72,825 14,525
EToys Inc. Defined 1 400,000
</TABLE>
<PAGE> 5
<TABLE>
<CAPTION>
MUNDER CAPITAL MANAGEMENT
FORM 13F 9/30/2000
-------------------------------------------------------------------------------------
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5
SHARES OF
NAME OF ISSUER TITLE CUSIP FAIR MARKET PRINCIPAL PUT/
OF CLASS NUMBER VALUE AMOUNT CALL
(x $1000)
-------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C>
Exodus Communications Inc. COMMON 302088109 186,834 3,783,960
Expedia Inc. Cl A COMMON 302125109 10,030 771,500
Exxon Mobil Corp. COMMON 30231G102 10,005 112,271
Fall River Gas Co. COMMON 306279100 49 2,000
Family Dollar Stores COMMON 307000109 39,047 2,028,365
Fannie Mae COMMON 313586109 1,192 16,665
Fedders Corp. COMMON 313135105 775 200,000
Financial Federal Corp. COMMON 317492106 4,932 203,909
First Executive CV PG CONV P 320135809 1 10,000
First Horizon Pharmaceutic COMMON 32051K106 3,628 200,150
Firstar Corp. COMMON 33763V109 19,390 866,554
Fiserv Inc. COMMON 337738108 19,781 330,367
Fleet Boston Financial Cor COMMON 339030108 43,784 1,122,648
Flowers Industries Inc. COMMON 343496105 19 930
Foundry Networks Inc. COMMON 35063R100 143,969 2,150,800
Freddie Mac COMMON 313400301 38,060 704,004
Frequency Electronics Inc. COMMON 358010106 1,833 79,900
Fresenius Medical Care AG COMMON 358029106 8 263
Fresenius Natl Med Care P PREFER 358030203 1 251
Fundtech Ltd. COMMON M47095100 2,769 116,033
Furniture Brands Intl. Inc COMMON 360921100 1,013 60,900
Gadzooks Inc. COMMON 362553109 3,249 181,750
Gallagher, (Arthur J.) & C COMMON 363576109 48 800
Genencor International Inc COMMON 368709101 3,899 131,605
Genentech Inc. COMMON 368710406 17 90
General Electric Co. COMMON 369604103 91,519 1,583,042
General Growth Properties COMMON 370021107 1,056 32,800
General Mills Inc. COMMON 370334104 363 10,200
General Semiconductor Inc. COMMON 370787103 1,444 118,450
Gentner Communications Cor COMMON 37245J105 1,170 95,000
Genuity Inc. COMMON 37248E103 42,693 6,536,900
Genus Inc. COMMON 372461103 1,313 344,200
Gilat Satellite Networks L COMMON M51474100 113,276 1,473,505
Glenayre Technologies Inc. COMMON 377899109 5,929 545,125
Global Crossing Ltd. COMMON G3921A100 53,171 1,715,165
Globix Corp. COMMON 37957F101 339 14,500
GoTo.Com Inc. COMMON 38348T107 11,550 700,000
Greka Energy Corp COMMON 397637109 1,870 118,700
Hall Kinion & Associates I COMMON 406069104 1,566 55,050
Halliburton Co. COMMON 406216101 2,961 60,500
Hanover Compressor Co. COMMON 410768105 20,741 629,696
HCA Hospital Corp. of Amer COMMON 404119109 4,110 110,700
Health Mgmt. Associates In COMMON 421933102 1,355 65,100
Helix Technology Corp. COMMON 423319102 2,279 76,279
Henry, Jack & Assoc. COMMON 426281101 2,338 53,900
Herley Industries Inc. COMMON 427398102 2,247 99,000
Hewlett-Packard Co. COMMON 428236103 17,528 180,699
Hollywood Entertainment Co COMMON 436141105 4,008 538,879
Home Depot Inc. COMMON 437076102 46,770 883,499
HomeStore.com Inc. COMMON 437852106 43,660 933,900
Honeywell International In COMMON 438516106 1,698 47,656
Hospital Corp. Amer. Conv. CONV C 441065AL3 45 50,000
Ikos Systems Inc. COMMON 451716203 1,922 185,250
Imatron Inc. COMMON 452906100 116 50,000
Inet Technologies Inc. COMMON 45662V105 351 12,000
Infospace.com Inc. COMMON 45678T102 256,154 8,467,890
Inktomi Corp. COMMON 457277101 169,895 1,490,300
Insilicon Corp. COMMON 45769H108 2,306 159,000
Integra LifeSciences Holdi COMMON 457985208 244 22,650
Integrated Measurement Sys COMMON 457923100 1,546 114,450
Intel Corp. COMMON 458140100 126,613 3,046,343
Intermedia Communications COMMON 458801107 14,801 501,700
International Rectifier Co COMMON 460254105 2,424 47,991
</TABLE>
<TABLE>
<CAPTION>
--------------------------------------------------------
ITEM 6 ITEM 7 ITEM 8
OTHER
INVESTMENT DISCRETION MANA-
GERS VOTING AUTHORITY
Sole Shared None
--------------------------------------------------------
<S> <C> <C> <C> <C>
Exodus Communications Inc. Defined 1 3,737,660 46,300
Expedia Inc. Cl A Defined 1 768,500 3,000
Exxon Mobil Corp. Defined 1 91,307 20,964
Fall River Gas Co. Defined 1 2,000
Family Dollar Stores Defined 1 1,377,857 650,508
Fannie Mae Defined 1 3,215 13,450
Fedders Corp. Defined 1 200,000
Financial Federal Corp. Defined 1 203,909
First Executive CV PG Defined 1 10,000
First Horizon Pharmaceutic Defined 1 200,150
Firstar Corp. Defined 1 592,035 274,519
Fiserv Inc. Defined 1 128,553 201,814
Fleet Boston Financial Cor Defined 1 830,283 292,365
Flowers Industries Inc. Defined 1 930
Foundry Networks Inc. Defined 1 2,129,600 21,200
Freddie Mac Defined 1 465,665 238,339
Frequency Electronics Inc. Defined 1 79,900
Fresenius Medical Care AG Defined 1 263
Fresenius Natl Med Care P Defined 1 251
Fundtech Ltd. Defined 1 116,033
Furniture Brands Intl. Inc Defined 1 60,900
Gadzooks Inc. Defined 1 181,750
Gallagher, (Arthur J.) & C Defined 1 800
Genencor International Inc Defined 1 131,605
Genentech Inc. Defined 1 90
General Electric Co. Defined 1 975,984 607,058
General Growth Properties Defined 1 27,325 5,475
General Mills Inc. Defined 1 10,200
General Semiconductor Inc. Defined 1 118,450
Gentner Communications Cor Defined 1 95,000
Genuity Inc. Defined 1 6,482,300 54,600
Genus Inc. Defined 1 344,200
Gilat Satellite Networks L Defined 1 1,461,105 12,400
Glenayre Technologies Inc. Defined 1 545,125
Global Crossing Ltd. Defined 1 1,698,965 16,200
Globix Corp. Defined 1 14,500
GoTo.Com Inc. Defined 1 700,000
Greka Energy Corp Defined 1 118,700
Hall Kinion & Associates I Defined 1 55,050
Halliburton Co. Defined 1 60,000 500
Hanover Compressor Co. Defined 1 310,590 319,106
HCA Hospital Corp. of Amer Defined 1 110,000 700
Health Mgmt. Associates In Defined 1 48,400 16,700
Helix Technology Corp. Defined 1 76,279
Henry, Jack & Assoc. Defined 1 53,900
Herley Industries Inc. Defined 1 99,000
Hewlett-Packard Co. Defined 1 125,690 55,009
Hollywood Entertainment Co Defined 1 538,879
Home Depot Inc. Defined 1 446,485 437,014
HomeStore.com Inc. Defined 1 926,000 7,900
Honeywell International In Defined 1 38,732 8,924
Hospital Corp. Amer. Conv. Defined 1 50,000
Ikos Systems Inc. Defined 1 185,250
Imatron Inc. Defined 1 50,000
Inet Technologies Inc. Defined 1 6,400 5,600
Infospace.com Inc. Defined 1 8,398,390 69,500
Inktomi Corp. Defined 1 1,476,200 14,100
Insilicon Corp. Defined 1 159,000
Integra LifeSciences Holdi Defined 1 22,650
Integrated Measurement Sys Defined 1 114,450
Intel Corp. Defined 1 2,647,890 398,453
Intermedia Communications Defined 1 500,000 1,700
International Rectifier Co Defined 1 47,991
</TABLE>
<PAGE> 6
MUNDER CAPITAL MANAGEMENT
FORM 13F 9/30/2000
<TABLE>
<CAPTION>
-------------------------------------------------------------------------------------
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5
SHARES OF
TITLE CUSIP FAIR MARKET PRINCIPAL PUT/
NAME OF ISSUER OF CLASS NUMBER VALUE AMOUNT CALL
(x $1000)
-------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C>
Internet Capital Group LLC COMMON 46059C106 22,622 1,297,350
Internet Initiative Japan COMMON 46059T109 8,238 200,300
Internet Security Systems COMMON 46060X107 196,730 2,618,700
Interpublic Group Cos. Inc COMMON 460690100 41,134 1,207,617
InterTrust Technologies Co COMMON 46113Q109 11,218 930,000
Intimate Brands Inc. COMMON 461156101 3,376 180,630
Intl. Business Machines Co COMMON 459200101 40,609 360,561
Intranet Solutions Inc. COMMON 460939309 395 7,900
Intuit Inc. COMMON 461202103 89,317 1,566,950
IRT Property Co. COMMON 450058102 91 10,300
iVillage Inc. COMMON 46588H105 3,875 1,000,000
Jabil Circuit Inc. COMMON 466313103 10,518 185,325
Jacobs Engineering Group I COMMON 469814107 390 9,650
JDS Uniphase Corp. COMMON 46612J101 193,181 2,040,203
JNI Corp. COMMON 46622G105 3,967 44,563
Johnson & Johnson COMMON 478160104 35,991 383,134
Johnson Controls Inc. COMMON 478366107 23,883 449,293
Kana Communications Inc. COMMON 483600102 11,125 499,999
Key Energy Group COMMON 492914106 5,384 548,695
Kilroy Realty Corp. COMMON 49427F108 6,298 235,975
Kimberly-Clark Corp. COMMON 494368103 4,482 80,300
Kimco Realty Corp. COMMON 49446R109 4,174 98,775
Kinder Morgan Inc. COMMON 49455P101 606 14,800
King Pharmaceuticals Inc. COMMON 495582108 797 23,821
Koala Corp. COMMON 499866101 1,506 93,700
L-3 Communications Holding COMMON 502424104 4,466 79,037
Lancaster Colony Corp. COMMON 513847103 441 17,940
LCC International Inc. Cl COMMON 501810105 2,508 172,928
Leggett & Platt Inc. COMMON 524660107 581 36,733
Lehman Brothers Holdings I COMMON 524908100 6,404 43,085
Level 8 Systems Inc. COMMON 52729M102 2,726 148,347
Lexent Inc. COMMON 52886Q102 3,611 121,359
Lexmark Intl. Group Inc. C COMMON 529771107 8,510 226,913
Liberate Technologies COMMON 530129105 29,192 1,008,800
Lifeminders.com Inc. COMMON 53220Q105 31,158 1,358,400
Lincoln National Corp. COMMON 534187109 737 15,300
Liquid Audio COMMON 53631T102 2,970 660,000
Looksmart COMMON 543442107 10,856 970,400
Lowe's Cos. COMMON 548661107 20,099 447,876
LTV Corp. COMMON 501921100 2 1,105
Lucent Technologies Inc. COMMON 549463107 3,634 119,115
Lycos Inc. COMMON 550818108 52,077 757,300
Mack-Cali Realty Corp. COMMON 554489104 941 33,350
Mallon Resources Corp. COMMON 561240201 1,250 200,000
Mapinfo Corp. COMMON 565105103 5,027 160,521
MarchFirst Inc. COMMON 566244109 26,722 1,703,400
Marsh & McLennan Cos. COMMON 571748102 43,968 331,208
Marvell Technology Group L COMMON G5876H105 310 4,010
Masco Corp. COMMON 574599106 15,175 814,756
Matrix Pharmaceuticals Inc COMMON 576844104 1,666 107,000
Matrixone Inc. COMMON 57685P304 3,123 78,075
Maxim Integrated Products COMMON 57772K101 54,811 681,406
Maytag Corp. COMMON 578592107 371 11,800
MBNA Corp. COMMON 55262L100 36,101 937,673
McCormick & Co. COMMON 579780206 3,707 124,600
Mcdata Corp. COMMON 580031102 4 30
MCI Worldcom Inc. COMMON 98157D106 59,793 1,968,480
MCN Energy Group Inc. COMMON 55267J100 5,296 206,542
MCSI Inc. COMMON 55270M108 6,652 197,805
Measurement Specialties In COMMON 583421102 1,590 32,950
Media 100 Inc. COMMON 58440W105 7,235 657,683
Mediaone Group Pies CONV P 58440J500 3,204 86,000
Medplus Inc. COMMON 58504P103 20 3,000
</TABLE>
<TABLE>
<CAPTION>
--------------------------------------------------------
ITEM 6 ITEM 7 ITEM 8
OTHER
MANA-
INVESTMENT DISCRETION GERS VOTING AUTHORITY
Sole Shared None
--------------------------------------------------------
<S> <C> <C> <C> <C>
Internet Capital Group LLC Defined 1 1,285,100 12,250
Internet Initiative Japan Defined 1 200,300
Internet Security Systems Defined 1 2,594,300 24,400
Interpublic Group Cos. Inc Defined 1 786,885 420,732
InterTrust Technologies Co Defined 1 930,000
Intimate Brands Inc. Defined 1 163,430 17,200
Intl. Business Machines Co Defined 1 256,148 104,413
Intranet Solutions Inc. Defined 1 7,900
Intuit Inc. Defined 1 1,547,550 19,400
IRT Property Co. Defined 1 10,300
iVillage Inc. Defined 1 1,000,000
Jabil Circuit Inc. Defined 1 47,910 137,415
Jacobs Engineering Group I Defined 1 5,150 4,500
JDS Uniphase Corp. Defined 1 1,996,544 43,659
JNI Corp. Defined 1 44,563
Johnson & Johnson Defined 1 278,096 105,038
Johnson Controls Inc. Defined 1 292,478 156,815
Kana Communications Inc. Defined 1 499,999
Key Energy Group Defined 1 548,695
Kilroy Realty Corp. Defined 1 211,375 24,600
Kimberly-Clark Corp. Defined 1 76,000 4,300
Kimco Realty Corp. Defined 1 82,350 16,425
Kinder Morgan Inc. Defined 1 7,900 6,900
King Pharmaceuticals Inc. Defined 1 12,009 11,812
Koala Corp. Defined 1 93,700
L-3 Communications Holding Defined 1 73,137 5,900
Lancaster Colony Corp. Defined 1 17,340 600
LCC International Inc. Cl Defined 1 172,928
Leggett & Platt Inc. Defined 1 8,130 28,603
Lehman Brothers Holdings I Defined 1 40,885 2,200
Level 8 Systems Inc. Defined 1 148,347
Lexent Inc. Defined 1 121,359
Lexmark Intl. Group Inc. C Defined 1 129,820 97,093
Liberate Technologies Defined 1 1,000,000 8,800
Lifeminders.com Inc. Defined 1 1,318,000 40,400
Lincoln National Corp. Defined 1 15,300
Liquid Audio Defined 1 660,000
Looksmart Defined 1 968,700 1,700
Lowe's Cos. Defined 1 310,694 137,182
LTV Corp. Defined 1 1,105
Lucent Technologies Inc. Defined 1 39,074 80,041
Lycos Inc. Defined 1 750,900 6,400
Mack-Cali Realty Corp. Defined 1 27,850 5,500
Mallon Resources Corp. Defined 1 200,000
Mapinfo Corp. Defined 1 160,521
MarchFirst Inc. Defined 1 1,689,000 14,400
Marsh & McLennan Cos. Defined 1 220,154 111,054
Marvell Technology Group L Defined 1 2,160 1,850
Masco Corp. Defined 1 608,820 205,936
Matrix Pharmaceuticals Inc Defined 1 107,000
Matrixone Inc. Defined 1 78,075
Maxim Integrated Products Defined 1 457,207 224,199
Maytag Corp. Defined 1 11,800
MBNA Corp. Defined 1 646,495 291,178
McCormick & Co. Defined 1 116,750 7,850
Mcdata Corp. Defined 1 30
MCI Worldcom Inc. Defined 1 1,702,806 265,674
MCN Energy Group Inc. Defined 1 179,471 27,071
MCSI Inc. Defined 1 197,805
Measurement Specialties In Defined 1 32,950
Media 100 Inc. Defined 1 657,683
Mediaone Group Pies Defined 1 86,000
Medplus Inc. Defined 1 3,000
</TABLE>
<PAGE> 7
<TABLE>
<CAPTION>
MUNDER CAPITAL MANAGEMENT
FORM 13F 9/30/2000
-------------------------------------------------------------------------------------
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5
SHARES OF
NAME OF ISSUER TITLE CUSIP FAIR MARKET PRINCIPAL PUT/
OF CLASS NUMBER VALUE AMOUNT CALL
(x $1000)
-------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C>
Medtronic Inc. COMMON 585055106 721 13,900
Mellon Financial Corp. COMMON 58551A108 31,194 672,638
Merck & Co. Inc. COMMON 589331107 60,412 811,582
Meridian Medical Technolog COMMON 589658103 3,595 208,400
Methode Electronics COMMON 591520200 9,225 208,175
Metris Cos. Inc. COMMON 591598107 4,957 125,476
Metromedia Fiber Network C COMMON 591689104 70,335 2,893,012
Metron Technology N.V. COMMON N5665B105 1,878 234,700
MGIC Investment Corp. COMMON 552848103 47,250 773,001
Michaels Stores Inc. COMMON 594087108 3,502 87,537
Micro Component Technology COMMON 59479Q100 1,506 188,200
Microchip Technology Inc. COMMON 595017104 714 21,575
Micromuse Inc. COMMON 595094103 318,948 1,587,300
Microsoft Corp. COMMON 594918104 24,043 398,638
Microsoft Corp. COMMON 594918104 155,343 2,575,647
MIIX Group Inc. COMMON 59862V104 469 56,400
Millipore Corp. COMMON 601073109 383 7,900
MKS Instruments Inc. COMMON 55306N104 2,480 90,577
MMC Networks Inc. COMMON 55308N102 190 1,500
Mobile Mini Inc. COMMON 60740F105 2,930 152,203
Moldflow Corp. COMMON 608507109 1,575 67,000
Monaco Coach Corp. COMMON 60886R103 698 42,300
Montana Power Co. COMMON 612085100 468 14,000
Monterey Pasta Co. COMMON 612570101 221 43,650
Morgan Stanley Dean Witter COMMON 617446448 18,860 206,258
Multex.com Inc. COMMON 625367107 28,142 1,643,300
MyPoints.com Inc. COMMON 62855T102 5,960 1,083,600
Nabors Industries Inc. COMMON 629568106 420 8,000
Nasdaq-100 Shares UNIT SER 631100104 45 500
NATCO Group Inc. COMMON 63227W203 3,003 345,650
National Instruments Corp. COMMON 636518102 2,531 57,353
Nationwide Financial Svcs. COMMON 638612101 421 11,250
NCR Corp. COMMON 62886E108 1 21
Nelvana Ltd. COMMON 64042V107 1,046 36,700
Net.Genesis Corp. COMMON 64107E107 5,070 583,550
Network Commerce Inc. COMMON 64122T105 9,523 1,702,200
Next Level Communications COMMON 65333U104 48,857 738,850
Nextel Partners Inc. Cl A COMMON 65333F107 497 17,050
Noble Drilling Corp. COMMON 655042109 800 15,825
Nokia Corp. COMMON 654902204 418 10,210
Nortel Networks Corp. COMMON 656568102 43,172 715,055
NorthEast Utilities COMMON 664397106 490 22,550
Northern Trust Corp. COMMON 665859104 2,136 24,030
NorthPoint Comm. Grp. Inc. COMMON 666610100 8,498 957,500
Nova Measuring Instruments COMMON M7516K103 831 83,100
Noven Pharmaceuticals Inc. COMMON 670009109 5,147 120,379
NUI Corp. COMMON 629430109 825 27,300
NVR Inc. COMMON 62944T105 284 3,500
OceanFirst Financial Corp. COMMON 675234108 581 28,000
Octel Corp. COMMON 675727101 1 75
Offshore LogiStics Inc. COMMON 676255102 2,302 128,750
Olin Corp. COMMON 680665205 1,011 62,400
OM Group Inc. COMMON 670872100 1,183 27,100
Omnicom Group COMMON 681919106 48,828 669,452
Oni Systems Corp. COMMON 68273F103 8,649 100,200
Ontrack Data International COMMON 683372106 2,515 188,000
Optibase Ltd. COMMON M7524R108 237 13,450
Oracle Corp. COMMON 68389X105 262,115 3,328,435
Organogenesis Inc. COMMON 685906109 3,454 234,580
Orthofix International N.V COMMON N6748L102 2,183 88,200
Osca Inc. COMMON 687836106 296 17,800
Oshkosh Truck Corp. Cl B COMMON 688239201 1,337 34,500
Outback Steakhouse Inc. COMMON 689899102 10,232 377,181
</TABLE>
<TABLE>
<CAPTION>
--------------------------------------------------------
ITEM 6 ITEM 7 ITEM 8
OTHER
INVESTMENT DISCRETION MANA-
GERS VOTING AUTHORITY
Sole Shared None
--------------------------------------------------------
<S> <C> <C> <C> <C>
Medtronic Inc. Defined 1 3,300 10,600
Mellon Financial Corp. Defined 1 457,740 214,898
Merck & Co. Inc. Defined 1 514,653 296,929
Meridian Medical Technolog Defined 1 208,400
Methode Electronics Defined 1 198,975 9,200
Metris Cos. Inc. Defined 1 118,126 7,350
Metromedia Fiber Network C Defined 1 2,835,112 57,900
Metron Technology N.V. Defined 1 234,700
MGIC Investment Corp. Defined 1 505,849 267,152
Michaels Stores Inc. Defined 1 87,537
Micro Component Technology Defined 1 188,200
Microchip Technology Inc. Defined 1 11,450 10,125
Micromuse Inc. Defined 1 1,572,800 14,500
Microsoft Corp. Defined 1 398,638
Microsoft Corp. Defined 1 2,575,647
MIIX Group Inc. Defined 1 56,400
Millipore Corp. Defined 1 4,900 3,000
MKS Instruments Inc. Defined 1 90,577
MMC Networks Inc. Defined 1 1,500
Mobile Mini Inc. Defined 1 152,203
Moldflow Corp. Defined 1 67,000
Monaco Coach Corp. Defined 1 42,300
Montana Power Co. Defined 1 7,700 6,300
Monterey Pasta Co. Defined 1 43,650
Morgan Stanley Dean Witter Defined 1 146,363 59,895
Multex.com Inc. Defined 1 1,617,400 25,900
MyPoints.com Inc. Defined 1 1,082,550 1,050
Nabors Industries Inc. Defined 1 4,200 3,800
Nasdaq-100 Shares Defined 1 500
NATCO Group Inc. Defined 1 345,650
National Instruments Corp. Defined 1 57,353
Nationwide Financial Svcs. Defined 1 5,850 5,400
NCR Corp. Defined 1 21
Nelvana Ltd. Defined 1 36,700
Net.Genesis Corp. Defined 1 583,550
Network Commerce Inc. Defined 1 1,700,000 2,200
Next Level Communications Defined 1 730,050 8,800
Nextel Partners Inc. Cl A Defined 1 8,950 8,100
Noble Drilling Corp. Defined 1 15,475 350
Nokia Corp. Defined 1 10,110 100
Nortel Networks Corp. Defined 1 438,410 276,645
NorthEast Utilities Defined 1 21,100 1,450
Northern Trust Corp. Defined 1 6,400 17,630
NorthPoint Comm. Grp. Inc. Defined 1 957,500
Nova Measuring Instruments Defined 1 83,100
Noven Pharmaceuticals Inc. Defined 1 120,379
NUI Corp. Defined 1 27,300
NVR Inc. Defined 1 3,500
OceanFirst Financial Corp. Defined 1 28,000
Octel Corp. Defined 1 75
Offshore LogiStics Inc. Defined 1 128,750
Olin Corp. Defined 1 62,400
OM Group Inc. Defined 1 18,600 8,500
Omnicom Group Defined 1 416,298 253,154
Oni Systems Corp. Defined 1 99,500 700
Ontrack Data International Defined 1 188,000
Optibase Ltd. Defined 1 13,450
Oracle Corp. Defined 1 3,081,259 247,176
Organogenesis Inc. Defined 1 234,580
Orthofix International N.V Defined 1 88,200
Osca Inc. Defined 1 17,800
Oshkosh Truck Corp. Cl B Defined 1 34,500
Outback Steakhouse Inc. Defined 1 263,774 113,407
</TABLE>
<PAGE> 8
<TABLE>
<CAPTION>
MUNDER CAPITAL MANAGEMENT
FORM 13F 9/30/2000
-------------------------------------------------------------------------------------
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5
SHARES OF
NAME OF ISSUER TITLE CUSIP FAIR MARKET PRINCIPAL PUT/
OF CLASS NUMBER VALUE AMOUNT CALL
(x $1000)
-------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C>
Pacific Century CyberWorks COMMON 694059106 13 1,110
Pall Corp. COMMON 696429307 2,161 108,350
Palm Inc. COMMON 696642107 61,345 1,158,826
Papa John's International COMMON 698813102 11,273 449,799
Patterson Dental Co. COMMON 703412106 8,189 363,930
Payless Shoesource Inc. COMMON 704379106 6 96
Penn National Gaming Inc. COMMON 707569109 539 35,400
Pennaco Energy Inc. COMMON 708046107 1,846 106,200
Pepsico Inc. COMMON 713448108 3,186 69,250
Performance Food Group Co. COMMON 713755106 64 1,700
Pfizer Inc. COMMON 717081103 2,994 66,670
Pinnacle Holdings Inc. COMMON 72346N101 1,778 66,765
Pioneer Natural Resources COMMON 723787107 4,944 348,488
Pitney Bowes Inc. COMMON 724479100 407 10,300
PMC - Sierra Inc. COMMON 69344F106 646 3,000
PNC Bank Corp. COMMON 693475105 5,669 87,210
PolyMedica Corp. COMMON 731738100 6,181 144,160
Precision Castparts Corp. COMMON 740189105 553 14,400
Precision Drilling Corp. COMMON 74022D100 503 14,100
Price Communications Corp. COMMON 741437305 4,043 206,670
Pride International Inc. COMMON 741932107 475 17,900
Procter & Gamble Co. COMMON 742718109 881 13,142
Prologis Trust COMMON 743410102 71 2,973
Prosoft Training.com COMMON 743477101 8,842 620,458
Prosperity Bancshares Inc. COMMON 743606105 456 24,800
Proton Energy Systems COMMON 74371K101 8 250
Psinet Inc. COMMON 74437C101 31,965 3,321,000
Public Storage Inc. COMMON 74460D109 3,690 154,150
Quaker Fabric Corp. COMMON 747399103 787 149,775
Qualstar Corp. COMMON 74758R109 3,471 290,700
QWest Communications Intl. COMMON 749121109 90,741 1,885,525
Radian Group Inc. COMMON 750236101 2,478 36,700
Radyne ComStream Inc. COMMON 750611402 692 88,500
Rare Medium Group Inc. COMMON 75382N109 5,950 800,000
Rational Software Corp. COMMON 75409P202 479 6,900
Reckson Associates Realty COMMON 75621K106 5,447 213,595
Reckson Associates Realty COMMON 75621K304 908 33,914
Register.com COMMON 75914G101 3,989 419,800
Reliance Steel & Aluminum COMMON 759509102 1,032 48,900
Rent-Way Inc. COMMON 76009U104 6,080 200,159
Republic Services Inc. COMMON 760759100 19,225 1,464,698
Research In Motion COMMON 760975102 3,450 35,000
Rimage Corp. COMMON 766721104 2,075 110,650
Robert Half International COMMON 770323103 587 16,900
Royal Dutch Petroleum Co. COMMON 780257804 30,974 516,770
Ruby Tuesday Inc. COMMON 781182100 747 66,400
Safeguard Scientifics Inc. COMMON 786449108 5,079 255,500
Safeway Inc. COMMON 786514208 28,752 615,841
Sandisk Corp. COMMON 80004C101 374 5,600
Sanmina Corp. COMMON 800907107 11,184 119,450
Sara Lee Corp. COMMON 803111103 508 25,000
SBC Communications Inc. COMMON 78387G103 59,539 1,193,747
SBS Technologies Inc. COMMON 78387P103 8,417 361,983
Scansource Inc. COMMON 806037107 6,091 114,115
Schering-Plough Corp. COMMON 806605101 45,818 984,004
Schlumberger Ltd. COMMON 806857108 2,550 30,970
Schwab, Charles Corp. COMMON 808513105 105,995 2,988,378
SCI Systems Inc. COMMON 783890106 3,854 94,000
SDL Inc. COMMON 784076101 211,330 683,225
Sealed Air Corp. Old COMMON 812115103 9 136
Sealed Air Corp. P A CONV P 81211K209 6 120
Sepracor Inc. COMMON 817315104 959 7,815
Sharper Image Corp. COMMON 820013100 1,660 94,150
</TABLE>
<TABLE>
<CAPTION>
--------------------------------------------------------
ITEM 6 ITEM 7 ITEM 8
OTHER
INVESTMENT DISCRETION MANA-
GERS VOTING AUTHORITY
Sole Shared None
--------------------------------------------------------
<S> <C> <C> <C> <C>
Pacific Century CyberWorks Defined 1 1,110
Pall Corp. Defined 1 107,300 1,050
Palm Inc. Defined 1 1,149,094 9,732
Papa John's International Defined 1 188,169 261,630
Patterson Dental Co. Defined 1 103,685 260,245
Payless Shoesource Inc. Defined 1 96
Penn National Gaming Inc. Defined 1 35,400
Pennaco Energy Inc. Defined 1 106,200
Pepsico Inc. Defined 1 48,200 21,050
Performance Food Group Co. Defined 1 1,700
Pfizer Inc. Defined 1 22,700 43,970
Pinnacle Holdings Inc. Defined 1 55,865 10,900
Pioneer Natural Resources Defined 1 348,488
Pitney Bowes Inc. Defined 1 1,000 9,300
PMC - Sierra Inc. Defined 1 3,000
PNC Bank Corp. Defined 1 86,500 710
PolyMedica Corp. Defined 1 144,160
Precision Castparts Corp. Defined 1 7,800 6,600
Precision Drilling Corp. Defined 1 7,600 6,500
Price Communications Corp. Defined 1 206,670
Pride International Inc. Defined 1 17,900
Procter & Gamble Co. Defined 1 13,142
Prologis Trust Defined 1 2,973
Prosoft Training.com Defined 1 620,458
Prosperity Bancshares Inc. Defined 1 24,800
Proton Energy Systems Defined 1 250
Psinet Inc. Defined 1 3,290,600 30,400
Public Storage Inc. Defined 1 128,500 25,650
Quaker Fabric Corp. Defined 1 149,775
Qualstar Corp. Defined 1 290,700
QWest Communications Intl. Defined 1 1,762,295 123,230
Radian Group Inc. Defined 1 33,500 3,200
Radyne ComStream Inc. Defined 1 88,500
Rare Medium Group Inc. Defined 1 800,000
Rational Software Corp. Defined 1 3,700 3,200
Reckson Associates Realty Defined 1 189,995 23,600
Reckson Associates Realty Defined 1 29,714 4,200
Register.com Defined 1 419,800
Reliance Steel & Aluminum Defined 1 48,900
Rent-Way Inc. Defined 1 200,159
Republic Services Inc. Defined 1 1,115,859 348,839
Research In Motion Defined 1 35,000
Rimage Corp. Defined 1 110,650
Robert Half International Defined 1 9,200 7,700
Royal Dutch Petroleum Co. Defined 1 369,055 147,715
Ruby Tuesday Inc. Defined 1 66,400
Safeguard Scientifics Inc. Defined 1 255,500
Safeway Inc. Defined 1 469,580 146,261
Sandisk Corp. Defined 1 2,900 2,700
Sanmina Corp. Defined 1 85,382 34,068
Sara Lee Corp. Defined 1 1,600 23,400
SBC Communications Inc. Defined 1 907,761 285,986
SBS Technologies Inc. Defined 1 361,983
Scansource Inc. Defined 1 114,115
Schering-Plough Corp. Defined 1 618,539 365,465
Schlumberger Ltd. Defined 1 23,670 7,300
Schwab, Charles Corp. Defined 1 2,959,328 29,050
SCI Systems Inc. Defined 1 93,300 700
SDL Inc. Defined 1 677,225 6,000
Sealed Air Corp. Old Defined 1 136
Sealed Air Corp. P A Defined 1 120
Sepracor Inc. Defined 1 5,015 2,800
Sharper Image Corp. Defined 1 94,150
</TABLE>
<PAGE> 9
<TABLE>
<CAPTION>
MUNDER CAPITAL MANAGEMENT
FORM 13F 9/30/2000
-------------------------------------------------------------------------------------
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5
SHARES OF
NAME OF ISSUER TITLE CUSIP FAIR MARKET PRINCIPAL PUT/
OF CLASS NUMBER VALUE AMOUNT CALL
(x $1000)
-------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C>
Shuffle Master Inc. COMMON 825549108 1,264 65,000
Sierra Pacific Resources COMMON 826428104 3,911 217,000
Signal Technology Corp. COMMON 826675100 1,969 125,000
Silicon Valley Bancshares COMMON 827064106 4,830 82,938
Simon Property Group Inc. COMMON 828806109 3,301 140,825
SL Green Realty Corp. COMMON 78440X101 2,572 91,632
SmartDisk Corp. COMMON 83169Q105 177 12,312
Smith, Charles E. Resident COMMON 832197107 1,589 35,000
Solectron Corp. COMMON 834182107 24,065 521,727
Sonic Automotive Inc. COMMON 83545G102 588 70,700
Sonic Innovations Inc. COMMON 83545M109 725 69,000
Southern Energy Inc. COMMON 842816100 380 12,100
SouthWest Bancorp. of TX COMMON 84476R109 3,856 117,957
Southwest Securities Group COMMON 845224104 843 28,820
Spanish Broadcasting Syste COMMON 846425882 2,713 230,809
Spartech Corp. COMMON 847220209 1,289 82,800
Spectralink Corp. COMMON 847580107 1,093 115,800
Spectrum Control Inc. COMMON 847615101 2,270 141,300
Spieker Properties Inc. COMMON 848497103 3,187 55,350
SportsLine.com Inc. COMMON 848934105 13,840 1,002,000
Sprint Corp. (FON Group) COMMON 852061100 2,438 83,160
Staar Surgical Co. COMMON 852312305 3,328 192,200
Starbucks Corp. COMMON 855244109 750 18,700
StarMedia Network Inc. COMMON 855546107 13,035 1,737,900
Starwood Financial Inc. COMMON 45031U101 93 4,140
Starwood Hotels & Resorts COMMON 85590A203 2,186 69,950
State Street Corp. COMMON 857477103 2,173 16,700
Stone Energy Corp. COMMON 861642106 4,845 88,085
Stratos Lightwave Inc. COMMON 863100103 1,881 58,300
Stryker Corp. COMMON 863667101 10,267 239,116
Summit Properties Inc. COMMON 866239106 7 265
Sun MicroSystems Inc. COMMON 866810104 203,221 1,740,645
Sungard Data Systems Inc. COMMON 867363103 720 16,800
Sycamore Networks Inc. COMMON 871206108 63,299 586,100
Sysco Corp. COMMON 871829107 73,888 1,595,433
Talx Corp. COMMON 874918105 2,621 101,770
Targeted Genetics Corp. COMMON 87612M108 1,129 95,009
Taro Pharmaceutical Ind. COMMON M8737E108 1,418 79,300
Taubman Centers Inc. COMMON 876664103 110 9,500
Telecommunications Systems COMMON 87929J103 319 16,675
Telxon Corp. COMMON 879700102 2,048 117,000
Tenet Healthcare Corp. COMMON 88033G100 2,795 76,700
Terayon Corp. COMMON 880775101 66,856 1,970,000
Tessco Technologies Inc. COMMON 872386107 1,736 68,050
Tetra Tech Inc. COMMON 88162G103 4,793 167,803
Texas Biotech Corp. COMMON 88221T104 4,291 263,885
Texas Industries Inc. COMMON 882491103 303 9,500
Texas Instruments Inc. COMMON 882508104 785 16,515
Texas Utilities Co. COMMON 873168108 774 19,500
Textron Inc. COMMON 883203101 5,681 122,995
The Men's Wearhouse Inc. COMMON 587118100 2,751 97,150
Therma-Wave Inc. COMMON 88343A108 4,075 141,718
Tibco Software Inc. COMMON 88632Q103 96,073 1,137,800
Time Warner Inc. COMMON 887315109 549 7,000
Titan Pharmaceuticals Inc. COMMON 888314101 4,158 63,954
TMP Worldwide Inc. COMMON 872941109 284,309 3,531,785
Tootsie Roll Inds. COMMON 890516107 68 1,711
Toro Co. COMMON 891092108 714 22,650
Tosco Corp. COMMON 891490302 12,069 386,975
Total Fina SA ADR COMMON 89151E109 2,901 39,498
Tower Automotive Inc. COMMON 891707101 704 75,000
Transgenomic Inc. COMMON 89365K206 1,649 72,650
Tricon Global Restaurants COMMON 895953107 4 120
</TABLE>
<TABLE>
<CAPTION>
--------------------------------------------------------
ITEM 6 ITEM 7 ITEM 8
OTHER
INVESTMENT DISCRETION MANA-
GERS VOTING AUTHORITY
Sole Shared None
--------------------------------------------------------
<S> <C> <C> <C> <C>
Shuffle Master Inc. Defined 1 65,000
Sierra Pacific Resources Defined 1 217,000
Signal Technology Corp. Defined 1 125,000
Silicon Valley Bancshares Defined 1 78,138 4,800
Simon Property Group Inc. Defined 1 117,350 23,475
SL Green Realty Corp. Defined 1 75,782 15,850
SmartDisk Corp. Defined 1 12,312
Smith, Charles E. Resident Defined 1 35,000
Solectron Corp. Defined 1 365,190 156,537
Sonic Automotive Inc. Defined 1 70,700
Sonic Innovations Inc. Defined 1 69,000
Southern Energy Inc. Defined 1 9,100 3,000
SouthWest Bancorp. of TX Defined 1 117,957
Southwest Securities Group Defined 1 28,820
Spanish Broadcasting Syste Defined 1 230,809
Spartech Corp. Defined 1 76,800 6,000
Spectralink Corp. Defined 1 115,800
Spectrum Control Inc. Defined 1 141,300
Spieker Properties Inc. Defined 1 46,550 8,800
SportsLine.com Inc. Defined 1 1,000,000 2,000
Sprint Corp. (FON Group) Defined 1 59,850 23,310
Staar Surgical Co. Defined 1 192,200
Starbucks Corp. Defined 1 9,900 8,800
StarMedia Network Inc. Defined 1 1,735,900 2,000
Starwood Financial Inc. Defined 1 4,140
Starwood Hotels & Resorts Defined 1 59,250 10,700
State Street Corp. Defined 1 16,700
Stone Energy Corp. Defined 1 88,085
Stratos Lightwave Inc. Defined 1 58,300
Stryker Corp. Defined 1 55,215 183,901
Summit Properties Inc. Defined 1 265
Sun MicroSystems Inc. Defined 1 1,523,552 217,093
Sungard Data Systems Inc. Defined 1 11,000 5,800
Sycamore Networks Inc. Defined 1 582,500 3,600
Sysco Corp. Defined 1 931,231 664,202
Talx Corp. Defined 1 101,770
Targeted Genetics Corp. Defined 1 95,009
Taro Pharmaceutical Ind. Defined 1 79,300
Taubman Centers Inc. Defined 1 9,500
Telecommunications Systems Defined 1 16,675
Telxon Corp. Defined 1 117,000
Tenet Healthcare Corp. Defined 1 75,800 900
Terayon Corp. Defined 1 1,953,000 17,000
Tessco Technologies Inc. Defined 1 68,050
Tetra Tech Inc. Defined 1 167,803
Texas Biotech Corp. Defined 1 263,885
Texas Industries Inc. Defined 1 9,500
Texas Instruments Inc. Defined 1 14,915 1,600
Texas Utilities Co. Defined 1 19,500
Textron Inc. Defined 1 26,310 96,685
The Men's Wearhouse Inc. Defined 1 97,150
Therma-Wave Inc. Defined 1 141,718
Tibco Software Inc. Defined 1 1,129,000 8,800
Time Warner Inc. Defined 1 7,000
Titan Pharmaceuticals Inc. Defined 1 63,954
TMP Worldwide Inc. Defined 1 3,494,085 37,700
Tootsie Roll Inds. Defined 1 1,711
Toro Co. Defined 1 22,650
Tosco Corp. Defined 1 276,865 110,110
Total Fina SA ADR Defined 1 39,000 498
Tower Automotive Inc. Defined 1 75,000
Transgenomic Inc. Defined 1 72,650
Tricon Global Restaurants Defined 1 120
</TABLE>
<PAGE> 10
<TABLE>
<CAPTION>
MUNDER CAPITAL MANAGEMENT
FORM 13F 9/30/2000
-------------------------------------------------------------------------------------
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5
SHARES OF
NAME OF ISSUER TITLE CUSIP FAIR MARKET PRINCIPAL PUT/
OF CLASS NUMBER VALUE AMOUNT CALL
(x $1000)
-------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C>
Trigon Healthcare Inc. COMMON 89618L100 3,822 72,700
Trimble Navigation Ltd. COMMON 896239100 3,063 136,883
Tropical Sportswear Intl. COMMON 89708P102 1,578 92,800
TTI Team Telecom Intl. Ltd COMMON M88258104 1,403 68,850
TTM Technologies COMMON 87305R109 2,114 89,945
Tumbleweed Communications COMMON 899690101 35,757 701,100
Tyco International Ltd. COMMON 902124106 79,063 1,524,087
Tycom Ltd. COMMON G9144B106 6 135
U.S. Bancorp. COMMON 902973106 640 28,100
Ultimate Electronics Inc. COMMON 903849107 3,103 75,437
United Technologies Corp. COMMON 913017109 4,829 69,600
UnitedGlobalCom Inc. Cl A COMMON 913247508 1,620 54,000
Universal Access Inc. COMMON 913363107 99 8,400
Universal Forest Products COMMON 913543104 664 58,050
Univision Comm. Inc. Cl A COMMON 914906102 341 9,100
USinternetworking Inc. COMMON 917311805 11,808 1,769,700
USX-Marathon Group Inc. COMMON 902905827 537 18,900
Valence Technology Inc. COMMON 918914102 4,514 261,639
ValueClick Inc. COMMON 92046N102 3,456 536,800
Varco International Inc. COMMON 922122106 475 22,800
Vastera Inc. COMMON 92239N109 407 18,500
VeriSign Inc. COMMON 92343E102 497,103 2,454,078
Veritas Software Corp. COMMON 923436109 30,915 217,706
Verizon Communications COMMON 92343V104 2,520 52,014
VerticalNet Inc. COMMON 92532L107 101,305 2,884,100
Vicinity Corp. COMMON 925653107 10,013 910,200
Vignette Corp. COMMON 926734104 49,381 1,652,900
Vishay Intertechnology Inc COMMON 928298108 507 16,350
Vital Signs Inc. COMMON 928469105 3,275 123,550
Vitesse Semiconductor Corp COMMON 928497106 543 6,100
VoiceStream Wireless Corp. COMMON 928615103 482 4,150
Vornado Operating Inc. COMMON 92904N103 21 3,679
Vornado Realty Trust COMMON 929042109 3,391 91,325
Walgreen Co. COMMON 931422109 953 25,100
Wal-Mart Stores Inc. COMMON 931142103 25,944 539,088
Waters Corp. COMMON 941848103 552 6,200
Websense Inc. COMMON 947684106 3,353 140,809
Webvan Group Inc. COMMON 94845V103 3,406 1,472,900
Wells Fargo & Co. COMMON 949746101 12,501 272,126
Wendy's Financing I CONV P 950588202 642 13,500
Wendy's International Inc. COMMON 950590109 17,270 860,826
White Electronic Designs C COMMON 963801105 7,926 660,421
Wiley, John & Sons Cl A COMMON 968223206 480 20,900
WinStar Communications Inc COMMON 975515107 38,520 2,485,100
WJ Communications Inc. COMMON 929284107 285 7,700
Workflow Management Inc. COMMON 98137N109 301 49,000
WWF Entertainment Inc. COMMON 98156Q108 2,440 160,644
XCEL Energy Inc. COMMON 98389B100 700 25,420
XO Communications Inc. Cl COMMON 983764101 50,447 1,433,664
Yahoo! Inc. COMMON 984332106 106,034 1,165,208
Zale Corp. COMMON 988858106 443 13,650
Zamba Corp. COMMON 988881108 3,094 727,874
Ziff-Davis Inc. - ZDNet COMMON 989511209 16,875 1,200,000
Zions Bancorp. COMMON 989701107 1,116 21,820
Zomax Inc. MN COMMON 989929104 2,123 303,254
Zoran Corp. COMMON 98975F101 432 8,850
-------------
AGGREGATE COLUMN TOTALS 10,952,289
=============
</TABLE>
<TABLE>
<CAPTION>
--------------------------------------------------------
ITEM 6 ITEM 7 ITEM 8
OTHER
INVESTMENT DISCRETION MANA-
GERS VOTING AUTHORITY
Sole Shared None
--------------------------------------------------------
<S> <C> <C> <C> <C>
Trigon Healthcare Inc. Defined 1 72,000 700
Trimble Navigation Ltd. Defined 1 136,883
Tropical Sportswear Intl. Defined 1 92,800
TTI Team Telecom Intl. Ltd Defined 1 68,850
TTM Technologies Defined 1 89,945
Tumbleweed Communications Defined 1 695,000 6,100
Tyco International Ltd. Defined 1 952,414 571,673
Tycom Ltd. Defined 1 135
U.S. Bancorp. Defined 1 1,500 26,600
Ultimate Electronics Inc. Defined 1 75,437
United Technologies Corp. Defined 1 62,000 7,600
UnitedGlobalCom Inc. Cl A Defined 1 54,000
Universal Access Inc. Defined 1 4,300 4,100
Universal Forest Products Defined 1 58,050
Univision Comm. Inc. Cl A Defined 1 5,100 4,000
USinternetworking Inc. Defined 1 1,769,700
USX-Marathon Group Inc. Defined 1 18,900
Valence Technology Inc. Defined 1 261,639
ValueClick Inc. Defined 1 536,800
Varco International Inc. Defined 1 22,800
Vastera Inc. Defined 1 18,500
VeriSign Inc. Defined 1 2,434,858 19,220
Veritas Software Corp. Defined 1 142,583 75,123
Verizon Communications Defined 1 49,826 2,188
VerticalNet Inc. Defined 1 2,858,400 25,700
Vicinity Corp. Defined 1 840,300 69,900
Vignette Corp. Defined 1 1,637,000 15,900
Vishay Intertechnology Inc Defined 1 8,600 7,750
Vital Signs Inc. Defined 1 123,550
Vitesse Semiconductor Corp Defined 1 3,200 2,900
VoiceStream Wireless Corp. Defined 1 4,150
Vornado Operating Inc. Defined 1 3,679
Vornado Realty Trust Defined 1 76,150 15,175
Walgreen Co. Defined 1 3,800 21,300
Wal-Mart Stores Inc. Defined 1 351,445 187,643
Waters Corp. Defined 1 3,400 2,800
Websense Inc. Defined 1 140,809
Webvan Group Inc. Defined 1 1,472,900
Wells Fargo & Co. Defined 1 120,370 151,756
Wendy's Financing I Defined 1 13,500
Wendy's International Inc. Defined 1 649,477 211,349
White Electronic Designs C Defined 1 660,421
Wiley, John & Sons Cl A Defined 1 10,200 10,700
WinStar Communications Inc Defined 1 2,462,050 23,050
WJ Communications Inc. Defined 1 7,700
Workflow Management Inc. Defined 1 49,000
WWF Entertainment Inc. Defined 1 160,644
XCEL Energy Inc. Defined 1 25,420
XO Communications Inc. Cl Defined 1 1,401,387 32,277
Yahoo! Inc. Defined 1 1,154,808 10,400
Zale Corp. Defined 1 6,850 6,800
Zamba Corp. Defined 1 727,874
Ziff-Davis Inc. - ZDNet Defined 1 1,200,000
Zions Bancorp. Defined 1 16,220 5,600
Zomax Inc. MN Defined 1 303,254
Zoran Corp. Defined 1 4,650 4,200
</TABLE>