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: December 31, 2000

Check here if Amendment [ ]; Amendment Number: _______________

        This Amendment (Check only one):    [ ] is a restatement
                                            [ ] adds new holdings entries.


Institutional Investment Manager Filing this Report:

Intel Corporation
2200 Mission College Boulevard
Santa Clara, CA 95052-8119

Form 13F File Number:  28-5160

Person Signing this Report on Behalf of Reporting Manager:

Arvind Sodhani, Vice President and Treasurer (408) 765-1240


--------------------------------------------------------------------------------

ATTENTION--Intentional misstatements or omissions of facts constitute Federal
Criminal Violations. See 18 U.S.C. 1001 and 15 U.S.C. 78ff(a)

--------------------------------------------------------------------------------

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.

Signature, Place and Date of Signing:

/s/ Arvind Sodhani             Santa Clara, California  February 12, 2001
----------------------------


   2


Report Type (Check only one):

[X]     13F HOLDINGS REPORT. (Check here if all holdings of this reporting
        manager are reported in this report.)

[ ]     13F NOTICE. (Check here if no holdings reported are in this report, and
        all holdings are reported by other reporting manager(s).)

[ ]     13F COMBINATION REPORT. (Check here if a portion of the holdings for
        this reporting manager are reported in this report and a portion are
        reported by other manager(s).)



   3

                              Form 13F SUMMARY PAGE

                      REPORTING MANAGER: INTEL CORPORATION


                                                 
Report Summary:

Number of Other Included Managers:                             3
                                                      ----------
Form 13F Information Table Entry Total:                      597
                                                      ----------
Form 13F Information Table Value Total:               $3,658,371
                                                      ----------



        *Confidential Treatment Requested: Confidential information has been
        omitted from this Form 13F and filed separately with the Commission.

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.

1.      MORGAN STANLEY DEAN WITTER & CO., File No: 28-3432

2.      HEWLETT PACKARD & CO. INC., File No: 28-2187

3.      INTEL PACIFIC, INC., File No: Not yet assigned

Note: items marked with "**" on Information Table reflect shares held in the
Intel 64 Fund LLC, with Manager 1's and Manager 2's indirect pro rata interest
reported separately. All fund investors participating in this investment
(including Manager 1, Manager 2 and the Reporting Person) share investment
discretion and voting authority over the combined shares shown as Shared-Other.
Manager 1 and Manager 2 have informed the Reporting Person that they are
required to file Forms 13F for fund holdings. The remaining fund investors have
informed the reporting person that they are not separately required to file
reports on Form 13F.


   4



                                                                                             ITEM 4:
                                                ITEM 2:                                    FAIR MARKET             ITEM 5:
ITEM 1:                                        TITLE OF                 ITEM 3:               VALUE               SHARES OR
NAME OF ISSUER                                  CLASS                   CUSIP                 (000)               PRINCIPAL
-----------------------------             -----------------            ---------           -----------            ---------
                                                                                                     
3D LABS INC LTD                           ORD                          G8846W103                8,076              218,163
ABBOTT LABS                               COM                          002824100               16,088              332,134
ADAPTEC INC                               COM                          00651F108                  217               21,200
ADC TELECOMMUNICATIONS INC                COM                          000886101                2,744              151,400
ADOBE SYS INC                             COM                          00724F101                2,991               51,400
ADVANCED MICRO DEVICES INC                COM                          007903107                  922               66,758
AES CORP                                  COM                          00130H105                5,427               98,000
AETNA INC NEW                             COM                          00817Y108                1,242               30,245
AFLAC INC                                 COM                          001055102                4,100               56,800
AGENCY.COM LTD                            COM                          008447104                  581              150,000
AGILENT TECHNOLOGIES INC                  COM                          00846U101                5,317               97,123
AIR PRODS & CHEMS INC                     COM                          009158106                2,017               49,200
AKAMAI TECHNOLOGIES INC                   COM                          00971T101                1,626               68,403
ALBERTO CULVER CO                         CL B CONV                    013068101                  514               12,000
ALBERTSONS INC                            COM                          013104104                2,402               90,641
ALCAN ALUM LTD NEW                        COM                          013716105                1,605               46,949
ALCOA INC                                 COM                          013817101                6,217              185,592
ALLEGHENY TECHNOLOGIES INC                COM                          01741R102                  276               17,364
ALLERGAN INC                              COM                          018490102                2,730               28,200
                                          COM
                                          PAR$.01
ALLIED WASTE INDS INC                     NEW                          019589308                  613               42,100
ALLSTATE CORP                             COM                          020002101                6,855              157,360
ALLTEL CORP                               COM                          020039103                4,221               67,600
ALTERA CORP                               COM                          021441100                2,250               85,500
ALZA CORP                                 COM                          022615108                2,100               49,400
AMERADA HESS CORP                         COM                          023551104                1,410               19,300
AMEREN CORP                               COM                          023608102                1,359               29,350
AMERICA ONLINE INC DEL                    COM                          02364J104               17,216              494,700
AMERICAN ELEC PWR INC                     COM                          025537101                3,210               69,032
AMERICAN EXPRESS CO                       COM                          025816109               15,678              285,384
AMERICAN GENERAL CORP                     COM                          026351106                4,404               54,038
AMERICAN GREETINGS CORP                   CL A                         026375105                  130               13,745
AMERICAN HOME PRODS CORP                  COM                          026609107               17,752              279,336
AMERICAN INTL GROUP INC                   COM                          026874107               48,869              495,819
AMERICAN PWR CONVERSION CORP              COM                          029066107                  516               41,700
AMGEN INC                                 COM                          031162100               14,092              220,400
AMR CORP                                  COM                          001765106                1,258               32,100
AMSOUTH BANCORPORATION                    COM                          032165102                1,231               80,700
ANADARKO PETE CORP                        COM                          032511107                3,702               52,076
ANALOG DEVICES INC                        COM                          032654105                3,895               76,100

         FAIR MARKET VALUE (page ony)                                                         215,853



                                                                                                  ITEM 8:
                                                  ITEM 6:                                   VOTING AUTHORITY
ITEM 1:                                          INVESTMENT        ITEM 7:      ------------------------------------------
NAME OF ISSUER                       SH/PRN      DISCRETION        MANAGERS          (A) SOLE        (B) SHARED   (C) NONE
-----------------------------        ------      ----------        --------     -----------------    ----------   --------
                                                                                                
3D LABS INC LTD                        SH           SOLE                            218,163
ABBOTT LABS                            SH           SOLE                            332,134
ADAPTEC INC                            SH           SOLE                             21,200
ADC TELECOMMUNICATIONS INC             SH           SOLE                            151,400
ADOBE SYS INC                          SH           SOLE                             51,400
ADVANCED MICRO DEVICES INC             SH           SOLE                             66,758
AES CORP                               SH           SOLE                             98,000
AETNA INC NEW                          SH           SOLE                             30,245
AFLAC INC                              SH           SOLE                             56,800
AGENCY.COM LTD                         SH           SOLE                            150,000
AGILENT TECHNOLOGIES INC               SH           SOLE                             97,123
AIR PRODS & CHEMS INC                  SH           SOLE                             49,200
AKAMAI TECHNOLOGIES INC                SH           SOLE                             68,403
ALBERTO CULVER CO                      SH           SOLE                             12,000
ALBERTSONS INC                         SH           SOLE                             90,641
ALCAN ALUM LTD NEW                     SH           SOLE                             46,949
ALCOA INC                              SH           SOLE                            185,592
ALLEGHENY TECHNOLOGIES INC             SH           SOLE                             17,364
ALLERGAN INC                           SH           SOLE                             28,200
ALLIED WASTE INDS INC                  SH           SOLE                             42,100
ALLSTATE CORP                          SH           SOLE                            157,360
ALLTEL CORP                            SH           SOLE                             67,600
ALTERA CORP                            SH           SOLE                             85,500
ALZA CORP                              SH           SOLE                             49,400
AMERADA HESS CORP                      SH           SOLE                             19,300
AMEREN CORP                            SH           SOLE                             29,350
AMERICA ONLINE INC DEL                 SH           SOLE                            494,700
AMERICAN ELEC PWR INC                  SH           SOLE                             69,032
AMERICAN EXPRESS CO                    SH           SOLE                            285,384
AMERICAN GENERAL CORP                  SH           SOLE                             54,038
AMERICAN GREETINGS CORP                SH           SOLE                             13,745
AMERICAN HOME PRODS CORP               SH           SOLE                            279,336
AMERICAN INTL GROUP INC                SH           SOLE                            495,819
AMERICAN PWR CONVERSION CORP           SH           SOLE                             41,700
AMGEN INC                              SH           SOLE                            220,400
AMR CORP                               SH           SOLE                             32,100
AMSOUTH BANCORPORATION                 SH           SOLE                             80,700
ANADARKO PETE CORP                     SH           SOLE                             52,076
ANALOG DEVICES INC                     SH           SOLE                             76,100




                                                                           1/15
   5



                                                                                             ITEM 4:
                                                ITEM 2:                                    FAIR MARKET             ITEM 5:
ITEM 1:                                        TITLE OF                 ITEM 3:               VALUE               SHARES OR
NAME OF ISSUER                                  CLASS                   CUSIP                 (000)               PRINCIPAL
-----------------------------             -----------------            ---------           -----------            ---------
                                                                                                     
ANDREW CORP                               COM                          034425108                  377               17,325
ANHEUSER BUSCH COS INC                    COM                          035229103                8,827              194,000
AON CORP                                  COM                          037389103                1,870               54,590
APACHE CORP                               COM                          037411105                1,836               26,200
APPLE COMPUTER INC                        COM                          037833100                1,035               69,600
APPLERA CORP                              COM                          038020103                4,195               44,600
APPLIED MATLS INC                         COM                          038222105                7,790              203,944
ARCHER DANIELS MIDLAND CO                 COM                          039483102                2,033              135,521
ASHLAND INC                               COM                          044204105                  538               15,000
ASIACONTENT.COM LTD                       CL A                         G05354108                1,052            2,805,674
ASIAINFO HOLDINGS INC                     COM                          04518A104               24,660            2,630,425
AT COMM CORP                              COM                          00208k105               20,120            1,005,989
AT HOME CORP                              COM A                        045919107                  249               44,961
AT RD INC                                 COM                          04648k105                1,298              576,923
AT&T CORP                                 COM                          001957109               13,925              804,772
AUDIBLE INC                               COM                          05069A104                  402              918,750
AUTODESK INC                              COM                          052769106                6,065              225,150
AUTOMATIC DATA PROCESSING INC             COM                          053015103                8,509              134,402
AUTOZONE INC                              COM                          053332102                  778               27,300
AVAYA INC                                 COM                          053499109                  615               59,636
AVERY DENNISON CORP                       COM                          053611109                1,312               23,900
AVON PRODS INC                            COM                          054303102                2,438               50,914
BACKWEB TECHNOLOGIES LTD                  ORD                          M15633106                3,424              507,247
BAKER HUGHES INC                          COM                          057224107                2,944               70,830
BALL CORP                                 COM                          058498106                  286                6,200
BANK NEW YORK INC                         COM                          064057102                8,725              158,104
BANK OF AMERICA CORPORATION               COM                          060505104               16,151              352,063
BANK ONE CORP                             COM                          06423A103                9,070              247,638
BARD C R INC                              COM                          067383109                  508               10,900
BARRICK GOLD CORP                         COM                          067901108                1,389               84,800
BAUSCH & LOMB INC                         COM                          071707103                  461               11,400
BAXTER INTL INC                           COM                          071813109                5,535               62,670
BB&T CORP                                 COM                          054937107                3,194               85,600
BE INC                                    COM                          073309106                1,154            1,538,462
BEAR STEARNS COS INC                      COM                          073902108                1,169               23,061
BECTON DICKINSON & CO                     COM                          075887109                1,877               54,200
BED BATH & BEYOND INC                     COM                          075896100                1,354               60,500
BELLSOUTH CORP                            COM                          079860102               16,438              401,544
BEMIS INC                                 COM                          081437105                  383               11,400
BEST BUY INC                              COM                          086516101                1,310               44,300
BETHLEHEM STL CORP                        COM                          087509105                   50               28,343
BIOGEN INC                                COM                          090597105                1,904               31,700
        FAIR MARKET VALUE (page ony)                                                          187,250


                                                                                                        ITEM 8:
                                                      ITEM 6:                                       VOTING AUTHORITY
ITEM 1:                                              INVESTMENT           ITEM 7:      ------------------------------------------
NAME OF ISSUER                        SH/PRN         DISCRETION           MANAGERS          (A) SOLE        (B) SHARED   (C) NONE
-----------------------------         ------         ----------           --------     -----------------    ----------   --------
                                                                                                       
ANDREW CORP                             SH              SOLE                                17,325
ANHEUSER BUSCH COS INC                  SH              SOLE                               194,000
AON CORP                                SH              SOLE                                54,590
APACHE CORP                             SH              SOLE                                26,200
APPLE COMPUTER INC                      SH              SOLE                                69,600
APPLERA CORP                            SH              SOLE                                44,600
APPLIED MATLS INC                       SH              SOLE                               203,944
ARCHER DANIELS MIDLAND CO               SH              SOLE                               135,521
ASHLAND INC                             SH              SOLE                                15,000
ASIACONTENT.COM LTD                     SH              DEFINED          3                                    2,805,674
ASIAINFO HOLDINGS INC                   SH              DEFINED          3                                    2,630,425
AT COMM CORP                            SH              SOLE
AT HOME CORP                            SH              SOLE                                44,961
AT RD INC                               SH              SOLE
AT&T CORP                               SH              SOLE                               804,772
AUDIBLE INC                             SH              SOLE                               918,750
AUTODESK INC                            SH              SOLE                               225,150
AUTOMATIC DATA PROCESSING INC           SH              SOLE                               134,402
AUTOZONE INC                            SH              SOLE                                27,300
AVAYA INC                               SH              SOLE                                59,636
AVERY DENNISON CORP                     SH              SOLE                                23,900
AVON PRODS INC                          SH              SOLE                                50,914
BACKWEB TECHNOLOGIES LTD                SH              SOLE                               507,247
BAKER HUGHES INC                        SH              SOLE                                70,830
BALL CORP                               SH              SOLE                                 6,200
BANK NEW YORK INC                       SH              SOLE                               158,104
BANK OF AMERICA CORPORATION             SH              SOLE                               352,063
BANK ONE CORP                           SH              SOLE                               247,638
BARD C R INC                            SH              SOLE                                10,900
BARRICK GOLD CORP                       SH              SOLE                                84,800
BAUSCH & LOMB INC                       SH              SOLE                                11,400
BAXTER INTL INC                         SH              SOLE                                62,670
BB&T CORP                               SH              SOLE                                85,600
BE INC                                  SH              SOLE                             1,538,462
BEAR STEARNS COS INC                    SH              SOLE                                23,061
BECTON DICKINSON & CO                   SH              SOLE                                54,200
BED BATH & BEYOND INC                   SH              SOLE                                60,500
BELLSOUTH CORP                          SH              SOLE                               401,544
BEMIS INC                               SH              SOLE                                11,400
BEST BUY INC                            SH              SOLE                                44,300
BETHLEHEM STL CORP                      SH              SOLE                                28,343
BIOGEN INC                              SH              SOLE                                31,700





                                                                           2/15
   6



                                                                                             ITEM 4:
                                                ITEM 2:                                    FAIR MARKET             ITEM 5:
ITEM 1:                                        TITLE OF                 ITEM 3:               VALUE               SHARES OR
NAME OF ISSUER                                  CLASS                   CUSIP                 (000)               PRINCIPAL
-----------------------------             -----------------            ---------           -----------            ---------
                                                                                                     
BIOMET INC                                COM                          090613100                1,508               38,000
BLACK & DECKER CORP                       COM                          091797100                  699               17,800
BMC SOFTWARE INC                          COM                          055921100                  741               52,900
BOEING CO                                 COM                          097023105               12,689              192,261
BOISE CASCADE CORP                        COM                          097383103                  412               12,255
BOSTON SCIENTIFIC CORP                    COM                          101137107                1,192               87,104
BREAKAWAY SOLUTIONS INC                   COM                          106372105                1,077            1,231,222
BRIGGS & STRATTON CORP                    COM                          109043109                  204                4,600
BRISTOL MYERS SQUIBB CO                   COM                          110122108               31,141              421,184
BROADBASE SOFTWARE                        COM                          11130R100                7,934            1,269,442
BROADCOM CORP                             CL A                         111320107                3,990               47,500
BROWN FORMAN CORP                         CL B                         115637209                  978               14,700
BRUNSWICK CORP                            COM                          117043109                  307               18,700
BURLINGTON NORTH SANTA FE CP              COM                          12189T104                2,451               86,573
BURLINGTON RES INC                        COM                          122014103                2,332               46,180
CABLETRON SYS INC                         COM                          126920107                  593               39,400
CAMPBELL SOUP CO                          COM                          134429109                3,123               90,200
CAPITAL ONE FINL CORP                     COM                          14040H105                2,764               42,000
CARDINAL HEALTH INC                       COM                          14149Y108                5,928               59,500
CARNIVAL CORP                             COM                          143658102                3,892              126,300
CATERPILLAR INC DEL                       COM                          149123101                3,508               74,144
CENDANT CORP                              COM                          151313103                1,498              155,636
CENTEX CORP                               COM                          152312104                  473               12,600
CENTURYTEL INC                            COM                          156700106                1,076               30,100
CENTENNIAL TECHNOLOGIES INC               COM NEW                      151392206                  683               60,000
CERIDIAN CORP                             COM                          15677T106                  621               31,152
CHARTER ONE FINL INC                      COM                          160903100                1,298               44,960
CHASE MANHATTAN CORP NEW                  COM                          16161A108               12,740              280,392
CHEVRON CORP                              COM                          166751107               11,813              139,900
CHIPPAC INC                               CL A                         169657103                8,314            2,800,438
CHUBB CORP                                COM                          171232101                3,233               37,377
CIGNA CORP                                COM                          125509109                4,472               33,800
CINCINNATI FINL CORP                      COM                          172062101                1,365               34,500
CINERGY CORP                              COM                          172474108                1,194               34,000
CIRCUIT CITY STORE INC                    COM                          172737108                  506               44,000
CISCO SYSTEMS INC                         COM                          17275R102               63,894            1,670,454
CISCO SYSTEMS INC                         COM                          17275R102                  222                5,855
CISCO SYSTEMS INC                         COM                          17275R102                  760               19,884
CIT GROUP INC                             COM                          125577106                1,131               56,200
CITIGROUP INC                             COM                          172967101               55,066            1,078,410
CITRIX SYS INC                            COM                          177376100                  896               39,800
CLEAR CHANNEL COMMUNICATIONS              INC COM                      184502102                6,060              125,100

          FAIR MARKET VALUE (page ony)                                                        264,779



                                                                                                   ITEM 8:
                                                    ITEM 6:                                  VOTING AUTHORITY
ITEM 1:                                            INVESTMENT       ITEM 7:      ------------------------------------------
NAME OF ISSUER                         SH/PRN      DISCRETION       MANAGERS          (A) SOLE        (B) SHARED   (C) NONE
-----------------------------          ------      ----------       --------     -----------------    ----------   --------
                                                                                                 
BIOMET INC                               SH           SOLE                              38,000
BLACK & DECKER CORP                      SH           SOLE                              17,800
BMC SOFTWARE INC                         SH           SOLE                              52,900
BOEING CO                                SH           SOLE                             192,261
BOISE CASCADE CORP                       SH           SOLE                              12,255
BOSTON SCIENTIFIC CORP                   SH           SOLE                              87,104
BREAKAWAY SOLUTIONS INC                  SH           SOLE                           1,231,222
BRIGGS & STRATTON CORP                   SH           SOLE                               4,600
BRISTOL MYERS SQUIBB CO                  SH           SOLE                             421,184
BROADBASE SOFTWARE                       SH           SOLE
BROADCOM CORP                            SH           SOLE                              47,500
BROWN FORMAN CORP                        SH           SOLE                              14,700
BRUNSWICK CORP                           SH           SOLE                              18,700
BURLINGTON NORTH SANTA FE CP             SH           SOLE                              86,573
BURLINGTON RES INC                       SH           SOLE                              46,180
CABLETRON SYS INC                        SH           SOLE                              39,400
CAMPBELL SOUP CO                         SH           SOLE                              90,200
CAPITAL ONE FINL CORP                    SH           SOLE                              42,000
CARDINAL HEALTH INC                      SH           SOLE                              59,500
CARNIVAL CORP                            SH           SOLE                             126,300
CATERPILLAR INC DEL                      SH           SOLE                              74,144
CENDANT CORP                             SH           SOLE                             155,636
CENTEX CORP                              SH           SOLE                              12,600
CENTURYTEL INC                           SH           SOLE                              30,100
CENTENNIAL TECHNOLOGIES INC              SH           SOLE
CERIDIAN CORP                            SH           SOLE                              31,152
CHARTER ONE FINL INC                     SH           SOLE                              44,960
CHASE MANHATTAN CORP NEW                 SH           SOLE                             280,392
CHEVRON CORP                             SH           SOLE                             139,900
CHIPPAC INC                              SH           SOLE                           2,800,438
CHUBB CORP                               SH           SOLE                              37,377
CIGNA CORP                               SH           SOLE                              33,800
CINCINNATI FINL CORP                     SH           SOLE                              34,500
CINERGY CORP                             SH           SOLE                              34,000
CIRCUIT CITY STORE INC                   SH           SOLE                              44,000
CISCO SYSTEMS INC                        SH           SOLE               1           1,670,454
CISCO SYSTEMS INC                        SH           OTHER*                                               5,855
CISCO SYSTEMS INC                        SH           OTHER*                                              19,884
CIT GROUP INC                            SH           SOLE                              56,200
CITIGROUP INC                            SH           SOLE                           1,078,410
CITRIX SYS INC                           SH           SOLE                              39,800
CLEAR CHANNEL COMMUNICATIONS             SH           SOLE                             125,100




                                                                           3/15
   7




                                                                                             ITEM 4:
                                                ITEM 2:                                    FAIR MARKET             ITEM 5:
ITEM 1:                                        TITLE OF                 ITEM 3:               VALUE               SHARES OR
NAME OF ISSUER                                  CLASS                   CUSIP                 (000)               PRINCIPAL
-----------------------------             -----------------            ---------           -----------            ---------
                                                                                                     
CLOROX CO DEL                             COM                          189054109                1,786               50,300
CMS ENERGY CORP                           COM                          125896100                  748               23,600
COASTAL CORP                              COM                          190441105                4,062               46,000
COCA COLA CO                              COM                          191216100               32,340              530,704
COCA COLA ENTERPRISES INC                 COM                          191219104                1,704               89,700
COLGATE PALMOLIVE CO                      COM                          194162103                7,946              123,100
COMCAST CORP                              CL A SPL                     200300200                8,091              193,800
COMERICA INC                              COM                          200340107                1,993               33,567
COMPAQ COMPUTER CORP                      COM                          204493100                5,483              364,300
COMPUTER ASSOC INTL INC                   COM                          204912109                2,469              126,625
COMPUTER SCIENCES CORP                    COM                          205363104                2,165               36,000
COMPUWARE CORP                            COM                          205638109                  488               78,100
COMVERSE TECHNOLOGY INC                   COM PAR $0.10                205862402                3,628               33,400
CONAGRA FOODS INC                         COM                          205887102                2,972              114,314
CONEXANT SYSTEMS INC                      COM                          207142100               12,269              798,008
CONEXANT SYSTEMS INC                      COM                          207142100                2,677              174,054
CONOCO INC                                CL B                         208251405                3,860              133,400
CONSECO INC                               COM                          208464107                  918               69,645
CONSOLIDATED EDISON INC                   COM                          209115104                1,748               45,400
CONSOLIDATED STORES CORP                  COM                          210149100                  253               23,800
CONSTELLATION ENERGY CORP                 COM                          210371100                1,442               32,000
CONVERGYS CORP                            COM                          212485106                1,495               33,000
COOPER INDS INC                           COM                          216669101                  919               20,000
COOPER TIRE & RUBR CO                     COM                          216831107                  165               15,500
COORS ADOLPH CO                           CL B                         217016104                  634                7,900
COPPER MTN NETWORKS INC                   COM                          217510106                5,454              923,419
CORNING INC                               COM                          219350105                9,997              189,300
COSTCO WHSL CORP                          COM                          22160K105                3,826               95,800
COUNTRYWIDE CR INDS INC                   COM                          222372104                1,226               24,400
COVAD COMMUNICATIONS GROUP INC            COM                          222814204                3,795            2,291,510
CRANE CO                                  COM                          224399105                  370               13,000
CROSSROADS SYS INC                        COM                          22765D100                6,919            1,476,147
CROSSWORLDS SOFTWARE INC                  COM                          22769P109                1,375              333,333
CROWN CORK & SEAL INC                     COM                          228255105                  200               26,953
CSX CORP                                  COM                          126408103                1,214               46,800
CUMMINS ENGINE INC                        COM                          231021106                  338                8,900
CVS CORP                                  COM                          126650100                5,017               83,700
DANA CORP                                 COM                          235811106                  490               32,010
DANAHER CORP DEL                          COM                          235851102                2,079               30,400
DARDEN RESTAURANTS INC                    COM                          237194105                  599               26,200

          FAIR MARKET VALUE (page ony)                                   145,154


                                                                                                    ITEM 8:
                                                     ITEM 6:                                  VOTING AUTHORITY
ITEM 1:                                             INVESTMENT      ITEM 7:      ------------------------------------------
NAME OF ISSUER                           SH/PRN     DISCRETION      MANAGERS          (A) SOLE        (B) SHARED   (C) NONE
-----------------------------            ------     ----------      --------     -----------------    ----------   --------
                                                                                                 
CLOROX CO DEL                              SH          SOLE                            50,300
CMS ENERGY CORP                            SH          SOLE                            23,600
COASTAL CORP                               SH          SOLE                            46,000
COCA COLA CO                               SH          SOLE                           530,704
COCA COLA ENTERPRISES INC                  SH          SOLE                            89,700
COLGATE PALMOLIVE CO                       SH          SOLE                           123,100
COMCAST CORP                               SH          SOLE                           193,800
COMERICA INC                               SH          SOLE                            33,567
COMPAQ COMPUTER CORP                       SH          SOLE                           364,300
COMPUTER ASSOC INTL INC                    SH          SOLE                           126,625
COMPUTER SCIENCES CORP                     SH          SOLE                            36,000
COMPUWARE CORP                             SH          SOLE                            78,100
COMVERSE TECHNOLOGY INC                    SH          SOLE                            33,400
CONAGRA FOODS INC                          SH          SOLE                           114,314
CONEXANT SYSTEMS INC                       SH          DEFINED     3                                     798,008
CONEXANT SYSTEMS INC                       SH          SOLE                           174,054
CONOCO INC                                 SH          SOLE                           133,400
CONSECO INC                                SH          SOLE                            69,645
CONSOLIDATED EDISON INC                    SH          SOLE                            45,400
CONSOLIDATED STORES CORP                   SH          SOLE                            23,800
CONSTELLATION ENERGY CORP                  SH          SOLE                            32,000
CONVERGYS CORP                             SH          SOLE                            33,000
COOPER INDS INC                            SH          SOLE                            20,000
COOPER TIRE & RUBR CO                      SH          SOLE                            15,500
COORS ADOLPH CO                            SH          SOLE                             7,900
COPPER MTN NETWORKS INC                    SH          SOLE                           923,419
CORNING INC                                SH          SOLE                           189,300
COSTCO WHSL CORP                           SH          SOLE                            95,800
COUNTRYWIDE CR INDS INC                    SH          SOLE                            24,400
COVAD COMMUNICATIONS GROUP INC             SH          SOLE                         2,291,511
CRANE CO                                   SH          SOLE                            13,000
CROSSROADS SYS INC                         SH          SOLE                         1,476,147
CROSSWORLDS SOFTWARE INC                   SH          SOLE                           333,333
CROWN CORK & SEAL INC                      SH          SOLE                            26,953
CSX CORP                                   SH          SOLE                            46,800
CUMMINS ENGINE INC                         SH          SOLE                             8,900
CVS CORP                                   SH          SOLE                            83,700
DANA CORP                                  SH          SOLE                            32,010
DANAHER CORP DEL                           SH          SOLE                            30,400
DARDEN RESTAURANTS INC                     SH          SOLE                            26,200





                                                                            4/15
   8


                                                                                             ITEM 4:
                                                ITEM 2:                                    FAIR MARKET             ITEM 5:
ITEM 1:                                        TITLE OF                 ITEM 3:               VALUE               SHARES OR
NAME OF ISSUER                                  CLASS                   CUSIP                 (000)               PRINCIPAL
-----------------------------             -----------------            ---------           -----------            ---------
                                                                                                     
DEERE & CO                                COM                          244199105                2,300               50,200
DELL COMPUTER CORP                        COM                          247025109                9,666              554,300
DELPHI AUTOMOTIVE SYS CORP                COM                          247126105                1,350              119,975
DELTA AIR LINES INC DEL                   COM                          247361108                1,320               26,300
DELUXE CORP                               COM                          248019101                  392               15,500
DEVON ENERGY CORP NEW                     COM                          25179M103                1,671               27,400
DIGITAL ISLAND INC                        COM                          25385N101                2,513              618,556
DILLARDS INC                              CL A                         254067101                  237               20,100
DISNEY WALT CO                            COM                          254687106               12,928              446,742
DOLLAR GEN CORP                           COM                          256669102                1,329               70,411
DOMINION RES INC VA NEW                   COM                          25746U109                3,416               50,984
DONNELLEY R R & SONS CO                   COM                          257867101                  707               26,200
DOVER CORP                                COM                          260003108                1,764               43,500
DOW CHEM CO                               COM                          260543103                5,323              145,329
DOW JONES & CO INC                        COM                          260561105                1,065               18,800
DTE ENERGY CO                             COM                          233331107                1,188               30,500
DU PONT E I DE NEMOURS & CO               COM                          263534109               10,793              223,394
DUKE ENERGY CORP                          COM                          264399106                6,726               78,897
DUN & BRADSTREET CORP DEL NEW             COM                          26483E100                  449               17,350
EASTMAN CHEM CO                           COM                          277432100                  802               16,446
EASTMAN KODAK CO                          COM                          277461109                2,600               66,031
EATON CORP                                COM                          278058102                1,173               15,600
ECOLAB INC                                COM                          278865100                1,188               27,500
EDISON INTL                               COM                          281020107                1,091               69,800
EL PASO ENERGY CORP DEL COM               COM                          283905107                3,560               49,700
EL SITIO INC                              COM                          G30177102                  295              555,556
ELECTRONIC DATA SYS CORP NEW              COM                          285661104                5,775              100,000
EMC CORP MASS                             COM                          268648102               31,069              467,206
EMERSON ELEC CO                           COM                          291011104                7,211               91,500
ENGAGE INC                                COM                          292827102                   23               31,242
ENGELHARD CORP                            COM                          292845104                  556               27,300
ENRON CORP                                COM                          293561106               13,156              158,272
ENTERGY CORP NEW                          COM                          29364G103                2,023               47,800
EQUIFAX INC                               COM                          294429105                  869               30,300
ESOFT INC                                 COM                          296904105                  625              666,666
ETOYS INC                                 COM                          297862104                1,419            7,568,300
EVOKE COMMUNICATIONS INC                  COM NEW                      30048Q202                4,278            2,444,445
EXELON CORP                               COM                          30161N101                4,872               69,387
EXXON MOBIL CORP                          COM                          30231G102               64,904              746,559
FEERAL NATL MTG ASSN                      COM                          313586109               18,721              215,800
FEDERATED DEPT STORES INC DEL             COM                          31410H101                1,558               44,502

     FAIR MARKET VALUE (page ony)                                                             232,905


                                                                                                 ITEM 8:
                                                 ITEM 6:                                   VOTING AUTHORITY
ITEM 1:                                         INVESTMENT       ITEM 7:      ------------------------------------------
NAME OF ISSUER                       SH/PRN     DISCRETION       MANAGERS          (A) SOLE        (B) SHARED   (C) NONE
-----------------------------        ------     ----------       --------     -----------------    ----------   --------
                                                                                              
DEERE & CO                             SH          SOLE                            50,200
DELL COMPUTER CORP                     SH          SOLE                           554,300
DELPHI AUTOMOTIVE SYS CORP             SH          SOLE                           119,975
DELTA AIR LINES INC DEL                SH          SOLE                            26,300
DELUXE CORP                            SH          SOLE                            15,500
DEVON ENERGY CORP NEW                  SH          SOLE                            27,400
DIGITAL ISLAND INC                     SH          SOLE                           618,556
DILLARDS INC                           SH          SOLE                            20,100
DISNEY WALT CO                         SH          SOLE                           446,742
DOLLAR GEN CORP                        SH          SOLE                            70,411
DOMINION RES INC VA NEW                SH          SOLE                            50,984
DONNELLEY R R & SONS CO                SH          SOLE                            26,200
DOVER CORP                             SH          SOLE                            43,500
DOW CHEM CO                            SH          SOLE                           145,329
DOW JONES & CO INC                     SH          SOLE                            18,800
DTE ENERGY CO                          SH          SOLE                            30,500
DU PONT E I DE NEMOURS & CO            SH          SOLE                           223,394
DUKE ENERGY CORP                       SH          SOLE                            78,897
DUN & BRADSTREET CORP DEL NEW          SH          SOLE                            17,350
EASTMAN CHEM CO                        SH          SOLE                            16,446
EASTMAN KODAK CO                       SH          SOLE                            66,031
EATON CORP                             SH          SOLE                            15,600
ECOLAB INC                             SH          SOLE                            27,500
EDISON INTL                            SH          SOLE                            69,800
EL PASO ENERGY CORP DEL COM            SH          SOLE                            49,700
EL SITIO INC                           SH          DEFINED      3                                    555,556
ELECTRONIC DATA SYS CORP NEW           SH          SOLE                           100,000
EMC CORP MASS                          SH          SOLE                           467,206
EMERSON ELEC CO                        SH          SOLE                            91,500
ENGAGE INC                             SH          SOLE                            31,242
ENGELHARD CORP                         SH          SOLE                            27,300
ENRON CORP                             SH          SOLE                           158,272
ENTERGY CORP NEW                       SH          SOLE                            47,800
EQUIFAX INC                            SH          SOLE                            30,300
ESOFT INC                              SH          SOLE                           666,666
ETOYS INC                              SH          SOLE                         7,568,300
EVOKE COMMUNICATIONS INC               SH          SOLE                         2,444,445
EXELON CORP                            SH          SOLE                            69,387
EXXON MOBIL CORP                       SH          SOLE                           746,559
FEERAL NATL MTG ASSN                   SH          SOLE                           215,800
FEDERATED DEPT STORES INC DEL          SH          SOLE                            44,502





                                                                           5/15
   9



                                                                                             ITEM 4:
                                                ITEM 2:                                    FAIR MARKET             ITEM 5:
ITEM 1:                                        TITLE OF                 ITEM 3:               VALUE               SHARES OR
NAME OF ISSUER                                  CLASS                   CUSIP                 (000)               PRINCIPAL
-----------------------------             -----------------            ---------           -----------            ---------
                                                                                                     
FEDEX CORP                                COM                          31428X106                2,439               61,040
FIFTH THIRD BANCORP                       COM                          316773100                5,952               99,615
FIRST DATA CORP                           COM                          319963104                4,573               86,800
FIRST UN CORP                             COM                          337358105                5,869              211,006
FIRSTAR CORP NEW WIS                      COM                          33763V109                4,774              205,321
FIRSTENERGY CORP                          COM                          337932107                1,543               48,900
FLEET-BOSTON FINL CORP                    COM                          339030108                7,264              193,375
FLUOR CORP                                COM                          343412102                  536               16,200
FMC CORP                                  COM                          302491303                  473                6,600
FORD MTR CO DEL                           COM PAR $0.01                345370860                9,507              405,643
FORTUNE BRANDS INC                        COM                          349631101                1,010               33,676
FPL GROUP INC                             COM                          302571104                2,729               38,035
FRANKLIN RES INC                          COM                          354613101                1,989               52,200
FEDERAL HOME LN MTG CORP                  COM                          313400301               10,258              148,932
FREEPORT MCMORAN COPPER & GOLD            CL B                         35671D857                  281               32,780
GANNETT INC                               COM                          364730101                3,557               56,400
GAP INC                                   COM                          364760108                4,645              182,174
GATEWAY INC                               COM                          367626108                1,241               69,000
GENERAL DYNAMICS CORP                     COM                          369550108                3,315               42,500
GENERAL ELEC CO                           COM                          369604103              101,742            2,122,380
GENERAL MLS INC                           COM                          370334104                2,723               61,100
GENERAL MTRS CORP                         COM                          370442105                5,856              114,970
GENUINE PARTS CO                          COM                          372460105                  981               37,450
GEORGIA PAC CORP                          COM                          373298108                1,497               48,107
GILAT COMMUNICATIONS LTD                  ORD                          M50876107                  326              163,179
GILLETTE CO                               COM                          375766102                8,146              225,500
GLOBAL CROSSING LTD                       COM                          G3921A100                2,701              188,695
GLOBESPAN INC                             COM                          379571102               69,360            2,522,205
GLOBESPAN INC                             COM                          379571102                4,199              134,660
GLOBAL SPORTS INC                         COM                          37937A107                  725              131,144
GOLDEN WEST FINL CORP DEL                 COM                          381317106                2,282               33,800
GOODRICH B F CO                           COM                          382388106                  789               21,700
GOODYEAR TIRE & RUBR CO                   COM                          382550101                  772               33,600
GPU INC                                   COM                          36225X100                  953               25,900
GRACE WR & CO DEL NEW                     COM                          38388F108                   46               14,300
GRAINGER W W INC                          COM                          384802104                  734               20,100
GREAT LAKES CHEM CORP                     COM                          390568103                  417               11,200
GUIDANT CORP                              COM                          401698105                3,544               65,700
HALLIBURTON CO                            COM                          406216101                3,460               95,450
HARCOURT GEN INC                          COM                          41163G101                  898               15,700
HARLEY DAVIDSON INC                       COM                          412822108                2,576               64,800

          FAIR MARKET VALUE (page ony)                                                        286,682


                                                                                                ITEM 8:
                                                  ITEM 6:                                   VOTING AUTHORITY
ITEM 1:                                          INVESTMENT       ITEM 7:      ------------------------------------------
NAME OF ISSUER                        SH/PRN     DISCRETION       MANAGERS          (A) SOLE        (B) SHARED   (C) NONE
-----------------------------         ------     ----------       --------     -----------------    ----------   --------
                                                                                               
FEDEX CORP                              SH          SOLE                             61,040
FIFTH THIRD BANCORP                     SH          SOLE                             99,615
FIRST DATA CORP                         SH          SOLE                             86,800
FIRST UN CORP                           SH          SOLE                            211,006
FIRSTAR CORP NEW WIS                    SH          SOLE                            205,321
FIRSTENERGY CORP                        SH          SOLE                             48,900
FLEET-BOSTON FINL CORP                  SH          SOLE                            193,375
FLUOR CORP                              SH          SOLE                             16,200
FMC CORP                                SH          SOLE                              6,600
FORD MTR CO DEL                         SH          SOLE                            405,643
FORTUNE BRANDS INC                      SH          SOLE                             33,676
FPL GROUP INC                           SH          SOLE                             38,035
FRANKLIN RES INC                        SH          SOLE                             52,200
FEDERAL HOME LN MTG CORP                SH          SOLE                            148,932
FREEPORT MCMORAN COPPER & GOLD          SH          SOLE                             32,780
GANNETT INC                             SH          SOLE                             56,400
GAP INC                                 SH          SOLE                            182,174
GATEWAY INC                             SH          SOLE                             69,000
GENERAL DYNAMICS CORP                   SH          SOLE                             42,500
GENERAL ELEC CO                         SH          SOLE                          2,122,380
GENERAL MLS INC                         SH          SOLE                             61,100
GENERAL MTRS CORP                       SH          SOLE                            114,970
GENUINE PARTS CO                        SH          SOLE                             37,450
GEORGIA PAC CORP                        SH          SOLE                             48,107
GILAT COMMUNICATIONS LTD                SH          SOLE                            163,179
GILLETTE CO                             SH          SOLE                            225,500
GLOBAL CROSSING LTD                     SH          SOLE                            188,695
GLOBESPAN INC                           SH          SOLE                          2,522,205
GLOBESPAN INC                           SH          DEFINED                                           134,660
GLOBAL SPORTS INC                       SH          SOLE
GOLDEN WEST FINL CORP DEL               SH          SOLE                             33,800
GOODRICH B F CO                         SH          SOLE                             21,700
GOODYEAR TIRE & RUBR CO                 SH          SOLE                             33,600
GPU INC                                 SH          SOLE                             25,900
GRACE WR & CO DEL NEW                   SH          SOLE                             14,300
GRAINGER W W INC                        SH          SOLE                             20,100
GREAT LAKES CHEM CORP                   SH          SOLE                             11,200
GUIDANT CORP                            SH          SOLE                             65,700
HALLIBURTON CO                          SH          SOLE                             95,450
HARCOURT GEN INC                        SH          SOLE                             15,700
HARLEY DAVIDSON INC                     SH          SOLE                             64,800




                                                                           6/15
   10



                                                                                             ITEM 4:
                                                ITEM 2:                                    FAIR MARKET             ITEM 5:
ITEM 1:                                        TITLE OF                 ITEM 3:               VALUE               SHARES OR
NAME OF ISSUER                                  CLASS                   CUSIP                 (000)               PRINCIPAL
-----------------------------             -----------------            ---------           -----------            ---------
                                                                                                     
HARRAHS ENTMT INC                         COM                          413619107                  661               25,050
HARTFORD FINL SVCS GROUP INC              COM                          416515104                3,393               48,036
HASBRO INC                                COM                          418056107                  393               36,950
HCA-HEALTHCARE CO                         COM                          404119109                5,266              119,650
HEALTHSOUTH CORP                          COM                          421924101                1,347               82,600
HEARME                                    COM                          421903105                  284              454,461
HEINZ H J CO                              COM                          423074103                3,529               74,400
HERCULES INC                              COM                          427056106                  439               23,004
HERSHEY FOODS CORP                        COM                          427866108                1,886               29,300
HEWLETT PACKARD CO                        COM                          428236103               13,489              427,376
HILTON HOTELS CORP                        COM                          432848109                  830               79,000
HOLLYWOOD ENTERTAINMENT CORP              COM                          436141105                  493              463,774
HOME DEPOT INC                            COM                          437076102               22,672              496,250
HOMESTAKE MNG CO                          COM                          437614100                  236               56,304
HONEYWELL INTL INC                        COM                          438516106                8,121              171,644
HOUSEHOLD INTL INC                        COM                          441815107                5,569              101,248
HUMANA INC                                COM                          444859102                  543               35,600
HUNTINGTON BANCSHARES INC                 COM                          446150104                  871               53,822
I3 MOBILE INC                             COM                          465713105                1,298              324,500
IBEAM BROADCASTING CORP                   COM                          45073P101               18,516           10,396,809
INTERNATIONAL BUSINESS MACHS              COM                          459200101               32,070              377,296
ILLINOIS TOOL WKS INC                     COM                          452308109                3,854               64,700
IMPSAT FIBER NETWORKS INC                 COM                          45321T103                2,573              588,200
IMS HEALTH INC                            COM                          449934108                1,720               63,700
INCO LTD                                  COM                          453258402                  653               38,942
INFOINTERACTIVE                           COM                          456918101                2,154            1,803,922
INFOSPACE INC                             COM                          45678T102                1,868              211,240
INGERSOLL RAND CO                         COM                          456866102                1,447               34,550
INTEGRATED CIRCUIT SYSTEMS INC            COM                          45811K208              102,190            6,170,073
INTEGRATED TELECOM EXPRESS INC            COM                          45817U101                7,746            1,428,571
INTEL CORP                                COM                          458140100               36,537            1,215,372
INTERACTIVE INTELLIGENCE INC              COM                          45839M103               14,475              600,000
INTL PAPER CO                             COM                          460146103                4,227              103,565
INTERNET PICTURES CORP                    COM                          46059S101                1,168            1,205,440
SOHU COM INC                              COM                          83408W103                7,958            3,350,750
INTERPUBLIC GROUP COS INC                 COM                          460690100                2,805               65,900
INTERNATIONAL FLAVORS & FRAGRANC          COM                          459506101                  434               21,343
IONA TECHNOLOGIES PLC                     SPONSORED ADR                46206P109                3,048               45,494
IONA TECHNOLOGIES PLC                     SPONSORED ADR                46206P109                1,150               17,167
IONA TECHNOLOGIES PLC                     SPONSORED ADR                46206P109                9,202              137,339
ITT INDS INC IND                          COM                          450911102                  732               18,885

            FAIR MARKET VALUE (page ony)                                                      327,847



                                                                                                    ITEM 8:
                                                    ITEM 6:                                   VOTING AUTHORITY
ITEM 1:                                            INVESTMENT        ITEM 7:      ------------------------------------------
NAME OF ISSUER                         SH/PRN      DISCRETION        MANAGERS          (A) SOLE        (B) SHARED   (C) NONE
-----------------------------          ------      ----------        --------     -----------------    ----------   --------
                                                                                                  
HARRAHS ENTMT INC                        SH           SOLE                               25,050
HARTFORD FINL SVCS GROUP INC             SH           SOLE                               48,036
HASBRO INC                               SH           SOLE                               36,950
HCA-HEALTHCARE CO                        SH           SOLE                              119,650
HEALTHSOUTH CORP                         SH           SOLE                               82,600
HEARME                                   SH           SOLE                              454,461
HEINZ H J CO                             SH           SOLE                               74,400
HERCULES INC                             SH           SOLE                               23,004
HERSHEY FOODS CORP                       SH           SOLE                               29,300
HEWLETT PACKARD CO                       SH           SOLE                              427,376
HILTON HOTELS CORP                       SH           SOLE                               79,000
HOLLYWOOD ENTERTAINMENT CORP             SH           SOLE                              463,774
HOME DEPOT INC                           SH           SOLE                              496,250
HOMESTAKE MNG CO                         SH           SOLE                               56,304
HONEYWELL INTL INC                       SH           SOLE                              171,644
HOUSEHOLD INTL INC                       SH           SOLE                              101,248
HUMANA INC                               SH           SOLE                               35,600
HUNTINGTON BANCSHARES INC                SH           SOLE                               53,822
I3 MOBILE INC                            SH           SOLE                              324,500
IBEAM BROADCASTING CORP                  SH           SOLE                           10,396,810
INTERNATIONAL BUSINESS MACHS             SH           SOLE                              377,296
ILLINOIS TOOL WKS INC                    SH           SOLE                               64,700
IMPSAT FIBER NETWORKS INC                SH           SOLE                              588,200
IMS HEALTH INC                           SH           SOLE                               63,700
INCO LTD                                 SH           SOLE                               38,942
INFOINTERACTIVE                          SH           SOLE
INFOSPACE INC                            SH           SOLE                              211,240
INGERSOLL RAND CO                        SH           SOLE                               34,550
INTEGRATED CIRCUIT SYSTEMS INC           SH           SOLE                            6,170,073
INTEGRATED TELECOM EXPRESS INC           SH           SOLE                            1,428,571
INTEL CORP                               SH           SOLE                            1,215,372
INTERACTIVE INTELLIGENCE INC             SH           DEFINED                                             600,000
INTL PAPER CO                            SH           SOLE                              103,565
INTERNET PICTURES CORP                   SH           SOLE                            1,205,440
SOHU COM INC                             SH           SOLE                            3,350,750
INTERPUBLIC GROUP COS INC                SH           SOLE                               65,900
INTERNATIONAL FLAVORS & FRAGRANC         SH           SOLE                               21,343
IONA TECHNOLOGIES PLC                    SH           OTHER*            1                                  45,494
IONA TECHNOLOGIES PLC                    SH           OTHER*            2                                  17,167
IONA TECHNOLOGIES PLC                    SH           OTHER*                                              137,339
ITT INDS INC IND                         SH           SOLE                               18,885





                                                                           7/15
   11




                                                                                             ITEM 4:
                                                ITEM 2:                                    FAIR MARKET             ITEM 5:
ITEM 1:                                        TITLE OF                 ITEM 3:               VALUE               SHARES OR
NAME OF ISSUER                                  CLASS                   CUSIP                 (000)               PRINCIPAL
-----------------------------             -----------------            ---------           -----------            ---------
                                                                                                     
ITXC CORP                                 COM                          45069F109               20,813            3,000,000
IXOS SOFTWARE AG                          SP ADR BEARER                46600V108                  712              134,000
JDS UNIPHASE CORP                         COM                          46612J101               30,897              744,433
JEFFERSON PILOT CORP                      COM                          475070108                1,650               22,075
JOHNSON & JOHNSON                         COM                          478160104               31,297              297,888
JOHNSON CTLS INC                          COM                          478366107                  957               18,400
JUNO ONLINE SVCS INC                      COM                          482048105                  512              779,900
K MART CORP                               COM                          482584109                  547              102,873
KAUFMAN & BROAD HOME CORP                 COM                          486168107                  346               10,274
KELLOGG CO                                COM                          487836108                2,283               86,978
KERR MCGEE                                COM                          492386107                1,357               20,267
KEYCORP NEW                               COM                          493267108                2,584               92,282
KEYSPAN CORP                              COM                          49337W100                1,216               28,700
KIMBERLY CLARK CORP                       COM                          494368103                8,151              115,300
KLA TENCOR CORP                           COM                          482480100                1,344               39,900
KNIGHT RIDDER INC                         COM                          499040103                  921               16,200
KOHLS CORP                                COM                          500255104                4,307               70,600
KROGER CO                                 COM                          501044101                4,790              177,000
LASTMINUTE.COM PLC                        SPONSORED ADR                518129101                5,565            5,587,710
LAUNCH MEDIA INC                          COM                          518567102                1,394              892,225
LEGGETT & PLATT INC                       COM                          524660107                  797               42,100
LEHMAN BROS HLDGS INC                     COM                          524908100                3,517               52,000
LEXMARK INTL NEW                          CL A                         529771107                1,210               27,300
LILLY ELI & CO                            COM                          532457108               22,528              242,070
LIMITED INC                               COM                          532716107                1,578               92,466
LINCOLN NATL CORP IND                     COM                          534187109                1,930               40,800
LINEAR TECHNOLOGY CORP                    COM                          535678106                3,085               66,700
LIQUID AUDIO INC                          COM                          53631T102                6,447            2,515,708
LIZ CLAIBORNE INC                         COM                          539320101                  475               11,400
LOCKHEED MARTIN CORP                      COM                          539830109                3,105               91,444
LOEWS CORP                                COM                          540424108                2,185               21,100
LOUDEYE TECHNOLOGIES INC                  COM                          545754103                  932              784,929
LOUISIANA PAC CORP                        COM                          546347105                  226               22,300
LOWES COS INC                             COM                          548661107                3,649               82,000
LSI LOGIC CORP                            COM                          502161102                1,136               66,480
LUCENT TECHNOLOGIES INC                   COM                          549463107                9,661              715,646
MADGE NETWORKS NV                         COM                          N5424g106                   48               38,448
MANOR CARE INC NEW                        COM                          564055101                  452               21,900
MARRIOTT INTL INC NEW                     CL A                         571903202                2,173               51,434
MARSH & MCLENNAN COS INC                  COM                          571748102                6,795               58,079
MASCO CORP                                COM                          574599106                2,515               97,900
MARVELL TECHNOLOGY GROUP LTD              COM                         G5876H1051               13,500              615,384

      FAIR MARKET VALUE (page ony)                                                            209,587


                                                                                                 ITEM 8:
                                                 ITEM 6:                                   VOTING AUTHORITY
ITEM 1:                                         INVESTMENT        ITEM 7:      ------------------------------------------
NAME OF ISSUER                       SH/PRN     DISCRETION        MANAGERS          (A) SOLE        (B) SHARED   (C) NONE
-----------------------------        ------     ----------        --------     -----------------    ----------   --------
                                                                                               
ITXC CORP                              SH          SOLE                            3,000,000
IXOS SOFTWARE AG                       SH          SOLE                              134,000
JDS UNIPHASE CORP                      SH          SOLE                              744,433
JEFFERSON PILOT CORP                   SH          SOLE                               22,075
JOHNSON & JOHNSON                      SH          SOLE                              297,888
JOHNSON CTLS INC                       SH          SOLE                               18,400
JUNO ONLINE SVCS INC                   SH          SOLE                              779,900
K MART CORP                            SH          SOLE                              102,873
KAUFMAN & BROAD HOME CORP              SH          SOLE                               10,274
KELLOGG CO                             SH          SOLE                               86,978
KERR MCGEE                             SH          SOLE                               20,267
KEYCORP NEW                            SH          SOLE                               92,282
KEYSPAN CORP                           SH          SOLE                               28,700
KIMBERLY CLARK CORP                    SH          SOLE                              115,300
KLA TENCOR CORP                        SH          SOLE                               39,900
KNIGHT RIDDER INC                      SH          SOLE                               16,200
KOHLS CORP                             SH          SOLE                               70,600
KROGER CO                              SH          SOLE                              177,000
LASTMINUTE.COM PLC                     SH          SOLE                            5,587,710
LAUNCH MEDIA INC                       SH          SOLE                              892,225
LEGGETT & PLATT INC                    SH          SOLE                               42,100
LEHMAN BROS HLDGS INC                  SH          SOLE                               52,000
LEXMARK INTL NEW                       SH          SOLE                               27,300
LILLY ELI & CO                         SH          SOLE                              242,070
LIMITED INC                            SH          SOLE                               92,466
LINCOLN NATL CORP IND                  SH          SOLE                               40,800
LINEAR TECHNOLOGY CORP                 SH          SOLE                               66,700
LIQUID AUDIO INC                       SH          SOLE                            2,515,708
LIZ CLAIBORNE INC                      SH          SOLE                               11,400
LOCKHEED MARTIN CORP                   SH          SOLE                               91,444
LOEWS CORP                             SH          SOLE                               21,100
LOUDEYE TECHNOLOGIES INC               SH          SOLE                              784,929
LOUISIANA PAC CORP                     SH          SOLE                               22,300
LOWES COS INC                          SH          SOLE                               82,000
LSI LOGIC CORP                         SH          SOLE                               66,480
LUCENT TECHNOLOGIES INC                SH          SOLE                              715,646
MADGE NETWORKS NV                      SH          SOLE
MANOR CARE INC NEW                     SH          SOLE                               21,900
MARRIOTT INTL INC NEW                  SH          SOLE                               51,434
MARSH & MCLENNAN COS INC               SH          SOLE                               58,079
MASCO CORP                             SH          SOLE                               97,900
MARVELL TECHNOLOGY GROUP LTD           SH          SOLE





                                                                           8/15
   12



                                                                                             ITEM 4:
                                                ITEM 2:                                    FAIR MARKET             ITEM 5:
ITEM 1:                                        TITLE OF                 ITEM 3:               VALUE               SHARES OR
NAME OF ISSUER                                  CLASS                   CUSIP                 (000)               PRINCIPAL
-----------------------------             -----------------            ---------           -----------            ---------
                                                                                                     
MASSEY ENERGY CORP                        COM                          576206106                  207               16,200
MATTEL INC                                COM                          577081102                1,319               91,316
MAXIM INTEGRATED PRODS INC                COM                          57772K101                2,897               60,600
MAY DEPT STORES CO                        COM                          577778103                2,230               68,100
MAYTAG CORP                               COM                          578592107                  539               16,673
MBIA INC                                  COM                          55262C100                1,557               21,000
MBNA CORP                                 COM                          55262L100                6,742              182,530
MCDERMOTT INTL INC                        COM                          580037109                  139               12,900
MCDONALDS CORP                            COM                          580135101                9,620              282,928
MCGRAW HILL COS INC                       COM                          580645109                2,446               41,716
MCKESSON HBOC INC                         COM                          58155Q103                2,187               60,938
MEAD CORP                                 COM                          582834107                  687               21,900
MEDIMMUNE INC                             COM                          584699102                2,141               44,900
MEDTRONIC INC                             COM                          585055106               15,499              256,712
MELLON FINL CORP                          COM                          58551A108                5,148              104,660
MERCK & CO INC                            COM                          589331107               46,153              492,958
MERCURY INTERACTIVE CORP                  COM                          589405109                1,543               17,100
MEREDITH CORP                             COM                          589433101                  348               10,800
MERRILL LYNCH & CO INC                    COM                          590188108               11,748              172,288
MGIC INVT CORP WIS                        COM                          552848103                1,538               22,800
MICRON TECHNOLOGY INC                     COM                          595112103                4,296              121,000
MICROSOFT CORP                            COM                          594918104               48,910            1,127,600
MICROTEST INC                             COM                          594941106                  135               44,074
MICROTUNE INC DEL.                        COM                          59514P109                 9385              566,666
MILLIPORE CORP                            COM                          601073109                  630               10,000
MINNESOTA MNG & MFG CO                    COM                          604059105               10,206               84,700
MOLEX INC                                 COM                          608554101                1,491               42,000
MOODYS CORP                               COM                          615369105                  891               34,700
MORGAN J P & CO INC                       COM                          616880100                5,635               34,050
MORGAN STANLEY DEAN WITTER & CO           COM NEW                      617446448               19,104               241058
MOTOROLA INC                              COM                          620076109                9,465              467,405
MYPOINTS.COM INC                          COM                          62855T102                  325              273,933
NATIONAL CITY CORP                        COM                          635405103                3,741              130,126
NATIONAL SEMICONDUCTOR CORP               COM                          637640103                  765               38,000
NATIONAL SVC INDS INC                     COM                          637657107                  223                8,700
NATURAL MICROSYSTEMS CORP                 COM                          638882100                3,335              337,746
NAVISTAR INTL CORP NEW                    COM                          63934E108                  334               12,760
NBC INTERNET INC                          CL A                         62873D105                1,999              571,110
NCR CORP NEW                              COM                          62886E108                1,007               20,500
NETWORK APPLIANCE INC                     COM                          64120L104                4,294               66,900
NETWORK COMPUTING DEVICES INC             COM                          64120N100                  211              750,000
NEW YORK TIMES CO                         CL A                         650111107                1,434               35,800

          FAIR MARKET VALUE (page ony)                                                        242,504


                                                                                                  ITEM 8:
                                                   ITEM 6:                                  VOTING AUTHORITY
ITEM 1:                                           INVESTMENT       ITEM 7:      ------------------------------------------
NAME OF ISSUER                         SH/PRN     DISCRETION       MANAGERS          (A) SOLE        (B) SHARED   (C) NONE
-----------------------------          ------     ----------       --------     -----------------    ----------   --------
                                                                                                
MASSEY ENERGY CORP                       SH          SOLE                            16,200
MATTEL INC                               SH          SOLE                            91,316
MAXIM INTEGRATED PRODS INC               SH          SOLE                            60,600
MAY DEPT STORES CO                       SH          SOLE                            68,100
MAYTAG CORP                              SH          SOLE                            16,673
MBIA INC                                 SH          SOLE                            21,000
MBNA CORP                                SH          SOLE                           182,530
MCDERMOTT INTL INC                       SH          SOLE                            12,900
MCDONALDS CORP                           SH          SOLE                           282,928
MCGRAW HILL COS INC                      SH          SOLE                            41,716
MCKESSON HBOC INC                        SH          SOLE                            60,938
MEAD CORP                                SH          SOLE                            21,900
MEDIMMUNE INC                            SH          SOLE                            44,900
MEDTRONIC INC                            SH          SOLE                           256,712
MELLON FINL CORP                         SH          SOLE                           104,660
MERCK & CO INC                           SH          SOLE                           492,958
MERCURY INTERACTIVE CORP                 SH          SOLE                            17,100
MEREDITH CORP                            SH          SOLE                            10,800
MERRILL LYNCH & CO INC                   SH          SOLE                           172,288
MGIC INVT CORP WIS                       SH          SOLE                            22,800
MICRON TECHNOLOGY INC                    SH          SOLE                           121,000
MICROSOFT CORP                           SH          SOLE                         1,127,600
MICROTEST INC                            SH          SOLE                            44,074
MICROTUNE INC DEL.                       SH                                         566,666
MILLIPORE CORP                           SH          SOLE                            10,000
MINNESOTA MNG & MFG CO                   SH          SOLE                            84,700
MOLEX INC                                SH          SOLE                            42,000
MOODYS CORP                              SH          SOLE                            34,700
MORGAN J P & CO INC                      SH          SOLE                            34,050
MORGAN STANLEY DEAN WITTER & CO          SH          SOLE                           241,058
MOTOROLA INC                             SH          SOLE                           467,405
MYPOINTS.COM INC                         SH          SOLE                           273,933
NATIONAL CITY CORP                       SH          SOLE                           130,126
NATIONAL SEMICONDUCTOR CORP              SH          SOLE                            38,000
NATIONAL SVC INDS INC                    SH          SOLE                             8,700
NATURAL MICROSYSTEMS CORP                SH          SOLE                           337,746
NAVISTAR INTL CORP NEW                   SH          SOLE                            12,760
NBC INTERNET INC                         SH          SOLE                           571,110
NCR CORP NEW                             SH          SOLE                            20,500
NETWORK APPLIANCE INC                    SH          SOLE                            66,900
NETWORK COMPUTING DEVICES INC            SH          SOLE                           750,000
NEW YORK TIMES CO                        SH          SOLE                            35,800





                                                                           9/15
   13




                                                                                             ITEM 4:
                                                ITEM 2:                                    FAIR MARKET             ITEM 5:
ITEM 1:                                        TITLE OF                 ITEM 3:               VALUE               SHARES OR
NAME OF ISSUER                                  CLASS                   CUSIP                 (000)               PRINCIPAL
-----------------------------             -----------------            ---------           -----------            ---------
                                                                                                     
NEWELL RUBBERMAID INC                     COM                          651229106                1,299               57,106
NEWMONT MINING CORP                       COM                          651639106                  614               36,014
NEXTEL COMMUNICATIONS INC                 CL A                         65332V103                4,037              163,100
NIAGARA MOHAWK HLDGS INC                  COM                          653520106                  574               34,400
NICOR INC                                 COM                          654086107                  428                9,900
NIKE INC                                  CL B                         654106103                3,226               57,800
NORDSTROM INC                             COM                          65473P105                  507               27,900
NORFOLK SOUTHERN CORP                     COM                          655844108                1,093               82,124
NORTEL NETWORKS CORP NEW                  COM                          656568102               20,521              640,036
NORTHERN TR CORP                          COM                          665859104                3,874               47,500
NORTHPOINT COMMUNICATIONS HLDG            COM                          666610100                  310              900,423
NORTHROP GRUMMAN CORP                     COM                          666807102                1,279               15,409
NOVA MEASURING INSTRUMENTS LTD            COM                          M7516K103                9,854            1,299,948
NOVATEL WIRELESS INC                      COM                          66987M109                5,380              434,782
NOVELL INC                                COM                          670006105                  363               69,595
NOVELLUS SYS INC                          COM                          670008101                1,006               28,000
NUANCE COMMUNICATIONS INC                 COM                          669967101               11,109              257,589
NUCOR CORP                                COM                          670346105                  691               17,400
NUMERICAL TECHNOLOGIES INC                COM                          67053T101               17,611              975,000
OCCIDENTAL PETE CORP                      COM                          674599105                1,918               79,100
OFFICE DEPOT INC                          COM                          676220106                  467               65,500
OLD KENT FINL CORP                        COM                          679833103                1,280               29,255
OMNICOM GROUP INC                         COM                          681919106                3,149               38,000
ONEOK INC                                 COM                          682680103                  298                6,200
OPENWAVE SYSTEMS INC                      COM                          683718100                9,785              222,704
OPENWAVE SYSTEMS INC                      COM                          683718100                  447               10,181
ORACLE CORPORATION                        COM                          68389X105               35,061            1,206,384
OWENS CORNING                             COM                          69073F103                   10               11,900
OWENS ILL INC                             COM NEW                      690768403                  178               31,300
PACCAR INC                                COM                          693718108                  808               16,400
PACTIV CORP                               COM                          695257105                  448               36,230
PALL CORP                                 COM                          696429307                  563               26,400
PALM INC                                  COM                          696642107                3,428              121,067
PANJA INC                                 COM                          698493103                1,931              423,212
PARAMETRIC TECHNOLOGY CORP                COM                          699173100                  783               58,300
PARKER HANNIFIN CORP                      COM                          701094104                1,057               23,950
PAYCHEX INC                               COM                          704326107                3,879               79,775
PENNEY J C INC                            COM                          708160106                  610               56,078
PEOPLES ENERGY CORP                       COM                          711030106                  338                7,549
PEOPLESOFT INC                            COM                          712713106                2,231               60,000
PEPSICO INC                               COM                          713448108               15,326              309,222
PERKINELMER INC                           COM                          714046109                1,108               10,548

          FAIR MARKET VALUE (page ony)                                                        168,879


                                                                                                   ITEM 8:
                                                   ITEM 6:                                   VOTING AUTHORITY
ITEM 1:                                           INVESTMENT        ITEM 7:      ------------------------------------------
NAME OF ISSUER                        SH/PRN      DISCRETION        MANAGERS          (A) SOLE        (B) SHARED   (C) NONE
-----------------------------         ------      ----------        --------     -----------------    ----------   --------
                                                                                                 
NEWELL RUBBERMAID INC                   SH           SOLE                             57,106
NEWMONT MINING CORP                     SH           SOLE                             36,014
NEXTEL COMMUNICATIONS INC               SH           SOLE                            163,100
NIAGARA MOHAWK HLDGS INC                SH           SOLE                             34,400
NICOR INC                               SH           SOLE                              9,900
NIKE INC                                SH           SOLE                             57,800
NORDSTROM INC                           SH           SOLE                             27,900
NORFOLK SOUTHERN CORP                   SH           SOLE                             82,124
NORTEL NETWORKS CORP NEW                SH           SOLE                            640,036
NORTHERN TR CORP                        SH           SOLE                             47,500
NORTHPOINT COMMUNICATIONS HLDG          SH           SOLE                            900,423
NORTHROP GRUMMAN CORP                   SH           SOLE                             15,409
NOVA MEASURING INSTRUMENTS LTD          SH           SOLE                          1,299,948
NOVATEL WIRELESS INC                    SH           SOLE                            434,782
NOVELL INC                              SH           SOLE                             69,595
NOVELLUS SYS INC                        SH           SOLE                             28,000
NUANCE COMMUNICATIONS INC               SH           SOLE                            257,589
NUCOR CORP                              SH           SOLE                             17,400
NUMERICAL TECHNOLOGIES INC              SH           SOLE                            975,000
OCCIDENTAL PETE CORP                    SH           SOLE                             79,100
OFFICE DEPOT INC                        SH           SOLE                             65,500
OLD KENT FINL CORP                      SH           SOLE                             29,255
OMNICOM GROUP INC                       SH           SOLE                             38,000
ONEOK INC                               SH           SOLE                              6,200
OPENWAVE SYSTEMS INC                    SH           SOLE                            222,704
OPENWAVE SYSTEMS INC                    SH           DEFINED                                              10,181
ORACLE CORPORATION                      SH           SOLE                          1,206,384
OWENS CORNING                           SH           SOLE                             11,900
OWENS ILL INC                           SH           SOLE                             31,300
PACCAR INC                              SH           SOLE                             16,400
PACTIV CORP                             SH           SOLE                             36,230
PALL CORP                               SH           SOLE                             26,400
PALM INC                                SH           SOLE                            121,067
PANJA INC                               SH           SOLE                            423,212
PARAMETRIC TECHNOLOGY CORP              SH           SOLE                             58,300
PARKER HANNIFIN CORP                    SH           SOLE                             23,950
PAYCHEX INC                             SH           SOLE                             79,775
PENNEY J C INC                          SH           SOLE                             56,078
PEOPLES ENERGY CORP                     SH           SOLE                              7,549
PEOPLESOFT INC                          SH           SOLE                             60,000
PEPSICO INC                             SH           SOLE                            309,222
PERKINELMER INC                         SH           SOLE                             10,548




                                                                          10/15

   14



                                                                                             ITEM 4:
                                                ITEM 2:                                    FAIR MARKET             ITEM 5:
ITEM 1:                                        TITLE OF                 ITEM 3:               VALUE               SHARES OR
NAME OF ISSUER                                  CLASS                   CUSIP                 (000)               PRINCIPAL
-----------------------------             -----------------            ---------           -----------            ---------
                                                                                                     
PERSISTENCE SOFTWARE INC                  COM                          715329108                2,889              651,048
PFIZER INC                                COM USD0.05                  717081103               62,232            1,352,870
PG&E CORP                                 COM                          69331C108                1,654               82,698
PHARMACIA CORP                            COM                          71713U102               16,966              278,129
PHELPS DODGE CORP                         COM                          717265102                  944               16,918
PHILIP MORRIS COS INC                     COM                          718154107               21,230              482,509
PHILLIPS PETE CO                          COM                          718507106                3,105               54,600
PHOENIX TECHNOLOGIES LTD                  COM                          719153108               12,068              894,971
PINNACLE SYSTEMS                          COM                          723481107                  765              103,742
PINNACLE WEST CAP CORP                    COM                          723484101                  867               18,200
PITNEY BOWES INC                          COM                          724479100                1,812               54,700
PIXELWORKS INC                            COM                          72581M107               13,162              588,235
PLACER DOME INC                           COM                          725906101                  676               70,200
PNC FINL SVCS INC                         COM                          693475105                4,530               62,000
POLAROID CORP                             COM                          731095105                   56                9,600
POTLATCH CORP                             COM                          737628107                  205                6,100
PPG INDS INC                              COM                          693506107                1,726               37,272
PPL CORP                                  COM                          69351T106                1,401               31,000
PRAXAIR INC                               COM                          74005P104                1,503               33,878
PREVIEW SYSTEMS INC                       COM                          741379101                  880              281,600
PROCTER & GAMBLE CO                       COM                          742718109               21,977              280,190
PROGRESS ENERGY INC                       COM                          743263105                1,686               34,276
PROGRESSIVE CORP OHIO                     COM                          743315103                1,627               15,700
PROVIDIAN FINL CORP                       COM                          74406A102                3,519               61,200
PROXICOM INC                              COM                          744282104                  825              200,000
PROXIM INC                                COM                          744284100               31,456              640,000
PUBLIC SVC ENTERPRISE GROUP               INC COM                      744573106                2,234               45,944
PULTTE CORP                               COM                          745867101                  367                8,700
QLOGIC CORP                               COM                          747277101               11,373              147,700
QUAKER OATS CO                            COM                          747402105                2,765               28,400
QUALCOMM INC                              COM                          747525103               13,117              159,600
QUINTILES TRANSNATIONAL CORP              COM                          748767100                  519               24,800
QUOKKA SPORTS INC                         COM                          749077103                3,371            4,184,093
QWEST COMMUNICATIONS INTL INC             COM                          749121109               14,589              355,987
RADIO SHACK CORP                          COM                          750438103                1,704               39,800
RADISYS CORP                              COM                          750459109               46,038            1,779,251
RALSTON PURINA CO-RALSTON                 COM RAL-PUR GP               751277302                1,719               65,800
RAVISENT TECHNOLOGIES INC                 COM                          754440105                1,649              549,650
RAYTHEON CO                               CL B                         755111408                2,263               72,856
RED HAT INC                               COM                          756577102               39,068            6,313,995
REEBOK INTL LTD                           COM                          758110100                  334               12,200

     FAIR MARKET VALUE (page ony)                                        350,871


                                                                                                   ITEM 8:
                                                    ITEM 6:                                  VOTING AUTHORITY
ITEM 1:                                            INVESTMENT       ITEM 7:      ------------------------------------------
NAME OF ISSUER                          SH/PRN     DISCRETION       MANAGERS          (A) SOLE        (B) SHARED   (C) NONE
-----------------------------           ------     ----------       --------     -----------------    ----------   --------
                                                                                                 
PERSISTENCE SOFTWARE INC                  SH          SOLE                           651,048
PFIZER INC                                SH          SOLE                         1,352,870
PG&E CORP                                 SH          SOLE                            82,698
PHARMACIA CORP                            SH          SOLE                           278,129
PHELPS DODGE CORP                         SH          SOLE                            16,918
PHILIP MORRIS COS INC                     SH          SOLE                           482,509
PHILLIPS PETE CO                          SH          SOLE                            54,600
PHOENIX TECHNOLOGIES LTD                  SH          SOLE                           894,971
PINNACLE SYSTEMS                          SH          SOLE                           103,742
PINNACLE WEST CAP CORP                    SH          SOLE                            18,200
PITNEY BOWES INC                          SH          SOLE                            54,700
PIXELWORKS INC                            SH          SOLE                           588,235
PLACER DOME INC                           SH          SOLE                            70,200
PNC FINL SVCS INC                         SH          SOLE                            62,000
POLAROID CORP                             SH          SOLE                             9,600
POTLATCH CORP                             SH          SOLE                             6,100
PPG INDS INC                              SH          SOLE                            37,272
PPL CORP                                  SH          SOLE                            31,000
PRAXAIR INC                               SH          SOLE                            33,878
PREVIEW SYSTEMS INC                       SH          SOLE                           281,600
PROCTER & GAMBLE CO                       SH          SOLE                           280,190
PROGRESS ENERGY INC                       SH          SOLE                            34,276
PROGRESSIVE CORP OHIO                     SH          SOLE                            15,700
PROVIDIAN FINL CORP                       SH          SOLE                            61,200
PROXICOM INC                              SH          SOLE                           200,000
PROXIM INC                                SH          SOLE                           640,000
PUBLIC SVC ENTERPRISE GROUP               SH          SOLE                            45,944
PULTTE CORP                               SH          SOLE                             8,700
QLOGIC CORP                               SH          SOLE                           147,700
QUAKER OATS CO                            SH          SOLE                            28,400
QUALCOMM INC                              SH          SOLE                           159,600
QUINTILES TRANSNATIONAL CORP              SH          SOLE                            24,800
QUOKKA SPORTS INC                         SH          SOLE                         4,184,093
QWEST COMMUNICATIONS INTL INC             SH          SOLE                           355,987
RADIO SHACK CORP                          SH          SOLE                            39,800
RADISYS CORP                              SH          SOLE                         1,779,251
RALSTON PURINA CO-RALSTON                 SH          SOLE                            65,800
RAVISENT TECHNOLOGIES INC                 SH          SOLE                           549,650
RAYTHEON CO                               SH          SOLE                            72,856
RED HAT INC                               SH          SOLE                         6,313,995
REEBOK INTL LTD                           SH          SOLE                            12,200





                                                                          11/15
   15



                                                                                             ITEM 4:
                                                ITEM 2:                                    FAIR MARKET             ITEM 5:
ITEM 1:                                        TITLE OF                 ITEM 3:               VALUE               SHARES OR
NAME OF ISSUER                                  CLASS                   CUSIP                 (000)               PRINCIPAL
-----------------------------             -----------------            ---------           -----------            ---------
                                                                                                     
REGIONS FINL CORP                         COM                          758940100                1,281               46,900
RELIANT ENERGY INC                        COM                          75952J108                2,731               63,045
RESEARCH IN MOTION LTD                    COM                          760975102               63,685              796,058
RESONATE INC                              COM                          76115Q104                8,853              931,918
ROCKWELL INTL CORP NEW                    COM                          773903109                1,891               39,700
ROGUE WAVE SOFTWARE INC                   COM                          775369101                  460              122,841
ROHM & HAAS CO                            COM                          775371107                1,685               46,405
ROWAN COS INC                             COM                          779382100                  545               20,200
ROYAL DUTCH PETE CO                       NY REG GLD1.25               780257804               27,824              459,420
RUSSELL CORP                              COM                          782352108                  107                6,900
RYDER SYS INC                             COM                          783549108                  213               12,800
SABRE GROUP HLDGS INC                     CL A                         785905100                1,189               27,563
SAFECO CORP                               COM                          786429100                  897               27,300
SAFEWAY INC                               COM                          786514208                6,656              106,500
SANMINA CORP                              COM                          800907107                2,483               32,400
SAPIENT CORP                              COM                          803062108                  304               25,500
SARA LEE CORP                             COM                          803111103                4,576              186,300
SBC COMMUNICATIONS INC                    COM                          78387G103               34,683              726,356
SCHERING PLOUGH CORP                      COM                          806605101               17,816              313,940
SCHLUMBERGER LTD                          COM                          806857108                9,768              122,200
SCHWAB CHARLES CORP NEW                   COM                          808513105                8,395              295,850
SCIENTIFIC ATLANTA INC                    COM                          808655104                1,110               34,100
SEALED AIR CORP NEW                       COM                          81211K100                  548               17,962
SEARS ROEBUCK & CO                        COM                          812387108                2,554               73,500
SELECTICA INC                             COM                          816288104                5,109              211,233
SELECTICA INC                             COM                          816288104                3,730              154,233
SELECTICA INC                             COM                          816288104                4,300              177,806
SELECTICA INC                             COM                          816288104                1,622               67,096
SELECTICA INC                             COM                          816288104               14,605              177,409
SEMPRA ENERGY                             COM                          816851109                1,018               43,772
SHERWIN WILLIAMS CO                       COM                          824348106                  918               34,900
SIEBEL SYS INC                            COM                          826170102                6,039               89,300
SIGMA ALDRICH CORP                        COM                          826552101                  680               17,300
SIGNALSOFT CORP                           COM                          82668M102                4,973              506,757
SILICON IMAGE INC                         COM                          82705T102                5,664            1,714,286
SILICON VY GROUP INC                      COM                          827066101               14,320              498,100
SILVERSTREAM SOFTWARE INC                 COM                          827907106                6,209              301,054
SILVERSTREAM SOFTWARE INC                 COM                          827907106                  931               45,179
SMARTERKIDS.COM INC                       COM                          83169C106                  636            1,196,362
SNAP ON INC                               COM                          833034101                  351               12,600
SOHU COM INC                              COM                          83408W103                7,958            3,350,750


                                                     ITEM 6:                               ITEM 8:
ITEM 1:                                             INVESTMENT           ITEM 7:      VOTING AUTHORITY
NAME OF ISSUER                       SH/PRN         DISCRETION           MANAGERS          (A) SOLE        (B) SHARED   (C) NONE
-----------------------------        ------         ----------           --------     -----------------    ----------   --------
                                                                                                      
REGIONS FINL CORP                      SH              SOLE                                 46,900
RELIANT ENERGY INC                     SH              SOLE                                 63,045
RESEARCH IN MOTION LTD                 SH              SOLE                                796,058
RESONATE INC                           SH              SOLE                                931,918
ROCKWELL INTL CORP NEW                 SH              SOLE                                 39,700
ROGUE WAVE SOFTWARE INC                SH              OTHER*                                                 122,841
ROHM & HAAS CO                         SH              SOLE                                 46,405
ROWAN COS INC                          SH              SOLE                                 20,200
ROYAL DUTCH PETE CO                    SH              SOLE                                459,420
RUSSELL CORP                           SH              SOLE                                  6,900
RYDER SYS INC                          SH              SOLE                                 12,800
SABRE GROUP HLDGS INC                  SH              SOLE                                 27,563
SAFECO CORP                            SH              SOLE                                 27,300
SAFEWAY INC                            SH              SOLE                                106,500
SANMINA CORP                           SH              SOLE                                 32,400
SAPIENT CORP                           SH              SOLE                                 25,500
SARA LEE CORP                          SH              SOLE                                186,300
SBC COMMUNICATIONS INC                 SH              SOLE                                726,356
SCHERING PLOUGH CORP                   SH              SOLE                                313,940
SCHLUMBERGER LTD                       SH              SOLE                                122,200
SCHWAB CHARLES CORP NEW                SH              SOLE                                295,850
SCIENTIFIC ATLANTA INC                 SH              SOLE                                 34,100
SEALED AIR CORP NEW                    SH              SOLE                                 17,962
SEARS ROEBUCK & CO                     SH              SOLE                                 73,500
SELECTICA INC                          SH              SOLE                                211,233
SELECTICA INC                          SH              DEFINED                                                154,233
SELECTICA INC                          SH              OTHER*               1              177,806
SELECTICA INC                          SH              OTHER*               2               67,093
SELECTICA INC                          SH              OTHER*                              603,865
SEMPRA ENERGY                          SH              SOLE                                 43,772
SHERWIN WILLIAMS CO                    SH              SOLE                                 34,900
SIEBEL SYS INC                         SH              SOLE                                 89,300
SIGMA ALDRICH CORP                     SH              SOLE                                 17,300
SIGNALSOFT CORP                        SH              SOLE                                506,757
SILICON IMAGE INC                      SH              SOLE                              1,714,286
SILICON VY GROUP INC                   SH              SOLE                                498,100
SILVERSTREAM SOFTWARE INC              SH              SOLE                                301,054
SILVERSTREAM SOFTWARE INC              SH              DEFINED                                                 45,179
SMARTERKIDS.COM INC                    SH              SOLE                              1,196,362
SNAP ON INC                            SH              SOLE                                 12,600
SOHU COM INC                           SH              SOLE                              3,350,750

             FAIR MARKET VALUE (page ony)           272,586





                                                                          12/15
   16



                                                                                             ITEM 4:
                                                ITEM 2:                                    FAIR MARKET             ITEM 5:
ITEM 1:                                        TITLE OF                 ITEM 3:               VALUE               SHARES OR
NAME OF ISSUER                                  CLASS                   CUSIP                 (000)               PRINCIPAL
-----------------------------             -----------------            ---------           -----------            ---------
                                                                                                     
SOLECTRON CORP                            COM                          834182107                4,366              128,800
SOUTHERN CO                               COM                          842587107                4,618              138,900
SOUTHTRUST CORP                           COM                          844730101                1,465               36,000
SOUTHWEST AIRLS CO                        COM                          844741108                3,579              106,743
SPEECHWORKS INTERNATIONAL INC             COM                          84764M101               34,632              705,882
SPEECHWORKS INTERNATIONAL INC             COM                          84764M101                1,304               26,587
SPEECHWORKS INTERNATIONAL INC             COM                          84764M101                3,457               70,455
SPEECHWORKS INTERNATIONAL INC             COM                          84764M101               11,739              239,280
SPRINGS INDS INC                          CL A                         851783100                  125                3,850
SPRINT CORP                               COM FON GROUP                852061100                3,851              189,596
SPRINT CORP                               PCS COM SER 1                852061506                4,064              198,848
ST JUDE MED INC                           COM                          790849103                1,105               17,988
ST PAUL COS INC                           COM                          792860108                2,599               47,846
STAMPS.COM INC                            COM                          852857101                1,380              496,274
STANDARD MICROSYSTEMS CORP                COM                          853626109               31,236            1,542,506
STANLEY WKS                               COM                          854616109                  575               18,440
STAPLES INC                               COM                          855030102                1,150               97,350
STARBUCKS CORP                            COM                          855244109                1,774               40,100
STARMEDIA NETWORK INC                     COM                          855546107                  323              170,633
STATE STREET CORP                         COM                          857477103                4,285               34,500
STILWELL FINL INC                         COM                          860831106                1,897               48,100
STREAMLINE COM INC                        COM                          863239109                    0              285,714
STYLECLICK INC                            COM                          86422L102                  939              455,218
SUMMIT BANCORP                            COM                          866005101                1,424               37,300
SUN MICROSYSTEMS INC                      COM                          866810104               18,951              679,864
SUNOCO INC                                COM                          86764P109                  631               18,745
SUNTRUST BKS INC                          COM                          867914103                4,023               63,850
SUPERVALU INC                             COM                          868536103                  394               28,400
SYMBOL TECHNOLOGIES INC                   COM                          871508107               76,167            2,119,434
SYNOVUS FINL CORP                         COM                          87161C105                1,638               60,800
SYSCO CORP                                COM                          871829107                4,284              142,800
TALK CITY INC                             COM                          874263106                  117              750,000
TARGET CORP                               COM                          87612E106                6,289              195,000
TEKTRONIX INC                             COM                          879131100                  695               20,634
TELLABS INC                               COM                          879664100                4,966               87,900
TEMPLE INLAND INC                         COM                          879868107                  585               10,900
TENET HEALTHCARE CORP                     COM                          88033G100                2,998               67,457
TERADYNE INC                              COM                          880770102                1,386               37,200
TERAYON COMMUNICATION SYSTEMS             COM                          880775101                  359               88,428

        FAIR MARKET VALUE (page ony)                                                          245,370

                                                                                           ITEM 8:
                                                    ITEM 6:                                   VOTING AUTHORITY
ITEM 1:                                            INVESTMENT        ITEM 7:       -----------------------------------------
NAME OF ISSUER                         SH/PRN      DISCRETION        MANAGERS          (A) SOLE        (B) SHARED   (C) NONE
-----------------------------          ------      ----------        --------     -----------------    ----------   --------
                                                                                                  
SOLECTRON CORP                           SH           SOLE                            128,800
SOUTHERN CO                              SH           SOLE                            138,900
SOUTHTRUST CORP                          SH           SOLE                             36,000
SOUTHWEST AIRLS CO                       SH           SOLE                            106,743
SPEECHWORKS INTERNATIONAL INC            SH           SOLE                            705,882
SPEECHWORKS INTERNATIONAL INC            SH           OTHER*            1                                  26,587
SPEECHWORKS INTERNATIONAL INC            SH           OTHER*            2                                  70,455
SPEECHWORKS INTERNATIONAL INC            SH           OTHER*                                              239,280
SPRINGS INDS INC                         SH           SOLE                              3,850
SPRINT CORP                              SH           SOLE                            189,596
SPRINT CORP                              SH           SOLE                            198,848
ST JUDE MED INC                          SH           SOLE                             17,988
ST PAUL COS INC                          SH           SOLE                             47,846
STAMPS.COM INC                           SH           SOLE                            496,274
STANDARD MICROSYSTEMS CORP               SH           SOLE                          1,542,506
STANLEY WKS                              SH           SOLE                             18,440
STAPLES INC                              SH           SOLE                             97,350
STARBUCKS CORP                           SH           SOLE                             40,100
STARMEDIA NETWORK INC                    SH           SOLE                            170,633
STATE STREET CORP                        SH           SOLE                             34,500
STILWELL FINL INC                        SH           SOLE                             48,100
STREAMLINE COM INC                       SH           SOLE
STYLECLICK INC                           SH           SOLE
SUMMIT BANCORP                           SH           SOLE                             37,300
SUN MICROSYSTEMS INC                     SH           SOLE                            679,864
SUNOCO INC                               SH           SOLE                             18,745
SUNTRUST BKS INC                         SH           SOLE                             63,850
SUPERVALU INC                            SH           SOLE                             28,400
SYMBOL TECHNOLOGIES INC                  SH           SOLE                          2,119,434
SYNOVUS FINL CORP                        SH           SOLE                             60,800
SYSCO CORP                               SH           SOLE                            142,800
TALK CITY INC                            SH           SOLE                            750,000
TARGET CORP                              SH           SOLE                            195,000
TEKTRONIX INC                            SH           SOLE                             20,634
TELLABS INC                              SH           SOLE                             87,900
TEMPLE INLAND INC                        SH           SOLE                             10,900
TENET HEALTHCARE CORP                    SH           SOLE                             67,457
TERADYNE INC                             SH           SOLE                             37,200
TERAYON COMMUNICATION SYSTEMS            SH           DEFINED                                              88,428







                                                                         13/15
   17



                                                                                             ITEM 4:
                                                ITEM 2:                                    FAIR MARKET             ITEM 5:
ITEM 1:                                        TITLE OF                 ITEM 3:               VALUE               SHARES OR
NAME OF ISSUER                                  CLASS                   CUSIP                 (000)               PRINCIPAL
-----------------------------             -----------------            ---------           -----------            ---------
                                                                                                     
TEXACO INC                                COM                          881694103                7,343              118,200
TEXAS INSTRS INC                          COM                          882508104               17,548              370,400
TEXTRON INC                               COM                          883203101                1,428               30,700
THERMO ELECTRON CORP                      COM                          883556102                1,107               37,200
THESTREET COM                             COM                          88368Q103                  423              147,059
THOMAS & BETTS CORP                       COM                          884315102                  201               12,400
TIFFANY & CO                              COM                          886547108                  984               31,100
TIME WARNER INC                           COM                          887315109               14,813              283,564
TIMKEN CO                                 COM                          887389104                  197               13,000
TJX COS INC                               COM                          872540109                1,740               62,700
TORCHMARK CORP                            COM                          891027104                1,049               27,300
TOSCO CORP                                COM NEW                      891490302                1,052               31,000
TOYS R US INC                             COM                          892335100                  773               46,300
TRANSOCEAN SEDCO FOREX INC                COM                          G90078109                2,079               45,186
TRIBUNE CO                                COM                          896047107                2,787               65,973
TRICON GLOBAL RESTAURANTS INC             COM                          895953107                1,031               31,232
TRIPATH TECHNOLOGY INC                    COM                          89672P104                2,753               97,250
TRW INC                                   COM                          872649108                1,031               26,600
TUPPERWARE CORP                           COM                          899896104                  252               12,350
TUT SYSTEMS INC                           COM                          901103101                  261               31,585
TXU CORP                                  COM                          873168108                2,509               56,617
TYCO INTL LTD NEW                         COM                          902124106               20,793              374,644
U S BANCORP DEL                           COM                          902973106                4,666              159,870
U.S. INTERACTIVE INC                      COM                          90334M109                   70              250,000
UBS AG NAMEN AKT                          COM                          H8920G155                2,566               15,703
UNILEVER N V                              N Y SHS NEW                  904784709                7,706              122,439
UNION CARBIDE CORP                        COM                          905581104                1,558               28,956
UNION PAC CORP                            COM                          907818108                2,700               53,200
UNION PLANTERS CORP                       COM                          908068109                1,033               28,900
UNISYS CORP                               COM                          909214108                  981               67,100
UNITED HEALTH GROUP INC                   COM                          91324P102                4,228               68,896
UNITED TECHNOLOGIES CORP                  COM                          913017109                7,886              100,300
UNOCAL CORP                               COM                          915289102                2,012               52,000
UNUMPROVIDENT CORP                        COM                          91529Y106                1,386               51,576
US AIRWAYS GROUP INC                      COM                          911905107                  580               14,300
USA ED INC                                COM                          90390U102                2,258               33,200
UST INC                                   COM                          902911106                  976               34,793
USX MARATHON GROUP                        COM NEW                      902905827                1,856               66,900
USX-U S STL                               COM                          90337T101                  342               19,000
UTSTARCOM INC                             COM                          918076100               49,749            3,974,538
V F CORP                                  COM                          918204108                  888               24,500
     FAIR MARKET VALUE (page ony)                                                             175,595


                                                                                                          ITEM 8:
                                                       ITEM 6:                                       VOTING AUTHORITY
ITEM 1:                                               INVESTMENT           ITEM 7:      ------------------------------------------
NAME OF ISSUER                         SH/PRN         DISCRETION           MANAGERS          (A) SOLE        (B) SHARED   (C) NONE
-----------------------------          ------         ----------           --------     -----------------    ----------   --------
                                                                                                        
TEXACO INC                               SH              SOLE                                 118,200
TEXAS INSTRS INC                         SH              SOLE                                 370,400
TEXTRON INC                              SH              SOLE                                  30,700
THERMO ELECTRON CORP                     SH              SOLE                                  37,200
THESTREET COM                            SH              SOLE
THOMAS & BETTS CORP                      SH              SOLE                                  12,400
TIFFANY & CO                             SH              SOLE                                  31,100
TIME WARNER INC                          SH              SOLE                                 283,564
TIMKEN CO                                SH              SOLE                                  13,000
TJX COS INC                              SH              SOLE                                  62,700
TORCHMARK CORP                           SH              SOLE                                  27,300
TOSCO CORP                               SH              SOLE                                  31,000
TOYS R US INC                            SH              SOLE                                  46,300
TRANSOCEAN SEDCO FOREX INC               SH              SOLE                                  45,186
TRIBUNE CO                               SH              SOLE                                  65,973
TRICON GLOBAL RESTAURANTS INC            SH              SOLE                                  31,232
TRIPATH TECHNOLOGY INC                   SH              SOLE                                  97,250
TRW INC                                  SH              SOLE                                  26,600
TUPPERWARE CORP                          SH              SOLE                                  12,350
TUT SYSTEMS INC                          SH              SOLE                                  31,585
TXU CORP                                 SH              SOLE                                  56,617
TYCO INTL LTD NEW                        SH              SOLE                                 374,644
U S BANCORP DEL                          SH              SOLE                                 159,870
U.S. INTERACTIVE INC                     SH              SOLE                                 250,000
UBS AG NAMEN AKT                         SH              SOLE                                  15,703
UNILEVER N V                             SH              SOLE                                 122,439
UNION CARBIDE CORP                       SH              SOLE                                  28,956
UNION PAC CORP                           SH              SOLE                                  53,200
UNION PLANTERS CORP                      SH              SOLE                                  28,900
UNISYS CORP                              SH              SOLE                                  67,100
UNITED HEALTH GROUP INC                  SH              SOLE                                  68,896
UNITED TECHNOLOGIES CORP                 SH              SOLE                                 100,300
UNOCAL CORP                              SH              SOLE                                  52,000
UNUMPROVIDENT CORP                       SH              SOLE                                  51,576
US AIRWAYS GROUP INC                     SH              SOLE                                  14,300
USA ED INC                               SH              SOLE                                  33,200
UST INC                                  SH              SOLE                                  34,793
USX MARATHON GROUP                       SH              SOLE                                  66,900
USX-U S STL                              SH              SOLE                                  19,000
UTSTARCOM INC                            SH              DEFINED           3                                  3,974,538
V F CORP                                 SH              SOLE                                  24,500



                                                                         14/15

   18



                                                                                             ITEM 4:
                                                ITEM 2:                                    FAIR MARKET             ITEM 5:
ITEM 1:                                        TITLE OF                 ITEM 3:               VALUE               SHARES OR
NAME OF ISSUER                                  CLASS                   CUSIP                 (000)               PRINCIPAL
-----------------------------             -----------------            ---------           -----------            ---------
                                                                                                     
VA LINUX SYSTEMS INC                      COM                          91819B105                2,743            1,093,741
VALICERT INC                              COM                          91915Q105                4,561              694,937
VERITAS SOFTWARE CO                       COM                          923436109                9,448              107,980
VERIZON COMMUNICATIONS                    COM                          92343V104               29,188              582,303
VIACOM INC                                CL B                         925524308               15,192              324,970
VISTEON CORP                              COM                          92839U107                  322               28,008
VIVENDI UNIVERSAL                         SPON ADR NEW                 92851S204                4,885               74,800
VTEL CORP                                 COM                          918333105                1,429            1,632,846
VULCAN MATLS CO                           COM                          929160109                1,034               21,600
WACHOVIA CORP                             COM                          929771103                2,528               43,500
WAL MART STORES INC                       COM                          931142103               50,839              956,966
WALGREEN CO                               COM                          931422109                9,048              216,400
WASHINGTON MUTUAL INC                     COM                          939322103                6,128              115,490
WASTE MGMT INC DEL                        COM                          94106L109                3,695              133,171
WATSON PHARMACEUTICALS INC                COM                          942683103                1,121               21,900
WAVO CORP                                 COM                          944027101                  109              500,000
WELLPOINT HEALTH NETWORK NEW              COM                          94973H108                1,556               13,500
WELLS FARGO & CO                          COM                          949746101               19,651              352,874
WENDYS INTL INC                           COM                          950590109                  637               24,285
WESTVACO CORP                             COM                          961548104                  629               21,550
WEYERHAEUSER CO                           COM                          962166104                2,399               47,270
WHEREVER NET HLDG CORP                    ADR                          96328M104                  556              888,888
WHIRLPOOL CORP                            COM                          963320106                  730               15,300
WILLAMETTE INDS INC                       COM                          969133107                1,098               23,400
WILLIAMS COMMUNICATIONS GROUP INC         COM A                        969455104              106,089            9,225,093
WILLIAMS COS INC DEL                      COM                          969457100                3,790               94,892
WIND RIVER SYSTEMS INC                    COM                          973149107                  399               11,680
WINN DIXIE STORES INC                     COM                          974280109                  585               30,200
WORLDCOM INC GA DEL                       COM                          98157D106                8,658              615,668
WORTHINGTON INDS INC                      COM                          981811102                  148               18,400
WPP GRP PLC                               SPON ADR NEW                 929309300                  823               13,109
WRIGLEY WM JR CO                          COM                          982526105                2,338               24,400
XCEL ENERGY INC                           COM                          98389B100                2,113               72,705
XEROX CORP                                COM                          984121103                  660              142,800
XILINX INC                                COM                          983919101                3,247               70,400
XIRCOM INC                                COM                          983922105               28,962            1,868,530
YAHOO INC                                 COM                          984332106                3,549              117,700

     FAIR MARKET VALUE (page ony)                                        330,887

          REPORT TOTAL                                                                      3,656,749


                                                                                                 ITEM 8:
                                                  ITEM 6:                                  VOTING AUTHORITY
ITEM 1:                                          INVESTMENT       ITEM 7:      ------------------------------------------
NAME OF ISSUER                       SH/PRN      DISCRETION       MANAGERS          (A) SOLE        (B) SHARED   (C) NONE
-----------------------------        ------      ----------       --------     -----------------    ----------   --------
                                                                                               
VA LINUX SYSTEMS INC                   SH           SOLE                         1,093,741
VALICERT INC                           SH           SOLE                           694,937
VERITAS SOFTWARE CO                    SH           SOLE                           107,980
VERIZON COMMUNICATIONS                 SH           SOLE                           582,303
VIACOM INC                             SH           SOLE                           324,970
VISTEON CORP                           SH           SOLE                            28,008
VIVENDI UNIVERSAL                      SH           SOLE                            74,800
VTEL CORP                              SH           SOLE                         1,632,846
VULCAN MATLS CO                        SH           SOLE                            21,600
WACHOVIA CORP                          SH           SOLE                            43,500
WAL MART STORES INC                    SH           SOLE                           956,966
WALGREEN CO                            SH           SOLE                           216,400
WASHINGTON MUTUAL INC                  SH           SOLE                           115,490
WASTE MGMT INC DEL                     SH           SOLE                           133,171
WATSON PHARMACEUTICALS INC             SH           SOLE                            21,900
WAVO CORP                              SH           SOLE                           500,000
WELLPOINT HEALTH NETWORK NEW           SH           SOLE                            13,500
WELLS FARGO & CO                       SH           SOLE                           352,874
WENDYS INTL INC                        SH           SOLE                            24,285
WESTVACO CORP                          SH           SOLE                            21,550
WEYERHAEUSER CO                        SH           SOLE                            47,270
WHEREVER NET HLDG CORP                 SH           DEFINED      3                                     888,888
WHIRLPOOL CORP                         SH           SOLE                            15,300
WILLAMETTE INDS INC                    SH           SOLE                            23,400
WILLIAMS COMMUNICATIONS GROUP INC      SH           SOLE                         9,225,093
WILLIAMS COS INC DEL                   SH           SOLE                            94,892
WIND RIVER SYSTEMS INC                 SH           SOLE
WINN DIXIE STORES INC                  SH           SOLE                            30,200
WORLDCOM INC GA DEL                    SH           SOLE                           615,668
WORTHINGTON INDS INC                   SH           SOLE                            18,400
WPP GRP PLC                            SH           SOLE                            13,109
WRIGLEY WM JR CO                       SH           SOLE                            24,400
XCEL ENERGY INC                        SH           SOLE                            72,705
XEROX CORP                             SH           SOLE                           142,800
XILINX INC                             SH           SOLE                            70,400
XIRCOM INC                             SH           SOLE                         1,868,530
YAHOO INC                              SH           SOLE                           117,700





                                                                          15/15