-----BEGIN PRIVACY-ENHANCED MESSAGE----- Proc-Type: 2001,MIC-CLEAR Originator-Name: webmaster@www.sec.gov Originator-Key-Asymmetric: MFgwCgYEVQgBAQICAf8DSgAwRwJAW2sNKK9AVtBzYZmr6aGjlWyK3XmZv3dTINen TWSM7vrzLADbmYQaionwg5sDW3P6oaM5D3tdezXMm7z1T+B+twIDAQAB MIC-Info: RSA-MD5,RSA, JjLRB8wDhSzc1onicwFPRzvKFG9DeQQj6nBJ8YQYNt6CZ0UkK5MUZU1A1RpCATUI SA/PlzKSLlHtAHMZjKKAFQ== 0001005477-99-003806.txt : 19990817 0001005477-99-003806.hdr.sgml : 19990817 ACCESSION NUMBER: 0001005477-99-003806 CONFORMED SUBMISSION TYPE: 13F-HR PUBLIC DOCUMENT COUNT: 1 CONFORMED PERIOD OF REPORT: 19990630 FILED AS OF DATE: 19990816 FILER: COMPANY DATA: COMPANY CONFORMED NAME: STANDISH AYER & WOOD INC/MA CENTRAL INDEX KEY: 0001055509 STANDARD INDUSTRIAL CLASSIFICATION: UNKNOWN SIC - 0000 [0000] IRS NUMBER: 041863660 STATE OF INCORPORATION: MA FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: 13F-HR SEC ACT: SEC FILE NUMBER: 028-04303 FILM NUMBER: 99693580 BUSINESS ADDRESS: STREET 1: ONE FINANCIAL CTR CITY: BOSTON STATE: MA ZIP: 02111 BUSINESS PHONE: 1-800-221-4795 MAIL ADDRESS: STREET 1: ONE FINANCIAL CENTER CITY: BOSTON STATE: MA ZIP: 02111 13F-HR 1 FORM 13F HOLDINGS REPORT UNITED STATES SECURITIES AND EXCHANGE COMMISSION Washington, D.C. 20549 FORM 13F FORM 13F COVER PAGE Report for the Calendar Year or Quarter Ended: June 30, 1999 Check here if Amendment [ ]; Amendment Number: This Amendment (Check only one.): [ ] is a restatement. [ ] adds new holdings entries. Institutional Investment Manager Filing this Report: Name: Standish, Ayer & Wood Address: One Financial Center Suite 26 Boston, MA 02111-2662 13F File Number: 028-04303 The institutional investment manager filing this report and the person by whom it is signed hereby represent that the person signing the report is authorized to submit it, that all information contained herein is true, correct and complete, and that it is understood that all required items, statements, schedules, lists, and tables, are considered integral parts of this form. Person Signing this Report on Behalf of Reporting Manager: Name: Beverly Banfield Title: Compliance Officer Phone: 617-350-6100 Signature, Place, and Date of Signing: Beverly Banfield Boston, MA June 30, 1999 - ---------------- ------------- ------------- [Signature] [City, State] [Date] Report Type (Check only one.): [ X] 13F HOLDINGS REPORT. [ ] 13F NOTICE. [ ] 13F COMBINATION REPORT. List of Other Managers Reporting for this Manager: Standish International Management Company, L.P. I AM SIGNING THIS REPORT AS REQUIRED BY THE SECURITIES EXCHANGE ACT OF 1934. FORM 13F SUMMARY PAGE Report Summary: Number of Other Included Managers: 1 Form 13F Information Table Entry Total: 415 Form 13F Information Table Value Total: $3,719,735,774 List of Other Included Managers: No. 13F File Number Name - --- --------------- ---- 01 N/A Standish International Management Company, L.P.
Column 1 Column 2 Column 3 Column 4 Column 5 Column 6 Column 7 Column 8 - --------------------------------------------------------------------------------------------------------------------------------- Name of Issuer Title of CUSIP VALUE Shares or SH/ PUT/ INVESTMENT OTHER VOTING AUTHORITY Class X(1000) Prn Amt PRN CALL DISCRETION MANAGERS SOLE SHARED NONE - --------------------------------------------------------------------------------------------------------------------------------- ACE LIMITED COMMON G0070K103 7873 278,700 SH SOLE 278,700 TOMMY HILFIGER CORP COMMON G8915Z102 31881 433,750 SH SOLE 433,750 SBS BROADCASTING SA COMMON L8137F102 19079 591,600 SH SOLE 591,600 CORE LABS INC COMMON N22717107 2343 168,100 SH SOLE 168,100 STEINER LEISURE LTD COMMON P8744Y102 8012 264,325 SH SOLE 264,325 ADT OPERATIONS CVT CV BOND 000945AC9 514 200,000 PRN SOLE 200,000 AHL SERVICES INC COMMON 001296102 7713 309,300 SH SOLE 309,300 A T & T CORP COMMON 001957109 16580 297,066 SH SOLE 297,066 ATMI INC COMMON 00207R101 16589 557,600 SH SOLE 557,600 ABACUS DIRECT CORP COMMON 002553105 6908 75,500 SH SOLE 75,500 ABBOTT LABS COMMON 002824100 19699 432,952 SH SOLE 432,952 ABOVENET COMMUNICATIONS COMMON 003743101 6165 152,700 SH SOLE 152,700 ACCESS WORLDWIDE COMM INC COMMON 004319109 1896 303,400 SH SOLE 303,400 ADAPTEC INC COMMON 00651F108 964 27,300 SH SOLE 27,300 ADFORCE INC COMMON 006867105 2338 99,500 SH SOLE 99,500 AIR PRODUCTS & CHEM COMMON 009158106 8002 198,800 SH SOLE 198,800 ALBERTSON'S INC COMMON 013104104 3233 62,702 SH SOLE 62,702 ALCOA INC COMMON 013817101 619 10,000 SH SOLE 10,000 ALKERMES INC COMMON 01642T108 2954 127,750 SH SOLE 127,750 ALLIED GROUP INC COMMON 019220102 541 11,250 SH SOLE 11,250 ALLIED SIGNAL INC COMMON 019512102 9494 150,700 SH SOLE 150,700 ALLSTATE CORP COMMON 020002101 3790 105,640 SH SOLE 105,640 AMBAC FINANCIAL GROUP INC COMMON 023139108 16726 292,800 SH SOLE 292,800 AMERICAN BANKERS INSURANCE GROUP COMMON 024456105 860 15,800 SH SOLE 15,800 AMER GEN CORP COMMON 026351106 3672 48,714 SH SOLE 48,714 AMERICAN HOME PRODUCTS COMMON 026609107 1376 23,977 SH SOLE 23,977 AMERICAN INTERNATIONAL GROUP COMMON 026874107 1516 12,930 SH SOLE 12,930 AMERICAN POWER CONVERSION CORP COMMON 029066107 33092 1,644,300 SH SOLE 1,644,300 AMERICREDIT CORP COMMON 03060R101 11045 690,300 SH SOLE 690,300 AMERISOURCE HEALTH CORP CL A COMMON 03071P102 12095 474,300 SH SOLE 474,300 AMERITECH CORP COMMON 030954101 12055 164,010 SH SOLE 164,010 AMGEN INC COMMON 031162100 46569 765,000 SH SOLE 765,000 AMOCO CORP COMMON 031905102 599 10,000 SH SOLE 10,000 AMSOUTH BANCORPORATION COMMON 032165102 12249 528,250 SH SOLE 528,250
Column 1 Column 2 Column 3 Column 4 Column 5 Column 6 Column 7 Column 8 - ------------------------------------------------------------------------------------------------------------------------------------ Name of Issuer Title of CUSIP VALUE Shares or SH/ PUT/ INVESTMENT OTHER VOTING AUTHORITY Class X(1000) Prn Amt PRN CALL DISCRETION MANAGERS SOLE SHARED NONE - ------------------------------------------------------------------------------------------------------------------------------------ ANHEUSER BUSCH COS INC COMMON 035229103 7285 102,700 SH SOLE 102,700 APARTMENT INV & MGMT CO A COMMON 03748R101 2082 48,700 SH SOLE 48,700 APOLLO GROUP INC-CL A COMMON 037604105 789 29,700 SH SOLE 29,700 APPLE COMPUTER INC COMMON 037833100 23045 497,600 SH SOLE 497,600 APPLIED MICRO CIRCUITS CORP COMMON 03822W109 21056 256,000 SH SOLE 256,000 ASHLAND OIL INC COMMON 044204105 5730 142,800 SH SOLE 142,800 ATLANTIC COAST AIRLINES INC COMMON 048396105 7583 399,100 SH SOLE 399,100 ATLANTIC RICHFIELD CO COMMON 048825103 1335 15,974 SH SOLE 15,974 AVERY-DENNISON CORP COMMON 053611109 1960 32,460 SH SOLE 32,460 BJ'S WHOLESALE CLUB INC COMMON 05548J106 6149 204,560 SH SOLE 204,560 B P AMOCO PLC COMMON 055622104 54392 501,309 SH SOLE 501,309 BMC SOFTWARE INC COMMON 055921100 21751 402,800 SH SOLE 402,800 BALL CORP COMMON 058498106 7947 188,100 SH SOLE 188,100 BANKAMERICA CORP COMMON 060505104 7095 96,772 SH SOLE 96,772 BANK ONE CORP COMMON 06423A103 2422 40,665 SH SOLE 40,665 BANKBOSTON CORP COMMON 06605R106 4555 89,090 SH SOLE 89,090 BEA SYSTEMS INC COMMON 073325102 4233 148,200 SH SOLE 148,200 BECTON DICKINSON COMMON 075887109 4449 148,300 SH SOLE 148,300 BELL ATLANTIC CORP COMMON 077853109 32474 496,736 SH SOLE 496,736 BELLSOUTH CORP COMMON 079860102 28894 616,408 SH SOLE 616,408 BERGEN BRUNSWICK CL A COMMON 083739102 11908 690,300 SH SOLE 690,300 BEST SOFTWARE INC COMMON 086579109 645 40,000 SH SOLE 40,000 BINDLEY WESTERN INDS COMMON 090324104 242 10,487 SH SOLE 10,487 BRANDYWINE REALTY TRUST COMMON 105368203 824 41,600 SH SOLE 41,600 BRIGHT HORIZONS FAMILY SOLUTIONS COMMON 109195107 649 34,400 SH SOLE 34,400 BRINKER INTL INC COMMON 109641100 11462 421,600 SH SOLE 421,600 BRISTOL-MYERS SQUIBB INC COMMON 110122108 28041 398,096 SH SOLE 398,096 BUCA INC COMMON 117769109 2848 172,600 SH SOLE 172,600 CBL & ASSOCIATES PROPERTIES COMMON 124830100 2775 105,200 SH SOLE 105,200 CBT GROUP PLC COMMON 124853300 4242 257,100 SH SOLE 257,100 CCBT BANCORP INC COMMON 12487S105 393 20,416 SH SOLE 20,416 CIGNA CORP COMMON 125509109 3631 40,800 SH SOLE 40,800 C NET INC COMMON 125945105 807 14,000 SH SOLE 14,000 CABOT CORP COMMON 127055101 20393 843,134 SH SOLE 843,134 CABOT OIL & GAS CORP CL A COMMON 127097103 2725 146,333 SH SOLE 146,333 CADENCE DESIGN SYS INC COMMON 127387108 1245 98,650 SH SOLE 98,650 CAL DIVE INTL INC COMMON 127914109 8039 269,100 SH SOLE 269,100
Column 1 Column 2 Column 3 Column 4 Column 5 Column 6 Column 7 Column 8 - ------------------------------------------------------------------------------------------------------------------------------------ Name of Issuer Title of CUSIP VALUE Shares or SH/ PUT/ INVESTMENT OTHER VOTING AUTHORITY Class X(1000) Prn Amt PRN CALL DISCRETION MANAGERS SOLE SHARED NONE - ------------------------------------------------------------------------------------------------------------------------------------ CARLISLE COS INC COMMON 142339100 3431 71,300 SH SOLE 71,300 CARNIVAL CORP COMMON 143658102 29527 608,800 SH SOLE 608,800 CAROLINA PWR & LGT CORP COMMON 144141108 1143 26,700 SH SOLE 26,700 CENTEX CORP COMMON 152312104 16434 437,500 SH SOLE 437,500 CENTRAL PARKING CORP COMMON 154785109 3402 99,325 SH SOLE 99,325 CENTURY TELEPHONE ENTERPRISE COMMON 156700106 19616 493,489 SH SOLE 493,489 CERIDIAN CORP COMMON 15677T106 3792 116,000 SH SOLE 116,000 CHARLES RIVER ASSOCIATES INC COMMON 159852102 10554 421,100 SH SOLE 421,100 CHASE MNHTN CORP COMMON 16161A108 7918 91,400 SH SOLE 91,400 CHECKFREE CORPORATION COMMON 162816102 1314 47,666 SH SOLE 47,666 CHEVRON CORP COMMON 166751107 7487 78,655 SH SOLE 78,655 CHIREX INC COMMON 170038103 11957 372,200 SH SOLE 372,200 CINAR CORP COMMON 171905300 9518 388,500 SH SOLE 388,500 CITADEL COMMUNICATIONS CORP COMMON 172853202 11327 313,000 SH SOLE 313,000 CITIGROUP INC COMMON 172967101 12432 261,729 SH SOLE 261,729 CLAIRE'S STORES INC COMMON 179584107 3173 123,225 SH SOLE 123,225 CLAYTON HOMES INC COMMON 184190106 7726 675,529 SH SOLE 675,529 CLOROX CORP COMMON 189054109 3407 31,896 SH SOLE 31,896 CLOSURE MEDICAL CORP COMMON 189093107 13419 447,300 SH SOLE 447,300 COACH USA INC COMMON 18975L106 5926 141,300 SH SOLE 141,300 COASTAL CORP COMMON 190441105 14640 366,000 SH SOLE 366,000 COINSTAR INC COMMON 19259P300 4297 149,800 SH SOLE 149,800 COMMONWEALTH BANCORP INC COMMON 20268X102 246 13,700 SH SOLE 13,700 COMPAQ COMPUTER CORP COMMON 204493100 5401 228,020 SH SOLE 228,020 COMPUTER ASSOCIATES INTERNATIONAL COMMON 204912109 34002 618,217 SH SOLE 618,217 COMPUTER NETWORK TECH CORP COMMON 204925101 13297 614,900 SH SOLE 614,900 COMPUWARE CORP COMMON 205638109 7037 221,200 SH SOLE 221,200 CONAGRA INC COMMON 205887102 341 12,800 SH SOLE 12,800 CONCENTRIC NETWORK CRP COMMON 20589R107 8884 223,500 SH SOLE 223,500 CONSECO INC COMMON 208464107 37627 1,236,209 SH SOLE 1,236,209 CONTINENTAL AIRLINES CL B COMMON 210795308 3375 89,700 SH SOLE 89,700 COOPER CAMERON CORP COMMON 216640102 2639 71,200 SH SOLE 71,200 COOPER TIRE COMMON 216831107 2764 117,000 SH SOLE 117,000 COPART INC COMMON 217204106 336 15,800 SH SOLE 15,800 CORDANT TECHNOLOGIES INC COMMON 218412104 14297 316,400 SH SOLE 316,400 CORPORATE EXECUTIVE BOARD COMPANY COMMON 21988R102 6899 194,000 SH SOLE 194,000 COSTCO INC COMMON 22160Q102 7914 98,850 SH SOLE 98,850
Column 1 Column 2 Column 3 Column 4 Column 5 Column 6 Column 7 Column 8 - -------------------------------------------------------------------------------------------------------------------------------- Name of Issuer Title of CUSIP VALUE Shares or SH/ PUT/ INVESTMENT OTHER VOTING AUTHORITY Class X(1000) Prn Amt PRN CALL DISCRETION MANAGERS SOLE SHARED NONE - -------------------------------------------------------------------------------------------------------------------------------- COULTER PHARMACEUTICAL INC COMMON 222116105 8014 355,200 SH SOLE 355,200 COUNTRYWIDE CREDIT IND INC COMMON 222372104 8063 188,600 SH SOLE 188,600 CRANE CO COMMON 224399105 20230 643,499 SH SOLE 643,499 CREE RESEARCH INC COMMON 225447101 6824 88,700 SH SOLE 88,700 CULLEN/FROST BANKERS INC COMMON 229899109 11102 402,800 SH SOLE 402,800 CYBEX COMPUTER PRODUCTS COMMON 232522102 7649 274,400 SH SOLE 274,400 CYTYC CORPORATION COMMON 232946103 9838 504,500 SH SOLE 504,500 DSP COMMUNICATIONS INC COMMON 23332K106 6852 237,300 SH SOLE 237,300 DTE ENERGY CO COMMON 233331107 6652 166,300 SH SOLE 166,300 DALLAS SEMICONDUCTOR CORP COMMON 235204104 1353 26,800 SH SOLE 26,800 DATASTREAM SYSTEMS INC COMMON 238124101 666 41,600 SH SOLE 41,600 DELPHI FINANCIAL GROUP-CL A COMMON 247131105 15332 427,334 SH SOLE 427,334 DENTSPLY INTERNATIONAL INC COMMON 249030107 1322 45,800 SH SOLE 45,800 DEVRY INC COMMON 251893103 3969 177,400 SH SOLE 177,400 DIAMOND TECH PARTNERS INC COMMON 252762109 2202 98,400 SH SOLE 98,400 DIEBOLD INC COMMON 253651103 2803 97,500 SH SOLE 97,500 DIGITAL ISLAND COMMON 25385N101 5381 300,000 SH SOLE 300,000 DIGITAL RIVER INC COMMON 25388B104 12705 382,100 SH SOLE 382,100 DIME BANCORP INC COMMON 25429Q102 3926 195,100 SH SOLE 195,100 DOVER CORP COMMON 260003108 623 17,800 SH SOLE 17,800 DOW CHEMICAL COMMON 260543103 1738 13,700 SH SOLE 13,700 DRIL-QUIP COPR COMMON 262037104 835 36,400 SH SOLE 36,400 DU PONT EI DE NEMOURS & CO COMMON 263534109 4693 68,704 SH SOLE 68,704 DUKE POWER CO COMMON 264399106 1787 32,828 SH SOLE 32,828 EAGLE USA AIRFREIGHT INC COMMON 270018104 16411 386,700 SH SOLE 386,700 EARTHGRAINS COMPANY COMMON 270319106 10260 397,500 SH SOLE 397,500 EDUCATION MANAGEMENT CORP COMMON 28139T101 9634 464,300 SH SOLE 464,300 EL PASO NATURAL GAS COMMON 283905107 16760 476,320 SH SOLE 476,320 EMERSON ELECTRIC CO COMMON 291011104 3313 52,640 SH SOLE 52,640 EMISPHERE TECHNOLOGIES INC COMMON 291345106 1843 261,000 SH SOLE 261,000 EMMIS COMMUNICATIONS CORP COMMON 291525103 7683 155,600 SH SOLE 155,600 EMULEX CORP COMMON 292475209 8584 77,200 SH SOLE 77,200 ENHANCE FINANCIAL SVCS GROUP COMMON 293310108 2072 104,900 SH SOLE 104,900 ENTERCOM COMMUNICATIONS CORP COMMON 293639100 765 17,900 SH SOLE 17,900 EQUITY OFFICE PROPERTIES TRUST COMMON 294741103 4700 183,421 SH SOLE 183,421 EQUITY OFFICE PROP CVTS PFD STCK 294741509 93647 2,197,000 SH SOLE 183,421 EQUITY RESIDENTIAL PROPS TR COMMON 29476L107 936 20,780 SH SOLE 20,780
Column 1 Column 2 Column 3 Column 4 Column 5 Column 6 Column 7 Column 8 - ------------------------------------------------------------------------------------------------------------------------------------ Name of Issuer Title of CUSIP VALUE Shares or SH/ PUT/ INVESTMENT OTHER VOTING AUTHORITY Class X(1000) Prn Amt PRN CALL DISCRETION MANAGERS SOLE SHARED NONE - ------------------------------------------------------------------------------------------------------------------------------------ ESSEX PROPERTY TRUST INC COMMON 297178105 1472 41,600 SH SOLE 41,600 EXCELSIOR-HENDERSON MOTORCYCLE CO COMMON 300906104 4471 745,100 SH SOLE 745,100 EXODUS COMMUNICATIONS INC COMMON 302088109 5013 41,800 SH SOLE 41,800 EXPEDITORS INTL WASH INC COMMON 302130109 706 25,900 SH SOLE 25,900 EXXON CORP COMMON 302290101 28009 363,161 SH SOLE 363,161 FPIC INSURANCE GROUP COMMON 302563101 10025 206,700 SH SOLE 206,700 FPL GROUP INC COMMON 302571104 11889 217,650 SH SOLE 217,650 FYI INC COMMON 302712104 9635 307,100 SH SOLE 307,100 FEDERAL HOME LOAN MTG CORP CM COMMON 313400301 14564 251,100 SH SOLE 251,100 FEDERAL NATIONAL MORTGAGE ASSN COMMON 313586109 21437 313,516 SH SOLE 313,516 FEDERATED DEPARTMENT STORES COMMON 31410H101 9259 174,900 SH SOLE 174,900 FIRST CONSULTING GROUP COMMON 31986R103 4470 420,700 SH SOLE 420,700 FIRST FINANCIAL HLDGS INC COMMON 320239106 191 10,200 SH SOLE 10,200 FIRST SIERRA FINANCIAL INC COMMON 335944104 2308 92,300 SH SOLE 92,300 FIRST TENNESSEE NATIONAL CORP COMMON 337162101 418 10,900 SH SOLE 10,900 FIRST UNION CORP COMMON 337358105 1037 21,997 SH SOLE 21,997 FIRSTFED FINANCIAL CORP COMMON 337907109 243 12,600 SH SOLE 12,600 FLEET FINL GROUP COMMON 338915101 21515 484,856 SH SOLE 484,856 FLOWERS INDUSTRIES INC COMMON 343496105 11831 545,500 SH SOLE 545,500 FLOYD OIL CO EQUITY V COMMON 3437079A5 507 507,430 SH SOLE 507,430 FLOYD OIL CO EQUITY IV COMMON 343707980 581 581,353 SH SOLE 581,353 FLUSHING FINANCIAL CORP COMMON 343873105 194 12,600 SH SOLE 12,600 FLYCAST COMMUNICATIONS CORP COMMON 344067103 2764 144,500 SH SOLE 144,500 FORT JAMES CORP COMMON 347471104 5223 137,900 SH SOLE 137,900 FORWARD AIR CORP COMMON 349853101 10741 381,900 SH SOLE 381,900 FRIEDMAN BILLINGS & RAMSAY COMMON 358433100 3110 261,900 SH SOLE 261,900 GST COMMUNICATIONS COMMON 361942105 4356 330,300 SH SOLE 330,300 GTE CORP COMMON 362320103 1084 14,356 SH SOLE 14,356 GANNETT INC COMMON 364730101 11752 164,650 SH SOLE 164,650 GENERAL DYNAMICS COMMON 369550108 14084 205,600 SH SOLE 205,600 GENERAL ELECTRIC CO COMMON 369604103 40354 357,118 SH SOLE 357,118 GENERAL GROWTH PROPERTIES COMMON 370021107 8365 235,625 SH SOLE 235,625 GENERAL MOTORS COMMON 370442105 7805 118,264 SH SOLE 118,264 GENERAL MOTORS CLASS H COMMON 370442832 4046 71,930 SH SOLE 71,930 GETTY IMAGES INC COMMON 374276103 2769 146,700 SH SOLE 146,700 GLIMCHER REALTY TRUST COMMON 379302102 1736 106,800 SH SOLE 106,800 GLOBESPAN INC COMMON 379571102 4492 113,000 SH SOLE 113,000
Column 1 Column 2 Column 3 Column 4 Column 5 Column 6 Column 7 Column 8 - -------------------------------------------------------------------------------------------------------------------------------- Name of Issuer Title of CUSIP VALUE Shares or SH/ PUT/ INVESTMENT OTHER VOTING AUTHORITY Class X(1000) Prn Amt PRN CALL DISCRETION MANAGERS SOLE SHARED NONE - -------------------------------------------------------------------------------------------------------------------------------- GOLDEN WEST FINANCIAL COMMON 381317106 17032 173,800 SH SOLE 173,800 GOODRICH, B F CO COMMON 38238810 64641 109,200 SH SOLE 109,200 GOTO.COM INC COMMON 38348T107 568 20,300 SH SOLE 20,300 GRAY COMMUNICATIONS SYSTEM CL B COMMON 389190208 1863 131,900 SH SOLE 131,900 GTECH HOLDINGS CORP COMMON 400518106 360 15,300 SH SOLE 15,300 HCR MANOR CARE COMMON 404134108 518 21,400 SH SOLE 21,400 M A HANNA CO COMMON 410522106 296 18,000 SH SOLE 18,000 HARLEY DAVIDSON COMMON 412822108 1033 19,000 SH SOLE 19,000 HEALTH CARE REIT INC COMMON 42217K106 265 11,400 SH SOLE 11,400 HEINZ H J CORP COMMON 423074103 20752 414,000 SH SOLE 414,000 HEWLETT PACKARD CVT CV BOND 428236AC7 124 200,000 PRN SOLE 200,000 HEWLETT-PACKARD CO COMMON 428236103 49344 490,984 SH SOLE 490,984 HIBBETT SPORTING GOODS INC COMMON 428565105 9726 442,100 SH SOLE 442,100 IMR HISPANIC BROADCASTING CORP COMMON 43357B104 5433 71,600 SH SOLE 71,600 HOMEBASE INC (WABAN) COMMON 43738E108 101 16,000 SH SOLE 16,000 HON INDUSTRIES COMMON 438092108 683 23,400 SH SOLE 23,400 IBP INC COMMON 449223106 10410 438,300 SH SOLE 438,300 ICG COMMUNICATIONS COMMON 449246107 4841 226,500 SH SOLE 226,500 ILEX ONCOLOGY INC COMMON 451923106 2026 202,600 SH SOLE 202,600 IMPATH INC COMMON 45255G101 7571 280,400 SH SOLE 280,400 IN FOCUS SYSTEMS INC COMMON 452919103 285 19,000 SH SOLE 19,000 INDIGO AVIATION AB SPON ADR COMMON 45567P104 933 140,900 SH SOLE 140,900 INFOSPACE.COM INC COMMON 45678T102 5588 118,900 SH SOLE 118,900 INGERSOLL RAND CO COMMON 456866102 37305 577,250 SH SOLE 577,250 INHALE THERAPEUTIC SYSTEMS COMMON 457191104 7877 330,800 SH SOLE 330,800 INSTANT INFORMATION INC COMMON 4577619A4 49 24,268 SH SOLE 24,268 INSTRON CORP COMMON 457776102 1145 56,559 SH SOLE 56,559 INTEGRATED HLTH SVCS CVT NC'98 CV BOND 45812CAE6 22925 33,225,000 PRN SOLE 33,225,000 INTEL CORP COMMON 458140100 29351 493,302 SH SOLE 493,302 INTERIM SERVICES INC COMMON 45868P100 19494 945,150 SH SOLE 945,150 INTERNATIONAL BUSINESS MACHINES COMMON 459200101 46455 359,416 SH SOLE 359,416 INTERNATIONAL HOME FOODS INC COMMON 459655106 238 12,900 SH SOLE 12,900 INTL GAME TECHNOLOGY COMMON 459902102 1455 78,650 SH SOLE 78,650 INTERPUBLIC GROUP COS INC COMMON 460690100 2400 27,700 SH SOLE 27,700 INTERSTATE BAKERIES COMMON 46072H108 871 38,800 SH SOLE 38,800 INTERNET.COM INC COMMON 460967102 188 15,000 SH SOLE 15,000 INTERVU INC COMMON 46114R106 510 13,300 SH SOLE 13,300
Column 1 Column 2 Column 3 Column 4 Column 5 Column 6 Column 7 Column 8 - ------------------------------------------------------------------------------------------------------------------------------------ Name of Issuer Title of CUSIP VALUE Shares or SH/ PUT/ INVESTMENT OTHER VOTING AUTHORITY Class X(1000) Prn Amt PRN CALL DISCRETION MANAGERS SOLE SHARED NONE - ------------------------------------------------------------------------------------------------------------------------------------ INTERVOICE INC COMMON 461142101 219 15,200 SH SOLE 15,200 JP REALTY INC COMMON 46624A106 2266 110,200 SH SOLE 110,200 JACOBS ENGR GROUP COMMON 469814107 2637 69,400 SH SOLE 69,400 JOHNSON & JOHNSON COMMON 478160104 26209 267,438 SH SOLE 267,438 JOHNSON CONTROLS COMMON 478366107 840 12,122 SH SOLE 12,122 JONES APPAREL GROUP INC COMMON 480074103 34875 1,016,400 SH SOLE 1,016,400 KAUFMAN & BROAD HOME CORP COMMON 486168107 12942 520,300 SH SOLE 520,300 KAYDON CORP COMMON 486587108 1308 38,900 SH SOLE 38,900 KNIGHT-RIDDER INC COMMON 499040103 26722 486,400 SH SOLE 486,400 KROGER CO COMMON 501044101 28627 1,024,690 SH SOLE 1,024,690 KROLL O'GARA COMPANY COMMON 501050108 9169 415,600 SH SOLE 415,600 LABOR READY INC COMMON 505401208 393 12,100 SH SOLE 12,100 LAFARGE CORPORATION COMMON 505862102 5213 147,100 SH SOLE 147,100 LANCASTER COLONY CORP COMMON 513847103 1483 43,000 SH SOLE 43,000 LANDMARK SYSTEMS CORP COMMON 51506S100 3385 326,300 SH SOLE 326,300 LEAR CORPORATION COMMON 521865105 731 14,700 SH SOLE 14,700 LEGGETT & PLATT INC COMMON 524660107 10446 375,600 SH SOLE 375,600 LEUCADIA NATL CORP COMMON 527288104 575 22,679 SH SOLE 22,679 LIBERTY PROPERTY TRUST COMMON 531172104 8725 350,758 SH SOLE 350,758 LIGAND PHARMACEUTICALS CL B COMMON 53220K207 3786 340,300 SH SOLE 340,300 LILLY ELI & CO B COMMON 532457108 1079 15,070 SH SOLE 15,070 LUCENT TECHNOLOGIES COMMON 549463107 2442 36,206 SH SOLE 36,206 MBNA CORP COMMON 55262L100 970 31,689 SH SOLE 31,689 MCI WORLDCOM INC COMMON 55268B106 904 10,500 SH SOLE 10,500 MACERICH COMPANY COMMON 554382101 2344 89,300 SH SOLE 89,300 CALI REALTY CORP COMMON 554489104 2224 71,875 SH SOLE 71,875 MANITOWOC CO COMMON 563571108 1665 40,000 SH SOLE 40,000 MARSH & MCLENNAN COS INC COMMON 571748102 10923 144,318 SH SOLE 144,318 MAY DEPT STORES COMMON 577778103 13311 325,650 SH SOLE 325,650 MAXIMUS INC COMMON 577933104 7731 268,900 SH SOLE 268,900 MAYTAG CORP COMMON 578592107 5108 73,300 SH SOLE 73,300 MEDQUIST INC COMMON 584949101 10776 246,300 SH SOLE 246,300 MEDTRONIC COMMON 585055106 6146 78,915 SH SOLE 78,915 THE MEN'S WEARHOUSE INC COMMON 587118100 3838 150,500 SH SOLE 150,500 MENTOR GRAPHICS INC COMMON 587200106 165 12,900 SH SOLE 12,900 MERCK & CO COMMON 589331107 27634 375,338 SH SOLE 375,338 MERCURY INTERACTIVE CORP COMMON 589405109 6375 180,200 SH SOLE 180,200
Column 1 Column 2 Column 3 Column 4 Column 5 Column 6 Column 7 Column 8 - ------------------------------------------------------------------------------------------------------------------------------------ Name of Issuer Title of CUSIP VALUE Shares or SH/ PUT/ INVESTMENT OTHER VOTING AUTHORITY Class X(1000) Prn Amt PRN CALL DISCRETION MANAGERS SOLE SHARED NONE - ------------------------------------------------------------------------------------------------------------------------------------ MERISTAR HOSPITALITY CORP COMMON 58984Y103 2926 130,400 SH SOLE 130,400 METRO NETWORKS INC COMMON 591918107 15751 295,100 SH SOLE 295,100 MICREL INC COMMON 594793101 9220 124,600 SH SOLE 124,600 MICROSOFT CORP COMMON 594918104 7434 82,434 SH SOLE 82,434 S&P 400 MID-CAP DEP RECEIPT COMMON 595635103 27241 347,300 SH SOLE 347,300 MILACRON INC COMMON 598709103 378 20,445 SH SOLE 20,445 MOBIL CORPORATION COMMON 607059102 19153 193,464 SH SOLE 193,464 MOHAWK INDUSTRIES INC COMMON 608190104 2709 89,200 SH SOLE 89,200 J P MORGAN & CO COMMON 616880100 2703 19,241 SH SOLE 19,241 MORGAN STANLEY EMERGING MKTS FUND COMMON 61744G107 6192 529,800 SH SOLE 529,800 MORGAN ST DEAN WITTER DISCOVER COMMON 617446448 18328 178,810 SH SOLE 178,810 NCO GROUP INC COMMON 628858102 6190 162,900 SH SOLE 162,900 NASDAQ-100 SHARES COMMON 631100104 5639 48,900 SH SOLE 48,900 NATIONAL COMPUTER SYSTEMS INC COMMON 635519101 4438 131,500 SH SOLE 131,500 NATIONAL INSTRUMENTS INC COMMON 636518102 594 14,700 SH SOLE 14,700 NAVISTAR INT'L CORP COMMON 63934E108 29520 590,400 SH SOLE 590,400 NETWORK EVENT THEATRE INC COMMON 640924106 2223 132,700 SH SOLE 132,700 NET.B@NK INC COMMON 640933107 4678 123,100 SH SOLE 123,100 NETWORKS ASSOCIATES INC COMMON 640938106 192 13,100 SH SOLE 13,100 NEVADA POWER CO COMMON 641423108 250 10,000 SH SOLE 10,000 NEW ERA OF NETWORKS INC COMMON 644312100 3511 79,900 SH SOLE 79,900 NEWELL RUBBERMAID INC COMMON 651229106 560 12,072 SH SOLE 12,072 NORTH FORK BANCORP COMMON 659424105 9279 435,400 SH SOLE 435,400 NOVOSTE CORPORATION COMMON 67010C100 7678 365,600 SH SOLE 365,600 OFFICE DEPOT INC COMMON 676220106 11037 500,250 SH SOLE 500,250 OLD REPUBLIC INTL CORP COMMON 680223104 2704 156,175 SH SOLE 156,175 OMNICARE INC COMMON 681904108 297 23,500 SH SOLE 23,500 OMNICOM GROUP COMMON 681919106 42025 525,310 SH SOLE 525,310 ON ASSIGNMENT INC COMMON 682159108 3054 116,900 SH SOLE 116,900 ORACLE CORPORATION COMMON 68389X105 583 15,700 SH SOLE 15,700 ORTHODONTIC CENTERS OF AMERICA INC COMMON 68750P103 4165 294,900 SH SOLE 294,900 OWENS ILLINOIS INC COMMON 690768403 4504 137,800 SH SOLE 137,800 THE PMI GROUP INC COMMON 69344M101 21231 338,000 SH SOLE 338,000 PRI AUTOMATION INC COMMON 69357H106 4597 126,800 SH SOLE 126,800 PACCAR INC COMMON 693718108 6618 124,000 SH SOLE 124,000 PAN PACIFIC RETAIL PROPERTIES COMMON 69806L104 1350 69,700 SH SOLE 69,700 PATTERSON DENTAL COMPANY COMMON 703412106 952 27,400 SH SOLE 27,400
Column 1 Column 2 Column 3 Column 4 Column 5 Column 6 Column 7 Column 8 - ------------------------------------------------------------------------------------------------------------------------------------ Name of Issuer Title of CUSIP VALUE Shares or SH/ PUT/ INVESTMENT OTHER VOTING AUTHORITY Class X(1000) Prn Amt PRN CALL DISCRETION MANAGERS SOLE SHARED NONE - ------------------------------------------------------------------------------------------------------------------------------------ PAXSON COMMUNICATIONS CORP COMMON 704231109 3205 237,400 SH SOLE 237,400 PERVASIVE SOFTWARE INC COMMON 715710109 12122 487,300 SH SOLE 487,300 PHARMACYCLICS INC COMMON 716933106 5096 182,000 SH SOLE 182,000 0PFIZER, INC COMMON 71708110 32765 25,370 SH SOLE 25,370 PHARMACEUTICAL PRODUCT DEV COMMON 717124101 8445 308,500 SH SOLE 308,500 PHILIP MORRIS COS INC COMMON 718154107 14735 366,659 SH SOLE 366,659 PHOTRONICS INC COMMON 719405102 14342 585,400 SH SOLE 585,400 PIER 1 IMPORTS INC COMMON 720279108 8448 750,908 SH SOLE 750,908 PILGRIMS PRIDE CORP COMMON 721467108 378 12,600 SH SOLE 12,600 PING AN INSURANCE CO COMMON 7234289A8 10 10,000 SH SOLE 10,000 PINNACLE HOLDINGS INC COMMON 72346N101 18226 743,900 SH SOLE 743,900 PINNACLE SYSTEM INC COMMON 723481107 461 13,700 SH SOLE 13,700 POTASH CORP OF SASKATCHEWAN COMMON 73755L107 590 11,400 SH SOLE 11,400 POTOMAC ELECTRIC POWER COMMON 737679100 309 10,500 SH SOLE 10,500 PRAXAIR INC COMMON 74005P104 3368 68,820 SH SOLE 68,820 PRECISION CASTPARTS CORP COMMON 740189105 2423 57,000 SH SOLE 57,000 PREMARK INTERNATIONAL INC COMMON 740459102 2970 79,200 SH SOLE 79,200 PRENTISS PROPERTIES TRUST COMMON 740706106 11168 475,250 SH SOLE 475,250 PROCTER & GAMBLE CO COMMON 742718109 4607 51,619 SH SOLE 51,619 PROTECTIVE LIFE CORP(PINE LANDS) COMMON 743674103 4556 134,000 SH SOLE 134,000 PROVIDENT COMPANIES INC COMMON 743862104 1164 29,100 SH SOLE 29,100 PROXICOM INC COMMON 744282104 2096 81,600 SH SOLE 81,600 PULTE CORP COMMON 745867101 1859 80,600 SH SOLE 80,600 QLOGIC CORP COMMON 747277101 20302 153,800 SH SOLE 153,800 QUAKER OATS CO COMMON 747402105 4865 73,300 SH SOLE 73,300 QUANTA SERVICES INC COMMON 74762E102 15440 350,900 SH SOLE 350,900 RACING CHAMPIONS CORP COMMON 750069106 1382 193,900 SH SOLE 193,900 RADIO ONE INC COMMON 75040P108 1009 21,700 SH SOLE 21,700 RARE HOSPITALITY INTL INC COMMON 753820109 342 13,400 SH SOLE 13,400 RAYCHEM CORP COMMON 754603108 2079 56,200 SH SOLE 56,200 COSTAR GROUP COMMON 75612B107 13033 299,600 SH SOLE 299,600 REGIONS FINANCIAL CORP (1ST ALAB) COMMON 758940100 4675 121,640 SH SOLE 121,640 RELIASTAR FINANCIAL CORP (NWNL) COMMON 75952U103 36811 841,389 SH SOLE 841,389 REUTERS HOLDINGS PLC ADR B COMMON 76132M102 6140 75,744 SH SOLE 75,744 REXALL SUNDOWN INC COMMON 761648104 149 12,200 SH SOLE 12,200 REYNOLDS & REYNOLDS COMMON 761695105 2203 94,516 SH SOLE 94,516 RICHFOOD HOLDINGS INC COMMON 763408101 4077 231,325 SH SOLE 231,325
Column 1 Column 2 Column 3 Column 4 Column 5 Column 6 Column 7 Column 8 - ------------------------------------------------------------------------------------------------------------------------------------ Name of Issuer Title of CUSIP VALUE Shares or SH/ PUT/ INVESTMENT OTHER VOTING AUTHORITY Class X(1000) Prn Amt PRN CALL DISCRETION MANAGERS SOLE SHARED NONE - ------------------------------------------------------------------------------------------------------------------------------------ ROBERT HALF INTL INC COMMON 770323103 284 11,000 SH SOLE 11,000 ROHM & HAAS CO COMMON 775371107 815 19,000 SH SOLE 19,000 ROMAC INTERNATIONAL INC COMMON 775835101 107 12,000 SH SOLE 12,000 ROSS STORES INC COMMON 778296103 24112 478,650 SH SOLE 478,650 ROYAL DUTCH PETROL 5 GUILDERS COMMON 780257804 8098 134,400 SH SOLE 134,400 RYAN'S FAMILY STEAK HOUSES INC COMMON 783519101 1910 164,300 SH SOLE 164,300 SBC COMMUNICATIONS INC (SW BELL) COMMON 78387G103 943 16,262 SH SOLE 16,262 SBS TECHNOLOGIES INC COMMON 78387P103 3542 174,900 SH SOLE 174,900 SCI SYSTEMS INC COMMON 783890106 10699 225,250 SH SOLE 225,250 SAFEWAY STORES COMMON 786514208 23257 469,840 SH SOLE 469,840 SAGA COMMUNICATIONS INC CL A COMMON 786598102 3200 171,800 SH SOLE 171,800 ULLICO CLASS A STOCK COMMON 790000004 40 40,000 SH SOLE 40,000 SARA LEE CORP COMMON 803111103 6044 266,400 SH SOLE 266,400 HENRY SCHEIN INC COMMON 806407102 542 17,100 SH SOLE 17,100 SCHERING PLOUGH CORP COMMON 806605101 41352 780,228 SH SOLE 780,228 0SCHLUMBERGER, LTD COMMON 80685710 83993 62,700 SH SOLE 62,700 SCUDDER INTL FD INC COMMON 811165109 15598 304,325 SH SOLE 304,325 SEAGRAM CO LTD COMMON 811850106 781 15,500 SH SOLE 15,500 SECURITY CAPITAL EUROPEAN REALTY COMMON 81413P303 3625 181,250 SH SOLE 181,250 SECURITY FIRST TECHNOLOGIES COMMON 814279105 8795 194,900 SH SOLE 194,900 SEMTECH CORP COMMON 816850101 18020 345,700 SH SOLE 345,700 SERVICE CORP INTERNATIONAL COMMON 817565104 415 21,545 SH SOLE 21,545 SHARED MEDICAL SYS CORP COMMON 819486101 4413 67,625 SH SOLE 67,625 SKECHERS USA INC COMMON 830566105 3892 370,700 SH SOLE 370,700 SOUTHDOWN INC COMMON 841297104 14431 224,600 SH SOLE 224,600 SOUTHTRUST CORP COMMON 844730101 6988 182,100 SH SOLE 182,100 SPORTSLINE USA INC COMMON 848934105 6866 191,400 SH SOLE 191,400 STAMPS.COM INC COMMON 852857101 1761 100,600 SH SOLE 100,600 STAR MEDIA INC COMMON 855546107 6169 96,200 SH SOLE 96,200 STARWOOD HOTELS & RESORTS WORLDWIDE COMMON 85590A203 3922 128,318 SH SOLE 128,318 STERIS CORP COMMON 859152100 17770 917,150 SH SOLE 917,150 STEWART ENTERPRISES INC CL A COMMON 860370105 17745 1,218,540 SH SOLE 1,218,540 STREAMLINE.COM INC COMMON 863239109 685 85,000 SH SOLE 85,000 SUIZA FOOD GROUP COMMON 865077101 9711 231,900 SH SOLE 231,900 SUN MICROSYSTEMS COMMON 866810104 56994 827,506 SH SOLE 827,506 SUNGARD DATA SYSTEMS COMMON 867363103 788 22,850 SH SOLE 22,850 SUNQUEST INFORMATION SYSTEMS COMMON 867654105 242 15,000 SH SOLE 15,000
Column 1 Column 2 Column 3 Column 4 Column 5 Column 6 Column 7 Column 8 - ------------------------------------------------------------------------------------------------------------------------------------ Name of Issuer Title of CUSIP VALUE Shares or SH/ PUT/ INVESTMENT OTHER VOTING AUTHORITY Class X(1000) Prn Amt PRN CALL DISCRETION MANAGERS SOLE SHARED NONE - ------------------------------------------------------------------------------------------------------------------------------------ SUNTRUST BANKS INC COMMON 867914103 799 11,500 SH SOLE 11,500 SUPERIOR CONSULTANT HLDGS COMMON 868146101 899 36,400 SH SOLE 36,400 SUPERVALU INC COMMON 868536103 12797 498,200 SH SOLE 498,200 SYBRON INTERNATIONAL CORP COMMON 87114F106 20799 754,600 SH SOLE 754,600 SYMBOL TECHNOLOGIES INC COMMON 871508107 13567 367,925 SH SOLE 367,925 SYNOPSYS INC COMMON 871607107 15977 289,500 SH SOLE 289,500 TJX COMPANIES COMM COMMON 872540109 27783 834,000 SH SOLE 834,000 TSI INTL SOFTWARE LTD COMMON 872879101 8073 284,500 SH SOLE 284,500 TERADYNE INC COMMON 880770102 1442 20,100 SH SOLE 20,100 TEXACO INC COMMON 881694103 4355 69,675 SH SOLE 69,675 0TEXTRON, INC COMMON 88320310 16827 82,936 SH SOLE 82,936 TIME WARNER INC COMMON 887315109 5036 69,337 SH SOLE 69,337 TRANSACTION SYSTEMS ARCHITECTURE COMMON 893416107 1248 32,000 SH SOLE 32,000 TRANSKARYOTIC THERAPIES INC COMMON 893735100 4000 121,200 SH SOLE 121,200 TRAVELERS PPTY CASUALTY COMMON 893939108 12062 308,300 SH SOLE 308,300 TRIANGLE PHARMACEUTICAL COMMON 89589H104 4610 256,100 SH SOLE 256,100 TRIBUNE CO NEW COMMON 896047107 871 10,000 SH SOLE 10,000 TRINET CORP RLTY TR COMMON 896287109 2049 74,000 SH SOLE 74,000 TWEETER HOME ENTERTAINMENT COMMON 901167106 5507 140,300 SH SOLE 140,300 TYCO INTERNATIONAL LTD COMMON 902124106 24515 258,732 SH SOLE 258,732 USA NETWORKS INC COMMON 902984103 602 15,000 SH SOLE 15,000 UNISYS CORP COMMON 909214108 21283 546,600 SH SOLE 546,600 UNITED NATURAL FOODS INS COMMON 911163103 10227 413,200 SH SOLE 413,200 UNITED TECHNOLOGIES CORP COMMON 913017109 60142 838,950 SH SOLE 838,950 UNITRODE CORP COMMON 913283107 11079 386,200 SH SOLE 386,200 UNIVERSAL FOODS COMMON 913538104 15610 738,954 SH SOLE 738,954 UNIVERSAL HEALTH SERVICE CL B COMMON 913903100 2435 51,000 SH SOLE 51,000 UNUMPROVIDENT CORP COMMON 91529Y106 915 16,713 SH SOLE 16,713 USFREIGHTWAYS CORPORATION COMMON 916906100 21216 458,100 SH SOLE 458,100 VEECO INSTRUMENTS INC COMMON 922417100 5783 170,100 SH SOLE 170,100 VERISIGN INC COMMON 92343E102 4028 46,700 SH SOLE 46,700 VICAL INC COMMON 925602104 6614 545,500 SH SOLE 545,500 VISHAY INTERTECH INC COMMON 928298108 273 13,002 SH SOLE 13,002 WALDEN RESIDENTIAL PROPERTIES COMMON 931210108 651 30,300 SH SOLE 30,300 WALGREEN CO COMMON 931422109 1563 53,204 SH SOLE 53,204 WARNER LAMBERT CO COMMON 934488107 726 10,500 SH SOLE 10,500 WASHINGTON MUTUAL INC COMMON 939322103 9864 278,850 SH SOLE 278,850
Column 1 Column 2 Column 3 Column 4 Column 5 Column 6 Column 7 Column 8 - ------------------------------------------------------------------------------------------------------------------------------------ Name of Issuer Title of CUSIP VALUE Shares or SH/ PUT/ INVESTMENT OTHER VOTING AUTHORITY Class X(1000) Prn Amt PRN CALL DISCRETION MANAGERS SOLE SHARED NONE - ------------------------------------------------------------------------------------------------------------------------------------ WASTE CONNECTIONS INC COMMON 941053100 7469 244,900 SH SOLE 244,900 WATERS CORP COMMON 941848103 11156 210,000 SH SOLE 210,000 WATSON PHARMACEUTICAL INC COMMON 942683103 19907 567,750 SH SOLE 567,750 WEBSTER FINANCIAL WTBRY CT COMMON 947890109 7489 276,100 SH SOLE 276,100 WELLPOINT HEALTH NETWORKS COMMON 94973H108 2020 23,800 SH SOLE 23,800 WELLS FARGO & CO COMMON 949746101 6788 158,776 SH SOLE 158,776 WET SEAL INC CL A COMMON 961840105 10354 361,700 SH SOLE 361,700 WEYERHAEUSER CO COMMON 962166104 2038 29,637 SH SOLE 29,637 WINTRUST FINANCIAL CORP COMMON 97650W108 2610 148,100 SH SOLE 148,100 WORLDGATE COMMUNICATIONS INC COMMON 98156L307 9225 180,000 SH SOLE 180,000 XEROX CORP COMMON 984121103 35057 593,550 SH SOLE 593,550
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