-----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, JIeigeQ67ykdQ++M4ZyEgpv3cs2tExOCWF5wDqpavd89uQAk0T7VQKifDHtHmJ0p B0udl2cyGvvhEWhoLrB6dQ== /in/edgar/work/0000019617-00-000162/0000019617-00-000162.txt : 20001115 0000019617-00-000162.hdr.sgml : 20001115 ACCESSION NUMBER: 0000019617-00-000162 CONFORMED SUBMISSION TYPE: 13F-HR PUBLIC DOCUMENT COUNT: 1 CONFORMED PERIOD OF REPORT: 20000929 FILED AS OF DATE: 20001114 FILER: COMPANY DATA: COMPANY CONFORMED NAME: CHASE MANHATTAN CORP /DE/ CENTRAL INDEX KEY: 0000019617 STANDARD INDUSTRIAL CLASSIFICATION: [6021 ] IRS NUMBER: 132624428 STATE OF INCORPORATION: DE FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: 13F-HR SEC ACT: SEC FILE NUMBER: 028-00694 FILM NUMBER: 766646 BUSINESS ADDRESS: STREET 1: 270 PARK AVE CITY: NEW YORK STATE: NY ZIP: 10017 BUSINESS PHONE: 2122706000 MAIL ADDRESS: STREET 1: 270 PARK AVENUE CITY: NEW YORK STATE: NY ZIP: 10017 FORMER COMPANY: FORMER CONFORMED NAME: CHEMICAL BANKING CORP DATE OF NAME CHANGE: 19920703 FORMER COMPANY: FORMER CONFORMED NAME: CHEMICAL NEW YORK CORP DATE OF NAME CHANGE: 19880508 13F-HR 1 0001.txt 3RD QUARTER 2000 UNITED STATES SECURITIES AND EXCHANGE COMMISSION WASHINGTON, D.C. 20549 FORM 13F FORM 13F COVER PAGE REPORT FOR THE CALENDAR QUARTER ENDED: 09/29/2000 CHECK HERE IF AMENDMENT ( ); AMENDMENT NUMBER: THIS AMENDMENT (CHECK ONLY ONE):( ) IS A RESTATEMENT ( ) ADDS NEW HOLDINGS ENTRIES INSTITUTIONAL INVESTMENT MANAGER FILING THIS REPORT: NAME: THE CHASE MANHATTAN CORPORATION ADDRESS: 270 PARK AVENUE N.Y., N.Y. 10017-2070 13F FILE NUMBER: 28-694 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: ANTHONY HORAN TITLE: CORPORATE SECRETARY PHONE: 212-270-7122 SIGNATURE, PLACE AND DATE OF SIGNING: ANTHONY HORAN, N.Y., N.Y. 11/14/2000 REPORT TYPE (CHECK ONLY ONE): (X) 13F HOLDINGS REPORT ( ) 13F NOTICE ( ) 13F COMBINATION REPORT LIST OF OTHER MANAGERS REPORTING FOR THIS MANAGER: 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: 14 LIST OF OTHER INCLUDED MANAGERS: NO. 13F FILE NUMBER NAME 01 28-694 CAPITAL MARKET TRANSACTIONS INC. 02 28-694 CHASE ASSET MANAGEMENT INC. 03 28-694 CHASE EQUITY ASSOCIATES, L.P. 04 28-694 CHASE MANHATTAN PRIVATE BANK, NATIONAL ASSOCIATION 05 28-694 CHASE MANHATTAN BANK AND TRUST COMPANY, NATIONAL ASSOCIATION 06 28-694 CHASE SECURITIES INC. 07 28-694 CHASE VENTURE CAPITAL ASSOCIATES, L.P. 08 28-694 CHASE BANK OF TEXAS, NATIONAL ASSOCIATION 09 28-694 THE CHASE MANHATTAN BANK 10 28-694 OTHER CAPITAL VENTURE 11 28-694 CHASE MANHATTAN CAPITAL 12 28-694 HAMBRECHT & QUIST CALIFORNIA 13 28-694 CB CAPITAL INVESTORS, L.L.C. 14 28-694 ROBERT FLEMING HOLDINGS LIMITED 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 1 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- CELANESE AG D1497A10 765 44,700 ORD - - 0 DAIMLERCHRYSLER AG D1668R12 41 923 X 04 923 0 0 ORD 0 6 124 X X 04 124 0 0 0 4 100 X 05 0 0 100 0 18 400 X X 05 150 0 250 0 190 4,278 X 08 4,278 0 0 0 48 1,078 X X 08 778 300 0 0 6,259 141,004 X 09 138,260 0 2,744 0 528 11,888 X X 09 8,696 0 3,192 0 55 1,250 X X 12 0 1,250 0 0 40 900 X X 14 0 900 0 - - 0 ACE LTD G0070K10 21,705 553,000 X 06 553,000 0 0 ORD 0 42 1,080 X 08 1,080 0 0 0 23,445 597,325 X 09 597,325 0 0 0 585 14,900 X X 09 14,600 0 300 0 907 23,100 X X 14 0 23,100 0 - - 0 APW LTD G0439710 6 128 X 05 0 0 128 COM 0 20,914 429,000 X 06 429,000 0 0 0 20,527 421,066 X 09 419,800 120 1,146 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 2 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 34,589 709,508 X X 14 0 709,508 0 - - 0 CREDICORP LTD G2519Y10 243 33,500 X 09 33,500 0 0 COM 0 7,186 991,151 X X 14 0 991,151 0 - - 0 ELAN PLC G2953914 222 228,810 X X 14 0 228,810 0 RIGHT 03/31/2003 - - 0 EVEREST RE GROUP LTD G3223R10 1,079 21,800 X X 08 4,300 0 17,500 COM 0 663 13,400 X 09 13,400 0 0 0 193 3,900 X X 09 3,900 0 0 0 50 1,000 X X 12 0 1,000 0 - - 0 FLAG TELECOM HOLDINGS LTD G3529L10 1,100 100,000 X X 14 0 100,000 0 ORD - - 0 GLOBAL CROSSING LTD G3921A10 946 30,500 X 02 0 0 30,500 COM 0 31 1,000 X 04 1,000 0 0 0 153 4,924 X X 04 4,924 0 0 0 80 2,576 X X 05 1,776 0 800 0 10,301 332,300 X 06 332,300 0 0 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 3 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 35 1,127 X 08 1,127 0 0 0 38 1,230 X X 08 1,230 0 0 0 43,664 1,408,530 X 09 1,406,730 0 1,800 0 1,501 48,412 X X 09 27,104 0 21,308 0 754 24,316 X 12 24,316 0 0 0 560 18,064 X X 12 0 18,064 0 0 1,225 39,525 X X 14 0 39,525 0 - - 0 GLOBAL CROSSING LTD G3921A13 223 900 X 12 900 0 0 PFD CV 6.75% - - 0 GLOBALSTAR TELECOMMUNICTNS L G3930H10 11 1,250 X 08 1,250 0 0 COM 0 43 5,000 X X 08 5,000 0 0 0 60 7,000 X X 09 7,000 0 0 0 21 2,400 X X 12 0 2,400 0 - - 0 INTERWAVE COMMUNCTNS INTL LT G4911N10 1,144 143,000 X X 09 0 0 143,000 ORD - - 0 LASALLE RE HLDGS LTD G5383Q10 0 51,804 X 10 51,804 0 0 ORD - - 0 LORAL SPACE & COMMUNICATIONS G5646210 78 12,775 X 09 12,775 0 0 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 4 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 74 12,000 X X 12 0 12,000 0 - - 0 MIH LTD G6116R10 30 1,000 X X 12 0 1,000 0 CL A 0 1,497 50,000 X X 14 0 50,000 0 - - 0 ORIENT-EXPRESS HOTELS LTD G6774310 193 10,000 X 09 10,000 0 0 CL A - - 0 PARTNERRE LTD G6852T10 185 3,900 X 09 3,900 0 0 COM 0 12 250 X X 09 250 0 0 0 8,210 173,065 X X 14 0 173,065 0 - - 0 SANTA FE INTL CORP G7805C10 45 1,000 X 08 1,000 0 0 ORD 0 2,481 55,050 X 09 55,050 0 0 - - 0 SINA COM G8147710 19,775 1,400,000 X 03 1,400,000 0 0 ORD 0 3,094 219,060 X X 14 0 219,060 0 - - 0 TRANSOCEAN SEDCO FOREX INC G9007810 175 2,992 X 04 2,896 0 96 ORD 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 5 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 77 1,309 X X 04 681 0 628 0 645 11,000 X 05 9,500 0 1,500 0 2,689 45,875 X X 05 45,875 0 0 0 1,565 26,700 X 06 26,700 0 0 0 5,858 99,927 X 08 99,334 0 593 0 1,923 32,795 X X 08 28,048 3,383 1,364 0 12,431 212,045 X 09 209,586 227 2,232 0 4,706 80,269 X X 09 66,062 193 14,014 0 15 250 X 12 250 0 0 0 15 257 X X 12 0 257 0 0 2,488 42,447 X X 14 0 42,447 0 - - 0 TRITON ENERGY LTD G9075110 13,689 351,000 X 06 351,000 0 0 ORD 0 3,960 101,550 X 08 101,550 0 0 0 14,752 378,250 X 09 378,000 0 250 0 47 1,200 X X 09 1,200 0 0 - - 0 TYCOM LTD G9144B10 161 4,200 X X 12 0 4,200 0 COM 0 395 10,300 X X 14 0 10,300 0 - - 0 XOMA LTD G9825R10 144 10,000 X 08 10,000 0 0 ORD 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 6 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- XL CAP LTD G9825510 37 500 X 04 500 0 0 CL A 0 133 1,808 X X 04 608 0 1,200 0 22,732 309,283 X 09 309,283 0 0 0 5,012 68,187 X X 09 57,970 0 10,217 0 6,415 87,279 X X 14 0 87,279 0 - - 0 AUDIOCODES LTD M1534210 3,362 39,500 X 06 39,500 0 0 ORD - - 0 CHECK POINT SOFTWARE TECH LT M2246510 15,743 99,954 X 09 99,954 0 0 ORD 0 6,120 38,858 X X 09 38,858 0 0 0 9,531 60,515 X X 12 0 60,515 0 0 23,384 148,472 X X 14 0 148,472 0 - - 0 ECTEL LTD M2992510 16 814 X 12 814 0 0 ORD 0 844 42,350 X X 12 0 42,350 0 - - 0 GILAT SATELLITE NETWORKS LTD M5147410 4,198 54,610 X 09 54,610 0 0 ORD 0 23 300 X X 09 300 0 0 0 25,636 333,475 X X 14 0 333,475 0 - - 0 METALINK LTD M6989710 925 50,000 X X 12 0 50,000 0 ORD 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 7 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- MIND C T I LTD M7024010 195 16,400 X X 14 0 16,400 0 ORD - - 0 M SYS FLASH DISK PIONEERS LT M7061C10 4,838 126,700 X 06 126,700 0 0 ORD 0 1,053 27,580 X X 12 0 27,580 0 - - 0 NEXUS TELOCATION SYS LTD M7491910 66 30,000 X X 12 0 30,000 0 ORD - - 0 ORBOTECH LTD M7525310 25 450 X X 04 0 0 450 ORD 0 10,651 194,767 X X 14 0 194,767 0 - - 0 TVG TECHNOLOGIES LTD M9027810 85 43,000 X 04 43,000 0 0 ORD - - 0 ASM LITHOGRAPHY HLDG N V N0705911 8,366 258,900 X 06 258,900 0 0 N Y SHS 0 8,078 250,000 X 09 250,000 0 0 0 1 41 X 12 41 0 0 - - 0 BAAN CO NV N0804410 1 600 X 05 0 0 600 COM 0 1 600 X X 05 600 0 0 0 178 82,555 X 09 82,555 0 0 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 8 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 5 2,200 X X 09 0 0 2,200 0 6 3,000 X 12 3,000 0 0 - - 0 MADGE NETWORKS N V N5424G10 280 70,000 X X 12 0 70,000 0 ORD SHS - - 0 SAPIENS INTL CORP N V N7716A10 0 115 X 12 115 0 0 ORD 0 677 174,800 X X 14 0 174,800 0 - - 0 PANAMERICAN BEVERAGES INC P7482310 88 5,200 X 09 5,200 0 0 CL A 0 6,980 410,610 X X 14 0 410,610 0 - - 0 ASE TEST LTD Y0251610 321 15,300 X 09 15,300 0 0 ORD 0 2 100 X 12 100 0 0 0 355 16,900 X X 12 0 16,900 0 0 5,468 260,379 X X 14 0 260,379 0 - - 0 CREATIVE TECHNOLOGY LTD Y1775U10 1,133 54,600 X 01 0 0 54,600 ORD 0 21 1,000 X 08 1,000 0 0 - - 0 FLEXTRONICS INTL LTD Y2573F10 427 5,200 X 09 5,200 0 0 ORD 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 9 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 210 2,563 X X 09 2,063 0 500 0 886 10,789 X X 12 0 10,789 0 0 2,981 36,304 X X 14 0 36,304 0 - - 0 GIGAMEDIA LTD Y2711Y10 91 11,300 X 09 11,300 0 0 ORD 0 10 1,200 X X 12 0 1,200 0 - - 0 AAR CORP 00036110 4,599 402,075 X 06 402,075 0 0 COM 0 1,498 131,010 X 08 131,010 0 0 0 3,399 297,200 X 09 296,900 0 300 - - 0 A D C TELECOMMUNICATIONS 00088610 1,105 41,099 X 04 40,100 0 999 COM 0 32 1,200 X X 04 1,000 0 200 0 358 13,300 X 05 3,400 0 9,900 0 35 1,309 X X 05 1,309 0 0 0 29,075 1,081,200 X 06 1,081,200 0 0 0 15,598 580,045 X 08 579,245 0 800 0 1,097 40,810 X X 08 33,810 7,000 0 0 20,792 773,185 X 09 689,185 18,400 65,600 0 759 28,235 X X 09 12,232 8,800 7,203 0 55 2,038 X 12 2,038 0 0 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 10 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 1,117 41,535 X X 12 0 41,535 0 0 134 4,968 X X 14 0 4,968 0 - - 0 ACT MFG INC 00097310 7,364 139,600 X 06 139,600 0 0 COM 0 1,601 30,350 X 08 30,350 0 0 0 4,452 84,400 X 09 84,300 0 100 - - 0 AFLAC INC 00105510 111 1,732 X 04 1,460 0 272 COM 0 51 800 X X 04 800 0 0 0 67 1,047 X X 05 1,047 0 0 0 128 2,000 X X 08 2,000 0 0 0 171 2,674 X 09 2,674 0 0 0 1,205 18,811 X X 09 17,536 0 1,275 0 167 2,605 X X 14 0 2,605 0 - - 0 AGL RES INC 00120410 18 900 X X 04 900 0 0 COM 0 15,352 765,200 X 06 765,200 0 0 0 2,626 130,900 X 08 130,900 0 0 0 20 1,000 X X 08 1,000 0 0 0 13,137 654,800 X 09 654,500 0 300 0 20 1,000 X X 09 1,000 0 0 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 11 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- AES CORP 00130H10 11 166 X 04 0 0 166 COM 0 69 1,000 X X 04 0 0 1,000 0 62 912 X X 05 912 0 0 0 16,598 242,300 X 06 242,300 0 0 0 8,809 128,600 X 08 127,500 0 1,100 0 428 6,250 X X 08 6,050 0 200 0 25,874 377,725 X 09 377,725 0 0 0 5,767 84,191 X X 09 62,498 0 21,693 0 75 1,100 X X 12 0 1,100 0 0 1,845 26,934 X X 14 0 26,934 0 - - 0 AK STL HLDG CORP 00154710 2 191 X X 08 191 0 0 COM 0 133 14,200 X 09 14,200 0 0 0 15,001 1,600,153 X X 09 153 0 1,600,000 - - 0 AMB PROPERTY CORP 00163T10 37 1,500 X 08 1,500 0 0 COM 0 5,023 204,500 X X 12 0 204,500 0 - - 0 AMR CORP 00176510 7 200 X 04 200 0 0 COM 0 39 1,200 X 05 0 0 1,200 0 4 126 X X 05 126 0 0 0 633 19,380 X 08 19,380 0 0 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 12 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 1 40 X X 08 40 0 0 0 18,002 550,709 X 09 550,709 0 0 0 147 4,494 X X 09 850 0 3,644 - 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- 0 ALLEGHENY TECHNOLOGIES INC 01741R10 11 593 X X 05 593 0 0 COM 0 49 2,703 X X 08 2,703 0 0 0 73 4,000 X 09 4,000 0 0 0 128 7,044 X X 09 87 0 6,957 - - 0 ALLERGAN INC 01849010 36 423 X X 05 423 0 0 COM 0 785 9,300 X 09 9,300 0 0 0 1,058 12,524 X X 09 11,934 0 590 - - 0 ALLETE 01852210 13 584 X X 04 584 0 0 COM 0 1 63 X 08 63 0 0 0 310 14,000 X X 09 14,000 0 0 - - 0 ALLIANCE CAP MGMT HLDG L P 01855A10 95 1,900 X 04 0 0 1,900 UNIT LTD PARTN 0 150 3,000 X 09 3,000 0 0 - - 0 ALLIANCE SEMICONDUCTOR CORP 01877H10 0 20 X 04 0 0 20 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 27 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 513 25,800 X 09 25,800 0 0 0 1 67 X 12 67 0 0 0 119 6,000 X X 12 0 6,000 0 - - 0 ALLIANCE PHARMACEUTICAL CORP 01877310 9,413 617,250 X 06 617,250 0 0 COM 0 1,945 127,550 X 08 127,550 0 0 0 8 500 X X 08 500 0 0 0 5,429 356,000 X 09 355,700 0 300 0 9 597 X 12 597 0 0 0 31 2,000 X X 12 0 2,000 0 - - 0 ALLIANT CORP 01880210 1 48 X 04 0 0 48 COM 0 10,794 367,450 X 06 367,450 0 0 0 16 555 X X 08 0 0 555 0 10,679 363,525 X 09 361,485 0 2,040 0 932 31,740 X X 09 28,320 3,420 0 - - 0 ALLIED WASTE INDS INC 01958930 1,854 201,750 X 09 194,750 2,000 5,000 COM PAR$.01NEW 0 1,100 119,669 X X 09 110,319 0 9,350 - - 0 ALLMERICA FINL CORP 01975410 294 4,600 X 09 4,600 0 0 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 28 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 4,476 70,000 X X 14 0 70,000 0 - - 0 ALLSTATE CORP 02000210 32 918 X 04 918 0 0 COM 0 78 2,244 X X 04 200 2,044 0 0 14 400 X 05 100 0 300 0 122 3,499 X X 05 3,199 0 300 0 939 27,032 X 08 27,032 0 0 0 262 7,542 X X 08 5,688 0 1,854 0 10,311 296,716 X 09 287,934 370 8,412 0 9,145 263,162 X X 09 197,242 45,211 20,709 0 14 400 X X 12 0 400 0 0 567 16,309 X X 14 0 16,309 0 - - 0 ALLTEL CORP 02003910 450 8,625 X 04 7,925 0 700 COM 0 130 2,500 X X 04 1,500 0 1,000 0 17 334 X X 05 334 0 0 0 4,306 82,510 X 08 82,010 0 500 0 3,279 62,840 X X 08 62,840 0 0 0 5,506 105,502 X 09 101,502 800 3,200 0 2,939 56,311 X X 09 30,817 4,000 21,494 0 3,173 60,808 X X 12 0 60,808 0 0 127 2,432 X X 14 0 2,432 0 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 29 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- ALPHA INDS INC 02075310 9,427 276,750 X 06 276,750 0 0 COM 0 1,688 49,550 X 08 49,550 0 0 0 4,634 136,050 X 09 135,950 0 100 - - 0 ALPHARMA INC 02081310 758 12,400 X 09 12,400 0 0 CL A - - 0 ALPINE GROUP INC 02082510 45 10,300 X 09 10,300 0 0 COM - - 0 ALTERA CORP 02144110 2,512 52,600 X 02 0 0 52,600 COM 0 1,530 32,042 X 04 28,300 0 3,742 0 363 7,600 X X 04 0 0 7,600 0 392 8,200 X 05 6,400 0 1,800 0 2,897 60,671 X X 05 60,671 0 0 0 63,178 1,323,105 X 06 1,323,105 0 0 0 11,639 243,745 X 08 243,345 0 400 0 1,723 36,080 X X 08 34,080 2,000 0 0 57,250 1,198,956 X 09 1,190,981 0 7,975 0 1,655 34,668 X X 09 29,130 2,800 2,738 0 2,569 53,800 X 12 53,800 0 0 0 3,514 73,600 X X 12 0 73,600 0 0 745 15,608 X X 14 0 15,608 0 - - 0 ALTEON WEBSYSTEMS INC 02145A10 49,296 454,800 X 01 0 0 454,800 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 30 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 58 535 X X 12 0 535 0 0 7,590 70,026 X X 14 0 70,026 0 - - 0 ALZA CORP DEL 02261510 188 2,175 X 04 2,000 0 175 COM 0 25 292 X X 05 292 0 0 0 12,568 145,300 X 06 145,300 0 0 0 7,607 87,940 X 08 87,940 0 0 0 9,423 108,933 X X 08 89,151 19,782 0 0 29,627 342,507 X 09 330,373 1,700 10,434 0 16,804 194,263 X X 09 116,091 4,832 73,340 0 61 700 X 12 700 0 0 0 1,877 21,700 X X 12 0 21,700 0 0 545 6,300 X X 14 0 6,300 0 - - 0 AMAZON COM INC 02313510 2,445 63,600 X 01 0 0 63,600 COM 0 1 14 X 04 0 0 14 0 78 2,030 X 08 2,030 0 0 0 730 18,980 X 09 18,980 0 0 0 392 10,200 X X 09 9,600 0 600 0 402 10,457 X 12 10,457 0 0 0 2,683 69,809 X X 12 0 69,809 0 0 77 2,007 X X 14 0 2,007 0 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 31 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- AMBASSADORS INTL INC 02317810 5,891 315,235 X X 14 0 315,235 0 COM - - 0 AMERADA HESS CORP 02355110 1,498 22,379 X X 05 22,379 0 0 COM 0 18 270 X 08 270 0 0 0 4,937 73,754 X 09 72,654 0 1,100 0 867 12,947 X X 09 9,132 0 3,815 0 146 2,183 X X 14 0 2,183 0 - - 0 AMEREN CORP 02360810 42 1,000 X 04 0 0 1,000 COM 0 90 2,157 X X 04 500 0 1,657 0 63 1,512 X X 05 1,312 0 200 0 2,746 65,581 X 09 65,581 0 0 0 1,985 47,410 X X 09 46,172 0 1,238 0 42 1,000 X X 12 0 1,000 0 - - 0 AMERICA ONLINE INC DEL 02364J10 1,949 36,264 X 04 29,892 0 6,372 COM 0 292 5,430 X X 04 3,100 1,530 800 0 51 950 X 05 600 0 350 0 3,595 66,888 X X 05 65,988 0 900 0 12,012 223,474 X 06 223,474 0 0 0 10,002 186,080 X X 06 0 0 186,080 0 15,356 285,701 X 08 285,401 0 300 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 32 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 3,802 70,740 X X 08 69,080 860 800 0 75,360 1,402,048 X 09 1,368,648 3,050 30,350 0 18,787 349,532 X X 09 189,218 4,380 155,934 0 22,770 423,634 X X 12 0 423,634 0 0 55,075 1,024,642 X X 14 0 1,024,642 0 - - 0 AMERICAN CLASSIC VOYAGES CO 02492810 17,649 1,206,790 X X 14 0 1,206,790 0 COM - - 0 AMERICAN EAGLE OUTFITTERS NE 02553E10 284 9,000 X X 09 9,000 0 0 COM - - 0 AMERICAN ELEC PWR INC 02553710 11 273 X 04 273 0 0 COM 0 120 3,079 X X 04 1,720 811 548 0 133 3,398 X X 05 3,398 0 0 0 96 2,459 X 08 2,459 0 0 0 426 10,893 X X 08 7,047 0 3,846 0 2,229 56,962 X 09 54,062 0 2,900 0 3,082 78,777 X X 09 60,211 2,900 15,666 0 50 1,275 X X 12 0 1,275 0 0 112 2,866 X X 14 0 2,866 0 - - 0 AMERICAN EXPRESS CO 02581610 5,981 98,460 X 04 92,731 0 5,729 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 33 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 2,421 39,846 X X 04 32,046 1,100 6,700 0 926 15,250 X 05 12,300 0 2,950 0 2,826 46,516 X X 05 45,016 0 1,500 0 152,816 2,515,487 X 06 2,515,487 0 0 0 8,064 132,740 X X 06 0 0 132,740 0 79,180 1,303,379 X 08 1,292,379 0 11,000 0 17,985 296,055 X X 08 199,465 35,640 60,950 0 236,563 3,894,041 X 09 3,842,891 0 51,150 0 71,996 1,185,119 X X 09 612,897 50,000 522,222 0 3,067 50,480 X X 12 0 50,480 0 0 38,834 639,241 X X 14 0 639,241 0 - - 0 AMERICAN FINL GROUP INC OHIO 02593210 39 1,666 X X 08 0 1,666 0 COM 0 0 1 X 09 1 0 0 0 11,884 512,518 X X 09 512,518 0 0 - - 0 AMERICAN FREIGHTWAYS CORP 02629V10 194 12,200 X 09 12,200 0 0 COM 0 19,276 1,214,231 X X 14 0 1,214,231 0 - - 0 AMERICAN GENERAL CORP 02635110 0 5 X 04 0 0 5 COM 0 57 730 X 05 730 0 0 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 34 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 82 1,051 X X 05 1,051 0 0 0 11,986 153,663 X 08 153,663 0 0 0 26,008 333,434 X X 08 207,794 23,984 101,656 0 2,125 27,244 X 09 25,744 0 1,500 0 622 7,976 X X 09 6,428 400 1,148 0 27 350 X X 12 0 350 0 0 308,141 3,950,531 X X 14 0 3,950,531 0 - - 0 AMERICAN HEALTHWAYS INC 02649V10 3,452 428,170 X X 14 0 428,170 0 COM - - 0 AMERICAN HOME PRODS CORP 02660910 2,441 43,151 X 04 40,250 0 2,901 COM 0 3,463 61,230 X X 04 27,670 16,860 16,700 0 411 7,275 X 05 6,100 0 1,175 0 258 4,555 X X 05 2,755 0 1,800 0 61,601 1,089,073 X 06 1,089,073 0 0 0 35,054 619,725 X 08 613,425 5,200 1,100 0 15,407 272,385 X X 08 158,249 17,746 96,390 0 161,944 2,863,080 X 09 2,840,156 700 22,224 0 120,595 2,132,046 X X 09 1,207,189 328,579 596,278 0 537 9,500 X X 12 0 9,500 0 0 56,092 991,681 X X 14 0 991,681 0 - - 0 AMERICAN INTL GROUP INC 02687410 12,694 132,662 X 04 120,613 0 12,049 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 35 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 3,756 39,255 X X 04 19,213 3,901 16,141 0 3,011 31,465 X 05 21,848 0 9,617 0 5,981 62,508 X X 05 62,208 0 300 0 250,945 2,622,538 X 06 2,622,538 0 0 0 7,596 79,382 X X 06 0 0 79,382 0 112,648 1,177,239 X 08 1,167,440 5,060 4,739 0 39,712 415,015 X X 08 347,264 55,823 11,928 0 546,109 5,707,181 X 09 5,563,426 18,423 125,332 0 250,026 2,612,930 X X 09 1,594,605 55,260 963,065 0 2,839 29,670 X X 12 0 29,670 0 0 93,473 976,849 X X 14 0 976,849 0 - - 0 AMERICAN PWR CONVERSION CORP 02906610 0 12 X 04 0 0 12 COM 0 71 3,713 X 08 3,713 0 0 0 6 300 X X 08 300 0 0 0 150 7,800 X 09 0 0 7,800 0 14 710 X X 09 0 0 710 0 15 800 X X 12 0 800 0 - - 0 AMERICAN STD COS INC DEL 02971210 0 10 X 04 0 0 10 COM 0 10,356 233,050 X 06 233,050 0 0 0 10,034 225,800 X 09 225,000 0 800 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 36 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- AMERICAN STS WTR CO 02989910 9,447 312,300 X 06 312,300 0 0 COM 0 2,602 86,000 X 08 86,000 0 0 0 5,970 197,350 X 09 197,150 0 200 - - 0 AMERICAN TOWER CORP 02991220 87,933 2,333,179 X 03 21,719 0 2,311,460 CL A 0 2,393 63,500 X 09 63,500 0 0 0 19 500 X X 09 500 0 0 0 135,110 3,584,960 X 11 3,584,960 0 0 - - 0 AMERICAN WTR WKS INC 03041110 44 1,600 X 04 1,600 0 0 COM 0 6,725 244,000 X 06 244,000 0 0 0 22 800 X X 08 800 0 0 0 6,505 236,000 X 09 236,000 0 0 0 1,483 53,800 X X 09 53,800 0 0 - - 0 AMERICREDIT CORP 03060R10 2,161 75,000 X 09 75,000 0 0 COM 0 44,601 1,547,938 X X 14 0 1,547,938 0 - - 0 AMERIPATH INC 03071D10 162 11,200 X 09 11,200 0 0 COM 0 10 700 X X 12 0 700 0 - - 0 AMERISOURCE HEALTH CORP 03071P10 18,147 386,100 X 06 386,100 0 0 CL A 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 37 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 4,919 104,650 X 08 104,650 0 0 0 55,625 1,183,500 X 09 1,183,250 0 250 - - 0 AMGEN INC 03116210 8,753 125,352 X 04 90,465 0 34,887 COM 0 987 14,140 X X 04 5,540 1,100 7,500 0 1,606 23,000 X 05 15,400 0 7,600 0 3,725 53,346 X X 05 52,946 0 400 0 94,687 1,356,006 X 06 1,356,006 0 0 0 63,078 903,337 X 08 902,687 0 650 0 11,940 170,991 X X 08 149,201 12,640 9,150 0 123,240 1,764,905 X 09 1,662,139 12,600 90,166 0 19,410 277,972 X X 09 220,307 13,950 43,715 0 5,033 72,079 X X 12 0 72,079 0 0 63,687 912,059 X X 14 0 912,059 0 - - 0 AMKOR TECHNOLOGY INC 03165210 91 3,500 X 01 0 0 3,500 COM 0 914 35,000 X 09 35,000 0 0 0 374 14,300 X X 09 0 0 14,300 - - 0 AMPHENOL CORP NEW 03209510 32,073 563,300 X 06 563,300 0 0 CL A 0 3,460 60,760 X 08 60,760 0 0 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 38 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 26,584 466,900 X 09 466,700 0 200 - - 0 AMSOUTH BANCORPORATION 03216510 29 2,308 X X 05 2,308 0 0 COM 0 42 3,375 X 08 3,375 0 0 0 25 2,000 X 09 2,000 0 0 0 262 20,968 X X 09 11,789 8,774 405 - - 0 AMSURG CORP 03232P10 3,765 268,929 X X 14 0 268,929 0 CL A - - 0 AMSURG CORP 03232P20 2,595 194,026 X X 14 0 194,026 0 CL B - - 0 AMYLIN PHARMACEUTICALS INC 03234610 11 1,000 X 09 1,000 0 0 COM 0 49 4,600 X 12 4,600 0 0 0 59 5,500 X X 12 0 5,500 0 - - 0 AMVESCAP PLC 03235E10 26,610 240,000 X 09 240,000 0 0 SPONSORED ADR - - 0 ANADARKO PETE CORP 03251110 399 6,000 X 02 0 0 6,000 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 39 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 536 8,063 X 04 7,476 0 587 0 193 2,900 X X 04 1,300 0 1,600 0 32 476 X X 05 476 0 0 0 38,423 578,140 X 06 578,140 0 0 0 5,243 78,884 X 08 77,808 76 1,000 0 3,522 52,990 X X 08 33,406 2,137 17,447 0 52,861 795,387 X 09 753,186 1,000 41,201 0 8,993 135,318 X X 09 75,016 45,063 15,239 - - 0 ANALOG DEVICES INC 03265410 66 795 X 04 700 0 95 COM 0 2,725 33,000 X X 04 33,000 0 0 0 67 817 X X 05 817 0 0 0 1,880 22,775 X 06 22,775 0 0 0 17 202 X 08 202 0 0 0 247 2,990 X X 08 2,990 0 0 0 31,031 375,842 X 09 375,301 300 241 0 10,170 123,182 X X 09 110,090 0 13,092 0 479 5,800 X X 12 0 5,800 0 0 19,828 240,160 X X 14 0 240,160 0 - - 0 ANGELICA CORP 03466310 596 61,500 X 09 61,500 0 0 COM 0 3 300 X X 09 300 0 0 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 40 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- ANHEUSER BUSCH COS INC 03522910 1,269 30,000 X 01 0 0 30,000 COM 0 1,896 44,800 X 02 0 0 44,800 0 820 19,388 X 04 16,450 0 2,938 0 1,147 27,100 X X 04 5,500 0 21,600 0 567 13,400 X 05 8,200 0 5,200 0 807 19,078 X X 05 18,478 0 600 0 56,351 1,331,769 X 06 1,331,769 0 0 0 28,952 684,237 X 08 676,037 6,400 1,800 0 9,207 217,594 X X 08 146,028 8,000 63,566 0 175,631 4,150,760 X 09 4,126,360 1,000 23,400 0 132,133 3,122,754 X X 09 2,088,566 170,968 863,220 0 23 550 X X 12 0 550 0 0 30,984 732,258 X X 14 0 732,258 0 - - 0 ANIXTER INTL INC 03529010 350 12,000 X 08 12,000 0 0 COM 0 1,136 39,000 X X 08 16,800 22,200 0 0 670 23,000 X 09 23,000 0 0 0 120 4,122 X X 09 4,122 0 0 - - 0 ANNTAYLOR STORES CORP 03611510 308 8,000 X 09 8,000 0 0 COM 0 730 19,000 X X 09 19,000 0 0 - - 0 ANTENNA TV SA 03672N10 14,135 642,486 X X 14 0 642,486 0 SPONSORED ADR 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 41 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- ANSWERTHINK INC 03691610 24 1,500 X 09 1,500 0 0 COM 0 17,482 1,075,828 X X 14 0 1,075,828 0 - - 0 AO TATNEFT 03737P30 22,760 2,290,173 X X 14 0 2,290,173 0 SPON ADR REG S - - 0 AON CORP 03738910 11 288 X X 05 288 0 0 COM 0 238 6,074 X X 08 6,074 0 0 0 170 4,328 X 09 4,328 0 0 0 365 9,311 X X 09 557 0 8,754 0 157 4,000 X X 14 0 4,000 0 - - 0 APACHE CORP 03741110 313 5,300 X 04 4,950 0 350 COM 0 650 11,000 X X 04 0 0 11,000 0 2,512 42,479 X X 05 42,479 0 0 0 4,670 78,980 X 08 78,380 0 600 0 993 16,800 X X 08 7,550 5,500 3,750 0 9,767 165,190 X 09 165,190 0 0 0 1,260 21,307 X X 09 16,168 400 4,739 0 186 3,139 X X 12 0 3,139 0 - - 0 APARTMENT INVT & MGMT CO 03748R10 3,850 83,571 X 09 83,571 0 0 CL A 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 42 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 207 4,496 X X 09 3,096 1,400 0 - - 0 APPLE COMPUTER INC 03783310 919 35,700 X 01 0 0 35,700 COM 0 17 673 X 04 600 0 73 0 13 524 X X 05 524 0 0 0 77 3,009 X 08 3,009 0 0 0 52 2,000 X X 08 2,000 0 0 0 642 24,930 X 09 24,930 0 0 0 311 12,090 X X 09 6,330 150 5,610 0 129 5,000 X X 12 0 5,000 0 0 19,631 762,371 X X 14 0 762,371 0 - - 0 APRIA HEALTHCARE GROUP INC 03793310 216 15,500 X X 12 0 15,500 0 COM - - 0 APPLIED MICRO CIRCUITS CORP 03822W10 8 37 X 04 0 0 37 COM 0 435 2,100 X X 12 0 2,100 0 0 269 1,300 X X 14 0 1,300 0 - - 0 APPLIED MATLS INC 03822210 650 10,962 X 04 10,784 0 178 COM 0 130 2,200 X 05 1,500 0 700 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 43 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 3,298 55,609 X X 05 55,609 0 0 0 82,547 1,391,718 X 06 1,391,718 0 0 0 12 200 X X 06 0 0 200 0 39,715 669,589 X 08 666,789 0 2,800 0 7,693 129,705 X X 08 103,705 25,800 200 0 51,181 862,900 X 09 853,300 0 9,600 0 3,027 51,042 X X 09 26,550 1,400 23,092 0 2 33 X 12 33 0 0 0 5,160 86,992 X X 12 0 86,992 0 0 846 14,259 X X 14 0 14,259 0 - - 0 APROPOS TECHNOLOGY INC 03833410 63 7,000 X 12 7,000 0 0 COM 0 562 62,475 X X 12 0 62,475 0 - - 0 ARCH CHEMICALS INC 03937R10 2 100 X X 04 0 100 0 COM 0 146 8,000 X 09 8,000 0 0 0 172 9,424 X X 09 9,324 0 100 - - 0 ARCHER DANIELS MIDLAND CO 03948310 0 17 X 04 17 0 0 COM 0 6 725 X X 04 725 0 0 0 21 2,430 X X 08 2,430 0 0 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 44 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 68 7,893 X 09 7,893 0 0 0 57 6,635 X X 09 2,920 0 3,715 0 18 2,031 X X 14 0 2,031 0 - 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- 0 ARKANSAS BEST CORP DEL 04079010 381 24,800 X 09 24,800 0 0 COM - - 0 ARMSTRONG HLDGS INC 04238410 21 1,764 X X 05 1,764 0 0 COM 0 29 2,400 X 08 2,400 0 0 0 106 8,918 X X 09 4,735 0 4,183 - - 0 ARROW ELECTRS INC 04273510 2,609 76,600 X 09 75,200 0 1,400 COM - - 0 ART TECHNOLOGY GROUP INC 04289L10 157 1,652 X 12 1,652 0 0 COM 0 1,852 19,550 X X 12 0 19,550 0 - - 0 ARTESYN TECHNOLOGIES INC 04312710 17,681 607,078 X 06 607,078 0 0 COM 0 4,482 153,878 X 08 153,878 0 0 0 11,786 404,678 X 09 404,328 0 350 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 46 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- ARTISTDIRECT INC 04315D10 1,433 1,205,905 X 07 1,205,905 0 0 COM 0 919 773,427 X X 07 773,427 0 0 0 1 1,100 X 09 1,100 0 0 0 4 3,000 X X 12 0 3,000 0 - - 0 ARVINMERITOR INC 04335310 213 14,516 X 09 14,516 0 0 COM 0 56 3,788 X X 09 3,788 0 0 0 1 66 X X 12 0 66 0 - - 0 ASHANTI GOLDFIELDS LTD 04374320 385 150,252 X X 14 0 150,252 0 GLOB DEP RCPT - - 0 ASHLAND INC 04420410 93 2,750 X 09 2,750 0 0 COM 0 28 841 X X 09 500 0 341 0 166 4,917 X X 14 0 4,917 0 - - 0 ASIA PULP & PAPER LTD 04516V10 180 102,818 X 12 102,818 0 0 SPONSORED ADR 0 199 113,750 X X 14 0 113,750 0 - - 0 ASK JEEVES INC 04517410 4 200 X X 08 200 0 0 COM 0 690 35,974 X X 12 0 35,974 0 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 47 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- AT HOME CORP 04591910 1,670 118,200 X 01 0 0 118,200 COM SER A 0 3 235 X 04 0 0 235 0 149 10,520 X X 04 0 0 10,520 0 44 3,080 X 09 3,080 0 0 0 5 350 X X 09 350 0 0 0 1,499 106,128 X X 12 0 106,128 0 - - 0 ASSOCIATES FIRST CAP CORP 04600810 950 25,000 X 01 0 0 25,000 CL A 0 120 3,152 X 04 3,118 0 34 0 142 3,745 X X 04 3,745 0 0 0 38 999 X X 05 895 0 104 0 367 9,667 X 08 9,667 0 0 0 755 19,869 X X 08 11,058 1,517 7,294 0 5,402 142,155 X 09 138,968 0 3,187 0 19,028 500,731 X X 09 33,747 0 466,984 0 123 3,233 X X 12 0 3,233 0 0 5,141 135,278 X X 14 0 135,278 0 - - 0 ASTRAZENECA PLC 04635310 200 3,807 X 09 3,480 0 327 SPONSORED ADR 0 53 1,000 X X 14 0 1,000 0 - - 0 ASTROPOWER INC 04644A10 785 19,800 X 09 19,800 0 0 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 48 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 44 1,100 X X 09 1,100 0 0 0 197 4,972 X 12 4,972 0 0 0 40 1,000 X X 12 0 1,000 0 - - 0 ASYST TECHNOLOGY CORP 04648X10 292 14,400 X 09 14,400 0 0 COM 0 20 1,000 X X 12 0 1,000 0 - - 0 ATHEROGENICS INC 04743910 14 1,652 X 12 1,652 0 0 COM 0 3,138 363,800 X X 12 0 363,800 0 - - 0 ATLANTIC PREM BRANDS LTD 04878P10 244 150,000 X X 14 0 150,000 0 COM - - 0 ATLAS AIR INC 04916410 2,837 67,150 X 06 67,150 0 0 COM 0 42 1,000 X X 09 0 0 1,000 - - 0 ATMEL CORP 04951310 0 32 X 04 0 0 32 COM 0 6,494 427,600 X 06 427,600 0 0 0 105 6,920 X X 08 6,920 0 0 0 7,755 510,620 X 09 510,620 0 0 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 49 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 904 59,500 X X 09 58,500 0 1,000 0 2,003 131,878 X 12 131,878 0 0 0 1,132 74,500 X X 12 0 74,500 0 0 30 2,000 X X 14 0 2,000 0 - - 0 ATPLAN INC 04962Q10 133 15,187 X 12 15,187 0 0 COM 0 8 900 X X 12 0 900 0 - - 0 AUDIBLE INC 05069A10 1 1,000 X X 09 0 0 1,000 COM 0 20 16,499 X X 12 0 16,499 0 - - 0 AURORA BIOSCIENCES CORP 05192010 68 1,000 X 09 1,000 0 0 COM 0 109 1,600 X X 12 0 1,600 0 0 4,493 66,078 X X 14 0 66,078 0 - - 0 AUTHORISZOR INC 05267310 863 115,000 X X 14 0 115,000 0 COM - - 0 AUTODESK INC 05276910 313 12,316 X 09 12,316 0 0 COM 0 272 10,716 X X 09 8,114 0 2,602 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 50 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 13 519 X X 12 0 519 0 - - 0 AUTOMATIC DATA PROCESSING IN 05301510 2,437 36,434 X 04 25,580 0 10,854 COM 0 856 12,800 X X 04 9,200 2,500 1,100 0 388 5,800 X 05 2,800 0 3,000 0 155 2,312 X X 05 2,312 0 0 0 8,804 131,650 X 08 131,450 0 200 0 11,529 172,395 X X 08 148,725 21,920 1,750 0 79,538 1,189,353 X 09 1,070,103 2,100 117,150 0 93,041 1,391,273 X X 09 851,323 58,600 481,350 0 789 11,802 X X 12 0 11,802 0 0 6,544 97,852 X X 14 0 97,852 0 - - 0 AUTONOMY CORP PLC 05329Q10 39,804 723,713 X X 14 0 723,713 0 ADR - - 0 AUTONATION INC 05329W10 332 55,400 X 01 0 0 55,400 COM 0 60 10,000 X X 04 10,000 0 0 0 103 17,241 X 08 17,241 0 0 0 105 17,500 X 09 17,500 0 0 - - 0 AUTOWEB COM INC 05333110 3 2,138 X 09 2,138 0 0 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 51 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 30 22,377 X X 09 12,377 0 10,000 0 2 1,279 X 12 1,279 0 0 0 1 400 X X 12 0 400 0 - - 0 AVANEX CORP 05348W10 54 498 X 09 337 0 161 COM 0 53 491 X X 09 115 0 376 0 111 1,032 X X 12 0 1,032 0 - - 0 AVALONBAY CMNTYS INC 05348410 2,114 44,340 X 09 40,499 0 3,841 COM 0 174 3,652 X X 09 768 384 2,500 0 41 860 X X 12 0 860 0 - - 0 AVANT CORP 05348710 323 17,700 X 09 17,700 0 0 COM 0 37 2,000 X 12 2,000 0 0 0 34 1,850 X X 12 0 1,850 0 - - 0 AVERT INC 05359610 5,340 267,000 X X 14 0 267,000 0 COM - - 0 AVERY DENNISON CORP 05361110 227 4,900 X 04 4,000 0 900 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 52 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 102 2,200 X X 04 2,200 0 0 0 32 700 X 05 500 0 200 0 1,489 32,100 X X 05 32,100 0 0 0 0 10 X X 06 0 0 10 0 886 19,100 X 08 19,100 0 0 0 925 19,950 X X 08 17,750 700 1,500 0 7,639 164,726 X 09 140,876 1,240 22,610 0 8,146 175,664 X X 09 103,250 9,900 62,514 0 98 2,110 X X 12 0 2,110 0 - - 0 AVIATION GROUP INC TEX 05366710 44 33,600 X X 12 0 33,600 0 COM - - 0 AVICI SYS INC 05367L10 143 1,500 X 09 1,500 0 0 COM 0 854 8,975 X X 12 0 8,975 0 - - 0 AVIATION SALES CO 05367210 263 50,000 X X 04 50,000 0 0 COM - - 0 AVIRON 05376210 0 7 X 04 0 0 7 COM 0 350 6,000 X 12 6,000 0 0 0 58 1,000 X X 12 0 1,000 0 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 53 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- AVISTAR COMMUNICATIONS CORP 05379X20 0 14 X 12 14 0 0 COM NEW 0 433 64,100 X X 12 0 64,100 0 - 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- 0 AWARE INC MASS 05453N10 2,191 56,900 X 09 56,900 0 0 COM 0 58 1,500 X X 09 0 0 1,500 0 109 2,843 X 12 2,843 0 0 - - 0 AXA 05453610 116 1,800 X 04 500 0 1,300 SPONSORED ADR 0 19 300 X X 05 0 0 300 0 1,339 20,700 X 08 20,700 0 0 0 4,263 65,900 X 09 54,300 6,900 4,700 0 1,371 21,200 X X 09 4,100 1,100 16,000 0 65 1,000 X X 14 0 1,000 0 - - 0 AXENT TECHNOLOGIES INC 05459C10 2 105 X 12 105 0 0 COM 0 17 800 X X 12 0 800 0 0 2,303 106,800 X X 14 0 106,800 0 - - 0 AZTAR CORP 05480210 481 31,300 X 09 31,300 0 0 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 55 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- BB&T CORP 05493710 45 1,480 X X 04 0 0 1,480 COM 0 291 9,655 X X 09 1,540 0 8,115 0 137 4,549 X X 14 0 4,549 0 - - 0 BCE INC 05534B10 96 4,100 X 08 4,100 0 0 COM 0 7,229 309,282 X 09 309,282 0 0 0 1,267 54,200 X X 09 48,600 0 5,600 - - 0 BISYS GROUP INC 05547210 116 1,500 X 09 1,500 0 0 COM 0 232 3,000 X X 09 0 0 3,000 - - 0 BJS WHOLESALE CLUB INC 05548J10 46,282 1,356,250 X 06 1,356,250 0 0 COM 0 7,505 219,925 X 08 219,925 0 0 0 35,176 1,030,800 X 09 1,030,350 0 450 - - 0 BJ SVCS CO 05548210 2,745 44,900 X 04 40,900 0 4,000 COM 0 122 2,000 X X 04 2,000 0 0 0 220 3,600 X 05 1,400 0 2,200 0 3,557 58,200 X X 05 58,200 0 0 0 9,027 147,675 X 06 147,675 0 0 0 7,306 119,525 X 08 118,375 0 1,150 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 56 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 1,500 24,540 X X 08 19,940 4,200 400 0 11,622 190,140 X 09 189,940 0 200 0 461 7,545 X X 09 7,545 0 0 - - 0 BP AMOCO P L C 05562210 4,292 80,986 X 04 73,986 0 7,000 SPONSORED ADR 0 2,730 51,515 X X 04 20,211 7,822 23,482 0 657 12,394 X 05 7,650 0 4,744 0 158 2,986 X X 05 2,086 0 900 0 24,335 459,158 X 06 459,158 0 0 0 41,255 778,402 X 08 760,800 12,392 5,210 0 21,342 402,681 X X 08 296,525 51,104 55,052 0 156,513 2,953,071 X 09 2,915,594 400 37,077 0 95,262 1,797,389 X X 09 1,341,017 99,433 356,939 0 180 3,388 X X 12 0 3,388 0 0 3,914 73,852 X X 14 0 73,852 0 - - 0 BRE PROPERTIES INC 05564E10 122 3,800 X X 05 3,800 0 0 CL A 0 375 11,724 X 09 11,724 0 0 0 1,005 31,420 X X 09 28,420 0 3,000 0 32 1,000 X X 12 0 1,000 0 - - 0 BMC SOFTWARE INC 05592110 209 10,950 X 04 6,450 0 4,500 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 57 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 5 241 X X 05 241 0 0 0 3,304 172,775 X 08 171,775 0 1,000 0 1,634 85,430 X X 08 57,330 16,900 11,200 0 3,430 179,337 X 09 175,587 1,000 2,750 0 873 45,664 X X 09 37,654 0 8,010 0 3 132 X 12 132 0 0 0 206 10,786 X X 12 0 10,786 0 - - 0 BAKER HUGHES INC 05722410 26 700 X 04 700 0 0 COM 0 14 385 X X 05 385 0 0 0 1,361 36,652 X 08 36,652 0 0 0 1,512 40,740 X X 08 36,900 1,200 2,640 0 6,699 180,445 X 09 171,545 1,450 7,450 0 872 23,483 X X 09 16,231 2,000 5,252 0 895 24,100 X X 14 0 24,100 0 - - 0 BAKER J INC 05723210 73 16,200 X 09 16,200 0 0 COM 0 7 1,500 X X 09 1,500 0 0 - - 0 BALLARD PWR SYS INC 05858H10 33 300 X 09 200 0 100 COM 0 109 1,000 X X 09 1,000 0 0 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 58 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 120 1,100 X X 12 0 1,100 0 - - 0 BANCO FRANCES DEL RIO DE LA 05959110 148 7,122 X 09 7,122 0 0 SPONSORED ADR 0 7,786 375,231 X X 14 0 375,231 0 - - 0 BANCO SANTANDER CENT HISPANO 05964H10 40 3,672 X 09 3,672 0 0 ADR 0 201 18,360 X X 09 6,120 0 12,240 0 44 4,000 X X 14 0 4,000 0 - - 0 BANCO SANTANDER CHILE 05965F10 3,364 230,000 X X 14 0 230,000 0 SPON ADR SER A - - 0 BANCO SANTIAGO 05965L10 3,084 158,161 X X 14 0 158,161 0 SP ADR REP COM - - 0 BANCWEST CORP NEW 05979010 606 31,200 X 09 31,200 0 0 COM 0 12 600 X X 09 600 0 0 0 167 8,610 X X 12 0 8,610 0 - - 0 BANDAG INC 05981510 561 15,600 X 09 15,600 0 0 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 59 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- BANK OF AMERICA CORPORATION 06050510 1,184 22,600 X 02 0 0 22,600 COM 0 3,095 59,096 X 04 47,329 0 11,767 0 1,969 37,596 X X 04 14,587 7,185 15,824 0 28 532 X 05 75 0 457 0 382 7,295 X X 05 6,095 0 1,200 0 22,714 433,677 X 06 433,677 0 0 0 52 1,000 X X 06 0 0 1,000 0 9,855 188,156 X 08 186,599 1,357 200 0 3,589 68,524 X X 08 40,138 15,163 13,223 0 38,937 743,421 X 09 733,172 450 9,799 0 39,358 751,462 X X 09 245,354 1,200 504,908 0 254 4,850 X X 12 0 4,850 0 0 64,894 1,239,020 X X 14 0 1,239,020 0 - - 0 BANK NEW YORK INC 06405710 1,520 27,117 X 04 26,860 0 257 COM 0 2,532 45,160 X X 04 45,160 0 0 0 164 2,927 X X 05 2,927 0 0 0 111,151 1,982,603 X 06 1,982,603 0 0 0 49,235 878,205 X 08 869,655 0 8,550 0 14,542 259,380 X X 08 225,980 31,950 1,450 0 107,049 1,909,440 X 09 1,890,840 800 17,800 0 32,575 581,051 X X 09 222,133 323,094 35,824 0 347 6,196 X X 12 0 6,196 0 0 91,226 1,627,214 X X 14 0 1,627,214 0 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 60 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- BANK ONE CORP 06423A10 143 3,708 X 04 3,585 0 123 COM 0 300 7,755 X X 04 1,100 6,050 605 0 119 3,081 X 05 2,553 0 528 0 53 1,377 X X 05 1,047 0 330 0 131 3,400 X X 06 0 0 3,400 0 191 4,947 X 08 4,947 0 0 0 1,493 38,664 X X 08 30,588 7,471 605 0 4,626 119,773 X 09 112,859 0 6,914 0 4,785 123,892 X X 09 68,908 2,988 51,996 0 327 8,478 X X 12 0 8,478 0 0 319 8,264 X X 14 0 8,264 0 - - 0 BANK TOKYO-MITSUBISHI LTD 06537910 1,484 127,000 X 01 0 0 127,000 SPONSORED ADR 0 1,757 150,366 X 09 150,366 0 0 0 94 8,000 X X 09 8,000 0 0 - - 0 BANK UTD CORP 06541210 999 19,700 X 09 19,700 0 0 CL A 0 1,622 32,000 X X 14 0 32,000 0 - - 0 BANKNORTH GROUP INC NEW 06646R10 18 1,000 X X 09 0 0 1,000 COM 0 6,628 370,795 X X 14 0 370,795 0 - - 0 BANTA CORP 06682110 394 16,155 X 09 13,255 140 2,760 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 61 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 641 26,300 X X 09 4,150 0 22,150 - - 0 BARCLAYS BK PLC 06738C80 577 22,400 X X 04 1,100 21,300 0 ADR UNIT SERD2 - - 0 BARCLAYS BK PLC 06738C83 48 2,000 X X 08 2,000 0 0 AM DEP NT RCPT 0 469 19,400 X X 09 0 0 19,400 - - 0 BARCLAYS PLC 06738E20 2,425 21,935 X 09 21,935 0 0 ADR 0 39 350 X X 09 50 0 300 - - 0 BARNES & NOBLE INC 06777410 28 1,400 X 08 1,400 0 0 COM 0 1,194 60,636 X 09 57,436 2,600 600 0 474 24,080 X X 09 14,700 600 8,780 0 1 50 X X 12 0 50 0 - - 0 BARRICK GOLD CORP 06790110 3 219 X X 05 219 0 0 COM 0 59 3,875 X 09 3,875 0 0 0 116 7,586 X X 09 5,900 0 1,686 0 18 1,200 X X 12 0 1,200 0 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 62 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- BARRA INC 06831310 438 7,050 X 08 7,050 0 0 COM 0 540 8,700 X 09 8,700 0 0 0 273 4,400 X X 09 4,400 0 0 0 38 605 X 12 605 0 0 0 28 450 X X 12 0 450 0 - - 0 BAUSCH & LOMB INC 07170710 350 9,000 X 08 9,000 0 0 COM 0 123 3,150 X X 08 2,950 200 0 0 1,044 26,805 X 09 26,805 0 0 0 667 17,125 X X 09 16,375 0 750 - - 0 BAXTER INTL INC 07181310 2,131 26,700 X 01 0 0 26,700 COM 0 243 3,050 X 04 2,550 0 500 0 391 4,900 X X 04 4,900 0 0 0 46 575 X 05 0 0 575 0 130 1,634 X X 05 1,634 0 0 0 3,682 46,135 X 08 45,735 0 400 0 1,906 23,882 X X 08 17,757 5,925 200 0 10,888 136,420 X 09 123,070 775 12,575 0 5,310 66,527 X X 09 37,837 3,338 25,352 0 48 600 X X 12 0 600 0 0 963 12,070 X X 14 0 12,070 0 - - 0 BAY VIEW CAP CORP DEL 07262L10 2 177 X 04 0 0 177 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 63 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 301 28,000 X 09 28,000 0 0 - - 0 BE FREE INC 07330810 34 8,000 X X 09 0 0 8,000 COM 0 22 5,083 X 12 5,083 0 0 0 1,638 385,350 X X 12 0 385,350 0 - - 0 BEA SYS INC 07332510 9 111 X 04 0 0 111 COM 0 53 680 X X 05 680 0 0 0 2,736 35,130 X 06 35,130 0 0 0 2,646 33,975 X 09 33,975 0 0 0 1,713 22,000 X 12 22,000 0 0 0 459 5,900 X X 12 0 5,900 0 0 22,982 295,120 X X 14 0 295,120 0 - - 0 BEAR STEARNS COS INC 07390210 100 1,587 X 04 1,587 0 0 COM 0 10 166 X X 05 166 0 0 0 52 827 X 08 827 0 0 0 18 290 X 09 290 0 0 0 39 626 X X 09 36 0 590 0 223 3,532 X X 12 0 3,532 0 0 74 1,179 X X 14 0 1,179 0 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 64 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- BEAUTICONTROL COSMETICS INC 07465510 206 29,812 X X 08 0 29,812 0 COM - - 0 BECKMAN COULTER INC 07581110 947 12,278 X 09 12,278 0 0 COM 0 798 10,345 X X 09 10,345 0 0 - - 0 BECTON DICKINSON & CO 07588710 7 280 X 04 280 0 0 COM 0 26 1,000 X X 04 1,000 0 0 0 7 262 X X 05 262 0 0 0 20 738 X 08 738 0 0 0 711 26,912 X 09 26,912 0 0 0 957 36,188 X X 09 34,552 0 1,636 0 507 19,182 X X 14 0 19,182 0 - - 0 BED BATH & BEYOND INC 07589610 378 15,500 X 04 14,700 0 800 COM 0 117 4,800 X X 04 3,200 0 1,600 0 190 7,800 X 05 7,800 0 0 0 2,558 104,857 X X 05 104,857 0 0 0 6,164 252,720 X 08 249,920 0 2,800 0 3,207 131,500 X X 08 129,500 400 1,600 0 12,185 499,581 X 09 452,131 4,000 43,450 0 3,056 125,308 X X 09 106,360 1,600 17,348 - - 0 BEDFORD PPTY INVS INC 07644630 1,280 63,000 X 09 63,000 0 0 COM PAR $0.02 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 65 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- BELLSOUTH CORP 07986010 4,879 121,216 X 04 98,791 0 22,425 COM 0 4,020 99,875 X X 04 40,988 15,652 43,235 0 121 3,000 X 05 3,000 0 0 0 863 21,452 X X 05 21,452 0 0 0 74,979 1,862,824 X 06 1,862,824 0 0 0 9,328 231,763 X X 06 0 0 231,763 0 25,164 625,190 X 08 621,390 0 3,800 0 12,902 320,559 X X 08 205,273 16,966 98,320 0 120,783 3,000,816 X 09 2,957,152 180 43,484 0 57,533 1,429,382 X X 09 1,021,949 75,544 331,889 0 1,047 26,000 X 12 26,000 0 0 0 1,727 42,908 X X 14 0 42,908 0 - - 0 BELO A H CORP DEL 08055510 81 4,400 X 08 4,400 0 0 COM SER A 0 1,562 84,700 X X 08 66,800 17,900 0 0 3,164 171,622 X X 09 171,622 0 0 - - 0 BEMIS INC 08143710 257 8,000 X 04 8,000 0 0 COM 0 161 5,000 X 09 5,000 0 0 0 69 2,139 X X 09 600 0 1,539 0 164 5,100 X X 12 0 5,100 0 - - 0 BERINGER WINE ESTATES HOLDIN 08410210 1 23 X 12 23 0 0 CL B 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 66 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 3,334 60,000 X X 14 0 60,000 0 - - 0 BERKSHIRE HATHAWAY INC DEL 08467010 370 37 X X 08 16 0 21 CL A 0 1,490 149 X 09 149 0 0 0 370 37 X X 09 27 7 3 0 120 12 X X 12 0 12 0 0 90 9 X X 14 0 9 0 - - 0 BERKSHIRE HATHAWAY INC DEL 08467020 313 151 X X 04 136 15 0 CL B 0 507 245 X 08 245 0 0 0 1,031 498 X X 08 223 170 105 0 7,905 3,819 X 09 3,642 0 177 0 16,243 7,847 X X 09 5,759 265 1,823 0 143 69 X X 12 0 69 0 - - 0 BEST BUY INC 08651610 586 9,209 X 04 6,650 0 2,559 COM 0 32 500 X X 04 0 0 500 0 64 1,000 X 05 400 0 600 0 26 413 X X 05 413 0 0 0 56,722 891,506 X 06 891,506 0 0 0 5,680 89,278 X X 06 0 0 89,278 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 67 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 29,951 470,746 X 08 470,471 0 275 0 3,002 47,185 X X 08 39,185 7,600 400 0 31,235 490,923 X 09 486,023 1,900 3,000 0 2,889 45,406 X X 09 20,659 500 24,247 0 47 734 X X 12 0 734 0 0 96 1,505 X X 14 0 1,505 0 - - 0 BESTFOODS 08658U10 12,731 175,000 X 01 0 0 175,000 COM 0 156 2,150 X 04 2,150 0 0 0 393 5,400 X X 04 600 4,800 0 0 1,476 20,287 X X 05 20,287 0 0 0 1,345 18,490 X 08 16,890 0 1,600 0 3,030 41,652 X X 08 19,852 1,200 20,600 0 42,738 587,458 X 09 561,458 0 26,000 0 31,471 432,591 X X 09 339,447 2,320 90,824 0 109 1,500 X X 12 0 1,500 0 0 12,622 173,500 X X 14 0 173,500 0 - - 0 BETHLEHEM STL CORP 08750910 1 262 X X 08 262 0 0 COM 0 6 1,969 X X 09 870 0 1,099 0 30 10,000 X X 12 0 10,000 0 - - 0 BEVERLY ENTERPRISES INC 08785130 340 57,300 X 09 57,300 0 0 COM NEW 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 68 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- BINDLEY WESTN INDS INC 09032410 43 1,344 X 04 1,344 0 0 COM 0 1,536 47,999 X 09 47,999 0 0 0 94 2,951 X X 09 2,951 0 0 - - 0 BINDVIEW DEV CORP 09032710 15 2,000 X X 08 2,000 0 0 COM 0 15 2,000 X 09 0 0 2,000 0 189 25,000 X X 12 0 25,000 0 - - 0 BIOGEN INC 09059710 1,790 29,343 X 04 26,490 0 2,853 COM 0 49 800 X X 04 800 0 0 0 20 332 X X 05 332 0 0 0 25,541 418,700 X 06 418,700 0 0 0 11,604 190,225 X 08 190,225 0 0 0 1,296 21,250 X X 08 20,150 500 600 0 24,227 397,169 X 09 390,269 0 6,900 0 1,249 20,468 X X 09 17,818 0 2,650 0 6,443 105,615 X X 12 0 105,615 0 0 61 1,000 X X 14 0 1,000 0 - - 0 BIOMET INC 09061310 320 9,150 X X 04 6,150 0 3,000 COM 0 26 750 X 08 750 0 0 0 1,955 55,866 X 09 51,816 0 4,050 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 69 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 512 14,622 X X 09 8,313 0 6,309 0 58,347 1,667,053 X X 14 0 1,667,053 0 - - 0 BIOPURE CORP 09065H10 158 8,764 X X 04 0 0 8,764 CL A 0 130 7,200 X 09 7,200 0 0 - - 0 BIOTECH HOLDERS TR 09067D20 3,034 15,565 X X 12 0 15,565 0 DEPOSTRY RCPTS - - 0 BIOVAIL CORP 09067J10 26,052 319,900 X 06 319,900 0 0 COM 0 25,164 309,000 X 09 309,000 0 0 0 318 3,900 X X 09 3,900 0 0 - - 0 BLACK & DECKER CORP 09179710 7 200 X X 04 200 0 0 COM 0 5 150 X 05 0 0 150 0 15 450 X X 05 150 0 300 0 26,753 782,530 X 09 782,530 0 0 0 350 10,229 X X 09 7,700 0 2,529 - - 0 BLACK BOX CORP DEL 09182610 11,892 255,050 X 06 255,050 0 0 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 70 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 3,404 73,010 X 08 73,010 0 0 0 7,954 170,600 X 09 170,450 0 150 - 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- 0 CIGNA CORP 12550910 223 2,134 X 04 1,995 0 139 COM 0 43 414 X X 04 0 0 414 0 19 185 X X 05 185 0 0 0 3,018 28,912 X 08 28,912 0 0 0 5,154 49,372 X X 08 1,872 39,000 8,500 0 3,088 29,575 X 09 25,375 0 4,200 0 9,813 93,997 X X 09 83,578 0 10,419 0 9 90 X X 12 0 90 0 0 212 2,028 X X 14 0 2,028 0 - - 0 CIGNA HIGH INCOME SHS 12551D10 57 11,478 X X 09 11,478 0 0 SH BEN INT 0 150 30,300 X X 12 0 30,300 0 - - 0 CIT GROUP INC 12557710 825 47,165 X X 09 0 0 47,165 CL A - - 0 CKE RESTAURANTS INC 12561E10 336 109,810 X 09 109,810 0 0 COM 0 15 5,000 X X 12 0 5,000 0 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 80 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- CLECO CORP NEW 12561W10 19 410 X X 04 410 0 0 COM 0 281 6,000 X X 08 0 0 6,000 0 5 100 X 09 100 0 0 0 404 8,640 X X 09 3,640 0 5,000 - 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- 0 CALPINE CORP 13134710 85 811 X 04 800 0 11 COM 0 115 1,100 X X 04 100 0 1,000 0 27 263 X 08 263 0 0 0 3,425 32,810 X 09 32,510 0 300 0 919 8,800 X X 09 6,000 0 2,800 - - 0 CAMBREX CORP 13201110 17,212 465,200 X 09 465,200 0 0 COM 0 2,718 73,447 X X 09 73,447 0 0 - - 0 CAMBRIDGE TECH PARTNERS MASS 13252410 1,633 373,200 X 09 373,200 0 0 COM 0 9 2,000 X X 12 0 2,000 0 - - 0 CAMDEN PPTY TR 13313110 4,303 138,800 X 09 138,800 0 0 SH BEN INT 0 149 4,795 X X 09 3,036 759 1,000 - - 0 CAMDEN PPTY TR 13313120 1,486 59,600 X 09 59,600 0 0 PFD A CV $2.25 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 86 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- CAMINUS CORP 13376610 5,980 150,450 X 09 150,450 0 0 COM - - 0 CAMPBELL SOUP CO 13442910 28 1,100 X 04 1,100 0 0 COM 0 315 12,181 X 08 12,181 0 0 0 1,043 40,324 X X 08 28,124 1,600 10,600 0 785 30,320 X 09 30,320 0 0 0 297 11,465 X X 09 9,400 0 2,065 0 52 2,000 X X 12 0 2,000 0 0 126 4,877 X X 14 0 4,877 0 - - 0 CANADIAN PAC LTD NEW 13592310 13 500 X 09 500 0 0 COM 0 304 11,700 X X 09 10,500 0 1,200 - - 0 CANDLEWOOD HOTEL COMPANY INC 13741M10 1,396 406,125 X 07 0 0 406,125 COM - - 0 CAPITAL ONE FINL CORP 14040H10 0 5 X 04 0 0 5 COM 0 35 506 X X 05 506 0 0 0 8,386 119,686 X 09 119,686 0 0 0 63 897 X X 09 49 0 848 0 26,002 371,130 X X 14 0 371,130 0 - - 0 CAPITOL FED FINL 14057C10 657 44,900 X 09 44,900 0 0 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 87 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- CAPROCK COMMUNICATIONS CORP 14066710 1 252 X 04 0 0 252 COM 0 51 10,000 X X 08 10,000 0 0 - - 0 CARBO CERAMICS INC 14078110 8,093 304,690 X X 14 0 304,690 0 COM - - 0 CARAUSTAR INDS INC 14090910 1,654 149,500 X 09 149,500 0 0 COM - - 0 CARDIMA INC 14147M10 557 495,000 X 07 495,000 0 0 COM - - 0 CARDINAL HEALTH INC 14149Y10 128 1,451 X 04 1,300 0 151 COM 0 97 1,095 X X 04 1,095 0 0 0 31 350 X 05 75 0 275 0 57 652 X X 05 652 0 0 0 214 2,423 X X 08 2,423 0 0 0 932 10,572 X 09 5,966 270 4,336 0 786 8,910 X X 09 3,966 830 4,114 0 2 24 X X 12 0 24 0 0 243 2,754 X X 14 0 2,754 0 - - 0 CARDIODYNAMICS INTL CORP 14159710 261 50,000 X X 12 0 50,000 0 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 88 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- CAREER EDUCATION CORP 14166510 6,364 143,000 X 06 143,000 0 0 COM - - 0 CAREMARK RX INC 14170510 2,223 197,600 X X 05 197,600 0 0 COM 0 25 2,237 X 09 1,814 0 423 0 4 392 X X 09 0 0 392 - - 0 CARLISLE COS INC 14233910 8 200 X 09 200 0 0 COM 0 291 7,000 X X 09 7,000 0 0 0 9,630 232,060 X X 14 0 232,060 0 - - 0 CARNIVAL CORP 14365810 1,569 63,700 X 02 0 0 63,700 COM 0 76 3,100 X 04 2,100 0 1,000 0 478 19,400 X X 04 5,400 0 14,000 0 562 22,836 X X 05 22,836 0 0 0 1,150 46,700 X 08 46,700 0 0 0 500 20,300 X X 08 14,800 1,500 4,000 0 7,754 314,875 X 09 274,925 0 39,950 0 2,129 86,450 X X 09 60,221 0 26,229 0 42 1,699 X X 12 0 1,699 0 0 135 5,484 X X 14 0 5,484 0 - - 0 CARRAMERICA RLTY CORP 14441810 1,195 39,500 X 09 39,500 0 0 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 89 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 94 3,100 X X 09 2,600 500 0 0 454 15,000 X X 12 0 15,000 0 - - 0 CARREKER CORP 14443310 20 1,002 X 12 1,002 0 0 COM 0 1,357 69,600 X X 12 0 69,600 0 - - 0 CARRIER ACCESS CORP 14446010 503 25,400 X 12 25,400 0 0 COM 0 114 5,772 X X 12 0 5,772 0 - - 0 CARRIZO OIL & CO INC 14457710 71,641 5,117,243 X 10 2,909,092 0 2,208,151 COM - - 0 CARTER WALLACE INC 14628510 10,325 422,500 X 09 422,500 0 0 COM - - 0 CATALINA MARKETING CORP 14886710 24,833 660,000 X X 04 0 0 660,000 COM 0 26,405 701,800 X 06 701,800 0 0 0 7,226 192,060 X 08 192,060 0 0 0 17,874 475,050 X 09 474,600 0 450 - - 0 CATELLUS DEV CORP 14911110 1,817 103,800 X 09 103,800 0 0 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 90 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 14 802 X X 09 125 573 104 0 26 1,500 X X 12 0 1,500 0 - - 0 CATERPILLAR INC DEL 14912310 37 1,100 X 04 1,100 0 0 COM 0 371 11,000 X X 04 10,500 500 0 0 13 377 X X 05 377 0 0 0 35,579 1,054,200 X 06 1,054,200 0 0 0 5,841 173,060 X 08 173,060 0 0 0 521 15,423 X X 08 13,823 800 800 0 37,215 1,102,672 X 09 1,094,872 600 7,200 0 2,271 67,299 X X 09 33,010 0 34,289 0 126 3,744 X X 14 0 3,744 0 - - 0 CATHAY BANCORP INC 14915010 1,020 20,917 X X 12 0 20,917 0 COM - - 0 CEDAR FAIR L P 15018510 63 3,400 X 04 3,400 0 0 DEPOSITRY UNIT 0 169 9,150 X 09 9,150 0 0 0 49 2,672 X X 09 1,472 0 1,200 0 3,688 200,000 X X 12 0 200,000 0 - - 0 CELL GENESYS INC 15092110 330 11,000 X X 12 0 11,000 0 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 91 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- CELESTICA INC 15101Q10 48 700 X X 09 700 0 0 SUB VTG SHS 0 4,268 61,635 X X 12 0 61,635 0 0 227,044 3,278,619 X X 14 0 3,278,619 0 - - 0 CELGENE CORP 15102010 0 6 X 04 0 0 6 COM 0 5,697 95,750 X 06 95,750 0 0 0 179 3,000 X X 09 0 0 3,000 - - 0 CELL PATHWAYS INC NEW 15114R10 227 27,901 X 09 27,901 0 0 COM - - 0 CELLTECH GROUP PLC 15115810 536 13,700 X X 12 0 13,700 0 SPONSORED ADR - - 0 CEMEX S A 15129088 37,868 1,887,469 X 01 0 0 1,887,469 SPON ADR 5 ORD 0 1,485 74,038 X 04 74,038 0 0 0 2,125 105,907 X 09 105,907 0 0 0 52 2,600 X X 12 0 2,600 0 0 9,386 467,835 X X 14 0 467,835 0 - - 0 CENDANT CORP 15131310 604 55,500 X 01 0 0 55,500 COM 0 2 165 X X 05 165 0 0 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 92 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 26 2,422 X 08 2,422 0 0 0 106 9,725 X 09 9,725 0 0 0 485 44,616 X X 09 4,750 0 39,866 0 156 14,300 X X 12 0 14,300 0 0 97 8,904 X X 14 0 8,904 0 - - 0 CENTERPOINT PPTYS TR 15189510 340 7,379 X 09 7,379 0 0 SH BEN INT 0 253 5,500 X X 09 5,500 0 0 - - 0 CENTEX CORP 15231210 10 300 X X 08 300 0 0 COM 0 27,611 859,500 X 09 859,200 0 300 0 9 268 X X 09 0 0 268 - - 0 CENTRA SOFTWARE INC 15234X10 40 6,217 X 12 6,217 0 0 COM 0 68 10,450 X X 12 0 10,450 0 - - 0 CENTURY ALUM CO 15643110 375 30,000 X X 14 0 30,000 0 COM - - 0 CENTURY BANCSHARES INC 15643610 2,086 320,944 X X 14 0 320,944 0 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 93 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- CENTURY CASINOS INC 15649210 18 10,000 X X 09 10,000 0 0 COM - - 0 CENTURYTEL INC 15670010 33 1,200 X 04 1,200 0 0 COM 0 98 3,585 X X 04 0 2,835 750 0 15 540 X X 05 540 0 0 0 1,417 51,982 X 08 51,982 0 0 0 380 13,950 X X 08 13,950 0 0 0 17,970 659,458 X 09 654,203 1,950 3,305 0 758 27,814 X X 09 23,523 0 4,291 - - 0 CEPHALON INC 15670810 19 400 X 09 400 0 0 COM 0 49 1,000 X X 09 1,000 0 0 0 50 1,022 X 12 1,022 0 0 0 485 10,000 X X 12 0 10,000 0 - - 0 CERIDIAN CORP 15677T10 56 2,000 X 04 2,000 0 0 COM 0 11 400 X 05 0 0 400 0 46 1,650 X X 05 1,050 0 600 0 2,680 95,500 X 08 95,500 0 0 0 1,271 45,300 X X 08 28,300 10,000 7,000 0 6,533 232,799 X 09 212,649 3,600 16,550 0 2,265 80,720 X X 09 69,510 0 11,210 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 94 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- CERNER CORP 15678210 209 4,500 X X 09 0 0 4,500 COM - - 0 CHAMPION ENTERPRISES INC 15849610 408 95,900 X 09 95,900 0 0 COM - - 0 CHARTER ONE FINL INC 16090310 32 1,321 X 09 1,321 0 0 COM 0 195 7,994 X X 09 7,114 0 880 - - 0 CHARMING SHOPPES INC 16113310 836 160,200 X 09 160,200 0 0 COM - - 0 CHARTER COMMUNICATIONS INC D 16117M10 14,672 902,000 X 09 900,000 0 2,000 CL A 0 2 100 X X 09 0 0 100 0 62 3,800 X X 12 0 3,800 0 - - 0 CHARTERED SEMICONDUCTOR MFG 16133R10 853 14,050 X 09 14,050 0 0 ADR 0 87 1,430 X 12 1,430 0 0 0 686 11,300 X X 12 0 11,300 0 - - 0 CHASE INDS INC 16156810 194 22,500 X X 09 22,500 0 0 COM 0 9 1,000 X X 12 0 1,000 0 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 95 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- CHASE MANHATTAN CORP NEW 16161A10 1,242 26,885 X 04 19,224 0 7,661 COM 0 774 16,755 X X 04 14,771 0 1,984 0 224 4,860 X 05 4,860 0 0 0 134 2,893 X X 05 2,443 0 450 0 3,236 70,064 X 08 70,064 0 0 0 7,952 172,175 X X 08 49,649 12,840 109,686 0 41,258 893,265 X 09 873,563 8,830 10,872 0 74,617 1,615,502 X X 09 262,859 711,020 641,623 0 2,486 53,827 X X 12 0 53,827 0 0 810,805 17,554,458 X X 14 0 17,554,458 0 - - 0 CHATEAU CMNTYS INC 16172610 1,141 42,553 X 09 42,553 0 0 COM 0 28 1,042 X X 09 0 0 1,042 - - 0 CHEAP TICKETS INC 16267210 58 5,600 X 09 5,600 0 0 COM 0 4,164 401,350 X X 14 0 401,350 0 - - 0 CHECKFREE CORP NEW 16281310 6,305 150,500 X 01 0 0 150,500 COM 0 1,638 39,100 X 12 39,100 0 0 - - 0 CHEMED CORP 16359610 554 17,400 X 09 17,400 0 0 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 96 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- CHEVRON CORPORATION 16675110 1,024 12,006 X 04 9,256 0 2,750 COM 0 969 11,366 X X 04 10,466 600 300 0 460 5,400 X 05 3,200 0 2,200 0 497 5,826 X X 05 5,626 0 200 0 83,131 975,141 X 06 975,141 0 0 0 85 1,000 X X 06 0 0 1,000 0 20,248 237,511 X 08 237,161 0 350 0 9,830 115,303 X X 08 71,985 7,585 35,733 0 122,689 1,439,165 X 09 1,415,744 0 23,421 0 65,444 767,677 X X 09 377,774 93,477 296,426 0 1,684 19,754 X X 12 0 19,754 0 0 1,541 18,081 X X 14 0 18,081 0 - - 0 CHICOS FAS INC 16861510 11,053 325,095 X 06 325,095 0 0 COM 0 3,263 95,960 X 08 95,960 0 0 0 8,438 248,170 X 09 247,956 0 214 - - 0 CHILES OFFSHORE INC 16888M10 1,730 80,000 X 09 80,000 0 0 COM - - 0 CHILDRENS PL RETAIL STORES I 16890510 100 3,900 X 09 3,900 0 0 COM 0 131 5,103 X 12 5,103 0 0 - - 0 CHINA MOBILE HONG KONG LTD 16941M10 9,442 291,068 X 09 291,068 0 0 SPONSORED ADR 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 97 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- CHIPPAC INC 16965710 891 75,000 X 09 75,000 0 0 CL A - - 0 CHIRON CORP 17004010 13,275 295,000 X 06 295,000 0 0 COM 0 14 307 X 08 307 0 0 0 135 3,000 X X 08 3,000 0 0 0 12,825 285,001 X 09 285,000 0 1 0 68 1,500 X X 09 0 0 1,500 0 3 75 X 12 75 0 0 - - 0 CHOICE ONE COMMUNICATION INC 17038P10 9,314 764,175 X X 14 0 764,175 0 COM - - 0 CHOICEPOINT INC 17038810 16,740 364,900 X 06 364,900 0 0 COM 0 4,344 94,700 X 08 94,700 0 0 0 12,260 267,250 X 09 267,050 0 200 0 1,821 39,690 X X 09 39,690 0 0 0 20,821 453,872 X X 14 0 453,872 0 - - 0 CHUBB CORP 17123210 71 900 X 04 0 0 900 COM 0 36 450 X X 04 0 0 450 0 16,612 209,948 X 09 207,472 0 2,476 0 18,810 237,721 X X 09 211,352 2,400 23,969 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 98 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 205 2,586 X X 14 0 2,586 0 - - 0 CHURCH & DWIGHT INC 17134010 3,126 170,100 X 01 0 0 170,100 COM 0 14,553 792,000 X 09 792,000 0 0 0 3,012 163,900 X X 09 162,300 0 1,600 - - 0 CHYRON CORP 17160520 30 12,000 X X 12 0 12,000 0 COM NEW - - 0 CIBER INC 17163B10 8 1,000 X X 08 1,000 0 0 COM 0 541 65,552 X 09 65,552 0 0 - - 0 CIENA CORP 17177910 10 78 X 04 0 0 78 COM 0 553 4,500 X 08 4,300 0 200 0 184 1,500 X X 08 1,500 0 0 0 2,640 21,500 X 09 20,200 0 1,300 0 2,309 18,800 X X 09 18,800 0 0 0 420 3,420 X X 12 0 3,420 0 0 32,744 266,619 X X 14 0 266,619 0 - - 0 CINCINNATI FINL CORP 17206210 28 799 X X 05 799 0 0 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 99 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 249 7,000 X 09 7,000 0 0 0 147 4,147 X X 09 3,400 0 747 - - 0 CINERGY CORP 17247410 8 248 X 04 200 0 48 COM 0 9 261 X X 04 261 0 0 0 49 1,486 X X 05 1,136 0 350 0 23 700 X 08 0 0 700 0 20 618 X X 08 618 0 0 0 469 14,199 X 09 12,499 0 1,700 0 1,248 37,750 X X 09 32,037 0 5,713 0 10 300 X X 12 0 300 0 - - 0 CIRCUIT CITY STORE INC 17273710 920 40,000 X 09 40,000 0 0 CIRCT CITY GRP 0 183 7,952 X X 09 7,043 0 909 0 41,053 1,784,934 X X 14 0 1,784,934 0 - - 0 CISCO SYS INC 17275R10 1,088 19,684 X 01 0 0 19,684 COM 0 14,462 261,748 X 04 202,352 0 59,396 0 3,832 69,350 X X 04 35,150 6,600 27,600 0 2,290 41,450 X 05 27,150 0 14,300 0 8,382 151,709 X X 05 125,009 0 26,700 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 100 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 179,009 3,239,989 X 06 3,239,989 0 0 0 10,618 192,183 X X 06 0 0 192,183 0 147,950 2,677,827 X 08 2,661,977 0 15,850 0 38,837 702,933 X X 08 477,713 48,520 176,700 0 480,179 8,691,026 X 09 8,283,082 49,932 358,012 0 269,972 4,886,368 X X 09 2,688,996 134,280 2,063,092 0 22 400 X 12 400 0 0 0 121,799 2,204,514 X X 12 0 2,204,514 0 0 202,586 3,666,708 X X 14 0 3,666,708 0 - 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- 0 COACHMEN INDS INC 18987310 470 45,000 X 09 45,000 0 0 COM - - 0 COASTAL CORP 19044110 1,446 19,510 X 04 16,288 0 3,222 COM 0 54 723 X X 05 723 0 0 0 264 3,563 X 08 3,563 0 0 0 20 266 X X 08 266 0 0 0 15,910 214,635 X 09 209,435 0 5,200 0 2,288 30,865 X X 09 22,639 1,881 6,345 0 8,234 111,088 X X 14 0 111,088 0 - - 0 COBALT NETWORKS INC 19074R10 347 6,000 X 01 0 0 6,000 COM 0 755 13,039 X 07 13,039 0 0 0 87 1,500 X 09 1,500 0 0 0 10 172 X 12 172 0 0 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 105 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 3,387 58,530 X X 14 0 58,530 0 - 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- 0 COGNEX CORP 19242210 12,604 319,600 X 06 319,600 0 0 COM 0 2,995 75,950 X 08 75,950 0 0 0 7,955 201,700 X 09 201,500 0 200 0 365 9,250 X X 12 0 9,250 0 - - 0 COHERENT INC 19247910 0 5 X 04 0 0 5 COM 0 25,660 377,350 X 06 377,350 0 0 0 3,706 54,500 X 08 54,500 0 0 0 41 600 X X 08 600 0 0 0 19,485 286,550 X 09 286,450 0 100 - - 0 COLD METAL PRODS INC 19286110 27 11,500 X 09 11,500 0 0 COM - - 0 COLE KENNETH PRODTNS INC 19329410 9,286 262,950 X 06 262,950 0 0 CL A 0 2,822 79,900 X 08 79,900 0 0 0 7,170 203,050 X 09 202,900 0 150 0 21 600 X X 09 600 0 0 - - 0 COLGATE PALMOLIVE CO 19416210 1,327 28,117 X 04 26,670 0 1,447 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 107 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 1,463 30,992 X X 04 6,832 0 24,160 0 61 1,300 X 05 800 0 500 0 27 582 X X 05 582 0 0 0 13,133 278,231 X 06 278,231 0 0 0 14,572 308,725 X 08 307,875 0 850 0 6,361 134,765 X X 08 128,165 2,900 3,700 0 39,065 827,652 X 09 804,852 0 22,800 0 24,745 524,261 X X 09 258,333 0 265,928 0 236 5,000 X X 12 0 5,000 0 0 4,630 98,099 X X 14 0 98,099 0 - - 0 COLONIAL PPTYS TR 19587210 51 2,000 X X 05 0 0 2,000 COM SH BEN INT 0 26 1,000 X X 08 1,000 0 0 0 3,103 120,800 X 09 112,800 0 8,000 0 231 9,000 X X 09 7,200 1,000 800 - - 0 COLUMBIA BKG SYS INC 19723610 1,297 94,300 X X 14 0 94,300 0 COM - - 0 COLUMBIA ENERGY GROUP 19764810 16 219 X X 05 219 0 0 COM 0 11,330 159,575 X 06 159,575 0 0 0 108 1,521 X X 08 1,521 0 0 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 108 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 10,813 152,300 X 09 152,300 0 0 0 277 3,898 X X 09 2,879 600 419 0 10,082 142,000 X X 14 0 142,000 0 - - 0 COMARCO INC 20008010 804 22,900 X 09 22,900 0 0 COM - - 0 COMCAST CORP 20030010 33 800 X 08 800 0 0 CL A 0 1,790 44,000 X 09 44,000 0 0 0 537 13,200 X X 09 5,100 0 8,100 - - 0 COMCAST CORP 20030020 2,952 72,116 X 04 61,750 0 10,366 CL A SPL 0 1,290 31,500 X X 04 10,700 2,600 18,200 0 2,613 63,823 X X 05 63,023 0 800 0 10,133 247,518 X 08 246,518 0 1,000 0 1,300 31,750 X X 08 24,250 3,000 4,500 0 157,215 3,840,318 X 09 3,633,118 18,300 188,900 0 13,414 327,657 X X 09 193,001 13,100 121,556 0 227 5,550 X X 12 0 5,550 0 0 1,360 33,228 X X 14 0 33,228 0 - - 0 COMDISCO INC 20033610 2 130 X 08 130 0 0 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 109 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 1,054 55,270 X 09 55,270 0 0 0 569 29,850 X X 09 22,200 0 7,650 0 19 1,003 X X 12 0 1,003 0 - - 0 COMERICA INC 20034010 87 1,485 X 04 1,485 0 0 COM 0 117 2,000 X 05 0 0 2,000 0 18 301 X X 05 301 0 0 0 526 9,000 X 08 9,000 0 0 0 897 15,358 X 09 15,358 0 0 0 42 711 X X 09 0 0 711 0 122 2,095 X X 14 0 2,095 0 - - 0 COMMERCE BANCORP INC NJ 20051910 22,535 387,280 X 06 387,280 0 0 COM 0 5,623 96,640 X 08 96,640 0 0 0 14,983 257,485 X 09 257,275 0 210 - - 0 COMMERCE BANCSHARES INC 20052510 67 1,817 X 08 1,817 0 0 COM 0 151 4,095 X X 09 4,095 0 0 - - 0 COMMERCE GROUP INC MASS 20064110 521 18,000 X 09 18,000 0 0 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 110 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 29 1,000 X X 09 0 0 1,000 - - 0 COMMERCE ONE INC DEL 20069310 10,260 130,700 X 01 0 0 130,700 COM 0 4 56 X 04 0 0 56 0 2,303 29,332 X 09 29,332 0 0 0 1,344 17,126 X X 12 0 17,126 0 0 942 12,000 X X 14 0 12,000 0 - - 0 COMMERCIAL METALS CO 20172310 436 17,100 X 09 17,100 0 0 COM - - 0 COMMERCIAL NET LEASE RLTY IN 20221810 109 10,500 X 09 10,500 0 0 COM 0 96 9,300 X X 09 8,500 800 0 - - 0 COMMONWEALTH INDS INC DEL 20300410 223 40,000 X X 14 0 40,000 0 COM - - 0 COMMONWEALTH TEL ENTERPRISES 20334910 203 5,500 X 09 5,500 0 0 COM 0 74 2,000 X X 09 0 0 2,000 - - 0 COMMSCOPE INC 20337210 8 333 X 04 333 0 0 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 111 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 6 228 X 05 0 0 228 0 15 604 X X 05 228 0 376 0 7,842 320,066 X 09 320,066 0 0 0 18 716 X X 09 716 0 0 - 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- 0 COMPANIA DE TELECOMUNICS CHI 20444930 412 23,739 X 09 23,739 0 0 SPON ADR NEW 0 5,231 301,039 X X 14 0 301,039 0 - - 0 COMPAQ COMPUTER CORP 20449310 956 34,650 X 01 0 0 34,650 COM 0 1,154 41,836 X 04 36,250 0 5,586 0 116 4,217 X X 04 1,800 0 2,417 0 11 400 X 05 0 0 400 0 179 6,501 X X 05 6,501 0 0 0 43,795 1,587,925 X 06 1,587,925 0 0 0 21,767 789,216 X 08 777,691 10,000 1,525 0 7,281 263,980 X X 08 234,030 26,500 3,450 0 37,363 1,354,707 X 09 1,327,157 2,000 25,550 0 12,144 440,303 X X 09 266,311 5,000 168,992 0 870 31,560 X X 12 0 31,560 0 0 6,372 231,051 X X 14 0 231,051 0 - - 0 COMPUTER ASSOC INTL INC 20491210 579 23,000 X 01 0 0 23,000 COM 0 314 12,462 X 04 11,212 0 1,250 0 157 6,227 X X 04 6,227 0 0 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 113 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 32 1,278 X X 05 1,278 0 0 0 13 500 X X 06 0 0 500 0 1,333 52,913 X 08 52,513 0 400 0 848 33,656 X X 08 19,216 3,840 10,600 0 7,213 286,380 X 09 275,705 250 10,425 0 1,686 66,954 X X 09 48,678 0 18,276 0 105 4,151 X X 12 0 4,151 0 0 5,137 203,956 X X 14 0 203,956 0 - - 0 COMPUTER MOTION INC 20525310 282 29,715 X 07 29,715 0 0 COM 0 478 50,271 X 11 50,271 0 0 - - 0 COMPUTER SCIENCES CORP 20536310 149 2,000 X 01 0 0 2,000 COM 0 226 3,050 X 04 3,050 0 0 0 26 350 X 05 350 0 0 0 35 477 X X 05 477 0 0 0 126 1,700 X X 08 1,700 0 0 0 7,850 105,720 X 09 105,420 0 300 0 1,405 18,916 X X 09 12,317 0 6,599 0 101 1,356 X X 12 0 1,356 0 0 124 1,672 X X 14 0 1,672 0 - - 0 COMPX INTERNATIONAL INC 20563P10 6,687 318,410 X X 14 0 318,410 0 CL A 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 114 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- COMPUWARE CORP 20563810 6 700 X 04 700 0 0 COM 0 1 163 X X 05 163 0 0 0 1,572 187,725 X 08 186,025 0 1,700 0 539 64,350 X X 08 57,750 6,600 0 0 1,557 185,920 X 09 169,670 4,100 12,150 0 331 39,500 X X 09 37,900 0 1,600 0 13 1,565 X 12 1,565 0 0 0 3 400 X X 12 0 400 0 - 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- 0 CONCORD EFS INC 20619710 19,459 547,900 X 06 547,900 0 0 COM 0 18,823 530,000 X 09 530,000 0 0 0 9 243 X X 12 0 243 0 0 774 21,800 X X 14 0 21,800 0 - - 0 CONDUCTUS INC 20678410 357 24,188 X 12 24,188 0 0 COM - - 0 CONECTIV INC 20682910 13 750 X X 04 750 0 0 COM 0 28 1,546 X X 08 1,546 0 0 0 375 20,978 X 09 20,978 0 0 0 63 3,550 X X 09 2,550 0 1,000 0 12 677 X X 14 0 677 0 - - 0 CONEXANT SYSTEMS INC 20714210 39 920 X 01 0 0 920 COM 0 3 79 X 04 0 0 79 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 116 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 21 500 X X 04 0 0 500 0 5 119 X X 05 119 0 0 0 343 8,200 X 08 8,200 0 0 0 620 14,800 X X 08 5,800 9,000 0 0 234 5,598 X 09 3,998 0 1,600 0 2,153 51,425 X X 09 24,418 0 27,007 0 168 4,000 X 12 4,000 0 0 0 457 10,920 X X 12 0 10,920 0 - - 0 CONNETICS CORP 20819210 338 14,000 X X 12 0 14,000 0 COM - - 0 CONOCO INC 20825130 54 2,075 X 04 900 0 1,175 CL A 0 376 14,400 X 05 12,700 0 1,700 0 253 9,700 X 08 9,700 0 0 0 24 900 X X 08 900 0 0 0 10,403 398,213 X 09 396,613 0 1,600 0 1,182 45,240 X X 09 42,440 1,800 1,000 - - 0 CONOCO INC 20825140 865 32,100 X 02 0 0 32,100 CL B 0 505 18,756 X 04 15,935 0 2,821 0 301 11,180 X X 04 2,244 2,058 6,878 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 117 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 63 2,350 X 05 2,350 0 0 0 4,708 174,775 X X 05 174,775 0 0 0 5,314 197,267 X X 06 0 0 197,267 0 8,555 317,583 X 08 315,983 0 1,600 0 2,526 93,772 X X 08 80,353 12,919 500 0 31,551 1,171,262 X 09 1,098,472 5,429 67,361 0 9,660 358,594 X X 09 232,158 19,476 106,960 0 8 307 X X 12 0 307 0 - - 0 CONSECO INC 20846410 160 21,000 X X 04 0 0 21,000 COM 0 4 557 X X 05 557 0 0 0 475 62,290 X 09 62,290 0 0 0 123 16,076 X X 09 2,004 0 14,072 0 0 8 X X 12 0 8 0 0 13 1,686 X X 14 0 1,686 0 - - 0 CONSOLIDATED EDISON INC 20911510 400 11,735 X 04 11,735 0 0 COM 0 113 3,300 X X 04 2,600 700 0 0 15 426 X X 05 426 0 0 0 81 2,364 X 08 2,364 0 0 0 175 5,140 X X 08 4,340 800 0 0 3,810 111,649 X 09 110,649 0 1,000 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 118 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 2,628 77,006 X X 09 63,681 6,014 7,311 0 19,816 580,700 X X 14 0 580,700 0 - - 0 CONSOLIDATED STORES CORP 21014910 956 70,800 X 09 70,800 0 0 COM 0 7 488 X X 09 0 0 488 - - 0 CONSTELLATION ENERGY CORP 21037110 24 483 X X 05 483 0 0 COM 0 45 897 X X 08 897 0 0 0 447 8,994 X 09 7,894 0 1,100 0 451 9,065 X X 09 6,947 0 2,118 0 40 795 X X 14 0 795 0 - - 0 CONTINENTAL AIRLS INC 21079530 343 7,550 X 09 7,550 0 0 CL B - - 0 CONTINENTAL INFORMATN SYS NE 21149710 721 607,158 X 09 607,158 0 0 COM - - 0 CONVERGYS CORP 21248510 525 13,500 X 09 13,500 0 0 COM 0 737 18,951 X X 09 13,291 0 5,660 - - 0 COOLSAVINGS COM INC 21648510 820 300,000 X 12 300,000 0 0 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 119 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 632 231,250 X X 12 0 231,250 0 - - 0 COOPER CAMERON CORP 21664010 21,826 296,200 X 06 296,200 0 0 COM 0 4,754 64,518 X X 08 61,864 0 2,654 0 22,917 311,000 X 09 311,000 0 0 - - 0 COOPER COS INC 21664840 18,384 519,700 X 06 519,700 0 0 COM NEW 0 4,401 124,400 X 08 124,400 0 0 0 12,601 356,200 X 09 355,900 0 300 - - 0 COOPER INDS INC 21666910 229 6,503 X X 08 1,400 3,593 1,510 COM 0 392 11,120 X 09 10,620 0 500 0 796 22,568 X X 09 19,270 2,100 1,198 - - 0 COORS ADOLPH CO 21701610 63 1,000 X 08 1,000 0 0 CL B 0 126 2,000 X X 08 0 0 2,000 0 11 168 X X 09 0 0 168 - - 0 COPART INC 21720410 10,008 721,300 X 06 721,300 0 0 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 120 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 3,081 222,050 X 08 222,050 0 0 0 7,668 552,650 X 09 552,200 0 450 - - 0 COR THERAPEUTICS INC 21775310 1 12 X 04 0 0 12 COM 0 17,064 273,850 X 06 273,850 0 0 0 3,321 53,300 X 08 53,300 0 0 0 9,232 148,150 X 09 148,000 0 150 0 694 11,140 X 12 11,140 0 0 0 1,492 23,950 X X 12 0 23,950 0 - - 0 CORN PRODS INTL INC 21902310 62 2,739 X 08 2,739 0 0 COM 0 46 2,025 X X 08 1,125 0 900 0 258 11,356 X 09 11,281 0 75 0 426 18,727 X X 09 13,000 140 5,587 - - 0 CORNING INC 21935010 6,997 23,560 X 04 19,149 0 4,411 COM 0 1,856 6,250 X X 04 2,250 0 4,000 0 1,767 5,950 X 05 4,250 0 1,700 0 2,708 9,119 X X 05 9,019 0 100 0 15,545 52,339 X 08 52,239 0 100 0 20,148 67,839 X X 08 60,339 5,500 2,000 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 121 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 93,040 313,267 X 09 296,294 1,380 15,593 0 115,508 388,916 X X 09 256,549 62,422 69,945 0 297 1,000 X 12 1,000 0 0 0 1,792 6,034 X X 12 0 6,034 0 0 1,103 3,713 X X 14 0 3,713 0 - - 0 CORPORATE EXECUTIVE BRD CO 21988R10 2,262 56,200 X 09 56,200 0 0 COM - - 0 CORPORATE HIGH YIELD FD III 21992510 153 15,000 X 09 15,000 0 0 COM - - 0 CORSAIR COMMUNICATIONS INC 22040610 552 70,701 X 09 70,701 0 0 COM 0 138 17,716 X 12 17,716 0 0 0 1,511 193,333 X X 12 0 193,333 0 - - 0 CORVIS CORP 22100910 794 13,000 X 09 13,000 0 0 COM 0 32 525 X 12 525 0 0 0 2,726 44,650 X X 12 0 44,650 0 0 14,351 235,085 X X 14 0 235,085 0 - - 0 COST PLUS INC CALIF 22148510 385 12,794 X 09 12,794 0 0 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 122 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- COSTCO WHSL CORP NEW 22160K10 2,613 74,780 X 04 63,580 0 11,200 COM 0 652 18,650 X X 04 5,450 6,400 6,800 0 1,115 31,900 X 05 23,400 0 8,500 0 1,602 45,854 X X 05 44,854 0 1,000 0 6,932 198,400 X 08 193,600 0 4,800 0 2,243 64,190 X X 08 32,090 2,000 30,100 0 21,892 626,588 X 09 599,688 1,800 25,100 0 5,106 146,135 X X 09 107,121 6,000 33,014 0 126 3,607 X X 12 0 3,607 0 0 27,742 794,049 X X 14 0 794,049 0 - - 0 COSTAR GROUP INC 22160N10 4,891 132,200 X X 09 0 0 132,200 COM - - 0 COULTER PHARMACEUTICAL INC 22211610 1,824 63,179 X 03 63,179 0 0 COM 0 118 4,099 X 12 4,099 0 0 0 91 3,150 X X 12 0 3,150 0 - - 0 COUSINS PPTYS INC 22279510 517 12,000 X 04 12,000 0 0 COM 0 1,809 41,998 X 09 41,998 0 0 - - 0 COVAD COMMUNICATIONS GROUP I 22281420 4 300 X 08 300 0 0 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 123 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 17 1,250 X 09 1,250 0 0 0 17 1,275 X X 09 0 0 1,275 0 158 11,850 X X 12 0 11,850 0 - - 0 COVANCE INC 22281610 1 175 X X 08 175 0 0 COM 0 93 11,385 X 09 9,875 0 1,510 0 53 6,507 X X 09 6,382 0 125 - - 0 COX COMMUNICATIONS INC NEW 22404410 1,530 40,000 X 04 40,000 0 0 CL A 0 29 770 X 09 770 0 0 0 857 22,408 X X 09 10,608 0 11,800 0 49 1,294 X X 12 0 1,294 0 0 189 4,929 X X 14 0 4,929 0 - - 0 CRAIG CORP 22417410 43 13,900 X 09 13,900 0 0 COM - - 0 CREDIT SUISSE ASSET MGMT INC 22491610 133 20,000 X X 04 0 0 20,000 COM - - 0 CRAY INC 22522310 99 22,200 X 09 22,200 0 0 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 124 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 89 20,000 X X 12 0 20,000 0 - - 0 CREE INC 22544710 2 14 X 04 0 0 14 COM 0 22,866 196,700 X 06 196,700 0 0 0 6,185 53,200 X 08 53,200 0 0 0 16,199 139,350 X 09 139,250 0 100 - - 0 CRESCENT REAL ESTATE EQUITIE 22575610 19 830 X 05 0 0 830 COM 0 1,163 52,120 X 08 52,120 0 0 0 1,261 56,525 X X 08 48,325 8,200 0 0 4,074 182,600 X 09 182,600 0 0 0 83 3,700 X X 09 3,500 0 200 - - 0 CRITICAL PATH INC 22674V10 58 950 X 09 950 0 0 COM 0 687 11,314 X 12 11,314 0 0 0 2,403 39,555 X X 12 0 39,555 0 0 19,328 318,151 X X 14 0 318,151 0 - - 0 CROMPTON CORP 22711610 558 70,800 X 08 70,800 0 0 COM 0 122 15,500 X X 08 5,500 10,000 0 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 125 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 75 9,500 X 09 9,500 0 0 0 34 4,348 X X 09 4,348 0 0 - - 0 CROSS TIMBERS OIL CO 22757310 5 282 X 04 0 0 282 COM 0 849 44,251 X 09 44,250 0 1 - - 0 CROSSWORLDS SOFTWARE INC 22769P10 1 67 X 12 67 0 0 COM 0 514 26,000 X X 12 0 26,000 0 - - 0 CROWN MEDIA HLDGS INC 22841110 54,434 3,836,620 X 03 3,836,620 0 0 CL A - - 0 CRYSTALLEX INTL CORP 22942F10 32 23,500 X 09 23,500 0 0 COM - - 0 CUBIST PHARMACEUTICALS INC 22967810 78 1,500 X 09 1,500 0 0 COM 0 3 63 X 12 63 0 0 0 7,617 146,300 X X 12 0 146,300 0 - - 0 CULLEN FROST BANKERS INC 22989910 28,896 889,100 X 06 889,100 0 0 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 126 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 4,716 145,100 X 08 145,100 0 0 0 57 1,740 X X 08 1,740 0 0 0 31,424 966,880 X 09 966,530 0 350 0 882 27,150 X X 09 10,550 0 16,600 - - 0 CUMMINS ENGINE INC 23102110 266 8,900 X 09 8,900 0 0 COM 0 5 172 X X 09 0 0 172 - - 0 CURAGEN CORP 23126R10 75 1,400 X 09 1,400 0 0 COM 0 3,252 61,040 X X 12 0 61,040 0 - - 0 CURIS INC 23126910 17 870 X 12 870 0 0 COM 0 673 33,750 X X 12 0 33,750 0 - - 0 CYBERONICS INC 23251P10 1,095 51,100 X X 14 0 51,100 0 COM - - 0 CYBEROPTICS CORP 23251710 12,142 663,012 X X 14 0 663,012 0 COM - - 0 CYPRESS SEMICONDUCTOR CORP 23280610 54 1,300 X X 08 1,300 0 0 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 127 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 914 22,000 X X 09 0 0 22,000 0 14 348 X X 12 0 348 0 0 15 351 X X 14 0 351 0 - 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- 0 DPL INC 23329310 100 3,375 X 08 3,375 0 0 COM 0 428 14,402 X 09 14,402 0 0 0 508 17,067 X X 09 17,067 0 0 - - 0 DRS TECHNOLOGIES INC 23330X10 508 31,250 X 09 31,250 0 0 COM - - 0 D R HORTON INC 23331A10 7,077 411,734 X 06 411,734 0 0 COM 0 1,911 111,178 X 08 111,178 0 0 0 5,817 338,417 X 09 338,145 0 272 - - 0 DTE ENERGY CO 23333110 4 100 X 04 100 0 0 COM 0 6 162 X X 05 162 0 0 0 249 6,500 X 09 6,500 0 0 0 161 4,207 X X 09 3,550 0 657 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 129 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 28 727 X X 14 0 727 0 - - 0 DAIN RAUSCHER CORP 23385610 344 3,700 X 09 3,700 0 0 COM 0 2,027 21,800 X X 14 0 21,800 0 - - 0 DAISYTEK INTL CORP 23405310 9 1,457 X 12 1,457 0 0 COM 0 8,118 1,285,840 X X 14 0 1,285,840 0 - - 0 DAL-TILE INTL INC 23426R10 6,494 519,550 X 06 519,550 0 0 COM 0 3,325 265,975 X 08 265,975 0 0 0 3,651 292,100 X 09 291,800 0 300 0 674 53,948 X X 09 53,948 0 0 - - 0 DALLAS SEMICONDUCTOR CORP 23520410 7,982 242,800 X 06 242,800 0 0 COM 0 1,940 59,000 X 08 59,000 0 0 0 4,767 145,000 X 09 144,800 0 200 - - 0 DANA CORP 23581110 1 28 X X 05 28 0 0 COM 0 41 1,890 X X 08 0 1,890 0 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 130 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 5,905 274,672 X 09 271,872 0 2,800 0 2,752 127,995 X X 09 121,294 0 6,701 - 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- 0 DATATEC SYS INC 23812810 44 10,000 X X 09 0 0 10,000 COM - - 0 DATUM INC 23820810 239 9,200 X 12 9,200 0 0 COM - - 0 DECODE GENETICS INC 24358610 5,148 200,417 X X 14 0 200,417 0 COM - - 0 DEERE & CO 24419910 499 15,010 X 08 15,010 0 0 COM 0 1,209 36,350 X X 08 22,050 13,800 500 0 2,168 65,190 X 09 65,190 0 0 0 659 19,828 X X 09 15,300 0 4,528 0 86 2,582 X X 14 0 2,582 0 - - 0 DEL GLOBAL TECHNOLOGIES CORP 24507310 305 30,900 X 10 0 0 30,900 COM - - 0 DEL LABS INC 24509110 159 13,143 X X 09 13,143 0 0 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 132 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- DELL COMPUTER CORP 24702510 755 24,508 X 01 0 0 24,508 COM 0 269 8,728 X 04 7,260 0 1,468 0 253 8,200 X X 04 4,000 0 4,200 0 28 900 X 05 500 0 400 0 261 8,486 X X 05 7,886 0 600 0 29,629 961,574 X 06 961,574 0 0 0 18,499 600,376 X 08 599,951 0 425 0 4,856 157,585 X X 08 135,335 7,700 14,550 0 48,533 1,575,087 X 09 1,567,887 0 7,200 0 2,178 70,672 X X 09 48,608 1,300 20,764 0 1,218 39,526 X X 12 0 39,526 0 0 4,932 160,066 X X 14 0 160,066 0 - 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- 0 DENTSPLY INTL INC NEW 24903010 10,708 306,500 X 06 306,500 0 0 COM 0 10,350 296,250 X 09 296,250 0 0 - - 0 DESC S A DE C V 25030910 1,073 104,000 X 04 104,000 0 0 SPON ADR C - - 0 DEUTSCHE TELEKOM AG 25156610 34 1,000 X 04 0 0 1,000 SPONSORED ADR 0 21 600 X 05 0 0 600 0 1,395 40,725 X 09 40,725 0 0 0 34 1,000 X X 09 1,000 0 0 0 45 1,300 X X 14 0 1,300 0 - - 0 DEVELOPERS DIVERSIFIED RLTY 25159110 219 17,000 X 09 13,000 0 4,000 COM 0 13 1,000 X X 09 0 1,000 0 0 19 1,500 X X 12 0 1,500 0 - - 0 DEVON ENERGY CORP NEW 25179M10 13 208 X X 04 208 0 0 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 135 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 33 544 X 08 44 0 500 0 319 5,302 X X 08 5,302 0 0 0 36 591 X 09 496 0 95 0 709 11,790 X X 09 582 151 11,057 0 60,548 1,006,622 X X 14 0 1,006,622 0 - - 0 DEXTER CORP 25216510 0 816,500 X 01 0 0 816,500 COM 0 0 25,700 X X 14 0 25,700 0 - - 0 DIAMOND OFFSHORE DRILLING IN 25271C10 84 2,060 X 08 2,060 0 0 COM 0 96 2,350 X X 08 2,350 0 0 0 531 12,950 X 09 12,650 300 0 0 82 2,000 X X 09 0 0 2,000 0 82 2,000 X 12 2,000 0 0 0 49 1,200 X X 12 0 1,200 0 - - 0 DIAMONDS TR 25278710 78 732 X 08 732 0 0 UNIT SER 1 0 58 540 X X 08 540 0 0 0 301 2,827 X 09 2,827 0 0 - - 0 DIANON SYS INC 25282610 8 211 X 12 211 0 0 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 136 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 11,164 279,980 X X 14 0 279,980 0 - - 0 DIEBOLD INC 25365110 80 3,000 X 04 3,000 0 0 COM 0 64 2,427 X 08 2,427 0 0 0 137 5,176 X X 08 5,176 0 0 0 2,250 84,688 X 09 69,738 3,600 11,350 0 604 22,749 X X 09 22,349 0 400 - - 0 DIGITAL IMPACT INC DEL 25385G10 9 1,300 X 12 1,300 0 0 COM 0 697 105,650 X X 12 0 105,650 0 - - 0 DIGITAL IS INC DEL 25385N10 48,765 2,600,796 X 07 2,600,796 0 0 COM 0 480 25,600 X 09 25,600 0 0 0 534 28,496 X 10 28,496 0 0 0 2 119 X 12 119 0 0 0 294 15,655 X X 12 0 15,655 0 0 13,974 745,270 X X 14 0 745,270 0 - - 0 DIGITAL INSIGHT CORP 25385P10 208 5,790 X 08 5,790 0 0 COM 0 279 7,789 X 12 7,789 0 0 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 137 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 785 21,889 X X 12 0 21,889 0 - - 0 DIGITAL LIGHTHOUSE CORP 25386P10 0 24 X 12 24 0 0 COM 0 109 36,450 X X 12 0 36,450 0 - - 0 DIGITALTHINK INC 25388M10 385 9,139 X 12 9,139 0 0 COM 0 3,017 71,621 X X 12 0 71,621 0 - - 0 DIGITAL GENERATION SYS INC 25392110 6 1,374 X 12 1,374 0 0 COM 0 1,690 397,726 X X 12 0 397,726 0 - - 0 DILLARDS INC 25406710 48 4,542 X 08 4,542 0 0 CL A 0 5 502 X X 09 0 0 502 0 1,642 154,500 X 12 154,500 0 0 - - 0 DIME BANCORP INC NEW 25429Q10 300 13,900 X 09 13,900 0 0 COM 0 108 5,000 X X 12 0 5,000 0 - - 0 DISCOVERY PARTNERS INTL INC 25467510 122 6,003 X 12 6,003 0 0 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 138 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 2,132 104,950 X X 12 0 104,950 0 - - 0 DISNEY WALT CO 25468710 1,033 27,000 X 01 0 0 27,000 COM DISNEY 0 3,164 82,723 X 04 76,245 0 6,478 0 1,166 30,481 X X 04 16,031 7,450 7,000 0 71 1,863 X 05 1,100 0 763 0 257 6,730 X X 05 6,430 0 300 0 125,768 3,288,044 X 06 3,288,044 0 0 0 46,815 1,223,924 X 08 1,221,924 0 2,000 0 16,821 439,767 X X 08 311,026 67,041 61,700 0 169,152 4,422,272 X 09 4,276,153 11,950 134,169 0 90,169 2,357,363 X X 09 1,454,839 72,557 829,967 0 1,071 28,010 X X 12 0 28,010 0 0 10,385 271,505 X X 14 0 271,505 0 - - 0 DIVERSA CORP 25506410 640 23,705 X X 12 0 23,705 0 COM - - 0 DOLLAR GEN CORP 25666910 21 1,264 X 04 578 0 686 COM 0 5 326 X X 05 326 0 0 0 768 45,830 X 08 45,830 0 0 0 358 21,375 X X 08 15,125 6,250 0 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 139 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 4,348 259,606 X 09 236,276 5,850 17,480 0 2,465 147,165 X X 09 124,886 0 22,279 - - 0 DOLLAR THRIFTY AUTOMOTIVE GP 25674310 841 42,600 X 09 42,600 0 0 COM - - 0 DOMINION RES INC VA NEW 25746U10 297 5,120 X 04 1,768 0 3,352 COM 0 298 5,126 X X 04 1,493 3,633 0 0 48 828 X X 05 828 0 0 0 20,694 356,400 X 06 356,400 0 0 0 3,236 55,736 X 08 55,136 0 600 0 699 12,036 X X 08 12,010 1 25 0 20,070 345,651 X 09 342,643 0 3,008 0 5,858 100,885 X X 09 82,028 5,199 13,658 0 198 3,414 X X 14 0 3,414 0 - - 0 DONALDSON LUFKIN & JENRETTE 25766110 11,895 133,000 X 01 0 0 133,000 COM DLJ 0 47,250 528,300 X 09 528,300 0 0 0 8,640 96,600 X X 14 0 96,600 0 - - 0 DONNELLEY R R & SONS CO 25786710 61 2,487 X 04 2,487 0 0 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 140 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 4 160 X X 05 160 0 0 0 580 23,607 X 09 23,607 0 0 0 721 29,359 X X 09 25,684 0 3,675 - - 0 DORAL FINL CORP 25811P10 670 41,400 X 09 41,400 0 0 COM - - 0 DORCHESTER HUGOTON LTD 25820520 305 20,000 X 09 20,000 0 0 DEPOSTARY RCPT - - 0 DOUBLECLICK INC 25860930 4 113 X 04 0 0 113 COM 0 205 6,400 X 09 6,400 0 0 0 352 11,000 X X 09 11,000 0 0 0 9 290 X X 12 0 290 0 - - 0 DOVER CORP 26000310 300 6,400 X X 04 6,400 0 0 COM 0 38 816 X X 05 816 0 0 0 59,745 1,272,848 X 06 1,272,848 0 0 0 18,220 388,176 X 08 387,676 0 500 0 1,969 41,946 X X 08 30,346 7,800 3,800 0 61,875 1,318,230 X 09 1,315,830 240 2,160 0 8,247 175,706 X X 09 143,927 4,800 26,979 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 141 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 95,827 2,041,572 X X 14 0 2,041,572 0 - - 0 DOW CHEM CO 26054310 2,817 112,950 X 01 0 0 112,950 COM 0 720 28,875 X 04 22,950 0 5,925 0 708 28,371 X X 04 16,770 7,401 4,200 0 117 4,700 X 05 4,700 0 0 0 86 3,431 X X 05 2,831 0 600 0 18,986 761,332 X 06 761,332 0 0 0 9,753 391,095 X 08 391,095 0 0 0 6,850 274,683 X X 08 139,854 36,900 97,929 0 32,491 1,302,883 X 09 1,284,513 0 18,370 0 18,790 753,450 X X 09 530,556 15,975 206,919 0 34 1,347 X X 12 0 1,347 0 0 159 6,376 X X 14 0 6,376 0 - - 0 DOW JONES & CO INC 26056110 3 47 X X 05 47 0 0 COM 0 133 2,200 X 08 2,200 0 0 0 1,214 20,070 X 09 20,070 0 0 0 147 2,436 X X 09 0 0 2,436 - - 0 DOWNEY FINL CORP 26101810 719 18,200 X 09 18,200 0 0 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 142 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- DREYERS GRAND ICE CREAM INC 26187810 2,375 110,150 X 09 110,150 0 0 COM 0 8 356 X 12 356 0 0 - - 0 DU PONT E I DE NEMOURS & CO 26353410 25 600 X 01 0 0 600 COM 0 2,609 62,956 X 04 55,474 0 7,482 0 1,176 28,376 X X 04 15,802 5,508 7,066 0 212 5,117 X 05 4,967 0 150 0 108 2,609 X X 05 2,409 0 200 0 49,658 1,198,368 X 06 1,198,368 0 0 0 8 200 X X 06 0 0 200 0 11,936 288,042 X 08 285,842 2,000 200 0 12,160 293,442 X X 08 256,793 12,808 23,841 0 97,448 2,351,663 X 09 2,317,373 1,000 33,290 0 62,204 1,501,133 X X 09 910,294 103,632 487,207 0 317 7,658 X X 12 0 7,658 0 0 12,071 291,292 X X 14 0 291,292 0 - - 0 DUFF & PHELPS UTILS INCOME I 26432410 88 9,000 X X 04 0 9,000 0 COM 0 9 938 X 08 938 0 0 0 5 503 X X 08 503 0 0 0 2 222 X 09 222 0 0 0 291 29,800 X X 09 5,000 24,800 0 - - 0 DUKE ENERGY CORP 26439910 5,359 62,500 X 02 0 0 62,500 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 143 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 1,640 19,120 X 04 18,708 0 412 0 383 4,465 X X 04 2,639 1,826 0 0 660 7,700 X 05 5,400 0 2,300 0 1,540 17,963 X X 05 17,463 0 500 0 60,805 709,099 X 06 709,099 0 0 0 22,025 256,852 X 08 253,950 0 2,902 0 9,482 110,575 X X 08 100,325 9,250 1,000 0 82,409 961,040 X 09 943,037 1,300 16,703 0 7,821 91,206 X X 09 71,719 730 18,757 0 21 250 X X 12 0 250 0 0 12,075 140,811 X X 14 0 140,811 0 - - 0 DUKE WEEKS REALTY CORP 26441150 24 1,000 X 08 1,000 0 0 COM NEW 0 4,072 168,800 X 09 165,800 0 3,000 0 193 8,000 X X 12 0 8,000 0 - - 0 DUN & BRADSTREET CORP DEL 26483B10 41 1,200 X X 04 1,200 0 0 COM 0 5 140 X X 05 140 0 0 0 39 1,145 X 08 1,145 0 0 0 46 1,324 X X 08 1,324 0 0 0 3,021 87,710 X 09 87,710 0 0 0 1,423 41,308 X X 09 27,731 2,200 11,377 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 144 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- DURA AUTOMOTIVE SYSTEMS CORP 26590310 533 57,700 X 09 57,700 0 0 CL A - - 0 DURA PHARMACEUTICALS INC 26632S10 417 11,800 X 09 11,800 0 0 COM 0 26 741 X 12 741 0 0 0 2,130 60,200 X X 14 0 60,200 0 - - 0 DURA PHARMACEUTICALS INC 26632S11 78 59,100 X X 12 0 59,100 0 *W EXP 12/31/2002 - - 0 DURA PHARMACEUTICALS INC 26632S12 273 59,100 X X 12 0 59,100 0 *W EXP 09/01/2005 - - 0 DUSA PHARMACEUTICALS INC 26689810 256 8,300 X 12 8,300 0 0 COM 0 2,773 90,000 X X 12 0 90,000 0 - - 0 DYAX CORP 26746E10 21,372 488,512 X X 07 488,512 0 0 COM - - 0 DYCOM INDS INC 26747510 6,946 166,875 X 06 166,875 0 0 COM 0 1,814 43,575 X 08 43,575 0 0 0 4,407 105,875 X 09 105,750 0 125 - - 0 DYNEGY INC NEW 26816Q10 31 540 X 04 316 0 224 CL A 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 145 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 22 380 X X 04 380 0 0 0 11 200 X X 08 200 0 0 0 31,208 547,500 X 09 547,500 0 0 0 23 400 X X 09 400 0 0 - - 0 EEX CORP 26842V20 182 37,902 X 08 37,902 0 0 COM NEW 0 364 75,674 X 09 75,674 0 0 - - 0 E-LOAN INC 26861P10 2 485 X 12 485 0 0 COM 0 57 13,625 X X 12 0 13,625 0 - - 0 E M C CORP MASS 26864810 10 100 X 01 0 0 100 COM 0 17,220 173,721 X 04 153,610 0 20,111 0 4,015 40,500 X X 04 20,600 1,600 18,300 0 2,795 28,200 X 05 21,200 0 7,000 0 18,616 187,799 X X 05 183,899 0 3,900 0 188,359 1,900,214 X 06 1,900,214 0 0 0 4,751 47,928 X X 06 0 0 47,928 0 165,867 1,673,314 X 08 1,663,564 0 9,750 0 31,988 322,700 X X 08 277,050 21,850 23,800 0 542,038 5,468,231 X 09 5,085,879 30,690 351,662 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 146 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 174,665 1,762,064 X X 09 1,192,480 57,700 511,884 0 24,460 246,756 X X 12 0 246,756 0 0 148,021 1,493,273 X X 14 0 1,493,273 0 - - 0 EOG RES INC 26875P10 74 1,900 X 04 1,500 0 400 COM 0 19 500 X X 04 0 0 500 0 19 500 X 05 0 0 500 0 743 19,100 X 08 18,300 0 800 0 257 6,600 X X 08 6,600 0 0 0 1,193 30,700 X 09 29,700 0 1,000 0 571 14,700 X X 09 7,700 0 7,000 0 39 1,000 X X 12 0 1,000 0 - - 0 EPIX MEDICAL INC 26881Q10 5 390 X 12 390 0 0 COM 0 1,131 80,800 X X 12 0 80,800 0 - - 0 E PIPHANY INC 26881V10 77 1,000 X 12 1,000 0 0 COM 0 489 6,346 X X 12 0 6,346 0 - - 0 ESPS INC 26912910 115 34,794 X 12 34,794 0 0 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 147 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 1,290 389,500 X X 12 0 389,500 0 - - 0 E TOWN 26924210 13 200 X 09 200 0 0 COM 0 6,507 97,300 X X 14 0 97,300 0 - - 0 E TRADE GROUP INC 26924610 1 31 X 04 0 0 31 COM 0 16 1,000 X X 06 0 0 1,000 0 8 500 X 09 500 0 0 0 12 700 X X 09 700 0 0 0 455 27,687 X 12 27,687 0 0 0 18 1,100 X X 12 0 1,100 0 - - 0 EARTHGRAINS CO 27031910 14 768 X X 04 0 0 768 COM 0 26 1,400 X X 08 1,400 0 0 0 1,583 85,832 X 09 85,832 0 0 0 1,320 71,600 X X 09 39,464 0 32,136 - - 0 EARTHLINK INC 27032110 1,307 143,236 X 01 0 0 143,236 COM 0 1 150 X 04 150 0 0 0 86 9,461 X 09 9,461 0 0 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 148 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 1 148 X 12 148 0 0 0 9 1,000 X X 12 0 1,000 0 - - 0 EAST WEST BANCORP INC 27579R10 3,092 158,050 X 06 158,050 0 0 COM 0 507 25,900 X 09 25,900 0 0 - - 0 EASTERN ENTERPRISES 27637F10 39 611 X X 08 611 0 0 COM 0 30 472 X 09 472 0 0 0 455 7,123 X X 09 531 0 6,592 0 9,112 142,800 X X 14 0 142,800 0 - - 0 EASTMAN CHEM CO 27743210 9 241 X 04 200 0 41 COM 0 14 372 X X 04 250 0 122 0 9 250 X 05 0 0 250 0 18 500 X X 05 300 0 200 0 49 1,339 X 08 1,339 0 0 0 20 530 X X 08 530 0 0 0 8,812 238,560 X 09 238,200 56 304 0 3,029 82,000 X X 09 74,950 784 6,266 - - 0 EASTMAN KODAK CO 27746110 294 7,200 X 04 7,200 0 0 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 149 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 99 2,423 X X 04 2,000 0 423 0 9 213 X X 05 213 0 0 0 14,855 363,425 X 06 363,425 0 0 0 5,366 131,279 X 08 131,279 0 0 0 263 6,429 X X 08 6,009 420 0 0 45,426 1,111,334 X 09 1,108,672 225 2,437 0 20,010 489,538 X X 09 419,150 39,398 30,990 0 61 1,500 X X 12 0 1,500 0 0 12,659 309,711 X X 14 0 309,711 0 - - 0 EATON CORP 27805810 15 245 X X 05 245 0 0 COM 0 28 450 X X 08 0 0 450 0 799 12,964 X 09 12,064 0 900 0 929 15,083 X X 09 10,735 0 4,348 0 100 1,621 X X 14 0 1,621 0 - - 0 EBAY INC 27864210 3,359 48,900 X 01 0 0 48,900 COM 0 1 11 X 04 0 0 11 0 273 3,980 X 09 3,980 0 0 0 1,060 15,430 X X 09 10,630 0 4,800 0 14 200 X X 12 0 200 0 0 12,486 181,783 X X 14 0 181,783 0 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 150 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- ECHELON CORP 27874N10 50 1,700 X X 08 1,700 0 0 COM 0 2,138 72,785 X X 09 72,785 0 0 0 29 997 X X 12 0 997 0 - - 0 ECHOSTAR COMMUNICATIONS NEW 27876210 7 138 X 04 80 0 58 CL A 0 723 13,700 X X 08 0 0 13,700 0 601 11,400 X 09 11,400 0 0 0 32 600 X X 09 600 0 0 0 2,409 45,675 X X 12 0 45,675 0 - - 0 ECOLAB INC 27886510 5,054 140,150 X 08 139,650 0 500 COM 0 851 23,600 X X 08 22,150 1,450 0 0 3,716 103,040 X 09 101,840 0 1,200 0 1,058 29,333 X X 09 15,950 0 13,383 - - 0 EDISON INTL 28102010 39 2,000 X X 04 2,000 0 0 COM 0 55 2,826 X X 05 2,826 0 0 0 28 1,433 X 08 1,433 0 0 0 80 4,168 X X 08 3,550 0 618 0 697 36,104 X 09 36,104 0 0 0 602 31,163 X X 09 20,704 0 10,459 - - 0 EDISON SCHOOLS INC 28103310 2,102 66,200 X 06 66,200 0 0 CL A 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 151 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- J D EDWARDS & CO 28166710 2,037 78,709 X X 04 28,709 0 50,000 COM - - 0 EDWARDS LIFESCIENCES CORP 28176E10 9 400 X 04 360 0 40 COM 0 19 880 X X 04 880 0 0 0 3 125 X X 05 125 0 0 0 10 480 X 08 480 0 0 0 11 510 X X 08 490 20 0 0 316 14,503 X 09 13,031 0 1,472 0 179 8,206 X X 09 5,095 667 2,444 0 3 120 X X 12 0 120 0 0 14 634 X X 14 0 634 0 - - 0 EDWARDS AG INC 28176010 39 750 X 05 0 0 750 COM 0 14,904 284,900 X 06 284,900 0 0 0 16 300 X 08 300 0 0 0 235 4,500 X X 08 0 0 4,500 0 15,692 299,956 X 09 299,956 0 0 - - 0 EL PASO ELEC CO 28367785 1 64 X 08 64 0 0 COM NEW 0 858 62,300 X 09 62,300 0 0 - - 0 EL PASO ENERGY CORP DEL 28390510 770 12,500 X 02 0 0 12,500 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 152 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 1,293 20,984 X 04 20,484 0 500 0 111 1,800 X X 04 0 1,800 0 0 547 8,875 X 05 7,400 0 1,475 0 233 3,776 X X 05 3,776 0 0 0 16,651 270,200 X 06 270,200 0 0 0 7,408 120,205 X X 06 0 0 120,205 0 11,579 187,899 X 08 187,599 0 300 0 7,731 125,449 X X 08 88,967 11,800 24,682 0 70,364 1,141,802 X 09 1,140,047 0 1,755 0 7,527 122,139 X X 09 87,809 530 33,800 0 12,405 201,300 X X 14 0 201,300 0 - - 0 ELAN PLC 28413120 3,199 58,430 X 02 0 0 58,430 ADR 0 1,933 35,300 X 04 27,700 0 7,600 0 6,108 111,570 X 08 111,570 0 0 0 3,663 66,900 X X 08 55,300 3,900 7,700 0 21,023 383,978 X 09 371,013 1,050 11,915 0 3,303 60,325 X X 09 46,305 1,220 12,800 0 3,559 65,000 X X 14 0 65,000 0 - - 0 ELANTEC SEMICONDUCTOR INC 28415510 2,590 26,000 X 09 26,000 0 0 COM 0 399 4,000 X X 09 0 0 4,000 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 153 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 5 50 X 12 50 0 0 0 608 6,100 X X 12 0 6,100 0 - 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- 0 ENERGIZER HLDGS INC 29266R10 12 498 X X 05 498 0 0 COM 0 19 761 X 08 761 0 0 0 49 2,000 X X 08 2,000 0 0 0 438 17,869 X 09 17,869 0 0 0 599 24,453 X X 09 24,453 0 0 0 22,519 919,153 X X 14 0 919,153 0 - - 0 ENERSIS S A 29274F10 7,698 432,153 X X 14 0 432,153 0 SPONSORED ADR - - 0 ENGELHARD CORP 29284510 7 424 X X 04 424 0 0 COM 0 55 3,400 X 09 3,400 0 0 0 651 40,057 X X 09 23,529 0 16,528 - - 0 ENDOCARDIAL SOLUTIONS INC 29296210 964 145,490 X X 14 0 145,490 0 COM - - 0 ENRON CORP 29356110 4,859 55,451 X 04 47,320 0 8,131 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 158 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 905 10,325 X X 04 5,325 1,000 4,000 0 464 5,300 X 05 3,800 0 1,500 0 178 2,028 X X 05 1,628 0 400 0 112,538 1,284,312 X 06 1,284,312 0 0 0 60,339 688,603 X 08 685,753 0 2,850 0 21,532 245,732 X X 08 181,786 58,646 5,300 0 188,554 2,151,830 X 09 2,138,482 1,000 12,348 0 42,881 489,375 X X 09 409,521 12,340 67,514 0 748 8,532 X X 12 0 8,532 0 0 1,417 16,167 X X 14 0 16,167 0 - - 0 ENTERCOM COMMUNICATIONS CORP 29363910 23,970 800,669 X 03 0 0 800,669 CL A 0 4,478 149,566 X 10 149,566 0 0 - - 0 ENTERGY CORP NEW 29364G10 17 456 X X 04 456 0 0 COM 0 28 763 X X 05 763 0 0 0 51 1,367 X 09 1,367 0 0 0 111 2,991 X X 09 1,853 0 1,138 - - 0 ENTREMED INC 29382F10 424 15,200 X X 09 15,000 0 200 COM - - 0 ENTRAVISION COMMUNICATIONS C 29382R10 14,577 838,950 X 06 838,950 0 0 CL A 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 159 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 3,756 216,200 X 08 216,200 0 0 0 9,691 557,750 X 09 557,300 0 450 - 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- 0 EQUIFAX INC 29442910 3 126 X X 05 126 0 0 COM 0 203 7,550 X 08 7,550 0 0 0 143 5,300 X X 08 5,300 0 0 0 842 31,250 X 09 27,200 3,650 400 0 5,073 188,336 X X 09 186,657 0 1,679 - - 0 EQUINIX INC 29444U10 3 325 X 12 325 0 0 COM 0 1,153 129,900 X X 12 0 129,900 0 - - 0 EQUITABLE RES INC 29454910 63 1,000 X 08 1,000 0 0 COM 0 900 14,200 X 09 14,200 0 0 0 302 4,768 X X 09 4,518 0 250 - - 0 EQUITY INCOME FD 29470070 1,606 10,300 X X 08 10,300 0 0 UT 1 EX SR-ATT 0 140 900 X 09 900 0 0 0 250 1,606 X X 09 1,556 0 50 - - 0 EQUITY OFFICE PROPERTIES TRU 29474110 51 1,638 X 08 1,638 0 0 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 161 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 2,127 68,485 X 09 65,667 0 2,818 0 785 25,259 X X 09 11,049 0 14,210 - 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- 0 ESHARE COMMUNICATIONS INC GA 29642810 3,769 1,435,801 X 07 1,435,801 0 0 COM 0 1 250 X 12 250 0 0 - - 0 ESPEED INC 29664310 11 397 X 12 397 0 0 CL A 0 843 29,650 X X 12 0 29,650 0 - - 0 ESSEX PPTY TR INC 29717810 6,889 124,400 X 06 124,400 0 0 COM 0 5,803 104,800 X 09 101,800 0 3,000 0 1,229 22,200 X X 09 19,200 3,000 0 - - 0 ESTERLINE TECHNOLOGIES CORP 29742510 120 6,100 X 09 6,100 0 0 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 163 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 7,436 377,675 X X 14 0 377,675 0 - - 0 ETHAN ALLEN INTERIORS INC 29760210 42 1,500 X 09 1,500 0 0 COM 0 170 6,000 X X 09 6,000 0 0 - - 0 ETOYS INC 29786210 4 712 X 04 0 0 712 COM 0 1 100 X 05 0 0 100 0 0 22 X 09 22 0 0 0 102 19,000 X X 12 0 19,000 0 - - 0 EVERCEL INC 29975910 3,690 172,134 X X 14 0 172,134 0 COM - - 0 EXABYTE CORP 30061510 820 72,900 X 09 72,900 0 0 COM - - 0 EXAR CORP 30064510 11,556 95,500 X 12 95,500 0 0 COM 0 121 1,000 X X 12 0 1,000 0 - - 0 EXCELON CORP 30069110 190 15,328 X 12 15,328 0 0 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 164 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 167 13,500 X X 12 0 13,500 0 - 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- 0 EXPONENT INC 30214U10 18 2,061 X 12 2,061 0 0 COM 0 416 48,600 X X 12 0 48,600 0 - - 0 EXPRESS SCRIPTS INC 30218210 1,394 19,300 X 09 19,300 0 0 CL A 0 72 1,000 X X 09 0 0 1,000 0 5 74 X 12 74 0 0 - - 0 EXTREME NETWORKS INC 30226D10 321 2,800 X 12 2,800 0 0 COM 0 279 2,441 X X 12 0 2,441 0 - - 0 EXXON MOBIL CORP 30231G10 13,248 148,648 X 02 0 0 148,648 COM 0 15,079 169,192 X 04 149,845 0 19,347 0 15,580 174,816 X X 04 78,365 38,272 58,179 0 1,652 18,531 X 05 16,933 0 1,598 0 5,398 60,569 X X 05 60,305 0 264 0 198,897 2,231,659 X 06 2,231,659 0 0 0 209,153 2,346,743 X 08 2,330,257 11,584 4,902 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 166 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 806,495 9,049,033 X X 08 8,003,075 866,308 179,650 0 738,950 8,291,164 X 09 8,101,733 15,749 173,682 0 784,049 8,797,179 X X 09 5,382,409 232,554 3,182,216 0 1,647 18,485 X X 12 0 18,485 0 0 154,539 1,733,959 X X 14 0 1,733,959 0 - - 0 FLIR SYS INC 30244510 13 2,232 X 12 2,232 0 0 COM 0 576 96,000 X X 12 0 96,000 0 - - 0 F M C CORP 30249130 2 37 X X 05 37 0 0 COM NEW 0 11,132 166,000 X 06 166,000 0 0 0 10,730 160,000 X 09 160,000 0 0 0 460 6,866 X X 09 3,700 0 3,166 - - 0 FPIC INS GROUP INC 30256310 266 19,000 X 09 19,000 0 0 COM - - 0 FPL GROUP INC 30257110 437 6,650 X 04 5,750 0 900 COM 0 89 1,360 X X 04 960 400 0 0 712 10,827 X X 05 10,827 0 0 0 947 14,400 X 08 14,400 0 0 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 167 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 815 12,400 X X 08 9,400 0 3,000 0 13,552 206,119 X 09 203,859 0 2,260 0 4,630 70,418 X X 09 54,717 1,800 13,901 0 526 8,000 X X 14 0 8,000 0 - - 0 FVC COM INC 30266P10 284 56,880 X X 12 0 56,880 0 COM - - 0 FVNB CORP 30267410 657 18,240 X 08 18,240 0 0 COM - - 0 F Y I INC 30271210 10,172 272,150 X 06 272,150 0 0 COM 0 2,452 65,600 X 08 65,600 0 0 0 5,978 159,950 X 09 159,800 0 150 0 3,364 90,000 X X 12 0 90,000 0 - - 0 FACTORY 2-U INC 30307210 633 20,700 X 09 20,700 0 0 COM - - 0 FACTSET RESH SYS INC 30307510 3,595 95,600 X 09 95,600 0 0 COM - - 0 FAIR ISAAC & CO INC 30325010 324 7,600 X 09 7,600 0 0 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 168 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- FALCON PRODS INC 30607510 5,392 575,114 X X 14 0 575,114 0 COM - - 0 FASTNET CORP 31187710 466 233,050 X X 12 0 233,050 0 COM - - 0 FEDERAL HOME LN MTG CORP 31340030 424 7,840 X 04 3,840 0 4,000 COM 0 22 400 X X 04 400 0 0 0 6 103 X X 05 103 0 0 0 2,987 55,254 X 08 55,254 0 0 0 1,749 32,350 X X 08 26,650 5,700 0 0 22,025 407,392 X 09 388,882 3,400 15,110 0 11,075 204,850 X X 09 99,306 2,000 103,544 0 270 5,000 X X 12 0 5,000 0 0 2,371 43,864 X X 14 0 43,864 0 - - 0 FEDERAL NATL MTG ASSN 31358610 2,081 29,105 X 04 27,160 0 1,945 COM 0 1,719 24,037 X X 04 13,237 2,000 8,800 0 72 1,000 X 05 400 0 600 0 164 2,297 X X 05 2,297 0 0 0 24,038 336,200 X 06 336,200 0 0 0 21 300 X X 06 0 0 300 0 12,915 180,630 X 08 178,730 0 1,900 0 11,372 159,044 X X 08 70,639 5,330 83,075 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 169 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 96,845 1,354,482 X 09 1,338,220 1,783 14,479 0 43,721 611,484 X X 09 340,188 10,640 260,656 0 695 9,723 X X 12 0 9,723 0 0 87,929 1,229,777 X X 14 0 1,229,777 0 - - 0 FEDERATED DEPT STORES INC DE 31410H10 5 200 X 04 200 0 0 COM 0 52 2,000 X X 04 1,300 0 700 0 86 3,300 X 05 2,300 0 1,000 0 8 311 X X 05 311 0 0 0 1,057 40,470 X 08 40,470 0 0 0 1,173 44,900 X X 08 20,000 24,900 0 0 2,949 112,862 X 09 105,012 600 7,250 0 179 6,843 X X 09 5,645 99 1,099 0 509 19,500 X X 14 0 19,500 0 - - 0 FEDERATED INVS INC PA 31421110 12,589 508,650 X 06 508,650 0 0 CL B 0 1,977 79,875 X 08 79,875 0 0 0 10,051 406,100 X 09 405,950 0 150 - - 0 FEDEX CORP 31428X10 21 482 X X 05 482 0 0 COM 0 115 2,600 X 08 2,600 0 0 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 170 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 18,139 409,092 X 09 409,092 0 0 0 110 2,470 X X 09 1,036 0 1,434 0 785 17,707 X X 12 0 17,707 0 0 1,022 23,057 X X 14 0 23,057 0 - - 0 FELCOR LODGING TR INC 31430F10 9 400 X 04 400 0 0 COM 0 2,604 112,600 X 09 112,600 0 0 - - 0 F5 NETWORKS INC 31561610 248 7,300 X 12 7,300 0 0 COM 0 14,012 412,117 X X 12 0 412,117 0 - - 0 FIBERSTARS INC 31566210 1 124 X 12 124 0 0 COM 0 252 32,000 X X 12 0 32,000 0 - - 0 FIFTH THIRD BANCORP 31677310 35 647 X X 05 647 0 0 COM 0 8,477 157,353 X 09 153,978 0 3,375 0 162 3,005 X X 09 78 0 2,927 0 248 4,599 X X 14 0 4,599 0 - - 0 FILA HLDG SPA 31685010 6,626 726,142 X X 14 0 726,142 0 SPONSORED ADR 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 171 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- FINISAR 31787A10 1,983 41,000 X 09 41,000 0 0 COM 0 218 4,500 X X 09 4,500 0 0 - - 0 FINISH LINE INC 31792310 244 33,400 X 09 33,400 0 0 CL A - - 0 FINOVA GROUP INC 31792810 2 300 X 08 300 0 0 COM 0 1 150 X X 08 150 0 0 0 17 2,393 X 09 2,393 0 0 0 6 850 X X 09 850 0 0 0 4,198 579,000 X X 12 0 579,000 0 - - 0 FIRST AMERN CORP CALIF 31852230 324 15,500 X 09 15,500 0 0 COM - - 0 FIRST AUSTRALIA PRIME INCOME 31865310 6 1,440 X X 04 1,440 0 0 COM 0 4 1,000 X 08 1,000 0 0 0 1 315 X 09 315 0 0 0 72 17,132 X X 09 17,132 0 0 0 8 2,000 X X 12 0 2,000 0 - - 0 FIRST CONSULTING GROUP INC 31986R10 12 2,109 X 12 2,109 0 0 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 172 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 380 68,275 X X 12 0 68,275 0 - - 0 FIRST DATA CORP 31996310 137 3,500 X 04 2,900 0 600 COM 0 389 9,950 X X 04 9,950 0 0 0 8 200 X 05 0 0 200 0 69 1,767 X X 05 1,367 0 400 0 3,801 97,300 X 08 97,300 0 0 0 3,070 78,600 X X 08 66,750 11,500 350 0 5,840 149,508 X 09 140,388 1,200 7,920 0 6,736 172,427 X X 09 126,121 2,400 43,906 0 25 650 X X 12 0 650 0 0 1,171 29,982 X X 14 0 29,982 0 - - 0 FIRST ECOM COM INC 32008N10 65 15,000 X X 12 0 15,000 0 COM - - 0 FIRST INDUSTRIAL REALTY TRUS 32054K10 4,785 155,600 X 09 155,600 0 0 COM - - 0 FIRST MIDWEST FINL INC 32087810 105 11,000 X X 12 0 11,000 0 COM - - 0 FIRST HEALTH GROUP CORP 32096010 455 14,100 X 09 14,100 0 0 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 173 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 11,538 357,765 X X 14 0 357,765 0 - - 0 FIRST SEC CORP DEL 33629410 2 132 X 04 0 0 132 COM 0 943 57,799 X 09 57,799 0 0 0 2,511 153,900 X X 14 0 153,900 0 - - 0 FIRST UN CORP 33735810 2,812 87,349 X 04 77,775 0 9,574 COM 0 348 10,796 X X 04 8,496 800 1,500 0 34 1,042 X 05 100 0 942 0 76 2,349 X X 05 1,949 0 400 0 5,120 159,081 X 08 158,581 0 500 0 2,931 91,051 X X 08 81,400 8,500 1,151 0 25,601 795,351 X 09 769,255 1,200 24,896 0 14,207 441,389 X X 09 292,791 55,444 93,154 0 10 300 X X 12 0 300 0 0 156 4,852 X X 14 0 4,852 0 - - 0 FIRST VA BANKS INC 33747710 3,594 84,309 X 09 84,309 0 0 COM 0 6,262 146,905 X X 09 124,125 9,675 13,105 - - 0 FIRST WASH RLTY TR INC 33748950 1,748 68,900 X 09 68,900 0 0 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 174 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- FIRST YRS INC 33761010 18 2,000 X 09 2,000 0 0 COM 0 4,470 510,825 X X 14 0 510,825 0 - - 0 FIRSTAR CORP NEW WIS 33763V10 850 38,000 X 02 0 0 38,000 COM 0 414 18,509 X 04 18,419 0 90 0 28 1,230 X X 05 1,230 0 0 0 9,460 422,799 X 06 422,799 0 0 0 10,017 447,692 X 09 447,692 0 0 0 1,401 62,602 X X 09 59,863 0 2,739 0 707 31,613 X X 14 0 31,613 0 - - 0 FIRSTFED FINL CORP 33790710 906 39,400 X 09 39,400 0 0 COM - - 0 FIRSTENERGY CORP 33793210 8 300 X 04 0 0 300 COM 0 16 600 X X 04 600 0 0 0 27 992 X X 05 992 0 0 0 29 1,084 X 08 1,084 0 0 0 13 501 X X 08 0 1 500 0 376 13,967 X 09 10,967 0 3,000 0 571 21,192 X X 09 19,835 0 1,357 - - 0 FISHER SCIENTIFIC INTL INC 33803220 147,398 4,367,335 X 03 0 0 4,367,335 COM NEW 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 175 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- FLAMEL TECHNOLOGIES SA 33848810 1,721 241,500 X 10 241,500 0 0 SPONSORED ADR 0 13,089 1,837,039 X X 10 1,837,039 0 0 - 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- 0 FLORIDA PROGRESS CORP 34110910 74 1,406 X 04 1,406 0 0 COM 0 226 4,275 X X 04 4,275 0 0 0 8 150 X X 05 0 0 150 0 1,372 25,912 X 09 22,912 0 3,000 0 3,540 66,878 X X 09 44,658 1,500 20,720 0 16 300 X X 12 0 300 0 0 8,110 153,200 X X 14 0 153,200 0 - - 0 FLOWERS INDS INC 34349610 150 7,717 X 08 7,717 0 0 COM 0 1,083 55,515 X 09 55,515 0 0 0 169 8,662 X X 09 8,662 0 0 - - 0 FLUOR CORP 34386110 5 163 X 05 50 0 113 COM 0 9 300 X 08 300 0 0 0 93 3,100 X 09 1,500 0 1,600 0 335 11,179 X X 09 5,900 0 5,279 0 110 3,682 X X 14 0 3,682 0 - - 0 FOGDOG INC 34416710 11 12,500 X X 12 0 12,500 0 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 177 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- FOMENTO ECONOMICO MEXICANO S 34441910 98 2,516 X 09 2,516 0 0 SPON ADR UNITS 0 9,950 255,140 X X 14 0 255,140 0 - - 0 FORCENERGY INC 34520620 630 24,100 X X 14 0 24,100 0 COM NEW - - 0 FORD MTR CO DEL 34537086 237 9,351 X 04 9,145 0 206 COM PAR $0.01 0 370 14,620 X X 04 9,152 3,968 1,500 0 489 19,300 X 05 14,000 0 5,300 0 99 3,911 X X 05 3,562 0 349 0 69,771 2,756,315 X 06 2,756,315 0 0 0 13,106 517,741 X 08 517,541 0 200 0 6,460 255,186 X X 08 65,461 3,590 186,135 0 92,752 3,664,207 X 09 3,553,788 1,048 109,371 0 24,339 961,536 X X 09 106,947 8,244 846,345 0 428 16,924 X X 12 0 16,924 0 0 628 24,801 X X 14 0 24,801 0 - - 0 FOREST CITY ENTERPRISES INC 34555010 1,260 35,000 X 09 35,000 0 0 CL A - - 0 FOREST LABS INC 34583810 19,841 173,000 X 06 173,000 0 0 COM 0 126 1,100 X X 08 1,100 0 0 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 178 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 19,514 170,150 X 09 170,150 0 0 0 229 2,000 X X 09 0 0 2,000 0 378 3,300 X X 12 0 3,300 0 - - 0 FORRESTER RESH INC 34656310 1,269 19,900 X 09 19,900 0 0 COM 0 13 200 X X 12 0 200 0 - - 0 FORT JAMES CORP 34747110 2 63 X X 05 63 0 0 COM 0 996 32,591 X 09 31,091 0 1,500 0 74 2,409 X X 09 405 0 2,004 0 2,008 65,700 X X 14 0 65,700 0 - - 0 FORTUNE BRANDS INC 34963110 69 2,592 X 04 2,592 0 0 COM 0 212 8,000 X X 04 2,000 6,000 0 0 79 2,975 X 08 2,975 0 0 0 16 600 X X 08 400 200 0 0 569 21,483 X 09 19,983 0 1,500 0 566 21,358 X X 09 18,802 0 2,556 - - 0 FORWARD AIR CORP 34985310 1,288 36,600 X 09 36,600 0 0 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 179 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 5,793 164,627 X X 14 0 164,627 0 - - 0 FOUNDRY NETWORKS INC 35063R10 13 200 X 09 200 0 0 COM 0 100 1,500 X X 09 1,500 0 0 0 7 100 X 12 100 0 0 0 1,204 17,984 X X 12 0 17,984 0 - - 0 4 KIDS ENTMT INC 35086510 1 87 X 04 0 0 87 COM 0 179 10,600 X 09 10,600 0 0 - - 0 4FRONT TECHNOLOGIES INC 35104210 8 439 X 12 439 0 0 COM 0 36 2,000 X X 12 0 2,000 0 0 2,359 129,700 X X 14 0 129,700 0 - - 0 FRANCE TELECOM 35177Q10 332 3,150 X 09 3,150 0 0 SPONSORED ADR 0 53 500 X X 14 0 500 0 - - 0 FRANKLIN RES INC 35461310 78 1,750 X 04 0 0 1,750 COM 0 53 1,200 X 05 0 0 1,200 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 180 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 28 629 X X 05 629 0 0 0 945 21,274 X 08 21,274 0 0 0 409 9,200 X X 08 9,200 0 0 0 1,360 30,600 X 09 30,600 0 0 0 161 3,624 X X 09 0 0 3,624 - - 0 FRESENIUS MED CARE AG 35802910 219 7,343 X 09 7,343 0 0 SPONSORED ADR 0 6 209 X X 09 209 0 0 - - 0 FRIEDMANS INC 35843810 79 15,700 X 09 15,700 0 0 CL A - - 0 FUELCELL ENERGY INC 35952H10 366 3,800 X 09 3,800 0 0 COM 0 10 100 X 12 100 0 0 0 15,059 156,480 X X 14 0 156,480 0 - - 0 GATX CORP 36144810 13 300 X 04 300 0 0 COM 0 597 14,258 X 09 14,258 0 0 0 839 20,044 X X 09 15,398 1,200 3,446 - - 0 GPU INC 36225X10 3 83 X 04 0 0 83 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 181 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 36 1,101 X X 05 701 0 400 0 350 10,800 X 08 10,800 0 0 0 140 4,311 X X 08 4,311 0 0 0 2,989 92,135 X 09 91,635 0 500 0 620 19,124 X X 09 15,537 0 3,587 0 16 500 X X 12 0 500 0 - - 0 GABELLI EQUITY TR INC 36239710 54 4,699 X 08 4,699 0 0 COM 0 51 4,408 X X 08 4,408 0 0 0 43 3,772 X X 12 0 3,772 0 - - 0 GABLES RESIDENTIAL TR 36241810 3,360 123,600 X 09 123,600 0 0 SH BEN INT - - 0 GALLAGHER ARTHUR J & CO 36357610 17,377 293,900 X 06 293,900 0 0 COM 0 4,320 73,060 X 08 73,060 0 0 0 11,819 199,900 X 09 199,700 0 200 - - 0 GALLAHER GROUP PLC 36359510 37 1,600 X 04 1,600 0 0 SPONSORED ADR 0 47 2,000 X X 04 2,000 0 0 0 69 2,968 X 08 2,968 0 0 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 182 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 5 200 X X 08 0 200 0 0 187 8,060 X 09 5,060 0 3,000 0 386 16,586 X X 09 15,586 0 1,000 - 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- 0 GARDEN COM INC 36519910 1 1,194 X 12 1,194 0 0 COM 0 8 9,000 X X 12 0 9,000 0 - - 0 GARDEN FRESH RESTAURANT CORP 36523510 3,699 316,470 X X 14 0 316,470 0 COM - - 0 GARTNER GROUP INC NEW 36665120 6 533 X 08 533 0 0 CL B 0 9 819 X X 08 819 0 0 0 67 6,168 X 09 6,168 0 0 0 120 11,070 X X 09 5,214 1,015 4,841 - - 0 GATEWAY INC 36762610 3 68 X 04 0 0 68 COM 0 47 1,000 X X 04 0 1,000 0 0 27 585 X X 05 585 0 0 0 14 300 X 08 300 0 0 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 184 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 2,289 48,962 X 09 48,962 0 0 0 1,394 29,816 X X 09 26,318 0 3,498 0 657 14,050 X X 12 0 14,050 0 0 157 3,360 X X 14 0 3,360 0 - 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- 0 GILLETTE CO 37576610 588 19,050 X 04 17,350 0 1,700 COM 0 83 2,700 X X 04 2,700 0 0 0 33 1,077 X X 05 1,077 0 0 0 26,640 862,844 X 06 862,844 0 0 0 19,950 646,141 X 08 631,741 8,000 6,400 0 10,878 352,318 X X 08 188,170 65,432 98,716 0 42,444 1,374,697 X 09 1,351,997 400 22,300 0 23,618 764,966 X X 09 499,145 109,038 156,783 0 238 7,711 X X 12 0 7,711 0 0 36,067 1,168,170 X X 14 0 1,168,170 0 - - 0 GLAXO WELLCOME PLC 37733W10 335 5,550 X 04 4,750 0 800 SPONSORED ADR 0 296 4,903 X X 04 2,200 0 2,703 0 184 3,040 X 08 240 2,800 0 0 1,312 21,700 X X 08 15,100 6,600 0 0 4,613 76,325 X 09 74,725 0 1,600 0 7,981 132,046 X X 09 41,458 0 90,588 0 106 1,750 X X 12 0 1,750 0 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 192 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 133 2,200 X X 14 0 2,200 0 - - 0 GLENBOROUGH RLTY TR INC 37803P10 198 11,000 X X 09 1,000 0 10,000 COM - - 0 GLOBAL INDS LTD 37933610 1,751 140,100 X 09 140,100 0 0 COM - - 0 GLOBAL MARINE INC 37935240 5 152 X 04 0 0 152 COM 0 18,065 585,100 X 06 585,100 0 0 0 9 300 X 08 300 0 0 0 34 1,100 X X 08 1,100 0 0 0 17,444 565,000 X 09 565,000 0 0 0 48 1,550 X X 09 1,550 0 0 0 46 1,483 X X 14 0 1,483 0 - - 0 GLOBAL TELESYSTEMS INC 37936U10 365 80,020 X 09 80,020 0 0 COM 0 146 32,000 X 12 32,000 0 0 - - 0 GLOBO CABO S A 37957X10 13 1,000 X 05 0 0 1,000 SPONSORED ADR 0 37 2,800 X X 05 1,000 0 1,800 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 193 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 3,487 260,741 X 09 260,741 0 0 - - 0 GOLD BANC CORP INC 37990710 57 11,067 X X 12 0 11,067 0 COM - - 0 GOLDEN ST BANCORP INC 38119710 18,787 795,200 X 09 795,200 0 0 COM - - 0 GOLDEN ST VINTNERS INC 38121K20 10 1,500 X 12 1,500 0 0 CL B 0 419 60,900 X X 12 0 60,900 0 - - 0 GOLDEN WEST FINL CORP DEL 38131710 18 341 X X 05 341 0 0 COM 0 867 16,167 X X 08 0 16,167 0 0 44 821 X X 09 32 0 789 0 129 2,400 X X 12 0 2,400 0 0 67 1,245 X X 14 0 1,245 0 - - 0 GOLDMAN SACHS GROUP INC 38141G10 6,836 60,000 X 01 0 0 60,000 COM 0 79 695 X 04 695 0 0 0 57 500 X X 04 0 200 300 0 11 100 X 05 0 0 100 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 194 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 11 100 X X 05 100 0 0 0 23 200 X X 08 0 200 0 0 9,942 87,254 X 09 87,254 0 0 0 4,056 35,600 X X 09 33,900 0 1,700 0 302 2,650 X X 12 0 2,650 0 0 2,848 25,000 X X 14 0 25,000 0 - - 0 GOOD GUYS INC 38209110 665 95,000 X 09 95,000 0 0 COM - - 0 GOODYEAR TIRE & RUBR CO 38255010 94 5,200 X 01 0 0 5,200 COM 0 6 353 X 04 300 0 53 0 30 1,676 X X 04 1,676 0 0 0 52 2,906 X X 05 2,906 0 0 0 4 238 X X 08 238 0 0 0 108 6,024 X 09 4,224 0 1,800 0 193 10,743 X X 09 6,036 0 4,707 0 29 1,592 X X 12 0 1,592 0 0 72 3,993 X X 14 0 3,993 0 - - 0 GO2NET INC 38348610 2,344 43,200 X 01 0 0 43,200 COM 0 434 8,000 X 09 8,000 0 0 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 195 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 19 344 X 12 344 0 0 0 543 10,000 X X 12 0 10,000 0 0 5,222 96,224 X X 14 0 96,224 0 - 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- 0 GULF CDA RES LTD 40218L30 44 8,100 X 09 8,100 0 0 ORD 0 134 25,000 X X 09 25,000 0 0 - - 0 GULF ISLAND FABRICATION INC 40230710 1,763 100,000 X X 08 100,000 0 0 COM - - 0 H & Q HEALTHCARE FD 40405210 37 1,024 X X 09 0 0 1,024 SH BEN INT 0 2,874 79,411 X X 12 0 79,411 0 - - 0 H & Q LIFE SCIENCES INVS 40405310 3 100 X X 08 100 0 0 SH BEN INT 0 4,565 145,790 X X 12 0 145,790 0 - - 0 HCA-HEALTHCARE CO 40411910 11,509 310,000 X 01 0 0 310,000 COM 0 10 270 X 04 0 0 270 0 11 300 X 05 0 0 300 0 50 1,355 X X 05 1,355 0 0 0 15 400 X 08 400 0 0 0 3,624 97,605 X 09 97,605 0 0 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 199 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 814 21,925 X X 09 18,527 0 3,398 0 562 15,126 X X 14 0 15,126 0 - - 0 HCC INS HLDGS INC 40413210 1,680 82,700 X 01 0 0 82,700 COM 0 20 1,000 X 09 0 100 900 - - 0 HSB GROUP INC 40428N10 82 2,055 X 09 2,055 0 0 COM 0 299 7,456 X X 09 2,206 0 5,250 - - 0 HSBC HLDGS PLC 40428040 32 450 X 05 0 0 450 SPON ADR NEW 0 113 1,580 X 09 1,580 0 0 0 157 2,200 X X 09 0 0 2,200 - - 0 HS RES INC 40429710 215 6,400 X 09 6,400 0 0 COM 0 13 400 X X 09 400 0 0 - - 0 HAIN CELESTIAL GROUP INC 40521710 5,480 156,025 X 09 156,025 0 0 COM 0 11 300 X X 12 0 300 0 - - 0 HALLIBURTON CO 40621610 318 6,500 X 01 0 0 6,500 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 200 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 2,317 47,355 X 04 36,486 0 10,869 0 201 4,100 X X 04 2,100 1,200 800 0 53 1,075 X 05 400 0 675 0 4,262 87,093 X X 05 86,693 0 400 0 24,224 495,000 X 06 495,000 0 0 0 8,231 168,202 X 08 167,477 0 725 0 2,978 60,843 X X 08 45,861 5,000 9,982 0 57,597 1,176,945 X 09 1,150,045 2,000 24,900 0 9,746 199,156 X X 09 120,188 7,000 71,968 0 176 3,600 X X 12 0 3,600 0 0 173 3,537 X X 14 0 3,537 0 - - 0 JOHN HANCOCK BK &THRIFT OPP 40973510 6 800 X X 04 800 0 0 SH BEN INT 0 206 26,000 X X 09 26,000 0 0 0 40 5,000 X X 12 0 5,000 0 - - 0 HANCOCK JOHN FINL SVCS INC 41014S10 2 71 X 04 0 0 71 COM 0 69 2,575 X 05 2,575 0 0 0 100 3,726 X 08 3,726 0 0 0 6,929 257,813 X 09 257,813 0 0 0 3 107 X X 09 0 0 107 0 1,344 50,000 X X 14 0 50,000 0 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 201 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- HANDLEMAN CO DEL 41025210 141 11,427 X X 04 11,427 0 0 COM 0 426 34,400 X 09 34,400 0 0 - 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- 0 HARMAN INTL INDS INC 41308610 20,473 523,600 X 09 523,600 0 0 COM - - 0 HARMONIC INC 41316010 1,090 45,400 X 06 45,400 0 0 COM 0 598 24,900 X 09 24,900 0 0 0 1,379 57,455 X X 12 0 57,455 0 - - 0 HARRAHS ENTMT INC 41361910 7 250 X 05 0 0 250 COM 0 36 1,309 X X 05 809 0 500 0 11,800 429,100 X 06 429,100 0 0 0 11,413 415,000 X 09 415,000 0 0 0 17 622 X X 09 104 0 518 - - 0 HARRIS CORP DEL 41387510 21,399 752,496 X 09 752,496 0 0 COM 0 347 12,200 X X 09 9,000 0 3,200 - - 0 HARTFORD FINL SVCS GROUP INC 41651510 387 5,300 X 04 2,300 0 3,000 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 203 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 36 500 X 05 0 0 500 0 96 1,321 X X 05 1,321 0 0 0 105 1,440 X 08 1,440 0 0 0 1,363 18,692 X 09 17,932 0 760 0 2,782 38,144 X X 09 32,864 0 5,280 0 38 516 X X 12 0 516 0 0 6,217 85,239 X X 14 0 85,239 0 - - 0 HARVEY ENTMT CO 41766210 165 126,000 X 03 126,000 0 0 COM - - 0 HASBRO INC 41805610 1,144 100,000 X 01 0 0 100,000 COM 0 3 232 X X 05 232 0 0 0 12 1,013 X 08 1,013 0 0 0 384 33,567 X 09 33,567 0 0 0 69 6,032 X X 09 5,175 0 857 0 8 675 X X 12 0 675 0 - - 0 HAVERTY FURNITURE INC 41959610 5,818 531,910 X X 14 0 531,910 0 COM - - 0 HAYES LEMMERZ INTL INC 42078110 13,760 1,280,000 X 03 1,100,974 0 179,026 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 204 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- HEARME 42190310 32 7,896 X X 04 0 0 7,896 COM 0 40 10,000 X X 12 0 10,000 0 - - 0 HEALTH CARE PPTY INVS INC 42191510 74 2,500 X X 05 500 0 2,000 COM 0 59 2,000 X X 08 2,000 0 0 0 6,844 231,023 X 09 223,923 0 7,100 0 1,410 47,609 X X 09 34,010 4,300 9,299 0 43 1,450 X X 12 0 1,450 0 - - 0 HEALTHSOUTH CORP 42192410 1 74 X 04 0 0 74 COM 0 2,855 351,378 X X 05 351,378 0 0 0 670 82,517 X 09 80,132 1,400 985 0 88 10,822 X X 09 6,041 0 4,781 - - 0 HEALTH MGMT ASSOC INC NEW 42193310 0 13 X 04 0 0 13 CL A 0 23,061 1,108,000 X 06 1,108,000 0 0 0 291 14,000 X X 08 0 0 14,000 0 22,270 1,070,000 X 09 1,070,000 0 0 - - 0 HEALTHCARE RLTY TR 42194610 32 1,500 X X 04 1,500 0 0 COM 0 26 1,249 X 08 1,249 0 0 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 205 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 7,882 373,121 X 09 373,121 0 0 - - 0 HEADHUNTER NET INC 42207710 94 20,000 X 08 20,000 0 0 COM - - 0 HEARX LTD 42236030 105 38,000 X 09 38,000 0 0 COM NEW - - 0 HEINZ H J CO 42307410 838 22,600 X 04 19,100 0 3,500 COM 0 111 3,000 X X 04 3,000 0 0 0 53 1,425 X 05 600 0 825 0 102 2,742 X X 05 2,342 0 400 0 2,629 70,940 X 08 70,540 0 400 0 3,068 82,766 X X 08 28,416 850 53,500 0 9,764 263,438 X 09 250,038 3,300 10,100 0 10,926 294,782 X X 09 239,728 3,700 51,354 0 87 2,336 X X 14 0 2,336 0 - - 0 HELIX TECHNOLOGY CORP 42331910 245 8,200 X 09 8,200 0 0 COM - - 0 HELLENIC TELECOM ORGANIZATN 42332530 19,445 2,102,120 X X 14 0 2,102,120 0 SPONSORED ADR 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 206 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- HELLER FINANCIAL INC 42332810 4,284 150,000 X X 14 0 150,000 0 CL A - - 0 HELMERICH & PAYNE INC 42345210 249 6,900 X 09 6,900 0 0 COM 0 180 4,986 X X 09 4,847 0 139 - - 0 HERCULES INC 42705610 1 69 X 04 0 0 69 COM 0 23 1,653 X X 05 1,653 0 0 0 102 7,200 X X 08 0 0 7,200 0 177 12,518 X 09 12,518 0 0 0 206 14,589 X X 09 14,153 0 436 - - 0 HERSHEY FOODS CORP 42786610 32 600 X 04 600 0 0 COM 0 22 400 X X 04 400 0 0 0 21 381 X X 05 381 0 0 0 38 700 X 08 700 0 0 0 1,819 33,600 X 09 27,600 0 6,000 0 1,996 36,886 X X 09 19,260 1,800 15,826 0 76 1,400 X X 12 0 1,400 0 - - 0 HERTZ CORP 42804010 794 25,000 X X 14 0 25,000 0 CL A - - 0 HESKA CORP 42805E10 37 12,609 X 12 12,609 0 0 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 207 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- HEWLETT PACKARD CO 42823610 485 5,000 X 01 0 0 5,000 COM 0 804 8,293 X 04 7,569 0 724 0 674 6,950 X X 04 4,200 400 2,350 0 1,174 12,100 X 05 8,800 0 3,300 0 397 4,090 X X 05 3,790 0 300 0 42,487 438,007 X 06 438,007 0 0 0 35,211 362,997 X 08 358,297 3,600 1,100 0 14,835 152,943 X X 08 104,543 10,050 38,350 0 92,480 953,400 X 09 931,800 0 21,600 0 105,529 1,087,931 X X 09 638,465 15,960 433,506 0 1,146 11,816 X X 12 0 11,816 0 0 6,681 68,873 X X 14 0 68,873 0 - - 0 HI / FN INC 42835810 2,657 39,000 X 09 39,000 0 0 COM 0 1,084 15,914 X X 12 0 15,914 0 - - 0 HIBERNIA CORP 42865610 330 26,900 X 09 26,900 0 0 CL A - - 0 HIGHWOODS PPTYS INC 43128410 24 1,000 X X 05 0 0 1,000 COM 0 24 1,000 X 08 1,000 0 0 0 3,704 156,800 X 09 156,400 0 400 0 155 6,550 X X 09 5,550 1,000 0 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 208 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 19 800 X X 12 0 800 0 - - 0 HILB ROGAL & HAMILTON CO 43129410 1,459 35,000 X 09 35,000 0 0 COM 0 11,751 281,880 X X 14 0 281,880 0 - - 0 HILLENBRAND INDS INC 43157310 90 2,000 X 08 2,000 0 0 COM 0 788 17,600 X X 09 7,600 3,000 7,000 - - 0 HILTON HOTELS CORP 43284810 37 3,215 X 08 3,215 0 0 COM 0 15,915 1,376,400 X X 08 1,376,400 0 0 0 538 46,500 X 09 46,500 0 0 0 229 19,810 X X 09 19,000 0 810 0 34 2,966 X X 12 0 2,966 0 - - 0 HISPANIC BROADCASTING CORP 43357B10 56 2,000 X 04 2,000 0 0 CL A 0 279 10,000 X 08 10,000 0 0 0 56 2,000 X X 12 0 2,000 0 - - 0 HITACHI LIMITED 43357850 45 390 X 05 0 0 390 ADR 10 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 209 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 360 3,150 X X 09 0 0 3,150 0 91 800 X X 14 0 800 0 - - 0 HOLLYWOOD COM INC 43613710 6 1,000 X X 09 0 0 1,000 COM 0 11,241 1,863,913 X X 14 0 1,863,913 0 - - 0 HOLLYWOOD ENTMT CORP 43614110 2,449 329,200 X 09 0 0 329,200 COM - - 0 HOLOGIC INC 43644010 104 13,916 X 08 13,916 0 0 COM - - 0 HOME DEPOT INC 43707610 13,238 249,479 X 04 218,132 0 31,347 COM 0 1,912 36,027 X X 04 21,226 400 14,401 0 910 17,153 X 05 9,000 0 8,153 0 3,403 64,137 X X 05 63,737 0 400 0 77,088 1,452,762 X 06 1,452,762 0 0 0 66,434 1,251,991 X 08 1,234,166 0 17,825 0 20,193 380,541 X X 08 293,857 63,284 23,400 0 182,367 3,436,797 X 09 3,303,942 19,555 113,300 0 78,717 1,483,462 X X 09 670,106 35,670 777,686 0 4,012 75,615 X X 12 0 75,615 0 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 210 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 6,148 115,866 X X 14 0 115,866 0 - 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- 0 IDT CORP 44894710 0 8 X 04 0 0 8 COM 0 5,580 143,540 X X 12 0 143,540 0 - - 0 HYPERION SOLUTIONS CORP 44914M10 2,274 87,900 X 09 87,900 0 0 COM 0 233 9,000 X X 12 0 9,000 0 - - 0 HYSEQ INC 44916330 1,097 30,000 X 09 30,000 0 0 COM 0 18 500 X X 12 0 500 0 - - 0 ICICI LTD 44926P20 150 13,600 X 09 13,600 0 0 SPONSORED ADR 0 48,923 4,447,569 X X 14 0 4,447,569 0 - - 0 ICU MED INC 44930G10 802 31,000 X 09 31,000 0 0 COM - - 0 IDEC PHARMACEUTICALS CORP 44937010 38,198 217,825 X 06 217,825 0 0 COM 0 7,379 42,080 X 08 42,080 0 0 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 215 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 26,383 150,450 X 09 150,250 0 200 - - 0 IGO CORP 44959210 7 2,558 X 12 2,558 0 0 COM 0 626 227,800 X X 12 0 227,800 0 - - 0 IMCO RECYCLING INC 44968110 3,867 644,500 X 01 0 0 644,500 COM - - 0 IMS HEALTH INC 44993410 218 10,494 X X 05 10,494 0 0 COM 0 4,292 206,850 X 08 206,850 0 0 0 2,709 130,550 X X 08 85,750 24,800 20,000 0 22,311 1,075,230 X 09 962,330 0 112,900 0 3,631 174,987 X X 09 108,519 16,800 49,668 0 4 173 X X 12 0 173 0 - - 0 ITC DELTACOM INC 45031T10 1 128 X 04 0 0 128 COM 0 460 40,000 X 08 40,000 0 0 0 5 400 X 09 400 0 0 0 9,294 808,160 X X 14 0 808,160 0 - - 0 ITXC CORP 45069F10 40,948 2,799,895 X 07 2,799,895 0 0 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 216 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- IXL ENTERPRISES INC 45071810 34,735 7,939,427 X 10 7,939,427 0 0 COM 0 0 79 X 12 79 0 0 - - 0 IBEAM BROADCASTING CORP 45073P10 123 18,000 X 08 18,000 0 0 COM 0 4 525 X X 12 0 525 0 - - 0 IBASIS INC 45073210 49 3,100 X 12 3,100 0 0 COM 0 238 15,000 X X 12 0 15,000 0 - - 0 ITT INDS INC IND 45091110 28 850 X 05 0 0 850 COM 0 7 205 X X 05 205 0 0 0 421 12,984 X 09 12,984 0 0 0 245 7,563 X X 09 6,026 0 1,537 0 8 258 X X 12 0 258 0 0 133 4,096 X X 14 0 4,096 0 - - 0 ICON PUB LTD CO 45103T10 6,747 374,830 X X 14 0 374,830 0 SPONSORED ADR - - 0 ICICI BK LTD 45104G10 22 3,000 X X 12 0 3,000 0 ADR 0 4,266 578,500 X X 14 0 578,500 0 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 217 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- IDACORP INC 45110710 278 6,000 X X 08 6,000 0 0 COM 0 218 4,709 X 09 4,709 0 0 0 93 2,000 X X 09 2,000 0 0 0 139 3,000 X X 12 0 3,000 0 - 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- 0 ILLUMINA INC 45232710 91 2,000 X 04 2,000 0 0 COM 0 2,269 50,000 X 10 50,000 0 0 0 4 86 X 12 86 0 0 - - 0 ILLUMINET HLDGS INC 45233410 882 31,800 X 09 31,800 0 0 COM 0 28 1,000 X X 12 0 1,000 0 - - 0 IMAGEX COM INC 45244D10 4 1,000 X 12 1,000 0 0 COM 0 291 71,000 X X 12 0 71,000 0 - - 0 IMCLONE SYS INC 45245W10 3 25 X 04 0 0 25 COM 0 2,751 23,500 X 09 21,500 0 2,000 0 234 2,000 X X 09 0 0 2,000 - - 0 IMMERSION CORP 45252110 589 38,000 X 09 38,000 0 0 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 219 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 59 3,784 X 12 3,784 0 0 0 11,198 722,450 X X 12 0 722,450 0 - 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- 0 INKTOMI CORP 45727710 3,078 27,000 X 01 0 0 27,000 COM 0 2 15 X 04 0 0 15 0 50 435 X X 05 435 0 0 0 17 150 X 08 50 0 100 0 2,672 23,436 X 09 23,436 0 0 0 2,042 17,910 X X 09 17,910 0 0 0 883 7,747 X 12 7,747 0 0 0 34,453 302,217 X X 12 0 302,217 0 0 113,420 994,914 X X 14 0 994,914 0 - - 0 INNKEEPERS USA TR 4576J010 1,527 149,000 X 09 149,000 0 0 COM - - 0 INNERDYNE INC 45764D10 8,166 1,166,537 X X 14 0 1,166,537 0 COM - - 0 INSIGHT ENTERPRISES INC 45765U10 1,248 45,807 X 09 45,800 0 7 COM - - 0 INSIGHT COMMUNICATIONS INC 45768V10 4,040 254,500 X 09 0 0 254,500 CL A 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 224 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- INSPIRE INS SOLUTIONS INC 45773210 594 528,331 X X 12 0 528,331 0 COM - - 0 INSURED MUN INCOME FD 45809F10 4 300 X X 04 300 0 0 COM 0 350 28,000 X 08 28,000 0 0 - - 0 INTEGRATED CIRCUIT SYS INC 45811K20 2,881 155,725 X 09 155,725 0 0 COM - - 0 INTEGRATED DEVICE TECHNOLOGY 45811810 4 46 X 04 0 0 46 COM 0 670 7,400 X 09 7,400 0 0 0 191 2,113 X 12 2,113 0 0 0 272 3,000 X X 12 0 3,000 0 - - 0 INTEGRATED SILICON SOLUTION 45812P10 268 18,900 X 09 18,900 0 0 COM - - 0 INTEL CORP 45814010 3,142 75,600 X 01 0 0 75,600 COM 0 11,453 275,548 X 04 241,388 0 34,160 0 5,150 123,920 X X 04 44,640 15,500 63,780 0 1,591 38,290 X 05 23,500 0 14,790 0 6,169 148,414 X X 05 146,214 0 2,200 0 177,026 4,259,225 X 06 4,259,225 0 0 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 225 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 8,070 194,161 X X 06 0 0 194,161 0 126,362 3,040,252 X 08 3,003,952 16,800 19,500 0 53,728 1,292,692 X X 08 834,572 101,620 356,500 0 352,495 8,480,984 X 09 8,208,654 42,240 230,090 0 220,777 5,311,854 X X 09 3,222,012 118,484 1,971,358 0 103 2,470 X 12 2,470 0 0 0 33,992 817,837 X X 12 0 817,837 0 0 73,839 1,776,561 X X 14 0 1,776,561 0 - 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- 0 INTERNATIONAL FLAVORS&FRAGRA 45950610 8 450 X 08 450 0 0 COM 0 245 13,400 X 09 12,500 0 900 0 500 27,393 X X 09 24,698 0 2,695 - - 0 INTERNATIONAL GAME TECHNOLOG 45990210 1,416 42,121 X X 05 42,121 0 0 COM - - 0 INTL PAPER CO 46014610 32 1,100 X 01 0 0 1,100 COM 0 1,256 43,782 X 02 0 0 43,782 0 240 8,379 X 04 6,395 0 1,984 0 72 2,508 X X 04 708 800 1,000 0 96 3,350 X 05 2,700 0 650 0 50 1,752 X X 05 1,452 0 300 0 19,977 696,350 X 06 696,350 0 0 0 3,240 112,930 X 08 112,730 0 200 0 1,535 53,497 X X 08 43,697 4,200 5,600 0 24,953 869,822 X 09 864,751 0 5,071 0 5,119 178,453 X X 09 143,654 5,234 29,565 0 3 114 X X 12 0 114 0 0 139 4,835 X X 14 0 4,835 0 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 228 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- INTERNET CAP GROUP INC 46059C10 324 18,600 X 01 0 0 18,600 COM 0 98 5,600 X 08 5,600 0 0 0 225 12,900 X 09 12,900 0 0 0 258 14,800 X X 09 300 0 14,500 0 524 30,064 X 12 30,064 0 0 0 585 33,572 X X 12 0 33,572 0 - - 0 INTERNET PICTURES CORP 46059S10 4 759 X 12 759 0 0 COM 0 825 151,650 X X 12 0 151,650 0 - - 0 INTERNET INITIATIVE JAPAN IN 46059T10 64,485 1,568,019 X X 14 0 1,568,019 0 SPONSORED ADR - - 0 INTERNET SEC SYS INC 46060X10 1,184 15,756 X X 04 0 0 15,756 COM 0 3,178 42,304 X X 12 0 42,304 0 - - 0 INTERPUBLIC GROUP COS INC 46069010 103 3,034 X 04 3,034 0 0 COM 0 110 3,240 X X 04 300 0 2,940 0 136 4,000 X 05 0 0 4,000 0 10 293 X X 05 293 0 0 0 72 2,100 X 08 2,100 0 0 0 478 14,030 X X 08 14,030 0 0 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 229 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 4,401 129,194 X 09 127,470 82 1,642 0 7,214 211,782 X X 09 119,350 2,000 90,432 0 91 2,664 X X 14 0 2,664 0 - - 0 INTERSTATE BAKERIES CORP DEL 46072H10 157 10,720 X X 14 0 10,720 0 COM - - 0 INTRANET SOLUTIONS INC 46093930 2,695 53,900 X 09 53,900 0 0 COM NEW - - 0 INTERNET COM CORP 46096710 6 200 X 12 200 0 0 COM 0 1,676 54,170 X X 12 0 54,170 0 - - 0 INTERWOVEN INC 46114T10 158 1,400 X 01 0 0 1,400 COM 0 305 2,700 X 09 2,700 0 0 0 173 1,532 X X 12 0 1,532 0 - - 0 INTERVOICE-BRITE INC 46114210 735 70,000 X X 04 0 0 70,000 COM - - 0 INTRAWARE INC 46118M10 88 11,737 X X 12 0 11,737 0 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 230 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- INTUITIVE SURGICAL INC 46120E10 1,289 109,700 X 09 109,700 0 0 COM - - 0 INTUIT 46120210 0 4 X 04 0 0 4 COM 0 3,448 60,490 X 08 60,190 0 300 0 3,497 61,350 X X 08 51,350 10,000 0 0 1,616 28,356 X 09 27,272 0 1,084 0 1,254 22,000 X X 09 800 0 21,200 0 46 802 X 12 802 0 0 0 217 3,800 X X 12 0 3,800 0 - - 0 INVACARE CORP 46120310 218 6,800 X 09 6,800 0 0 COM 0 173 5,400 X X 09 5,400 0 0 - - 0 INVESTMENT TECHNOLOGY GRP NE 46145F10 571 14,300 X 09 14,300 0 0 COM - - 0 INVITROGEN CORP 46185R10 59 825 X X 09 825 0 0 COM 0 341 4,800 X 12 4,800 0 0 - - 0 INVESTORS FINL SERVICES CORP 46191510 28,690 454,500 X 06 454,500 0 0 COM 0 7,171 113,600 X 08 113,600 0 0 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 231 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 20,686 327,700 X 09 327,500 0 200 0 16 260 X X 09 260 0 0 0 10,100 160,000 X X 14 0 160,000 0 - - 0 IOMEGA CORP 46203010 399 79,800 X 09 79,800 0 0 COM - - 0 IONA TECHNOLOGIES PLC 46206P10 36,176 520,516 X X 14 0 520,516 0 SPONSORED ADR - - 0 IRELAND BK 46267Q10 609 19,300 X X 04 0 0 19,300 SPONSORED ADR 0 672 21,300 X 09 21,300 0 0 - - 0 IRON MTN INC PA 46284610 21,904 592,000 X 06 592,000 0 0 COM 0 5,482 148,150 X 08 148,150 0 0 0 13,048 352,650 X 09 352,300 0 350 0 43 1,172 X X 09 1,172 0 0 0 13,452 363,564 X X 14 0 363,564 0 - - 0 IT GROUP INC 46526610 145 30,600 X 09 30,600 0 0 COM - - 0 I3 MOBILE INC 46571310 47 7,000 X 09 7,000 0 0 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 232 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 10 1,520 X 12 1,520 0 0 0 45 6,700 X X 12 0 6,700 0 - - 0 ITURF INC 46575Q10 0 250 X 12 250 0 0 CL A 0 17 13,225 X X 12 0 13,225 0 - - 0 I2 TECHNOLOGIES INC 46575410 5 27 X 04 0 0 27 COM 0 4 20 X 08 20 0 0 0 468 2,500 X X 08 0 0 2,500 0 192 1,025 X X 09 425 0 600 0 187 1,000 X 12 1,000 0 0 0 14,914 79,727 X X 12 0 79,727 0 0 38,321 204,855 X X 14 0 204,855 0 - - 0 IVAX CORP 46582310 2 39 X 04 0 0 39 COM 0 22 476 X 08 476 0 0 0 380 8,250 X 09 8,250 0 0 0 69 1,500 X X 09 0 0 1,500 - - 0 J & J SNACK FOODS CORP 46603210 7,080 547,215 X X 14 0 547,215 0 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 233 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- JDS UNIPHASE CORP 46612J10 2,892 30,540 X 02 0 0 30,540 COM 0 4,657 49,184 X 04 44,988 0 4,196 0 260 2,750 X X 04 2,150 200 400 0 180 1,900 X 05 1,900 0 0 0 10,430 110,150 X X 05 110,150 0 0 0 41,608 439,425 X 06 439,425 0 0 0 25,872 273,230 X 08 271,505 0 1,725 0 2,867 30,275 X X 08 26,775 2,750 750 0 92,369 975,505 X 09 939,085 4,600 31,820 0 12,186 128,697 X X 09 75,491 13,425 39,781 0 16,491 174,159 X X 12 0 174,159 0 0 42,396 447,739 X X 14 0 447,739 0 - - 0 JDA SOFTWARE GROUP INC 46612K10 353 27,700 X 09 27,700 0 0 COM 0 13 1,042 X 12 1,042 0 0 0 13 1,000 X X 12 0 1,000 0 - - 0 J JILL GROUP INC 46618910 4,674 363,000 X X 14 0 363,000 0 COM - - 0 JLG INDS INC 46621010 661 54,200 X 09 54,200 0 0 COM - - 0 JMAR TECHNOLOGIES INC 46621210 416 50,000 X 09 50,000 0 0 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 234 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- JP REALTY INC 46624A10 2,399 132,800 X 09 132,800 0 0 COM - - 0 JABIL CIRCUIT INC 46631310 1 12 X 04 0 0 12 COM 0 2 40 X 09 40 0 0 0 23 400 X X 09 400 0 0 0 426 7,500 X X 12 0 7,500 0 - - 0 JACK IN THE BOX INC 46636710 18,312 854,200 X 06 854,200 0 0 COM 0 5,418 252,725 X 08 252,725 0 0 0 10,808 504,150 X 09 503,550 0 600 - - 0 JACOBS ENGR GROUP INC DEL 46981410 7,666 190,150 X 06 190,150 0 0 COM 0 2,289 56,775 X 08 56,775 0 0 0 5,741 142,400 X 09 142,300 0 100 0 30 750 X X 09 0 0 750 - - 0 JEFFERIES GROUP INC NEW 47231910 605 22,500 X 09 22,500 0 0 COM - - 0 JEFFERSON PILOT CORP 47507010 362 5,330 X X 04 0 0 5,330 COM 0 16 238 X 08 238 0 0 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 235 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 61 900 X 09 900 0 0 0 154 2,264 X X 09 182 1,575 507 - - 0 JO-ANN STORES INC 47758P10 218 30,000 X 09 30,000 0 0 CL A - - 0 JO-ANN STORES INC 47758P20 193 30,000 X 09 30,000 0 0 CL B NON VTG - - 0 JOHNS MANVILLE CORP NEW 47812910 11 1,000 X 09 1,000 0 0 COM 0 121 10,700 X X 09 10,700 0 0 - - 0 JOHNSON & JOHNSON 47816010 4,190 44,600 X 04 35,340 0 9,260 COM 0 4,197 44,682 X X 04 13,450 3,242 27,990 0 1,512 16,100 X 05 10,300 0 5,800 0 3,334 35,492 X X 05 35,092 0 400 0 52,483 558,697 X 06 558,697 0 0 0 7,767 82,687 X X 06 0 0 82,687 0 73,270 779,979 X 08 776,029 2,400 1,550 0 35,532 378,249 X X 08 260,907 29,243 88,099 0 225,754 2,403,226 X 09 2,316,608 3,450 83,168 0 275,284 2,930,484 X X 09 1,856,094 84,250 990,140 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 236 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 3,411 36,309 X X 12 0 36,309 0 0 59,253 630,762 X X 14 0 630,762 0 - - 0 JOHNSON CTLS INC 47836610 298 5,600 X 04 4,300 0 1,300 COM 0 48 900 X X 04 900 0 0 0 55 1,040 X 05 1,040 0 0 0 72 1,360 X X 05 1,360 0 0 0 183 3,450 X 08 3,450 0 0 0 7,548 141,915 X 09 139,365 0 2,550 0 1,680 31,580 X X 09 21,900 2,500 7,180 0 100 1,873 X X 14 0 1,873 0 - - 0 JONES APPAREL GROUP INC 48007410 11,374 429,200 X 06 429,200 0 0 COM 0 11,061 417,400 X 09 415,000 0 2,400 - - 0 JUNIPER NETWORKS INC 48203R10 4 20 X 04 0 0 20 COM 0 4,264 19,475 X X 05 19,475 0 0 0 980 4,475 X 06 4,475 0 0 0 44 200 X 08 0 0 200 0 263 1,200 X X 08 1,200 0 0 0 1,817 8,300 X 09 8,300 0 0 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 237 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 33 150 X X 09 150 0 0 0 20,708 94,586 X X 12 0 94,586 0 0 20,498 93,625 X X 14 0 93,625 0 - - 0 JUNO LTG INC 48204720 296 54,519 X 12 54,519 0 0 COM NEW - - 0 KLA-TENCOR CORP 48248010 419 10,162 X 04 10,100 0 62 COM 0 29 700 X 05 0 0 700 0 15 376 X X 05 376 0 0 0 28,880 701,173 X 06 701,173 0 0 0 13,286 322,573 X 08 321,573 0 1,000 0 499 12,125 X X 08 12,125 0 0 0 22,830 554,276 X 09 545,976 0 8,300 0 655 15,899 X X 09 10,073 0 5,826 0 16 400 X 12 400 0 0 0 33 800 X X 12 0 800 0 0 322 7,810 X X 14 0 7,810 0 - - 0 K MART CORP 48258410 51 8,500 X 08 8,500 0 0 COM 0 72 12,000 X X 08 12,000 0 0 0 138 23,060 X 09 23,060 0 0 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 238 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 169 28,138 X X 09 25,932 0 2,206 - - 0 K V PHARMACEUTICAL CO 48274020 13,571 386,375 X 06 386,375 0 0 CL A 0 2,670 76,000 X 08 76,000 0 0 0 300 8,550 X X 08 8,550 0 0 0 7,318 208,350 X 09 208,175 0 175 - - 0 KAISER ALUMINUM CORP 48300710 61 10,000 X X 12 0 10,000 0 COM - - 0 KAMAN CORP 48354810 285 22,600 X 09 22,600 0 0 CL A - - 0 KANA COMMUNICATIONS 48360010 12 533 X 12 533 0 0 COM 0 336 15,120 X X 12 0 15,120 0 0 24,277 1,091,120 X X 14 0 1,091,120 0 - - 0 KAUFMAN & BROAD HOME CORP 48616810 3 111 X X 05 111 0 0 COM 0 358 13,300 X 09 13,300 0 0 0 5 176 X X 09 0 0 176 - - 0 KAYE GROUP INC 48658910 1,504 253,248 X X 03 253,248 0 0 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 239 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- KELLOGG CO 48783610 41 1,700 X 04 1,700 0 0 COM 0 12 500 X 05 500 0 0 0 738 30,506 X 08 30,506 0 0 0 1,924 79,525 X X 08 20,935 7,325 51,265 0 4,912 203,077 X 09 200,377 0 2,700 0 3,476 143,724 X X 09 113,600 2,400 27,724 - 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- 0 KERR MCGEE CORP 49238610 24 365 X X 05 365 0 0 COM 0 15 230 X 08 230 0 0 0 1,111 16,769 X X 08 3,469 0 13,300 0 4,677 70,600 X 09 70,600 0 0 0 301 4,544 X X 09 4,153 0 391 - - 0 KEY ENERGY SVCS INC 49291410 913 93,000 X X 05 93,000 0 0 COM 0 39 4,000 X X 09 0 0 4,000 - - 0 KEY PRODTN INC 49313810 12,104 548,630 X X 14 0 548,630 0 COM - - 0 KEYCORP NEW 49326710 9 340 X 04 0 0 340 COM 0 66 2,604 X X 04 1,204 1,400 0 0 10 400 X 05 0 0 400 0 68 2,675 X X 05 1,675 0 1,000 0 542 21,400 X X 08 2,500 0 18,900 0 460 18,186 X 09 17,686 0 500 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 241 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 1,979 78,177 X X 09 55,661 0 22,516 0 49 1,922 X X 12 0 1,922 0 0 81 3,218 X X 14 0 3,218 0 - 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- 0 KIMCO REALTY CORP 49446R10 2,398 56,750 X 09 56,750 0 0 COM 0 8 200 X X 09 200 0 0 0 230 5,450 X X 14 0 5,450 0 - - 0 KINDER MORGAN ENERGY PARTNER 49455010 66 1,398 X 08 1,398 0 0 UT LTD PARTNER 0 95 2,000 X X 08 2,000 0 0 0 393 8,300 X 09 8,300 0 0 0 166 3,500 X X 09 0 3,000 500 0 66 1,390 X X 12 0 1,390 0 - - 0 KING PHARMACEUTICALS INC 49558210 334 10,000 X 12 10,000 0 0 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 243 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 552 16,500 X X 12 0 16,500 0 - 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- 0 KONINKLIJKE AHOLD N V 50046730 169 6,000 X 05 0 0 6,000 SPON ADR NEW 0 71 2,533 X X 08 2,533 0 0 0 68 2,400 X 09 2,400 0 0 - - 0 KONOVER PPTY TR INC 50047R10 951 217,391 X X 10 217,391 0 0 COM - - 0 KONINKLIJKE PHILIPS ELECTRS 50047230 102 2,397 X 04 1,427 0 970 SP ADR NEW2000 0 404 9,512 X 08 9,512 0 0 0 10,215 240,356 X 09 240,356 0 0 0 3,309 77,854 X X 09 38,322 0 39,532 0 36 841 X X 12 0 841 0 0 83 1,964 X X 14 0 1,964 0 - - 0 KOREA TELECOM 50063P10 835 24,838 X 09 24,838 0 0 SPONSORED ADR 0 202 6,000 X X 09 0 0 6,000 0 100,486 2,988,430 X X 14 0 2,988,430 0 - - 0 KOREA ELECTRIC PWR 50063110 49 3,750 X 09 3,750 0 0 SPONSORED ADR 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 245 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 1,959 150,000 X X 14 0 150,000 0 - - 0 KRISPY KREME DOUGHNUTS INC 50101410 117 1,400 X 04 1,400 0 0 COM 0 17 200 X 08 200 0 0 0 369 4,400 X 09 4,400 0 0 0 29 350 X X 12 0 350 0 - - 0 KROGER CO 50104410 2,073 91,898 X 04 81,650 0 10,248 COM 0 158 7,000 X X 04 7,000 0 0 0 18 800 X 05 800 0 0 0 1,025 45,411 X X 05 44,711 0 700 0 6,707 297,269 X X 06 0 0 297,269 0 6,383 282,900 X 08 272,800 0 10,100 0 1,038 46,000 X X 08 34,000 12,000 0 0 30,937 1,371,154 X 09 1,339,054 4,600 27,500 0 5,694 252,381 X X 09 138,620 0 113,761 0 722 31,986 X X 14 0 31,986 0 - - 0 KRONOS INC 50105210 131 4,371 X 12 4,371 0 0 COM 0 1,500 50,000 X X 12 0 50,000 0 - - 0 LG&E ENERGY CORP 50191710 24 1,002 X X 04 1,002 0 0 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 246 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 76 3,100 X 09 3,100 0 0 0 205 8,373 X X 09 8,373 0 0 0 5,440 222,600 X X 14 0 222,600 0 - 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- 0 LABRANCHE & CO INC 50544710 1,742 52,206 X 09 52,206 0 0 COM - - 0 LACLEDE GAS CO 50558810 6,063 280,350 X 06 280,350 0 0 COM 0 1,642 75,925 X 08 75,925 0 0 0 4,720 218,250 X 09 218,050 0 200 - - 0 LAKEHEAD PIPE LINE PARTNERS 51155710 6 150 X 08 150 0 0 COM UNIT-CL A 0 151 3,650 X 09 3,650 0 0 0 436 10,500 X X 09 2,700 2,000 5,800 - - 0 LAM RESEARCH CORP 51280710 1 63 X 04 0 0 63 COM 0 2,074 99,063 X 09 95,763 0 3,300 0 274 13,105 X X 09 12,205 0 900 0 36 1,701 X X 12 0 1,701 0 - - 0 LANDACORP INC 51475610 127 63,727 X 12 63,727 0 0 COM 0 130 65,150 X X 12 0 65,150 0 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 248 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- LANDEC CORP 51476610 7,463 1,341,527 X 07 1,306,817 0 34,710 COM - - 0 LANDRYS SEAFOOD RESTAURANTS 51508L10 114 16,700 X 09 16,700 0 0 COM - - 0 LARGE SCALE BIOLOGY CORP 51705310 13 400 X X 12 0 400 0 COM 0 2,962 90,440 X X 14 0 90,440 0 - - 0 LASER-PACIFIC MEDIA CORP 51792310 1,298 512,993 X 09 512,993 0 0 COM - - 0 LASALLE HOTEL PPTYS 51794210 303 20,000 X X 12 0 20,000 0 COM SH BEN INT - - 0 LATITUDE COMMUNICATIONS INC 51829210 13 1,720 X 12 1,720 0 0 COM 0 380 49,000 X X 12 0 49,000 0 - - 0 LAUDER ESTEE COS INC 51843910 15 400 X 04 400 0 0 CL A 0 15 400 X 05 0 0 400 0 22 600 X X 05 300 0 300 0 2,624 71,655 X 08 71,455 0 200 0 2,327 63,545 X X 08 59,445 3,800 300 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 249 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 577 15,750 X 09 15,750 0 0 0 51 1,400 X X 09 1,400 0 0 - - 0 LAUNCH MEDIA INC 51856710 68 10,000 X 09 10,000 0 0 COM 0 9 1,248 X 12 1,248 0 0 0 910 133,500 X X 12 0 133,500 0 - - 0 LEAP WIRELESS INTL INC 52186310 886 14,160 X 09 14,092 0 68 COM 0 91 1,449 X X 09 1,238 0 211 0 28 450 X X 12 0 450 0 - - 0 LEAR CORP 52186510 343 16,700 X 09 14,700 200 1,800 COM 0 5 225 X X 09 225 0 0 - - 0 LEARNING TREE INTL INC 52201510 7,937 166,650 X 06 166,650 0 0 COM 0 2,515 52,800 X 08 52,800 0 0 0 6,260 131,450 X 09 131,400 0 50 - - 0 LEGATO SYS INC 52465110 215 16,000 X X 08 16,000 0 0 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 250 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 54 4,048 X 09 4,048 0 0 0 407 30,300 X X 09 0 0 30,300 0 183 13,628 X X 12 0 13,628 0 - - 0 LEHMAN BROS HLDGS INC 52490810 6 41 X 04 0 0 41 COM 0 50 340 X X 05 340 0 0 0 16,356 110,700 X 06 110,700 0 0 0 1,773 12,000 X 08 12,000 0 0 0 18,797 127,220 X 09 125,640 0 1,580 0 5,387 36,462 X X 09 18,927 0 17,535 0 70 477 X X 14 0 477 0 - - 0 LENNAR CORP 52605710 12,527 421,950 X 06 421,950 0 0 COM 0 12,825 432,000 X 09 432,000 0 0 0 334 11,250 X 10 11,250 0 0 - - 0 LENNOX INTL INC 52610710 8,044 858,000 X 01 0 0 858,000 COM 0 3,442 367,100 X 09 367,100 0 0 - - 0 LEUCADIA NATL CORP 52728810 439 16,400 X 09 16,400 0 0 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 251 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 0 7 X X 14 0 7 0 - - 0 LEVEL 3 COMMUNICATIONS INC 52729N10 7 94 X 04 0 0 94 COM 0 139 1,800 X 08 1,800 0 0 0 154 2,000 X X 08 0 0 2,000 0 1,717 22,260 X X 12 0 22,260 0 0 218 2,827 X X 14 0 2,827 0 - - 0 LEXAR MEDIA INC 52886P10 654 56,300 X X 12 0 56,300 0 COM - - 0 LEXENT INC 52886Q10 848 28,500 X 06 28,500 0 0 COM 0 52 1,741 X 12 1,741 0 0 0 6 200 X X 12 0 200 0 - - 0 LEXICON GENETICS INC 52887210 1,233 39,000 X 09 39,000 0 0 COM 0 158 5,000 X X 12 0 5,000 0 0 12,702 401,638 X X 14 0 401,638 0 - - 0 LEXMARK INTL NEW 52977110 1,829 48,770 X 02 0 0 48,770 CL A 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 252 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 1,386 36,950 X 04 33,750 0 3,200 0 11 300 X X 04 300 0 0 0 5 134 X X 05 134 0 0 0 675 18,000 X 08 18,000 0 0 0 30 800 X X 08 800 0 0 0 5,496 146,555 X 09 142,525 780 3,250 0 1,667 44,460 X X 09 6,775 0 37,685 0 39 1,027 X X 14 0 1,027 0 - 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- 0 LUBRIZOL CORP 54927110 80 4,050 X 09 3,550 0 500 COM 0 177 9,000 X X 09 3,200 0 5,800 - - 0 LUBYS INC 54928210 53 10,000 X 08 10,000 0 0 COM 0 5 1,000 X X 08 0 1,000 0 0 1 100 X 09 100 0 0 - - 0 LUCENT TECHNOLOGIES INC 54946310 1,825 59,700 X 01 0 0 59,700 COM 0 2,661 87,056 X 04 75,092 0 11,964 0 2,226 72,821 X X 04 35,134 11,231 26,456 0 229 7,492 X 05 5,642 0 1,850 0 116 3,810 X X 05 3,810 0 0 0 50,282 1,645,197 X 06 1,645,197 0 0 0 4,802 157,105 X X 06 0 0 157,105 0 39,305 1,286,040 X 08 1,275,620 388 10,032 0 13,792 451,256 X X 08 390,576 45,278 15,402 0 92,400 3,023,278 X 09 2,921,562 6,102 95,614 0 56,698 1,855,110 X X 09 1,179,276 45,258 630,576 0 14 450 X 12 450 0 0 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 259 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 16,366 535,473 X X 12 0 535,473 0 0 31,001 1,014,323 X X 14 0 1,014,323 0 - 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- 0 MATRIX PHARMACEUTICAL INC 57684410 2 103 X 04 0 0 103 COM 0 187 12,000 X X 04 0 0 12,000 0 156 10,000 X X 12 0 10,000 0 - - 0 MATTEL INC 57708110 10 879 X 04 879 0 0 COM 0 4 326 X X 04 0 0 326 0 155 13,881 X 08 13,881 0 0 0 34 3,000 X X 08 700 0 2,300 0 2,806 250,779 X 09 246,694 1,000 3,085 0 567 50,684 X X 09 43,623 0 7,061 0 492 44,000 X X 12 0 44,000 0 0 11 1,000 X X 14 0 1,000 0 - - 0 MAXIM INTEGRATED PRODS INC 57772K10 6 77 X 04 0 0 77 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 268 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 5,350 66,510 X X 05 66,510 0 0 0 277 3,440 X X 08 3,440 0 0 0 5,405 67,200 X 09 67,200 0 0 0 3,000 37,301 X X 09 36,068 0 1,233 0 19,159 238,184 X X 12 0 238,184 0 0 686 8,525 X X 14 0 8,525 0 - 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- 0 MCAFEE COM CORP 57906210 185 12,408 X 12 12,408 0 0 CL A 0 4 300 X X 12 0 300 0 0 19,487 1,310,017 X X 14 0 1,310,017 0 - - 0 MCCLATCHY CO 57948910 669 19,000 X 09 19,000 0 0 CL A 0 14 400 X X 12 0 400 0 - - 0 MCCORMICK & CO INC 57978020 3,346 112,475 X 08 112,475 0 0 COM NON VTG 0 3,315 111,415 X X 08 101,465 9,650 300 0 57 1,900 X 09 1,250 0 650 0 149 5,000 X X 09 1,000 0 4,000 - - 0 MCDERMOTT INTL INC 58003710 249 22,600 X 09 22,600 0 0 COM 0 4 334 X X 09 80 0 254 - - 0 MCDONALDS CORP 58013510 1,848 61,200 X 01 0 0 61,200 COM 0 608 20,138 X 04 9,600 0 10,538 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 270 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 366 12,140 X X 04 8,740 1,000 2,400 0 12 400 X 05 400 0 0 0 122 4,027 X X 05 4,027 0 0 0 3,452 114,352 X 08 113,852 0 500 0 3,925 130,010 X X 08 81,210 600 48,200 0 45,431 1,504,951 X 09 1,416,251 5,100 83,600 0 51,174 1,695,169 X X 09 816,717 44,300 834,152 0 347 11,500 X X 12 0 11,500 0 0 14,574 482,769 X X 14 0 482,769 0 - - 0 MCGRAW HILL COS INC 58064510 89 1,400 X X 04 1,400 0 0 COM 0 32 500 X 05 500 0 0 0 9 134 X X 05 134 0 0 0 140 2,210 X 08 2,210 0 0 0 6,388 100,500 X X 08 56,800 0 43,700 0 3,841 60,426 X 09 53,196 0 7,230 0 8,613 135,502 X X 09 114,672 5,000 15,830 0 381 5,992 X X 12 0 5,992 0 0 138 2,175 X X 14 0 2,175 0 - - 0 MCKESSON HBOC INC 58155Q10 12 400 X X 04 400 0 0 COM 0 61 2,000 X X 05 2,000 0 0 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 271 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 46 1,516 X 09 1,516 0 0 0 286 9,363 X X 09 8,500 0 863 0 5 168 X X 12 0 168 0 0 19 623 X X 14 0 623 0 - - 0 MCLEODUSA INC 58226610 3 199 X 04 0 0 199 CL A 0 650 45,425 X X 08 0 0 45,425 0 2 150 X X 12 0 150 0 - - 0 MEAD CORP 58283410 1,136 48,605 X 09 48,005 0 600 COM 0 516 22,074 X X 09 13,600 0 8,474 - - 0 MECHANICAL TECHNOLOGY INC 58353810 335 31,000 X X 12 0 31,000 0 COM - - 0 MEDAREX INC 58391610 0 4 X 04 0 0 4 COM 0 12 100 X X 12 0 100 0 0 7,961 67,865 X X 14 0 67,865 0 - - 0 MED-DESIGN CORP 58392610 8,404 567,370 X X 14 0 567,370 0 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 272 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- MEDIAPLEX INC 58446B10 122 29,500 X X 12 0 29,500 0 COM - - 0 MEDIACOM COMMUNICATIONS CORP 58446K10 54,298 3,367,334 X 10 3,367,334 0 0 CL A 0 13,806 856,200 X 11 856,200 0 0 - - 0 MEDICAL ASSURN INC 58449U10 156 12,705 X X 14 0 12,705 0 COM - - 0 MEDICINES CO 58468810 59,354 1,736,111 X X 07 1,736,111 0 0 COM - - 0 MEDIMMUNE INC 58469910 1,282 16,601 X 04 15,740 0 861 COM 0 162 2,100 X X 04 1,200 600 300 0 2,790 36,120 X X 05 36,120 0 0 0 40,576 525,250 X 06 525,250 0 0 0 9,434 122,120 X 08 121,820 0 300 0 380 4,925 X X 08 4,700 0 225 0 40,461 523,769 X 09 519,619 1,200 2,950 0 1,103 14,277 X X 09 8,965 0 5,312 0 3,260 42,205 X X 12 0 42,205 0 - - 0 MEDITRUST CORP 58501T30 21 7,209 X 08 7,209 0 0 PAIRED CTF NEW 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 273 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 10 3,242 X X 08 2,930 312 0 0 1 392 X 09 392 0 0 0 12 4,000 X X 09 4,000 0 0 0 1 500 X X 12 0 500 0 - - 0 MEDIX RES INC 58501110 94 47,000 X X 12 0 47,000 0 COM - - 0 MEDTRONIC INC 58505510 6,961 134,354 X 04 127,591 0 6,763 COM 0 850 16,400 X X 04 4,400 1,600 10,400 0 187 3,600 X 05 0 0 3,600 0 3,517 67,887 X X 05 67,887 0 0 0 25,426 490,720 X 06 490,720 0 0 0 42,010 810,805 X 08 798,955 0 11,850 0 19,971 385,436 X X 08 316,350 32,220 36,866 0 91,578 1,767,469 X 09 1,627,918 19,250 120,301 0 44,750 863,686 X X 09 251,343 25,280 587,063 0 6,601 127,398 X X 12 0 127,398 0 0 9,893 190,938 X X 14 0 190,938 0 - - 0 MELLON FINL CORP 58551A10 1,428 30,800 X 04 30,800 0 0 COM 0 37 800 X X 04 800 0 0 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 274 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 39 851 X X 05 851 0 0 0 7,184 154,903 X 08 154,103 0 800 0 9,563 206,210 X X 08 154,210 52,000 0 0 64,334 1,387,255 X 09 1,382,274 1,000 3,981 0 3,808 82,122 X X 09 25,187 7,300 49,635 0 54,877 1,183,330 X X 14 0 1,183,330 0 - - 0 MEMBERWORKS INC 58600210 1,276 38,800 X 09 38,800 0 0 COM - - 0 MERCK & CO INC 58933110 5,124 68,836 X 04 58,328 0 10,508 COM 0 8,503 114,236 X X 04 46,666 15,400 52,170 0 1,150 15,450 X 05 9,150 0 6,300 0 2,872 38,584 X X 05 37,784 0 800 0 76,575 1,028,710 X 06 1,028,710 0 0 0 8,105 108,879 X X 06 0 0 108,879 0 108,592 1,458,821 X 08 1,445,921 5,600 7,300 0 39,428 529,676 X X 08 295,640 45,486 188,550 0 316,441 4,251,068 X 09 4,112,753 2,200 136,115 0 388,552 5,219,805 X X 09 3,192,486 74,530 1,952,789 0 4,493 60,364 X X 12 0 60,364 0 0 118,292 1,589,132 X X 14 0 1,589,132 0 - - 0 MERCURY INTERACTIVE CORP 58940510 1 6 X 04 0 0 6 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 275 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 47 300 X X 04 0 0 300 0 8 51 X X 05 51 0 0 0 125 800 X X 08 800 0 0 0 129 820 X 09 820 0 0 0 100 636 X X 09 308 0 328 0 1 7 X 12 7 0 0 0 1,191 7,600 X X 12 0 7,600 0 - - 0 MERISTAR HOSPITALITY CORP 58984Y10 3,439 169,828 X 09 169,828 0 0 COM - - 0 MERRILL LYNCH & CO INC 59018810 10,586 160,400 X 02 0 0 160,400 COM 0 5,480 83,032 X 04 71,008 0 12,024 0 781 11,840 X X 04 3,600 0 8,240 0 957 14,500 X 05 9,000 0 5,500 0 3,424 51,886 X X 05 51,486 0 400 0 142,764 2,163,090 X 06 2,163,090 0 0 0 47,457 719,044 X 08 717,544 0 1,500 0 4,073 61,715 X X 08 52,415 7,700 1,600 0 146,464 2,219,153 X 09 2,163,653 4,720 50,780 0 6,820 103,332 X X 09 71,492 14,176 17,664 0 193 2,926 X X 12 0 2,926 0 0 3,061 46,384 X X 14 0 46,384 0 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 276 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- META GROUP INC 59100210 136 11,000 X 09 11,000 0 0 COM - - 0 METLIFE INC 59156R10 30 1,137 X 04 635 0 502 COM 0 5 200 X X 04 200 0 0 0 11,130 425,000 X 09 425,000 0 0 0 102 3,893 X X 09 3,893 0 0 0 262 10,000 X X 12 0 10,000 0 0 2,357 90,000 X X 14 0 90,000 0 - - 0 METRICOM INC 59159610 11 420 X 12 420 0 0 COM 0 219 8,500 X X 12 0 8,500 0 - - 0 METRIS COS INC 59159810 5 125 X 04 0 0 125 COM 0 614 15,539 X 09 15,539 0 0 0 1,778 45,000 X X 14 0 45,000 0 - - 0 METROMEDIA FIBER NETWORK INC 59168910 41,886 1,722,800 X 01 0 0 1,722,800 CL A 0 3 126 X 04 0 0 126 0 24 1,000 X X 08 1,000 0 0 0 97 4,000 X 09 0 0 4,000 0 389 16,000 X X 09 10,000 0 6,000 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 277 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 1 37 X 12 37 0 0 0 106 4,374 X X 12 0 4,374 0 0 1 36 X X 14 0 36 0 - - 0 METTLER TOLEDO INTERNATIONAL 59268810 90 2,050 X 09 2,050 0 0 COM 0 4,426 100,600 X X 09 100,600 0 0 0 21,430 487,051 X X 14 0 487,051 0 - - 0 MICHAELS STORES INC 59408710 12,466 311,650 X 06 311,650 0 0 COM 0 3,908 97,700 X 08 97,700 0 0 0 11,230 280,750 X 09 280,550 0 200 - - 0 MICREL INC 59479310 2,894 43,200 X 09 43,200 0 0 COM 0 34 500 X X 12 0 500 0 - - 0 MICROSOFT CORP 59491810 2,686 44,529 X 01 0 0 44,529 COM 0 6,001 99,498 X 04 91,960 0 7,538 0 2,403 39,844 X X 04 22,850 6,350 10,644 0 777 12,888 X 05 11,100 0 1,788 0 5,238 86,851 X X 05 86,151 0 700 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 278 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 125,224 2,076,243 X 06 2,076,243 0 0 0 5,043 83,618 X X 06 0 0 83,618 0 111,851 1,854,512 X 08 1,836,535 9,800 8,177 0 34,431 570,870 X X 08 455,871 72,656 42,343 0 206,665 3,426,544 X 09 3,342,767 13,440 70,337 0 105,816 1,754,448 X X 09 673,827 49,329 1,031,292 0 16 270 X 12 270 0 0 0 33,414 554,011 X X 12 0 554,011 0 0 138,577 2,297,623 X X 14 0 2,297,623 0 - - 0 MICROSTRATEGY INC 59497210 55 2,000 X X 09 0 0 2,000 CL A 0 402 14,700 X X 12 0 14,700 0 - - 0 MICROCHIP TECHNOLOGY INC 59501710 16,822 508,800 X 06 508,800 0 0 COM 0 16,242 491,250 X 09 491,250 0 0 0 115 3,465 X 12 3,465 0 0 - - 0 MICROCIDE PHARMACEUTICALS IN 59501810 14 1,000 X X 04 0 0 1,000 COM 0 2,356 174,500 X X 12 0 174,500 0 - - 0 MICROMUSE INC 59509410 251 1,250 X 09 1,250 0 0 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 279 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- MICRON TECHNOLOGY INC 59511210 2 50 X 01 0 0 50 COM 0 5 104 X 04 0 0 104 0 44 952 X X 05 952 0 0 0 524 11,400 X 09 11,400 0 0 0 514 11,178 X X 09 8,944 0 2,234 0 1,681 36,546 X 12 36,546 0 0 0 1,227 26,682 X X 12 0 26,682 0 0 154 3,340 X X 14 0 3,340 0 - - 0 MICROTUNE INC DEL 59514P10 15 279 X 12 279 0 0 COM 0 2,325 43,400 X X 12 0 43,400 0 - - 0 MID ATLANTIC MED SVCS INC 59523C10 168 11,100 X 09 11,100 0 0 COM - - 0 MIIX GROUP INC 59862V10 2,378 286,040 X X 14 0 286,040 0 COM - - 0 MILACRON INC 59870910 5,109 383,738 X 09 383,738 0 0 COM 0 27 2,000 X X 09 2,000 0 0 - - 0 MILLENNIUM PHARMACEUTICALS I 59990210 3 22 X 04 0 0 22 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 280 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 1,169 8,000 X X 08 8,000 0 0 0 891 6,100 X X 09 100 0 6,000 0 607 4,157 X 12 4,157 0 0 0 6,275 42,960 X X 12 0 42,960 0 0 7,538 51,610 X X 14 0 51,610 0 - - 0 MILLENNIUM CHEMICALS INC 59990310 2,400 162,033 X 09 161,033 0 1,000 COM 0 2 142 X X 09 142 0 0 - - 0 MILLER HERMAN INC 60054410 31,248 974,584 X 04 0 0 974,584 COM 0 3,206 100,000 X 09 100,000 0 0 - - 0 MILLER INDS INC TENN 60055110 13 14,000 X 09 14,000 0 0 COM 0 14 15,000 X X 09 15,000 0 0 - - 0 MILLIPORE CORP 60107310 11 231 X 08 231 0 0 COM 0 351 7,247 X X 09 7,050 0 197 - - 0 MINIMED INC 60365K10 2,208 24,700 X 09 24,700 0 0 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 281 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 13 144 X 12 144 0 0 0 2,842 31,800 X X 12 0 31,800 0 - - 0 MINNESOTA MNG & MFG CO 60405910 1,155 12,676 X 04 11,476 0 1,200 COM 0 1,201 13,184 X X 04 784 600 11,800 0 401 4,400 X 05 4,100 0 300 0 464 5,092 X X 05 4,792 0 300 0 5,566 61,077 X 08 60,877 0 200 0 6,968 76,461 X X 08 59,971 8,570 7,920 0 35,860 393,523 X 09 385,223 800 7,500 0 48,145 528,337 X X 09 410,588 27,700 90,049 0 36 400 X X 12 0 400 0 0 292 3,202 X X 14 0 3,202 0 - - 0 MIPS TECHNOLOGIES INC 60456710 391 8,500 X 09 8,500 0 0 CL A 0 46 1,007 X 12 1,007 0 0 0 193 4,200 X X 12 0 4,200 0 - - 0 MITCHELL ENERGY & DEV CORP 60659220 574 12,312 X 08 12,312 0 0 CL A - - 0 MOBILE TELESYSTEMS OJSC 60740910 8 300 X X 12 0 300 0 SPONSORED ADR 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 282 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 14,695 579,107 X X 14 0 579,107 0 - - 0 MOLECULAR DEVICES CORP 60851C10 34,220 348,300 X 06 348,300 0 0 COM 0 9,773 99,475 X 08 99,475 0 0 0 24,528 249,650 X 09 249,450 0 200 0 927 9,437 X 12 9,437 0 0 - - 0 MOLEX INC 60855410 331 6,084 X 04 5,900 0 184 COM 0 21 383 X X 05 383 0 0 0 336 6,170 X 08 6,170 0 0 0 138 2,537 X X 08 585 0 1,952 0 10,895 200,129 X 09 193,510 0 6,619 0 6,312 115,948 X X 09 60,147 6,875 48,926 0 37 674 X X 12 0 674 0 - - 0 MOLEX INC 60855420 353 8,526 X 08 8,526 0 0 CL A 0 155 3,751 X X 08 3,751 0 0 0 503 12,136 X 09 7,799 0 4,337 0 3,526 85,086 X X 09 31,991 1,525 51,570 - - 0 MONACO COACH CORP 60886R10 226 13,700 X 09 13,700 0 0 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 283 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- MONSANTO CO 61166230 2,289 43,700 X 09 38,700 0 5,000 ADJ CONVR RATE 0 2,264 43,225 X X 09 31,925 0 11,300 - - 0 MONTANA POWER CO 61208510 179 5,363 X 04 3,063 0 2,300 COM 0 140 4,200 X X 04 4,200 0 0 0 97 2,900 X X 08 2,900 0 0 0 4,307 129,050 X 09 129,050 0 0 0 998 29,898 X X 09 22,400 0 7,498 - - 0 MONY GROUP INC 61533710 3 63 X X 08 63 0 0 COM 0 1,025 25,700 X 09 25,700 0 0 - - 0 MOORE LTD 61578510 37 13,000 X 09 13,000 0 0 COM 0 0 17 X X 09 0 0 17 - - 0 MORGAN J P & CO INC 61688010 1,727 10,569 X 04 9,719 0 850 COM 0 2,767 16,935 X X 04 9,599 2,000 5,336 0 1,448 8,863 X X 05 8,713 0 150 0 70,186 429,600 X 06 429,600 0 0 0 11,194 68,517 X 08 68,517 0 0 0 3,199 19,580 X X 08 9,774 9,506 300 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 284 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 146,588 897,251 X 09 889,885 1,000 6,366 0 95,572 584,987 X X 09 329,743 7,000 248,244 0 506 3,100 X X 12 0 3,100 0 0 371 2,270 X X 14 0 2,270 0 - - 0 MORGAN STANLEY D WITTER HI Y 61744M10 228 20,000 X X 12 0 20,000 0 COM - - 0 MORGAN STANLEY DEAN WITTER&C 61744644 40,525 443,200 X 01 0 0 443,200 COM NEW 0 8,360 91,427 X 04 79,146 0 12,281 0 3,467 37,916 X X 04 26,816 3,900 7,200 0 951 10,400 X 05 7,300 0 3,100 0 6,151 67,267 X X 05 66,867 0 400 0 162,857 1,781,068 X 06 1,781,068 0 0 0 7,543 82,490 X X 06 0 0 82,490 0 67,003 732,767 X 08 729,457 0 3,310 0 9,500 103,892 X X 08 74,682 8,360 20,850 0 343,870 3,760,695 X 09 3,648,795 8,812 103,088 0 43,986 481,045 X X 09 337,268 46,596 97,181 0 549 6,000 X X 12 0 6,000 0 0 12,581 137,592 X X 14 0 137,592 0 - - 0 MORGAN STANLEY D WITTER INDI 61745C10 2,590 249,600 X X 14 0 249,600 0 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 285 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- MORRISON MGMT SPECIALISTS IN 61845910 13,826 467,886 X X 14 0 467,886 0 COM - - 0 MOTOR CARGO INDS 61990710 2,439 398,185 X X 14 0 398,185 0 COM - - 0 MOTOROLA INC 62007610 4,195 148,500 X 01 0 0 148,500 COM 0 1,754 62,092 X 04 52,075 0 10,017 0 565 20,000 X X 04 3,000 0 17,000 0 367 12,998 X 05 7,900 0 5,098 0 3,650 129,207 X X 05 126,360 0 2,847 0 44,618 1,579,391 X 06 1,579,391 0 0 0 12,451 440,734 X 08 439,834 0 900 0 9,190 325,298 X X 08 251,663 48,435 25,200 0 82,299 2,913,247 X 09 2,876,743 720 35,784 0 25,643 907,713 X X 09 730,728 8,250 168,735 0 141 5,000 X 12 5,000 0 0 0 5,565 197,008 X X 12 0 197,008 0 0 2,200 77,869 X X 14 0 77,869 0 - - 0 MPOWER COMMUNICATIONS CORP 62473J20 1,341 86,500 X 01 0 0 86,500 PFD CV D 7.25% - - 0 MP3 COM INC 62473M10 0 100 X X 09 100 0 0 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 286 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 2 529 X 12 529 0 0 0 66 16,700 X X 12 0 16,700 0 - - 0 MUELLER INDS INC 62475610 588 26,200 X 09 26,200 0 0 COM 0 67 3,000 X X 09 0 0 3,000 - - 0 MULTEX COM INC 62536710 34,106 1,991,617 X 07 1,991,617 0 0 COM 0 3,511 205,000 X 09 205,000 0 0 0 5 264 X 12 264 0 0 - - 0 MUNIVEST FD INC 62629510 106 12,950 X 08 12,950 0 0 COM 0 8 1,000 X X 08 0 0 1,000 - - 0 MUNIYIELD CALIF FD INC 62629610 3,015 220,300 X X 12 0 220,300 0 COM - - 0 MUNIYIELD INSD FD INC 62630E10 625 48,097 X 08 48,097 0 0 COM 0 8 600 X X 08 0 0 600 - - 0 MUNIYIELD QUALITY FD II 62630T10 93 7,800 X X 08 7,800 0 0 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 287 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 48 4,000 X 09 4,000 0 0 - - 0 MURPHY OIL CORP 62671710 585 9,030 X 09 9,030 0 0 COM 0 181 2,800 X X 09 2,800 0 0 - - 0 MUSICLAND STORES CORP 62758B10 3,029 428,900 X 09 0 0 428,900 COM - - 0 MUTUAL RISK MGMT LTD 62835110 13,549 617,610 X X 14 0 617,610 0 COM - - 0 MYLAN LABS INC 62853010 362 13,440 X 09 13,440 0 0 COM 0 40 1,500 X X 09 900 0 600 - - 0 MYRIAD GENETICS INC 62855J10 80,217 928,707 X X 14 0 928,707 0 COM - - 0 MYTURN COM 62869010 310 42,582 X 10 0 0 42,582 COM - - 0 NABI INC 62871610 175 25,000 X X 12 0 25,000 0 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 288 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- NBC INTERNET INC 62873D10 381 58,056 X 03 58,056 0 0 CL A 0 1 200 X X 08 0 200 0 0 37 5,600 X 09 5,600 0 0 0 32 4,923 X 12 4,923 0 0 0 59 9,025 X X 12 0 9,025 0 - - 0 NBTY INC 62878210 272 41,600 X 09 41,600 0 0 COM - - 0 NCI BUILDING SYS INC 62885210 205 14,000 X 09 14,000 0 0 COM - - 0 NCR CORP NEW 62886E10 16 432 X 04 432 0 0 COM 0 6 166 X X 04 23 0 143 0 2,110 55,800 X 08 55,800 0 0 0 866 22,894 X X 08 14,610 5,259 3,025 0 6,362 168,250 X 09 156,497 2,856 8,897 0 1,426 37,716 X X 09 34,257 137 3,322 0 1 37 X X 12 0 37 0 - - 0 NDS GROUP PLC 62889110 46,081 598,460 X X 14 0 598,460 0 SPONSORED ADR - - 0 NEC CORP 62905020 56 500 X 09 500 0 0 ADR 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 289 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 590 5,294 X X 09 0 0 5,294 - - 0 NTL INC 62940710 125 2,700 X 01 0 0 2,700 COM 0 0 7 X 04 0 0 7 0 1,113 24,027 X X 09 5,027 0 19,000 - - 0 NUCO2 INC 62942810 4,066 657,042 X 03 0 0 657,042 COM 0 6 1,000 X 09 1,000 0 0 - - 0 NVR INC 62944T10 510 6,300 X 09 6,300 0 0 COM - - 0 NABISCO GROUP HLDG CORP 62952P10 7 263 X 04 0 0 263 COM 0 9 320 X X 05 320 0 0 0 9 300 X X 08 300 0 0 0 102 3,570 X 09 3,570 0 0 0 125 4,392 X X 09 1,623 0 2,769 0 4,123 144,668 X X 14 0 144,668 0 - - 0 NABISCO HLDGS CORP 62952610 33,811 629,050 X X 14 0 629,050 0 CL A 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 290 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- NABORS INDS INC 62956810 31 600 X 08 0 0 600 COM 0 161 3,075 X X 08 3,075 0 0 0 2,908 55,500 X 09 55,500 0 0 0 157 3,000 X X 12 0 3,000 0 - - 0 NACCO INDS INC 62957910 533 12,700 X 09 12,700 0 0 CL A - - 0 NASDAQ 100 TR 63110010 177 2,000 X 01 0 0 2,000 UNIT SER 1 0 435 4,900 X 04 4,900 0 0 0 18 200 X X 04 200 0 0 0 121 1,360 X X 06 0 0 1,360 0 18 200 X 08 200 0 0 0 847 9,545 X 09 9,545 0 0 0 381 4,300 X X 09 1,350 2,950 0 0 858 9,670 X X 12 0 9,670 0 - - 0 NATCO GROUP INC 63227W20 760 87,500 X X 05 87,500 0 0 CL A - - 0 NATIONAL BK GREECE S A 63364340 5,190 615,060 X X 14 0 615,060 0 SPONSORED ADR - - 0 NATIONAL CITY CORP 63540510 22 1,000 X 04 1,000 0 0 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 291 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 9 400 X X 04 400 0 0 0 117 5,268 X 09 5,268 0 0 0 397 17,952 X X 09 12,042 0 5,910 0 10 439 X X 14 0 439 0 - - 0 NATIONAL DENTEX CORP 63563H10 3,454 200,250 X X 14 0 200,250 0 COM - - 0 NATIONAL HEALTH REALTY INC 63590510 2,141 251,890 X X 14 0 251,890 0 COM - - 0 NATIONAL HEALTHCARE CORP 63590610 606 170,211 X X 14 0 170,211 0 COM - - 0 NATIONAL FUEL GAS CO N J 63618010 34 600 X 04 0 0 600 COM 0 6,845 122,100 X 06 122,100 0 0 0 7,019 125,200 X 09 125,200 0 0 0 498 8,886 X X 09 8,886 0 0 - - 0 NATIONAL INFO CONSORTIUM INC 63649110 40 10,000 X X 09 10,000 0 0 COM 0 0 87 X 12 87 0 0 0 62 15,500 X X 12 0 15,500 0 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 292 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- NATIONAL INSTRS CORP 63651810 10,850 245,900 X 06 245,900 0 0 COM 0 2,407 54,550 X 08 54,550 0 0 0 6,014 136,300 X 09 136,200 0 100 - - 0 NATIONAL SVC INDS INC 63765710 78 4,000 X X 04 1,000 3,000 0 COM 0 5 271 X X 05 271 0 0 0 149 7,600 X 09 4,500 0 3,100 0 267 13,635 X X 09 10,587 0 3,048 - - 0 NATIONAL STL CORP 63784430 30 10,000 X 09 10,000 0 0 CL B - - 0 NATIONWIDE FINL SVCS INC 63861210 12,006 321,230 X X 14 0 321,230 0 CL A - - 0 NATIONWIDE HEALTH PPTYS INC 63862010 4,791 300,590 X 09 294,990 0 5,600 COM 0 1,104 69,260 X X 09 55,100 2,000 12,160 - - 0 NATURAL MICROSYSTEMS CORP 63888210 2,270 42,200 X 09 42,200 0 0 COM - - 0 NAVIGANT CONSULTING INC 63935N10 1,910 555,600 X 09 555,600 0 0 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 293 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- NEIMAN MARCUS GROUP INC 64020420 334 10,300 X 09 10,300 0 0 CL A - - 0 NEIMAN MARCUS GROUP INC 64020430 218 7,622 X 09 7,622 0 0 CL B 0 69 2,409 X X 09 2,409 0 0 - - 0 NEOFORMA COM INC 64047510 37 9,851 X X 09 9,851 0 0 COM 0 15 4,000 X X 12 0 4,000 0 - - 0 NEON COMMUNICATIONS INC 64050610 14,515 416,210 X X 14 0 416,210 0 COM - - 0 NEOPHARM INC 64091910 253 6,400 X 12 6,400 0 0 COM - - 0 NETWORKS ASSOCS INC 64093810 1,323 58,480 X 09 58,479 0 1 COM 0 350 15,473 X X 09 3,725 0 11,748 0 108 4,780 X 12 4,780 0 0 0 49 2,150 X X 12 0 2,150 0 - - 0 NET GENESIS CORP 64107E10 1,271 146,300 X X 12 0 146,300 0 COM 0 16,115 1,854,875 X X 14 0 1,854,875 0 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 294 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- NET2PHONE 64108N10 78 3,466 X 12 3,466 0 0 COM 0 1,301 57,800 X X 12 0 57,800 0 - - 0 NETCURRENTS INC 64110J10 132 103,000 X X 12 0 103,000 0 COM - - 0 NETEGRITY INC 64110P10 2 31 X 04 0 0 31 COM 0 105 1,500 X 09 1,500 0 0 0 700 10,000 X X 12 0 10,000 0 - - 0 NETIA HLDGS S A 64114B10 164 11,000 X X 12 0 11,000 0 SPONSORED ADR 0 12,105 813,800 X X 14 0 813,800 0 - - 0 NETPLIANCE INC 64115K10 10 6,759 X 12 6,759 0 0 COM 0 27 18,300 X X 12 0 18,300 0 - - 0 NETIQ CORP 64115P10 223 3,388 X 12 3,388 0 0 COM 0 12,621 192,130 X X 12 0 192,130 0 - - 0 NETWORK APPLIANCE INC 64120L10 98 768 X 04 695 0 73 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 295 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 73 574 X X 05 574 0 0 0 38 300 X 08 0 0 300 0 344 2,700 X X 08 2,700 0 0 0 2,203 17,295 X 09 17,295 0 0 0 1,034 8,117 X X 09 6,741 0 1,376 0 255 2,000 X 12 2,000 0 0 0 6,915 54,285 X X 12 0 54,285 0 - - 0 NETWORK ENGINES INC 64121A10 682 16,650 X 06 16,650 0 0 COM - - 0 NETZERO INC 64122R10 2 1,101 X 12 1,101 0 0 COM 0 141 66,433 X X 12 0 66,433 0 - - 0 NEUROCRINE BIOSCIENCES INC 64125C10 450 10,000 X X 12 0 10,000 0 COM - - 0 NEW AMER HIGH INCOME FD INC 64187610 114 32,711 X X 12 0 32,711 0 COM - - 0 NEW ERA OF NETWORKS INC 64431210 756 31,060 X X 09 31,060 0 0 COM - - 0 NEW FOCUS INC 64438310 1,502 19,000 X X 12 0 19,000 0 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 296 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- NEW PLAN EXCEL RLTY TR INC 64805310 25 1,850 X X 08 1,850 0 0 COM 0 142 10,360 X 09 10,360 0 0 0 7 500 X X 09 500 0 0 - - 0 NEW YORK TIMES CO 65011110 3,216 81,800 X 04 72,600 0 9,200 CL A 0 664 16,900 X X 04 10,500 4,400 2,000 0 7 178 X X 05 178 0 0 0 181 4,600 X 08 4,600 0 0 0 8,000 203,507 X 09 192,507 0 11,000 0 8,274 210,476 X X 09 96,266 500 113,710 - - 0 NEWELL RUBBERMAID INC 65122910 18 800 X 04 800 0 0 COM 0 4 179 X X 05 179 0 0 0 31 1,342 X 08 1,342 0 0 0 1 39 X X 08 39 0 0 0 521 22,835 X 09 17,935 0 4,900 0 936 41,033 X X 09 31,647 0 9,386 - - 0 NEWFIELD EXPL CO 65129010 10,038 215,000 X 06 215,000 0 0 COM 0 7,848 168,100 X 09 168,100 0 0 0 29,721 636,579 X X 14 0 636,579 0 - - 0 NEWGEN RESULTS CORP 65135910 15 1,000 X X 12 0 1,000 0 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 297 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 248 16,500 X X 14 0 16,500 0 - - 0 NEWMONT MINING CORP 65163910 36 2,128 X 08 2,128 0 0 COM 0 4 250 X X 08 250 0 0 0 797 46,900 X 09 26,500 0 20,400 0 368 21,661 X X 09 20,252 595 814 - - 0 NEWPORT CORP 65182410 956 6,000 X 09 6,000 0 0 COM - - 0 NEWPORT NEWS SHIPBUILDING IN 65222810 5 114 X 08 114 0 0 COM 0 5 120 X X 08 120 0 0 0 37 860 X 09 720 0 140 0 967 22,289 X X 09 22,289 0 0 - - 0 NEWS CORP LTD 65248770 146 2,600 X 04 2,000 0 600 ADR NEW 0 84 1,500 X X 04 500 1,000 0 0 617 11,000 X 05 7,200 0 3,800 0 1,962 35,000 X X 05 35,000 0 0 0 157 2,800 X 08 2,800 0 0 0 1,368 24,400 X X 08 1,200 0 23,200 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 298 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 47,525 847,707 X 09 840,857 0 6,850 0 690 12,300 X X 09 11,300 0 1,000 0 235 4,200 X X 12 0 4,200 0 - - 0 NEWS CORP LTD 65248780 260 5,550 X 01 0 0 5,550 SP ADR PFD 0 68 1,450 X 04 1,450 0 0 0 548 11,700 X X 08 0 0 11,700 0 49 1,050 X 09 1,050 0 0 - - 0 NEXTEL COMMUNICATIONS INC 65332V10 9,240 197,640 X 01 0 0 197,640 CL A 0 2,384 50,995 X 04 46,800 0 4,195 0 388 8,300 X X 04 3,200 0 5,100 0 1,141 24,400 X 05 15,100 0 9,300 0 77 1,646 X X 05 1,246 0 400 0 17,711 378,846 X 06 378,846 0 0 0 8,603 184,026 X 08 184,026 0 0 0 900 19,250 X X 08 18,350 400 500 0 36,601 782,900 X 09 767,160 1,400 14,340 0 8,378 179,203 X X 09 143,588 2,000 33,615 0 187 4,000 X 12 4,000 0 0 0 385 8,226 X X 12 0 8,226 0 0 830 17,759 X X 14 0 17,759 0 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 299 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- NEXTLINK COMMUNICATIONS INC 65333H70 4 111 X 04 0 0 111 CL A 0 368 10,450 X 09 10,450 0 0 0 177 5,026 X X 12 0 5,026 0 - - 0 NIAGARA MOHAWK HLDGS INC 65352010 11 670 X X 04 210 460 0 COM 0 18 1,128 X X 05 1,128 0 0 0 80 5,100 X 08 5,100 0 0 0 70 4,439 X 09 4,439 0 0 0 17 1,099 X X 09 275 0 824 - - 0 NICE SYS LTD 65365610 19,049 264,570 X X 14 0 264,570 0 SPONSORED ADR - - 0 NICOR INC 65408610 5,808 160,500 X 06 160,500 0 0 COM 0 26 718 X 08 718 0 0 0 5,609 155,000 X 09 155,000 0 0 0 80 2,218 X X 09 2,000 0 218 - - 0 NIKE INC 65410610 5 122 X X 05 122 0 0 CL B 0 76 1,900 X X 08 1,900 0 0 0 1,550 38,700 X 09 38,700 0 0 0 9,177 229,056 X X 09 77 0 228,979 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 300 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 25 625 X X 12 0 625 0 0 8,385 209,300 X X 14 0 209,300 0 - - 0 NIKU CORP 65411310 484 19,874 X 10 19,874 0 0 COM - - 0 99 CENTS ONLY STORES 65440K10 18,881 376,200 X 06 376,200 0 0 COM 0 4,913 97,900 X 08 97,900 0 0 0 13,557 270,116 X 09 269,916 0 200 - - 0 NIPPON TELEG & TEL CORP 65462410 3,037 61,979 X 09 61,979 0 0 SPONSORED ADR 0 260 5,315 X X 09 3,315 0 2,000 0 59 1,200 X X 14 0 1,200 0 - - 0 NISOURCE INC 65473P10 1,219 50,000 X X 05 50,000 0 0 COM 0 633 25,950 X 08 25,950 0 0 0 1,231 50,500 X X 08 48,000 2,500 0 0 1,220 50,059 X 09 50,059 0 0 0 973 39,900 X X 09 33,900 0 6,000 - - 0 NOBLE AFFILIATES INC 65489410 37 1,000 X X 08 1,000 0 0 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 301 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 674 18,150 X 09 18,150 0 0 0 343 9,250 X X 09 9,250 0 0 - - 0 NOKIA CORP 65490220 2,261 56,800 X 01 0 0 56,800 SPONSORED ADR 0 3,113 78,180 X 02 0 0 78,180 0 3,579 89,900 X 04 83,700 0 6,200 0 426 10,700 X X 04 6,700 1,200 2,800 0 1,119 28,100 X 05 20,100 0 8,000 0 314 7,890 X X 05 7,890 0 0 0 1,182 29,700 X 06 29,700 0 0 0 14,053 352,970 X 08 351,870 0 1,100 0 11,325 284,448 X X 08 262,008 7,800 14,640 0 142,112 3,569,489 X 09 3,486,139 7,000 76,350 0 32,703 821,405 X X 09 402,285 47,000 372,120 0 13,758 345,575 X X 12 0 345,575 0 - - 0 NOBLE DRILLING CORP 65504210 35 700 X X 08 700 0 0 COM 0 377 7,500 X 09 7,500 0 0 - - 0 NORDSTROM INC 65566410 62 4,000 X 04 4,000 0 0 COM 0 437 28,050 X 08 28,050 0 0 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 302 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 306 19,650 X X 08 19,050 0 600 0 56 3,600 X 09 3,600 0 0 0 42 2,702 X X 09 2,000 0 702 - - 0 NORFOLK SOUTHERN CORP 65584410 43 2,945 X 04 1,650 0 1,295 COM 0 110 7,520 X X 04 3,720 0 3,800 0 8 577 X X 05 577 0 0 0 332 22,676 X 08 21,676 0 1,000 0 791 54,115 X X 08 16,065 400 37,650 0 4,093 279,849 X 09 270,949 0 8,900 0 4,378 299,342 X X 09 216,841 1,700 80,801 0 274 18,734 X X 14 0 18,734 0 - - 0 NORTEK INC 65655910 355 20,300 X 09 20,300 0 0 COM - - 0 NORTEL NETWORKS CORP NEW 65656810 3,794 63,700 X 04 58,700 0 5,000 COM 0 1,932 32,436 X X 04 5,100 400 26,936 0 1,221 20,500 X 05 11,800 0 8,700 0 455 7,638 X X 05 7,238 0 400 0 86,490 1,452,075 X 06 1,452,075 0 0 0 48,011 806,051 X 08 801,351 0 4,700 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 303 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 5,451 91,510 X X 08 72,410 6,500 12,600 0 151,362 2,541,213 X 09 2,483,513 7,000 50,700 0 32,917 552,643 X X 09 434,005 26,450 92,188 0 3 50 X 12 50 0 0 0 22,915 384,714 X X 12 0 384,714 0 0 105,149 1,765,337 X X 14 0 1,765,337 0 - - 0 NORTH FORK BANCORPORATION NY 65942410 580 26,800 X 09 26,800 0 0 COM 0 21 978 X X 09 978 0 0 0 102 4,700 X X 12 0 4,700 0 - - 0 NORTHEAST UTILS 66439710 38 1,732 X 04 1,732 0 0 COM 0 28 1,300 X X 08 1,300 0 0 0 65 3,000 X 09 3,000 0 0 0 76 3,488 X X 09 3,488 0 0 - - 0 NORTHERN BORDER PARTNERS L P 66478510 47 1,500 X X 08 1,500 0 0 UNIT LTD PARTN 0 221 7,000 X 09 7,000 0 0 0 206 6,500 X X 09 800 3,000 2,700 - - 0 NORTHERN TR CORP 66585910 356 4,000 X 05 0 0 4,000 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 304 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 29 325 X X 05 325 0 0 0 107 1,200 X 08 800 0 400 0 107 1,200 X X 08 0 1,200 0 0 435 4,900 X 09 4,900 0 0 0 2,388 26,869 X X 09 103 0 26,766 0 1,292 14,542 X X 12 0 14,542 0 0 14,560 163,823 X X 14 0 163,823 0 - - 0 NORTHROP GRUMMAN CORP 66680710 9 100 X X 05 100 0 0 COM 0 5 50 X X 08 50 0 0 0 109 1,200 X 09 0 0 1,200 0 52 571 X X 09 234 0 337 0 72 796 X X 14 0 796 0 - - 0 NORTHWEST NAT GAS CO 66765510 5,800 254,950 X 06 254,950 0 0 COM 0 1,693 74,425 X 08 74,425 0 0 0 4,472 196,565 X 09 196,365 0 200 - - 0 NOVARTIS A G 66987V10 318 8,210 X 09 8,150 0 60 SPONSORED ADR 0 77 2,000 X X 09 1,200 0 800 0 39 1,000 X X 12 0 1,000 0 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 305 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- NOTIFY TECHNOLOGY CORP 66995610 81 24,000 X X 12 0 24,000 0 COM - - 0 NOVAVAX INC 67000210 182 20,000 X X 09 20,000 0 0 COM - - 0 NOVELL INC 67000610 104 10,500 X 01 0 0 10,500 COM 0 3 253 X X 05 253 0 0 0 19 1,900 X X 08 1,400 0 500 0 15 1,550 X 09 1,550 0 0 0 151 15,188 X X 09 10,600 0 4,588 0 497 50,000 X X 12 0 50,000 0 - - 0 NOVELLUS SYS INC 67000810 70 1,513 X 04 1,500 0 13 COM 0 9 200 X X 05 200 0 0 0 70,874 1,522,119 X 06 1,522,119 0 0 0 24,054 516,594 X 08 516,594 0 0 0 665 14,275 X X 08 4,975 0 9,300 0 31,565 677,900 X 09 677,900 0 0 0 31 663 X X 09 41 0 622 0 7 152 X 12 152 0 0 0 3,912 84,010 X X 12 0 84,010 0 0 2,472 53,100 X X 14 0 53,100 0 - - 0 NOVEN PHARMACEUTICALS INC 67000910 1,483 34,700 X 06 34,700 0 0 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 306 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- NOVOSTE CORP 67010C10 2,661 62,600 X 06 62,600 0 0 COM 0 761 17,900 X X 12 0 17,900 0 0 18,957 446,055 X X 14 0 446,055 0 - - 0 NU SKIN ENTERPRISES INC 67018T10 1,316 198,712 X 07 198,712 0 0 CL A - - 0 NSTAR 67019E10 57 1,410 X X 04 0 0 1,410 COM 0 79 1,974 X 09 1,574 0 400 0 160 3,972 X X 09 3,762 0 210 0 433 10,770 X X 14 0 10,770 0 - - 0 NUCOR CORP 67034610 6 200 X 05 0 0 200 COM 0 12 400 X X 05 200 0 200 0 462 15,322 X 09 15,322 0 0 0 1,488 49,409 X X 09 43,800 0 5,609 0 247 8,211 X X 14 0 8,211 0 - - 0 NUMERICAL TECHNOLOGIES INC 67053T10 14 500 X 09 500 0 0 COM 0 78 2,700 X 12 2,700 0 0 0 522 18,100 X X 12 0 18,100 0 - - 0 NUVEEN NY MUN VALUE FD 67062M10 57 6,500 X 09 6,500 0 0 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 307 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 131 15,000 X X 09 15,000 0 0 - - 0 NUVEEN PERFORMANCE PLUS MUN 67062P10 16 1,300 X 08 1,300 0 0 COM 0 17 1,400 X X 08 1,400 0 0 0 643 52,450 X X 09 52,450 0 0 - - 0 NVEST L P 67065F10 4,745 120,500 X X 14 0 120,500 0 UNIT LTD PARTN - - 0 NVIDIA CORP 67066G10 573 7,000 X X 09 0 0 7,000 COM 0 6 75 X 12 75 0 0 0 4,792 58,526 X X 12 0 58,526 0 - - 0 OGE ENERGY CORP 67083710 1 53 X 04 0 0 53 COM 0 107 5,000 X X 04 5,000 0 0 0 6 260 X 08 260 0 0 0 58 2,700 X X 08 2,700 0 0 0 426 20,000 X 09 18,400 0 1,600 0 164 7,700 X X 09 7,700 0 0 - - 0 OM GROUP INC 67087210 720 16,500 X X 14 0 16,500 0 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 308 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- NUVEEN MUN VALUE FD INC 67092810 26 3,000 X X 04 3,000 0 0 COM 0 156 18,000 X 08 18,000 0 0 0 63 7,201 X X 08 6,696 505 0 0 2 201 X 09 201 0 0 0 160 18,432 X X 09 8,432 0 10,000 - - 0 NUVEEN NJ INVT QUALITY MUN F 67097110 44 3,000 X 09 3,000 0 0 COM 0 107 7,380 X X 09 7,380 0 0 - - 0 NUVEEN SELECT QUALITY MUN FD 67097310 352 26,451 X 08 26,451 0 0 COM 0 7 551 X X 08 551 0 0 0 93 7,000 X X 09 7,000 0 0 - - 0 NUVEEN NY SELECT QUALITY MUN 67097610 205 14,700 X X 09 10,500 0 4,200 COM - - 0 NUVEEN TEX QUALITY INCOME MU 67098310 170 12,800 X X 08 10,800 2,000 0 COM 0 11 800 X X 12 0 800 0 - - 0 NUVEEN NY QUALITY INCM MUN F 67098610 116 8,600 X 09 8,600 0 0 COM 0 75 5,550 X X 09 2,550 0 3,000 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 309 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- NUVEEN NJ PREM INCOME MUN FD 67101N10 94 6,700 X 09 6,700 0 0 COM 0 50 3,557 X X 09 3,557 0 0 - - 0 OAKLEY INC 67366210 4 200 X 05 0 0 200 COM 0 45 2,550 X X 05 850 0 1,700 0 548 31,200 X 09 31,200 0 0 0 18 1,000 X X 12 0 1,000 0 - - 0 OCCIDENTAL PETE CORP DEL 67459910 9 400 X 04 400 0 0 COM 0 8 377 X X 04 377 0 0 0 2 100 X 05 100 0 0 0 15 685 X X 05 685 0 0 0 3,349 153,526 X 09 147,812 0 5,714 0 75 3,426 X X 09 1,684 0 1,742 - - 0 OCEAN ENERGY INC TEX 67481E10 0 20 X 04 0 0 20 COM 0 15 955 X 08 955 0 0 0 158 10,250 X X 08 250 0 10,000 0 20,712 1,341,630 X 09 1,341,630 0 0 0 996 64,500 X X 14 0 64,500 0 - - 0 OCEANEERING INTL INC 67523210 253 15,200 X 09 15,200 0 0 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 310 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- OCEANFIRST FINL CORP 67523410 249 12,000 X 09 12,000 0 0 COM - - 0 OFFICE DEPOT INC 67622010 29 3,705 X 09 3,705 0 0 COM 0 325 41,585 X X 09 40,000 0 1,585 - - 0 OGDEN CORP 67634610 281 20,719 X X 09 20,719 0 0 COM - - 0 OHIO CAS CORP 67724010 99 15,600 X 09 15,600 0 0 COM 0 38 6,000 X X 09 0 2,000 4,000 - - 0 OLD KENT FINL CORP 67983310 584 20,177 X 09 20,177 0 0 COM 0 132 4,578 X X 09 2,709 0 1,869 - - 0 OLD REP INTL CORP 68022310 912 37,900 X 09 36,900 0 1,000 COM - - 0 OLIN CORP 68066520 3 200 X X 04 0 200 0 COM PAR $1 0 251 15,500 X 09 15,500 0 0 0 40 2,448 X X 09 2,248 0 200 - - 0 OMNICOM GROUP INC 68191910 1,678 23,000 X 04 20,200 0 2,800 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 311 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 369 5,060 X X 04 3,300 0 1,760 0 1,794 24,593 X X 05 24,593 0 0 0 18,989 260,350 X 08 257,350 0 3,000 0 4,772 65,425 X X 08 60,975 3,600 850 0 39,077 535,759 X 09 490,659 9,000 36,100 0 5,589 76,620 X X 09 28,986 11,900 35,734 0 130 1,785 X X 12 0 1,785 0 0 9,756 133,763 X X 14 0 133,763 0 - - 0 OMEGA HEALTHCARE INVS INC 68193610 65 10,523 X 09 8,023 0 2,500 COM 0 62 9,981 X X 09 7,481 2,000 500 - - 0 1-800 CONTACTS INC 68197710 1,230 25,628 X X 14 0 25,628 0 COM - - 0 ON ASSIGNMENT INC 68215910 14,850 473,300 X 06 473,300 0 0 COM 0 3,865 123,200 X 08 123,200 0 0 0 11,174 356,150 X 09 356,000 0 150 - - 0 ON COMMAND CORP 68216010 15,354 1,250,261 X X 14 0 1,250,261 0 COM - - 0 1 800 FLOWERS COM 68243Q10 20,258 4,064,589 X 07 4,064,589 0 0 CL A 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 312 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 15 3,100 X 12 3,100 0 0 - - 0 ONEIDA LTD 68250510 6 450 X 04 450 0 0 COM 0 370 26,655 X 09 26,655 0 0 - - 0 ONI SYSTEMS CORP 68273F10 281,025 3,255,885 X 07 3,255,885 0 0 COM 0 432 5,000 X 12 5,000 0 0 0 293 3,400 X X 12 0 3,400 0 0 16,569 191,960 X X 14 0 191,960 0 - - 0 ONVIA COM INC 68338T10 13 3,000 X 04 3,000 0 0 COM 0 14 3,136 X 12 3,136 0 0 0 22 5,000 X X 12 0 5,000 0 - - 0 ONYX PHARMACEUTICALS INC 68339910 9,713 394,428 X X 03 394,428 0 0 COM 0 49 2,000 X X 04 0 0 2,000 0 2,355 95,650 X 06 95,650 0 0 0 37 1,500 X X 12 0 1,500 0 - - 0 OPEN JT STK CO-VIMPEL COMMUN 68370R10 54 2,800 X X 09 2,800 0 0 SPONSORED ADR 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 313 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 2,167 112,179 X X 14 0 112,179 0 - - 0 OPNET TECHNOLOGIES INC 68375710 950 25,000 X 09 25,000 0 0 COM - - 0 OPTIMAL ROBOTICS CORP 68388R20 4,653 115,600 X 09 115,600 0 0 CL A NEW - - 0 OPTIO SOFTWARE INC 68389J10 20 10,000 X X 12 0 10,000 0 COM - - 0 ORACLE CORP 68389X10 1,020 12,950 X 01 0 0 12,950 COM 0 2,578 32,742 X 04 28,300 0 4,442 0 87 1,100 X X 04 1,100 0 0 0 626 7,950 X 05 6,950 0 1,000 0 2,858 36,290 X X 05 36,290 0 0 0 146,865 1,864,950 X 06 1,864,950 0 0 0 89,842 1,140,855 X 08 1,131,405 8,500 950 0 15,449 196,175 X X 08 141,265 14,450 40,460 0 161,054 2,045,129 X 09 1,971,129 15,130 58,870 0 31,184 395,987 X X 09 205,580 51,575 138,832 0 1,569 19,924 X 12 19,924 0 0 0 9,856 125,161 X X 12 0 125,161 0 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 314 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 130,150 1,652,693 X X 14 0 1,652,693 0 - - 0 ORCHID BIOSCIENCES INC 68571P10 1,156 34,000 X 09 34,000 0 0 COM - - 0 OREGON STL MLS INC 68607910 123 65,800 X 09 65,800 0 0 COM - - 0 O2WIRELESS SOLUTIONS INC 68980310 58 3,000 X 12 3,000 0 0 COM 0 1,476 76,450 X X 12 0 76,450 0 - - 0 OWENS CORNING 69073F10 1 194 X X 05 194 0 0 COM 0 52 19,950 X 09 19,500 0 450 0 17 6,442 X X 09 6,200 0 242 - - 0 OWENS & MINOR INC NEW 69073210 162 10,300 X 09 10,300 0 0 COM - - 0 OXFORD HEALTH PLANS INC 69147110 26,648 867,050 X 06 867,050 0 0 COM 0 4,238 137,900 X 08 137,900 0 0 0 23,038 749,600 X 09 749,300 0 300 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 315 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 13 420 X 12 420 0 0 - - 0 PC-TEL INC 69325Q10 2,213 95,200 X 09 95,200 0 0 COM - - 0 P-COM INC 69326210 302 45,600 X 12 45,600 0 0 COM - - 0 PECO ENERGY CO 69330410 30 500 X X 04 500 0 0 COM 0 52 854 X X 05 854 0 0 0 121 2,000 X X 08 0 2,000 0 0 612 10,108 X 09 10,108 0 0 0 480 7,933 X X 09 6,624 0 1,309 0 25 421 X X 14 0 421 0 - - 0 PG&E CORP 69331C10 4 178 X 04 178 0 0 COM 0 9 355 X X 04 0 0 355 0 29 1,200 X 05 200 0 1,000 0 40 1,651 X X 05 1,651 0 0 0 1,131 46,744 X 08 46,744 0 0 0 24 1,000 X X 08 0 1,000 0 0 720 29,777 X 09 29,377 0 400 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 316 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 209 8,661 X X 09 5,547 400 2,714 0 105 4,336 X X 14 0 4,336 0 - - 0 PFF BANCORP INC 69331W10 324 14,900 X 09 14,900 0 0 COM - - 0 PE CORP 69332S10 7 64 X 04 0 0 64 COM PE BIO GRP 0 187 1,605 X X 05 1,605 0 0 0 23 200 X 08 0 0 200 0 15,087 129,500 X 09 129,500 0 0 0 2,536 21,770 X X 09 19,226 0 2,544 0 2,942 25,255 X X 12 0 25,255 0 0 7,224 62,012 X X 14 0 62,012 0 - - 0 PE CORP 69332S20 130 1,302 X 04 1,300 0 2 CELERA GEN GRP 0 3,992 40,075 X 09 40,075 0 0 0 1,459 14,648 X X 09 3,598 0 11,050 0 722 7,250 X X 12 0 7,250 0 0 2,835 28,455 X X 14 0 28,455 0 - - 0 P F CHANGS CHINA BISTRO INC 69333Y10 1,448 41,900 X 09 41,900 0 0 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 317 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- PLX TECHNOLOGY INC 69341710 433 16,100 X 09 16,100 0 0 COM - - 0 PMC-SIERRA INC 69344F10 229 1,064 X 04 1,025 0 39 COM 0 7,461 34,660 X X 05 34,660 0 0 0 172 800 X 08 800 0 0 0 323 1,500 X X 08 1,500 0 0 0 2,357 10,950 X 09 10,950 0 0 0 484 2,250 X X 09 2,250 0 0 0 799 3,713 X 12 3,713 0 0 0 19,385 90,060 X X 12 0 90,060 0 0 22,439 104,246 X X 14 0 104,246 0 - - 0 PMI GROUP INC 69344M10 20 300 X 08 0 0 300 COM 0 762 11,250 X 09 11,250 0 0 0 19 285 X X 14 0 285 0 - - 0 PMR CORP 69345110 1,500 657,660 X X 14 0 657,660 0 COM - - 0 PNC FINL SVCS GROUP INC 69347510 130 2,000 X 04 2,000 0 0 COM 0 5 75 X 05 0 0 75 0 27 415 X X 05 415 0 0 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 318 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 29 450 X 08 450 0 0 0 280 4,300 X X 08 0 0 4,300 0 30,686 472,092 X 09 471,092 0 1,000 0 3,554 54,673 X X 09 41,953 1,334 11,386 0 297 4,572 X X 14 0 4,572 0 - 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- 0 PACIFICARE HEALTH SYS DEL 69511210 332 9,546 X 09 9,546 0 0 COM 0 4 121 X X 09 121 0 0 0 5 145 X 12 145 0 0 - - 0 PACKARD BIOSCIENCE INC 69517220 1,073 55,000 X X 05 55,000 0 0 COM 0 29 1,500 X X 12 0 1,500 0 - - 0 PACKETEER INC 69521010 2,276 60,000 X 09 60,000 0 0 COM 0 67 1,760 X X 12 0 1,760 0 0 18,187 479,395 X X 14 0 479,395 0 - - 0 PACTIV CORP 69525710 15 1,316 X X 04 1,316 0 0 COM 0 19 1,685 X X 05 1,585 0 100 0 19 1,724 X 08 1,674 50 0 0 35 3,129 X X 08 2,400 129 600 0 12 1,050 X 09 1,050 0 0 0 81 7,231 X X 09 5,851 0 1,380 0 8 745 X X 14 0 745 0 - - 0 PAINE WEBBER GROUP INC 69562910 11 157 X 04 0 0 157 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 320 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 26 381 X X 05 381 0 0 0 81 1,185 X X 09 63 0 1,122 0 9,354 137,300 X X 14 0 137,300 0 - - 0 PALL CORP 69642930 4 214 X X 05 214 0 0 COM 0 919 46,088 X 09 46,088 0 0 0 979 49,091 X X 09 23,166 6,000 19,925 - - 0 PALM INC 69664210 14 260 X 04 96 0 164 COM 0 4 68 X X 04 68 0 0 0 50 940 X X 05 940 0 0 0 118 2,224 X 08 2,224 0 0 0 280 5,291 X 09 2,712 1,179 1,400 0 1,066 20,137 X X 09 3,244 0 16,893 0 126 2,373 X 12 2,373 0 0 0 146 2,761 X X 12 0 2,761 0 0 252 4,753 X X 14 0 4,753 0 - - 0 PAN PACIFIC RETAIL PPTYS INC 69806L10 1,262 63,100 X 09 63,100 0 0 COM - - 0 PANTRY INC 69865710 12,162 926,648 X 10 926,648 0 0 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 321 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 13,655 1,040,366 X 11 1,040,366 0 0 0 3 254 X 12 254 0 0 - - 0 PARADIGM GEOPHYSICAL LTD 69900J10 277 43,000 X X 14 0 43,000 0 ORD - - 0 PARADIGM GENETICS INC 69900R10 382 16,000 X X 12 0 16,000 0 COM 0 23,798 996,795 X X 14 0 996,795 0 - - 0 PARK ELECTROCHEMICAL CORP 70041620 712 12,800 X 09 12,800 0 0 COM 0 106 1,900 X X 09 1,900 0 0 - - 0 PARK PL ENTMT CORP 70069010 14,878 983,700 X 06 983,700 0 0 COM 0 30 2,000 X 08 2,000 0 0 0 20,570 1,360,000 X X 08 1,360,000 0 0 0 14,585 964,300 X 09 964,300 0 0 0 212 14,000 X X 09 14,000 0 0 0 33 2,166 X X 12 0 2,166 0 - - 0 PARKER HANNIFIN CORP 70109410 30 900 X X 04 0 900 0 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 322 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 545 16,154 X X 08 5,854 0 10,300 0 1,634 48,423 X 09 46,423 0 2,000 0 52 1,552 X X 09 0 0 1,552 0 19,411 575,131 X X 12 0 575,131 0 0 5,194 153,903 X X 14 0 153,903 0 - - 0 PARTNER COMMUNICATIONS CO LT 70211M10 15,129 1,967,930 X X 14 0 1,967,930 0 ADR - - 0 PATINA OIL & GAS CORP 70322410 37,365 1,868,267 X 07 1,868,267 0 0 COM - - 0 PATTERSON DENTAL CO 70341210 16,376 727,800 X 06 727,800 0 0 COM 0 4,455 198,000 X 08 198,000 0 0 0 11,411 507,150 X 09 506,700 0 450 - - 0 PATTERSON ENERGY INC 70341410 1 15 X 04 0 0 15 COM 0 3,405 99,050 X 09 99,050 0 0 - - 0 PAXAR CORP 70422710 85 9,532 X 04 9,532 0 0 COM 0 196 21,900 X 09 21,900 0 0 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 323 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- PAXSON COMMUNICATIONS CORP 70423110 9,203 800,300 X 09 800,300 0 0 COM - 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- 0 PENNACO ENERGY INC 70804610 7 375 X 04 0 0 375 COM 0 1,651 95,000 X 09 95,000 0 0 0 21 1,200 X X 09 1,200 0 0 0 35 2,000 X X 12 0 2,000 0 - - 0 PENNEY J C INC 70816010 8 700 X 04 700 0 0 COM 0 8 700 X X 04 300 400 0 0 11 900 X X 08 400 500 0 0 621 52,560 X 09 43,959 0 8,601 0 1,873 158,574 X X 09 156,583 0 1,991 - - 0 PENNZOIL-QUAKER STATE COMPAN 70932310 1 120 X 04 0 0 120 COM 0 57 5,466 X X 04 5,466 0 0 0 1 100 X 08 100 0 0 0 15 1,434 X 09 1,434 0 0 0 1,080 102,879 X X 09 102,879 0 0 0 6 608 X X 14 0 608 0 - - 0 PENTAIR INC 70963110 13,156 491,800 X 06 491,800 0 0 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 325 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 14,967 559,500 X 09 559,500 0 0 0 54 2,000 X X 09 2,000 0 0 - 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- 0 PEREGRINE SYSTEMS INC 71366Q10 0 15 X 04 0 0 15 COM 0 1 58 X X 06 0 0 58 0 19 1,000 X 08 1,000 0 0 0 0 13 X 09 13 0 0 0 95 5,000 X 12 5,000 0 0 0 237 12,500 X X 12 0 12,500 0 - - 0 PERFORMANCE FOOD GROUP CO 71375510 16,988 451,500 X 06 451,500 0 0 COM 0 4,468 118,750 X 08 118,750 0 0 0 11,293 300,150 X 09 299,850 0 300 - - 0 PERKINELMER INC 71404610 334 3,200 X 04 2,200 0 1,000 COM 0 18 175 X 05 100 0 75 0 37 350 X X 05 350 0 0 0 67,854 650,100 X 06 650,100 0 0 0 10,354 99,200 X 08 99,200 0 0 0 52 500 X X 08 500 0 0 0 53,231 510,000 X 09 509,700 0 300 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 328 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 94 904 X X 09 700 0 204 - 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- 0 PIXTECH INC 72583K10 42 18,336 X 12 18,336 0 0 COM - - 0 PLACER DOME INC 72590610 57 6,067 X 08 3,067 3,000 0 COM 0 8 800 X X 08 800 0 0 0 187 19,823 X X 09 8,162 0 11,661 - - 0 PLANTRONICS INC NEW 72749310 26,395 694,600 X 09 694,600 0 0 COM 0 46 1,200 X X 12 0 1,200 0 - - 0 PLAYTEX PRODS INC 72813P10 15,751 1,333,333 X X 03 1,333,333 0 0 COM - - 0 PLEXUS CORP 72913210 127 1,800 X 09 1,800 0 0 COM 0 10 145 X 12 145 0 0 0 127 1,800 X X 12 0 1,800 0 - - 0 PLUG POWER INC 72919P10 4 108 X 04 0 0 108 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 336 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 37 1,000 X 09 0 0 1,000 0 15 400 X X 09 0 0 400 0 161 4,325 X X 12 0 4,325 0 - 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- 0 PRIDE INTL INC 74193210 2,496 94,200 X X 05 94,200 0 0 COM 0 24,365 919,450 X 06 919,450 0 0 0 6,243 235,600 X 08 235,600 0 0 0 15,664 591,100 X 09 590,600 0 500 - - 0 PRINCETON VIDEO IMAGE INC 74247610 67 13,350 X 09 8,675 0 4,675 COM - - 0 PRISON RLTY TR 74264N10 2,906 2,446,134 X 09 0 0 2,446,134 COM - - 0 PRIORITY HEALTHCARE CORP 74264T10 1,147 15,043 X 09 15,033 0 10 CL B 0 11 147 X 12 147 0 0 - - 0 PROCTER & GAMBLE CO 74271810 201 3,000 X 01 0 0 3,000 COM 0 3,822 57,042 X 04 48,359 0 8,683 0 1,467 21,890 X X 04 10,550 3,700 7,640 0 870 12,990 X 05 10,190 0 2,800 0 291 4,339 X X 05 4,339 0 0 0 48,553 724,670 X 06 724,670 0 0 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 342 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 44,254 660,507 X 08 659,221 1,136 150 0 20,523 306,312 X X 08 168,397 16,075 121,840 0 153,418 2,289,821 X 09 2,151,746 9,200 128,875 0 95,109 1,419,538 X X 09 1,065,898 29,240 324,400 0 644 9,615 X X 12 0 9,615 0 0 1,727 25,769 X X 14 0 25,769 0 - 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- 0 RAYTHEON CO 75511140 647 22,734 X 04 21,234 0 1,500 CL B 0 777 27,340 X X 04 11,440 12,600 3,300 0 50 1,754 X X 05 1,754 0 0 0 162 5,682 X 08 5,682 0 0 0 290 10,200 X X 08 6,600 3,600 0 0 4,043 142,165 X 09 130,704 700 10,761 0 5,157 181,350 X X 09 131,092 4,000 46,258 - - 0 READ-RITE CORP 75524610 158 14,080 X 12 14,080 0 0 COM 0 526 46,779 X X 12 0 46,779 0 - - 0 REALNETWORKS INC 75605L10 2,568 64,600 X 01 0 0 64,600 COM 0 1,112 27,970 X 09 27,970 0 0 0 1,020 25,650 X X 09 25,650 0 0 0 704 17,700 X X 12 0 17,700 0 - - 0 RECKSON ASSOCS RLTY CORP 75621K30 3,416 132,000 X 09 132,000 0 0 CL B - - 0 RECOTON CORP 75626810 538 34,000 X 09 34,000 0 0 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 354 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- RED HAT INC 75657710 84 4,900 X 09 4,900 0 0 COM 0 452 26,500 X X 09 22,000 0 4,500 0 8 444 X 12 444 0 0 0 404 23,650 X X 12 0 23,650 0 - 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- 0 SPECTRA-PHYSICS LASERS INC 84756810 2,057 38,400 X 09 38,400 0 0 COM - - 0 SPEECHWORKS INTL INC 84764M10 87 1,400 X 12 1,400 0 0 COM 0 772 12,450 X X 12 0 12,450 0 - - 0 SPHERION CORP 84842010 135 11,300 X 09 11,300 0 0 COM 0 39 3,300 X X 09 3,300 0 0 - - 0 SPIEKER PPTYS INC 84849710 58 1,000 X X 05 0 0 1,000 COM 0 2,366 41,100 X 09 40,100 0 1,000 0 396 6,875 X X 09 5,675 1,200 0 - - 0 SPRINT CORP 85206110 443 15,100 X 01 0 0 15,100 COM FON GROUP 0 355 12,098 X 04 9,498 0 2,600 0 190 6,468 X X 04 2,800 3,668 0 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 388 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 18 600 X 05 600 0 0 0 725 24,740 X X 05 24,740 0 0 0 1,894 64,630 X 08 63,630 0 1,000 0 2,112 72,040 X X 08 43,540 28,500 0 0 14,842 506,344 X 09 495,244 400 10,700 0 6,279 214,222 X X 09 141,178 12,700 60,344 0 70 2,389 X X 12 0 2,389 0 0 4,454 151,932 X X 14 0 151,932 0 - 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- 0 STERLING BANCSHARES INC 85890710 172 11,250 X 08 11,250 0 0 COM 0 563 36,921 X X 08 36,921 0 0 - - 0 STERIS CORP 85915210 906 75,500 X 09 67,700 0 7,800 COM 0 144 12,000 X X 09 12,000 0 0 - - 0 STET HELLAS COMMUNICATIONS S 85982310 1,157 77,750 X 09 77,750 0 0 ADR - - 0 STILWELL FINL INC 86083110 13 304 X 04 0 0 304 COM 0 28 653 X X 05 653 0 0 0 36,557 840,400 X 09 840,400 0 0 0 552 12,694 X X 09 12,084 0 610 0 25,996 597,619 X X 14 0 597,619 0 - - 0 STMICROELECTRONICS N V 86101210 273 5,725 X 09 5,725 0 0 COM 0 429 9,000 X X 09 9,000 0 0 - - 0 STONE ENERGY CORP 86164210 2,514 45,700 X 06 45,700 0 0 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 393 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- STORAGE USA INC 86190710 888 29,100 X 09 29,100 0 0 COM 0 12 400 X X 09 0 0 400 0 15 500 X X 12 0 500 0 - 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- 0 SUMMIT BANCORP 86600510 7 200 X 01 0 0 200 COM 0 35 1,000 X X 08 1,000 0 0 0 264 7,660 X 09 7,660 0 0 0 763 22,115 X X 09 21,241 0 874 - - 0 SUMMIT PPTYS INC 86623910 2,113 87,800 X 09 87,800 0 0 COM - - 0 SUN COMMUNITIES INC 86667410 136 4,300 X 09 2,300 0 2,000 COM 0 206 6,500 X X 09 6,000 500 0 0 9 300 X X 12 0 300 0 - - 0 SUN LIFE FINL SVCS CDA INC 86679610 58 2,800 X 05 2,800 0 0 COM 0 612 29,662 X 08 29,662 0 0 0 13 610 X 09 610 0 0 0 63 3,038 X X 09 3,038 0 0 - - 0 SUN MICROSYSTEMS INC 86681010 5,622 48,150 X 01 0 0 48,150 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 395 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 18,193 155,825 X 04 131,036 0 24,789 0 4,079 34,940 X X 04 20,550 3,640 10,750 0 1,436 12,300 X 05 7,700 0 4,600 0 20,364 174,422 X X 05 172,622 0 1,800 0 84,664 725,175 X 06 725,175 0 0 0 77,926 667,462 X 08 661,537 0 5,925 0 12,715 108,905 X X 08 65,230 9,150 34,525 0 433,908 3,716,555 X 09 3,538,630 17,400 160,525 0 140,435 1,202,872 X X 09 1,008,619 27,225 167,028 0 94 808 X 12 808 0 0 0 19,366 165,874 X X 12 0 165,874 0 0 164,014 1,404,828 X X 14 0 1,404,828 0 - - 0 SUN HYDRAULICS CORP 86694210 120 15,000 X 09 15,000 0 0 COM - - 0 SUNCOR ENERGY INC 86722910 1,106 50,000 X 09 50,000 0 0 COM - - 0 SUNGARD DATA SYS INC 86736310 270 6,300 X 04 5,300 0 1,000 COM 0 43 1,000 X X 04 1,000 0 0 0 10,639 248,500 X 06 248,500 0 0 0 809 18,895 X 08 18,895 0 0 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 396 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 171 4,000 X X 08 4,000 0 0 0 10,438 243,802 X 09 238,952 1,200 3,650 0 1,094 25,555 X X 09 22,555 0 3,000 0 257 6,000 X X 12 0 6,000 0 - 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- 0 SUPER SOL LTD 86851120 9,419 509,084 X X 14 0 509,084 0 SPONSORED ADR - - 0 SUPERTEX INC 86853210 60 1,200 X 09 1,200 0 0 COM 0 83 1,650 X X 09 0 0 1,650 0 2,000 39,703 X X 12 0 39,703 0 - - 0 SUPPORT COM INC 86858710 1 19 X 12 19 0 0 COM 0 296 9,650 X X 12 0 9,650 0 - - 0 SURMODICS INC 86887310 1,621 29,600 X 09 29,600 0 0 COM - - 0 SWIFT TRANSN CO 87075610 35 2,700 X 09 0 270 2,430 COM 0 9,288 711,003 X X 14 0 711,003 0 - - 0 SWISSCOM AG 87101310 369 15,000 X X 09 0 0 15,000 SPONSORED ADR 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 398 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SYBRON INTL CORP 87114F10 7 300 X 09 300 0 0 COM 0 168 7,000 X X 12 0 7,000 0 0 10,095 420,625 X X 14 0 420,625 0 - 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- 0 SYMYX TECHNOLOGIES 87155S10 3,971 91,556 X X 09 90,056 0 1,500 COM 0 165 3,793 X X 12 0 3,793 0 - - 0 SYNAPTIC PHARMACEUTICAL CORP 87156R10 233 33,050 X 12 33,050 0 0 COM - - 0 SYNAGRO TECHNOLOGIES INC 87156220 153 50,000 X 08 50,000 0 0 COM NEW - - 0 SYNAVANT INC 87157A10 4 524 X X 05 524 0 0 COM 0 55 8,182 X 08 8,182 0 0 0 40 5,927 X X 08 3,737 1,190 1,000 0 79 11,813 X 09 6,168 0 5,645 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 400 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 58 8,675 X X 09 5,425 840 2,410 0 0 8 X X 12 0 8 0 - - 0 SYNCOR INTL CORP DEL 87157J10 10,827 294,100 X 06 294,100 0 0 COM 0 2,761 75,000 X 08 75,000 0 0 0 7,083 192,400 X 09 192,200 0 200 - - 0 SYNQUEST INC 87160X10 3,413 260,000 X 09 260,000 0 0 COM - - 0 SYNTROLEUM CORP 87163010 291 14,300 X 09 14,300 0 0 COM - - 0 SYSCO CORP 87182910 1,991 43,000 X 04 34,700 0 8,300 COM 0 127 2,750 X X 04 750 0 2,000 0 61 1,317 X X 05 1,317 0 0 0 49,432 1,067,350 X 06 1,067,350 0 0 0 29,528 637,566 X 08 636,866 0 700 0 15,382 332,141 X X 08 279,841 51,000 1,300 0 50,305 1,086,187 X 09 1,079,987 2,400 3,800 0 3,089 66,691 X X 09 33,942 0 32,749 0 12 250 X X 12 0 250 0 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 401 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 882 19,035 X X 14 0 19,035 0 - - 0 SYMPHONIX DEVICES 87195110 191 43,702 X 12 43,702 0 0 COM 0 8 1,748 X X 12 0 1,748 0 - - 0 TCF FINL CORP 87227510 9,741 258,900 X 06 258,900 0 0 COM 0 9,406 250,000 X 09 250,000 0 0 - - 0 TECO ENERGY INC 87237510 43 1,500 X 04 1,500 0 0 COM 0 14 500 X X 08 500 0 0 0 833 28,960 X 09 28,960 0 0 0 1,254 43,604 X X 09 33,404 5,000 5,200 - - 0 TEPPCO PARTNERS L P 87238410 16 600 X X 04 600 0 0 UT LTD PARTNER 0 53 2,000 X 08 2,000 0 0 0 21 800 X X 08 800 0 0 0 106 4,000 X 09 2,000 0 2,000 0 53 2,000 X X 09 0 0 2,000 - - 0 TJX COS INC NEW 87254010 7 312 X X 05 312 0 0 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 402 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 17,438 775,000 X 09 775,000 0 0 0 98 4,346 X X 09 2,664 0 1,682 - - 0 TLC LASER EYE CENTERS INC 87255E10 175 47,400 X 09 47,400 0 0 COM - - 0 TRW INC 87264910 8 200 X X 04 0 200 0 COM 0 439 10,800 X X 08 2,100 0 8,700 0 4,509 110,996 X 09 109,996 0 1,000 0 2,196 54,050 X X 09 36,238 16,000 1,812 - - 0 TMP WORLDWIDE INC 87294110 97 1,200 X 08 1,200 0 0 COM 0 443 5,500 X 09 5,500 0 0 0 712 8,840 X X 09 8,840 0 0 - - 0 TVIA INC 87307P10 2,113 117,800 X 06 117,800 0 0 COM - - 0 TXU CORP 87316810 24 600 X 04 600 0 0 COM 0 1,152 29,077 X X 05 29,077 0 0 0 1,587 40,043 X 08 40,043 0 0 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 403 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 1,528 38,553 X X 08 30,654 6,767 1,132 0 4,194 105,848 X 09 105,848 0 0 0 2,232 56,325 X X 09 49,862 1,398 5,065 0 14 350 X X 12 0 350 0 0 171 4,314 X X 14 0 4,314 0 - - 0 TAIWAN FD INC 87403610 78 5,400 X X 09 0 0 5,400 COM 0 1,927 133,500 X X 14 0 133,500 0 - - 0 TAIWAN SEMICONDUCTOR MFG LTD 87403910 21 1,024 X 09 1,024 0 0 SPONSORED ADR 0 2,131 104,566 X X 12 0 104,566 0 0 1,283 62,947 X X 14 0 62,947 0 - - 0 TAKE-TWO INTERACTIVE SOFTWAR 87405410 171 13,600 X 09 13,600 0 0 COM - - 0 TALISMAN ENERGY INC 87425E10 8,004 228,265 X X 14 0 228,265 0 COM - - 0 TALK COM INC 87426410 793 179,900 X 12 179,900 0 0 COM 0 98 22,300 X X 12 0 22,300 0 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 404 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- TALX CORP 87491810 14,568 565,763 X X 14 0 565,763 0 COM - - 0 TANDY BRANDS ACCESSORIES INC 87537810 304 45,070 X 08 45,070 0 0 COM 0 27 4,000 X 09 4,000 0 0 - - 0 TARGET CORP 87612E10 3,639 142,000 X 02 0 0 142,000 COM 0 2,851 111,240 X 04 103,790 0 7,450 0 874 34,099 X X 04 6,400 0 27,699 0 179 7,000 X 05 7,000 0 0 0 104 4,046 X X 05 4,046 0 0 0 24,959 974,000 X 06 974,000 0 0 0 8,553 333,790 X 08 328,990 0 4,800 0 3,239 126,400 X X 08 102,200 9,800 14,400 0 45,371 1,770,584 X 09 1,753,144 0 17,440 0 6,663 260,005 X X 09 237,597 0 22,408 0 18,697 729,656 X X 14 0 729,656 0 - - 0 TAUBMAN CTRS INC 87666410 3,106 268,600 X 09 268,600 0 0 COM - - 0 TECH DATA CORP 87823710 26 600 X 09 0 0 600 COM 0 17 386 X 12 386 0 0 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 405 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 43 1,000 X X 12 0 1,000 0 0 12,470 291,692 X X 14 0 291,692 0 - - 0 TECHNE CORP 87837710 291 2,600 X 09 2,600 0 0 COM 0 0 1 X 12 1 0 0 - - 0 TECHNITROL INC 87855510 24,210 239,700 X 06 239,700 0 0 COM 0 5,429 53,750 X 08 53,750 0 0 0 15,847 156,900 X 09 156,700 0 200 0 7,526 74,515 X X 14 0 74,515 0 - - 0 TECHNOLOGY SOLUTIONS CO 87872T10 35 14,000 X 09 14,000 0 0 COM - - 0 TEKELEC 87910110 1 21 X 12 21 0 0 COM 0 16 500 X X 12 0 500 0 0 11,154 339,300 X X 14 0 339,300 0 - - 0 TELE NORTE LESTE PART S A 87924610 4 187 X 01 0 0 187 SPON ADR PFD 0 1 23 X 05 0 0 23 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 406 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 0 11 X X 08 11 0 0 0 90 3,915 X 09 3,915 0 0 0 1 35 X X 09 0 0 35 0 1 25 X X 12 0 25 0 0 4,187 183,037 X X 14 0 183,037 0 - - 0 TELECOM ITALIA SPA 87927W10 44 420 X 04 420 0 0 SPON ADR ORD 0 11 100 X 05 0 0 100 0 407 3,875 X 09 3,875 0 0 - - 0 TELECOMM ARGENTINA STET-FRAN 87927320 108 5,000 X 01 0 0 5,000 SPON ADR REP B 0 619 28,630 X 09 28,630 0 0 0 10,840 501,290 X X 14 0 501,290 0 - - 0 TELECOMUNICACOES BRASILEIRAS 87928730 87 1,100 X 01 0 0 1,100 SPONSORED ADR 0 16 200 X 05 0 0 200 0 8 100 X X 08 100 0 0 0 2,736 34,579 X 09 34,579 0 0 0 24 300 X X 09 0 0 300 0 175,821 2,222,063 X X 14 0 2,222,063 0 - - 0 TELECOMUNICACOES DE SAO PAUL 87929A10 3 200 X 05 0 0 200 SPON ADR PFD 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 407 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 2 150 X 08 150 0 0 0 2 100 X X 08 100 0 0 0 543 34,731 X 09 34,724 0 7 - - 0 TELECOMMUNICATION SYS INC 87929J10 4,097 214,200 X X 12 0 214,200 0 CL A - - 0 TELECORP PCS INC 87929910 2 100 X X 09 0 0 100 CL A 0 299,793 15,778,560 X 10 15,778,560 0 0 0 3 180 X 12 180 0 0 0 158 8,310 X X 12 0 8,310 0 - - 0 TELEDYNE TECHNOLOGIES INC 87936010 22 771 X X 08 771 0 0 COM 0 73 2,500 X X 09 0 0 2,500 0 227 7,800 X X 12 0 7,800 0 - - 0 TELEFLEX INC 87936910 155 4,500 X X 04 4,500 0 0 COM 0 4,043 117,600 X 09 116,100 0 1,500 0 639 18,600 X X 09 17,000 0 1,600 - - 0 TELEFONICA DE ARGENTINA S A 87937820 2,554 70,100 X 01 0 0 70,100 SPON ADR CL B 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 408 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 15 400 X 05 0 0 400 - - 0 TELEFONICA S A 87938220 1,271 21,378 X 01 0 0 21,378 SPONSORED ADR 0 28 477 X 04 477 0 0 0 378 6,364 X 08 6,364 0 0 0 95 1,591 X X 08 1,591 0 0 0 1,813 30,503 X 09 30,083 0 420 0 463 7,789 X X 09 24 1,272 6,493 0 70,023 1,178,090 X X 14 0 1,178,090 0 - - 0 TELEFONOS DE MEXICO S A 87940378 251,047 4,720,000 X 01 0 0 4,720,000 SPON ADR ORD L 0 53 1,000 X 04 0 0 1,000 0 27 500 X 05 0 0 500 0 11,285 212,165 X 09 62,165 0 150,000 0 88 1,650 X X 09 1,250 0 400 0 12 230 X X 12 0 230 0 0 295,347 5,552,892 X X 14 0 5,552,892 0 - - 0 TELEPHONE & DATA SYS INC 87943310 244 2,200 X 09 2,200 0 0 COM 0 343 3,100 X X 09 1,600 500 1,000 - - 0 TELEMIG CELULAR PART S A 87944E10 1,022 19,300 X X 14 0 19,300 0 SPON ADR PFD 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 409 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- TELESP CELULAR PART S A 87952L10 4,974 151,000 X X 14 0 151,000 0 SPON ADR PFD - - 0 TELESP CELULAR PART S A 87952L11 0 44 X 01 0 0 44 RIGHT 10/02/2000 0 0 8 X 05 0 0 8 0 0 4 X X 08 4 0 0 0 0 1,435 X 09 1,435 0 0 0 0 12 X X 09 0 0 12 0 0 15,100 X X 14 0 15,100 0 - - 0 TELIGENT INC 87959Y10 662 50,937 X 03 0 0 50,937 CL A 0 26 2,000 X 09 2,000 0 0 0 13 1,020 X 12 1,020 0 0 - - 0 TELLABS INC 87966410 55 1,150 X 01 0 0 1,150 COM 0 1,162 24,331 X 04 22,652 0 1,679 0 210 4,400 X X 04 1,200 700 2,500 0 72 1,500 X 05 1,500 0 0 0 2,542 53,233 X 08 51,233 0 2,000 0 1,167 24,450 X X 08 20,800 3,650 0 0 8,829 184,895 X 09 173,745 500 10,650 0 1,606 33,642 X X 09 26,200 2,000 5,442 0 2,191 45,880 X X 12 0 45,880 0 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 410 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 133 2,793 X X 14 0 2,793 0 - - 0 TELXON CORP 87970010 2 99 X 04 0 0 99 COM 0 350 20,000 X 12 20,000 0 0 - - 0 TEMPLE INLAND INC 87986810 1,048 27,674 X X 08 27,674 0 0 COM 0 133 3,500 X 09 2,900 0 600 0 434 11,458 X X 09 7,702 0 3,756 - - 0 TELESYSTEM INTL WIRELESS INC 87994610 387 27,500 X X 09 0 0 27,500 SUB VTG SHS - - 0 TEMPLETON EMERG MKTS INCOME 88019210 247 24,369 X X 09 24,369 0 0 COM 0 42 4,150 X X 12 0 4,150 0 - - 0 TENET HEALTHCARE CORP 88033G10 60 1,646 X X 05 1,646 0 0 COM 0 22 612 X 08 612 0 0 0 877 24,100 X X 08 5,800 0 18,300 0 5,749 158,048 X 09 158,048 0 0 0 780 21,446 X X 09 19,822 0 1,624 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 411 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 36 985 X X 14 0 985 0 - - 0 TERADYNE INC 88077010 236 6,747 X 04 6,700 0 47 COM 0 331 9,464 X X 04 0 0 9,464 0 10 280 X X 05 280 0 0 0 6 165 X 08 165 0 0 0 49 1,400 X X 08 1,400 0 0 0 4,830 137,996 X 09 137,796 0 200 0 4,216 120,470 X X 09 90,600 6,000 23,870 0 1,394 39,835 X X 12 0 39,835 0 0 826 23,597 X X 14 0 23,597 0 - - 0 TEREX CORP NEW 88077910 2 136 X 04 0 0 136 COM 0 214 16,400 X 09 16,400 0 0 0 392 30,000 X X 09 0 0 30,000 - - 0 TERRA NETWORKS S A 88100W10 1,277 34,750 X 09 34,750 0 0 SPONSORED ADR 0 15 400 X X 12 0 400 0 - - 0 TERRA NITROGEN CO L P 88100520 66 11,000 X X 12 0 11,000 0 COM UNIT 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 412 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- TESORO PETE CORP 88160910 0 24 X 04 0 0 24 COM 0 223 22,450 X 09 22,450 0 0 0 18 1,821 X X 12 0 1,821 0 - - 0 TETRA TECH INC NEW 88162G10 2,668 93,400 X 06 93,400 0 0 COM 0 200 7,000 X X 12 0 7,000 0 - - 0 TEVA PHARMACEUTICAL INDS LTD 88162420 73 1,000 X 04 1,000 0 0 ADR 0 32 440 X 08 440 0 0 0 73 1,000 X X 08 1,000 0 0 0 13,756 187,950 X X 14 0 187,950 0 - - 0 TEXACO INC 88169410 614 11,700 X 01 0 0 11,700 COM 0 1,155 22,000 X 04 21,300 0 700 0 453 8,620 X X 04 3,820 1,200 3,600 0 53 1,000 X 05 1,000 0 0 0 77 1,472 X X 05 472 0 1,000 0 2,437 46,426 X 08 46,426 0 0 0 3,521 67,076 X X 08 56,612 7,264 3,200 0 13,291 253,160 X 09 243,246 600 9,314 0 9,844 187,512 X X 09 106,986 38,560 41,966 0 239 4,545 X X 12 0 4,545 0 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 413 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 56,896 1,083,740 X X 14 0 1,083,740 0 - - 0 TEXAS INDS INC 88249110 11 343 X 08 343 0 0 COM 0 57 1,800 X X 08 1,800 0 0 0 462 14,500 X 09 14,500 0 0 0 124 3,900 X X 09 3,900 0 0 - - 0 TEXAS INSTRS INC 88250810 3,983 84,400 X 01 0 0 84,400 COM 0 1,546 32,764 X 04 27,504 0 5,260 0 1,458 30,900 X X 04 13,300 0 17,600 0 198 4,200 X 05 4,200 0 0 0 548 11,618 X X 05 9,218 0 2,400 0 102,167 2,165,112 X 06 2,165,112 0 0 0 9,742 206,455 X X 06 0 0 206,455 0 69,117 1,464,706 X 08 1,456,856 6,400 1,450 0 32,922 697,667 X X 08 567,227 35,300 95,140 0 239,342 5,072,090 X 09 5,025,490 1,000 45,600 0 39,833 844,132 X X 09 736,208 12,800 95,124 0 45 960 X 12 960 0 0 0 14,135 299,537 X X 12 0 299,537 0 0 32,822 695,555 X X 14 0 695,555 0 - - 0 TEXAS REGL BANCSHARES INC 88267310 21 750 X 08 750 0 0 CL A VTG 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 414 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 17,272 608,718 X X 14 0 608,718 0 - - 0 TEXTRON INC 88320310 55 1,200 X 04 1,200 0 0 COM 0 65 1,400 X X 04 1,400 0 0 0 9 200 X 05 200 0 0 0 657 14,248 X X 05 14,248 0 0 0 12 256 X 08 256 0 0 0 97 2,100 X X 08 2,100 0 0 0 6,441 139,638 X 09 139,638 0 0 0 196 4,244 X X 09 3,500 0 744 0 88 1,916 X X 14 0 1,916 0 - - 0 THERMO ELECTRON CORP 88355610 6 225 X 04 0 0 225 COM 0 8 312 X X 05 312 0 0 0 59 2,288 X 08 2,288 0 0 0 137 5,262 X X 08 0 5,262 0 0 6,819 262,262 X 09 261,362 900 0 0 978 37,602 X X 09 18,934 3,375 15,293 0 26 1,015 X X 14 0 1,015 0 - - 0 THESTREET COM 88368Q10 6,637 1,474,780 X 07 1,474,780 0 0 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 415 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 648 144,100 X X 12 0 144,100 0 - - 0 THOMAS & BETTS CORP 88431510 3 170 X X 05 170 0 0 COM 0 176 10,090 X 09 9,290 0 800 0 529 30,349 X X 09 29,600 500 249 - - 0 THOR INDS INC 88516010 902 39,000 X 09 39,000 0 0 COM - - 0 3COM CORP 88553510 3 176 X 04 65 0 111 COM 0 12 635 X X 05 635 0 0 0 29 1,500 X 08 1,500 0 0 0 31 1,610 X 09 1,610 0 0 0 288 14,988 X X 09 2,103 0 12,885 0 31 1,600 X 12 1,600 0 0 0 35 1,846 X X 12 0 1,846 0 0 61 3,205 X X 14 0 3,205 0 - - 0 3-DIMENSIONAL PHARMACEUTICAL 88554W10 799 22,200 X X 12 0 22,200 0 COM - - 0 3TEC ENERGY CORP 88575R30 3,450 237,910 X X 14 0 237,910 0 COM NEW 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 416 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- TIBCO SOFTWARE INC 88632Q10 1 10 X 04 0 0 10 COM 0 160 1,900 X 09 1,900 0 0 0 8 100 X X 09 100 0 0 0 17 206 X 12 206 0 0 0 476 5,635 X X 12 0 5,635 0 - - 0 TICKETS COM INC 88633M10 582 582,000 X X 07 582,000 0 0 COM - - 0 TIDEWATER INC 88642310 14 300 X 04 300 0 0 COM 0 6,277 137,950 X 09 137,950 0 0 0 123 2,700 X X 09 2,700 0 0 - - 0 TIFFANY & CO NEW 88654710 177 4,600 X 05 2,800 0 1,800 COM 0 16 408 X X 05 408 0 0 0 3,403 88,250 X 08 87,950 0 300 0 1,138 29,500 X X 08 24,700 4,000 800 0 4,197 108,845 X 09 108,845 0 0 0 909 23,567 X X 09 3,575 700 19,292 0 85 2,200 X X 12 0 2,200 0 - - 0 TIMBERLAND CO 88710010 7,196 175,500 X 06 175,500 0 0 CL A 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 417 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 2,171 52,950 X 08 52,950 0 0 0 6,281 153,200 X 09 153,100 0 100 - - 0 TIME WARNER INC 88731510 9,457 120,850 X 01 0 0 120,850 COM 0 7,500 95,851 X 04 90,800 0 5,051 0 6,703 85,666 X X 04 15,396 3,800 66,470 0 78 1,000 X 05 900 0 100 0 4,035 51,561 X X 05 51,261 0 300 0 64,637 826,033 X 06 826,033 0 0 0 43,685 558,270 X 08 556,620 0 1,650 0 9,811 125,385 X X 08 95,785 15,700 13,900 0 155,504 1,987,273 X 09 1,881,165 18,300 87,808 0 59,473 760,035 X X 09 512,893 23,875 223,267 0 444 5,670 X X 12 0 5,670 0 0 14,769 188,744 X X 14 0 188,744 0 - - 0 TIME WARNER TELECOM INC 88731910 13,546 280,380 X X 14 0 280,380 0 CL A - - 0 TIMKEN CO 88738910 1,410 103,000 X 09 103,000 0 0 COM 0 5 342 X X 09 57 0 285 - - 0 TOLL BROTHERS INC 88947810 8,166 237,550 X 06 237,550 0 0 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 418 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 2,186 63,600 X 08 63,600 0 0 0 6,788 197,459 X 09 197,309 0 150 0 216 6,298 X X 09 6,298 0 0 - - 0 TOO INC 89033310 5 212 X X 05 212 0 0 COM 0 12,496 526,156 X 09 119,526 0 406,630 0 5,450 229,482 X X 09 107,079 0 122,403 0 7 286 X X 14 0 286 0 - - 0 TOPPS INC 89078610 661 71,900 X 09 71,900 0 0 COM - - 0 TORO CO 89109210 504 16,000 X 09 16,000 0 0 COM 0 72 2,300 X X 09 2,300 0 0 - - 0 TOSCO CORP 89149030 1,656 53,086 X X 05 53,086 0 0 COM NEW 0 14,368 460,700 X 06 460,700 0 0 0 21 663 X 08 663 0 0 0 16,823 539,400 X 09 539,400 0 0 0 573 18,381 X X 09 61 0 18,320 - - 0 TOTAL RENAL CARE HLDGS INC 89151A10 1,007 134,215 X X 12 0 134,215 0 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 419 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- TOTAL FINA ELF S A 89151E10 51 700 X 04 0 0 700 SPONSORED ADR 0 31 426 X 05 0 0 426 0 2,033 27,677 X 09 27,677 0 0 0 67 906 X X 09 906 0 0 0 59 800 X X 14 0 800 0 - - 0 TOWER AUTOMOTIVE INC 89170710 4,080 435,200 X 06 435,200 0 0 COM 0 1,244 132,740 X 08 132,740 0 0 0 3,130 333,900 X 09 333,500 0 400 - - 0 TRACK N TRAIL INC 89192410 23 73,100 X X 12 0 73,100 0 COM - - 0 TOWNE SERVICES INC 89214810 12 12,663 X 12 12,663 0 0 COM 0 614 633,500 X X 12 0 633,500 0 - - 0 TOYS R US INC 89233510 9 548 X X 05 548 0 0 COM 0 21 1,275 X X 08 1,275 0 0 0 647 39,825 X 09 39,825 0 0 0 820 50,460 X X 09 36,200 0 14,260 0 16 971 X X 14 0 971 0 - - 0 TRACTOR SUPPLY CO 89235610 5,768 524,407 X X 14 0 524,407 0 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 420 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- TRAMMELL CROW CO 89288R10 284 18,900 X 09 18,900 0 0 COM 0 15,656 1,043,734 X X 14 0 1,043,734 0 - - 0 TRANS WORLD ENTMT CORP 89336Q10 373 37,300 X 09 37,300 0 0 COM - - 0 TRANSATLANTIC HLDGS INC 89352110 42 450 X 08 450 0 0 COM 0 802 8,675 X 09 8,675 0 0 0 479 5,175 X X 09 5,175 0 0 - - 0 TRANSGENOMIC INC 89365K20 57 2,500 X 12 2,500 0 0 COM 0 751 33,107 X X 12 0 33,107 0 - - 0 TRANSWITCH CORP 89406510 4 60 X 04 0 0 60 COM 0 1,250 19,600 X 09 19,600 0 0 0 122 1,910 X X 09 1,910 0 0 - - 0 TRAVIS BOATS & MTRS INC 89436310 201 54,515 X X 14 0 54,515 0 COM - - 0 TREDEGAR CORP 89465010 1,385 80,000 X 09 80,000 0 0 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 421 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- TRI CONTL CORP 89543610 25 969 X 04 969 0 0 COM 0 119 4,552 X X 04 0 0 4,552 0 289 11,064 X X 08 10,064 1,000 0 0 144 5,515 X X 09 5,515 0 0 0 332 12,718 X X 14 0 12,718 0 - - 0 TRIANGLE PHARMACEUTICALS INC 89589H10 5,907 700,000 X 07 700,000 0 0 COM 0 2,980 353,201 X X 07 353,201 0 0 0 0 2 X 12 2 0 0 - - 0 TRICON GLOBAL RESTAURANTS 89595310 1 30 X 04 30 0 0 COM 0 46 1,514 X X 04 1,170 0 344 0 2 80 X X 05 80 0 0 0 29,006 947,150 X 06 947,150 0 0 0 10,085 329,305 X 08 329,305 0 0 0 524 17,105 X X 08 4,130 400 12,575 0 13,467 439,740 X 09 439,140 420 180 0 822 26,840 X X 09 19,753 1,240 5,847 0 49 1,594 X X 12 0 1,594 0 - - 0 TRIBUNE CO NEW 89604710 109 2,500 X 05 2,000 0 500 COM 0 7 166 X X 05 166 0 0 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 422 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 2,228 51,082 X 09 46,100 0 4,982 0 2,515 57,641 X X 09 45,957 0 11,684 0 284 6,514 X X 14 0 6,514 0 - - 0 TRICORD SYSTEMS INC 89612110 7 500 X X 08 500 0 0 COM 0 299 20,000 X X 12 0 20,000 0 - - 0 TRIGON HEALTHCARE INC 89618L10 230 4,370 X X 14 0 4,370 0 COM - - 0 TRINITY INDS INC 89652210 23 1,000 X X 08 0 1,000 0 COM 0 585 25,041 X 09 25,041 0 0 0 23 1,000 X X 09 1,000 0 0 0 7 281 X X 14 0 281 0 - - 0 TRINTECH GROUP PLC 89668210 0 11 X 12 11 0 0 SPONSORED ADR 0 4 196 X X 12 0 196 0 0 1,062 52,754 X X 14 0 52,754 0 - - 0 TRIQUINT SEMICONDUCTOR INC 89674K10 110 3,008 X 04 3,000 0 8 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 423 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 445 12,200 X 09 12,200 0 0 0 22 600 X X 12 0 600 0 - - 0 TRITON PCS HLDGS INC 89677M10 337,445 12,270,744 X 10 12,270,744 0 0 CL A - - 0 TRITON NETWORK SYS INC 89677510 11,813 900,000 X 07 900,000 0 0 COM - - 0 TRIPATH IMAGING INC 89694210 39 5,632 X X 12 0 5,632 0 COM 0 2,496 356,500 X X 14 0 356,500 0 - - 0 TRUE NORTH COMMUNICATIONS IN 89784410 28,235 789,800 X 06 789,800 0 0 COM 0 3,493 97,700 X 08 97,700 0 0 0 22,984 642,900 X 09 642,700 0 200 - - 0 TRUSTMARK CORP 89840210 5,591 286,700 X 06 286,700 0 0 COM 0 1,464 75,100 X 08 75,100 0 0 0 4,438 227,600 X 09 227,400 0 200 - - 0 TULARIK INC 89916510 136 4,120 X X 04 0 0 4,120 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 424 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 97 2,939 X X 09 2,939 0 0 0 7 226 X 12 226 0 0 0 56 1,700 X X 12 0 1,700 0 - - 0 TUMBLEWEED COMMUNICATIONS CO 89969010 201 3,938 X 09 3,938 0 0 COM 0 138 2,707 X X 12 0 2,707 0 - - 0 TURBOCHEF TECHNOLOGIES INC 90000610 60 20,000 X 01 0 0 20,000 COM - - 0 TUT SYSTEMS 90110310 621 7,200 X 09 7,200 0 0 COM 0 71 827 X X 09 0 0 827 0 99 1,151 X 12 1,151 0 0 0 453 5,250 X X 12 0 5,250 0 - - 0 TWEETER HOME ENTMT GROUP INC 90116710 12,657 348,550 X X 14 0 348,550 0 COM - - 0 24 / 7 MEDIA INC 90131410 1,334 132,200 X 09 132,200 0 0 COM - - 0 TYCO INTL LTD NEW 90212410 565 10,900 X 01 0 0 10,900 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 425 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 8,169 157,478 X 04 126,668 0 30,810 0 1,929 37,178 X X 04 25,704 750 10,724 0 278 5,350 X 05 2,200 0 3,150 0 3,876 74,717 X X 05 74,417 0 300 0 54,355 1,047,809 X 06 1,047,809 0 0 0 11,095 213,877 X X 06 0 0 213,877 0 53,385 1,029,111 X 08 1,023,086 0 6,025 0 14,403 277,654 X X 08 235,799 27,523 14,332 0 206,393 3,978,658 X 09 3,719,222 23,960 235,476 0 83,125 1,602,417 X X 09 1,035,421 37,678 529,318 0 439 8,461 X X 12 0 8,461 0 0 42,719 823,502 X X 14 0 823,502 0 - 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- 0 WEINGARTEN RLTY INVS 94874110 712 17,475 X 08 17,475 0 0 SH BEN INT 0 2,493 61,171 X X 08 58,771 0 2,400 0 2,215 54,350 X 09 53,850 0 500 0 424 10,400 X X 09 7,300 0 3,100 0 12 300 X X 12 0 300 0 - - 0 WELLPOINT HEALTH NETWORK NEW 94973H10 8 85 X X 05 85 0 0 COM 0 3,114 32,435 X 09 32,435 0 0 0 32 331 X X 09 8 0 323 0 547 5,700 X X 14 0 5,700 0 - - 0 WELLS FARGO & CO NEW 94974610 2,304 50,161 X 04 48,305 0 1,856 COM 0 624 13,588 X X 04 11,942 0 1,646 0 16 350 X 05 0 0 350 0 2,644 57,562 X X 05 57,562 0 0 0 68,356 1,488,000 X 06 1,488,000 0 0 0 19,507 424,636 X 08 414,536 6,200 3,900 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 453 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 7,683 167,257 X X 08 150,297 16,460 500 0 100,613 2,190,201 X 09 2,096,232 14,969 79,000 0 17,733 386,023 X X 09 336,557 2,200 47,266 0 399 8,684 X X 12 0 8,684 0 0 85,016 1,850,659 X X 14 0 1,850,659 0 - - 0 WENDYS INTL INC 95059010 15 750 X X 08 750 0 0 COM 0 1,376 68,600 X 09 68,600 0 0 0 12 597 X X 09 0 0 597 - - 0 WESCO INTL INC 95082P10 37,225 4,653,131 X 03 4,653,131 0 0 COM - - 0 WEST MARINE INC 95423510 2,052 248,740 X X 14 0 248,740 0 COM - - 0 WESTELL TECHNOLOGIES INC 95754110 23 1,800 X 09 0 0 1,800 CL A 0 1 95 X 12 95 0 0 0 276 21,400 X X 12 0 21,400 0 - - 0 WESTCORP INC 95790710 473 31,500 X 09 31,500 0 0 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 454 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- WESTERN DIGITAL CORP 95810210 1,170 199,200 X X 05 199,200 0 0 COM 0 12 2,000 X X 09 0 0 2,000 - - 0 WESTERN PWR & EQUIP CORP 95922110 30 10,000 X X 12 0 10,000 0 COM - - 0 WESTERN RES INC 95942510 2 76 X 04 0 0 76 COM 0 2 102 X X 04 102 0 0 0 4 200 X 08 200 0 0 0 6 268 X X 08 268 0 0 0 871 40,300 X 09 40,300 0 0 0 86 3,966 X X 09 3,966 0 0 - - 0 WESTERN WIRELESS CORP 95988E20 7,446 209,000 X 06 209,000 0 0 CL A 0 86 2,400 X 08 2,400 0 0 0 7,303 204,986 X 09 204,986 0 0 0 616 17,284 X X 09 17,284 0 0 0 424 11,900 X X 14 0 11,900 0 - - 0 WESTVACO CORP 96154810 20 750 X X 04 750 0 0 COM 0 9,460 354,480 X 09 352,880 0 1,600 0 7,733 289,738 X X 09 16,616 269,849 3,273 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 455 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- WESTWOOD ONE INC 96181510 12,008 560,150 X 06 560,150 0 0 COM 0 4,340 202,424 X 08 202,424 0 0 0 6,096 284,350 X 09 283,850 0 500 - - 0 WEYERHAEUSER CO 96216610 1,163 28,800 X 02 0 0 28,800 COM 0 11 268 X X 05 268 0 0 0 14,018 347,200 X 06 347,200 0 0 0 311 7,700 X 08 7,700 0 0 0 493 12,200 X X 08 6,250 0 5,950 0 16,558 410,103 X 09 409,903 0 200 0 2,640 65,396 X X 09 41,533 6,200 17,663 0 111 2,740 X X 14 0 2,740 0 - - 0 WHITNEY HLDG CORP 96661210 980 27,000 X X 09 27,000 0 0 COM - - 0 WHOLE FOODS MKT INC 96683710 145 2,700 X 08 2,700 0 0 COM 0 279 5,200 X 09 5,200 0 0 0 97 1,800 X X 12 0 1,800 0 - - 0 WILD OATS MARKETS INC 96808B10 27,634 2,351,827 X 07 2,351,827 0 0 COM 0 4 300 X 09 300 0 0 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 456 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 0 25 X 12 25 0 0 - - 0 WILLAMETTE INDS INC 96913310 18,063 645,100 X 06 645,100 0 0 COM 0 182 6,500 X 08 6,500 0 0 0 62 2,200 X X 08 0 0 2,200 0 19,376 692,010 X 09 691,660 0 350 0 1,653 59,051 X X 09 29,948 6,500 22,603 0 220 7,848 X X 12 0 7,848 0 - - 0 WILLIAMS COMMUNICATIONS GROU 96945510 20 1,000 X 04 1,000 0 0 CL A 0 166 8,300 X X 09 3,000 0 5,300 0 100 5,000 X X 12 0 5,000 0 0 500 25,000 X X 14 0 25,000 0 - - 0 WILLIAMS COS INC DEL 96945710 1,716 40,606 X 04 36,680 0 3,926 COM 0 1,004 23,755 X X 04 10,955 3,400 9,400 0 93 2,200 X 05 1,000 0 1,200 0 1,069 25,292 X X 05 25,292 0 0 0 12,730 301,297 X 08 294,147 950 6,200 0 2,668 63,138 X X 08 60,238 500 2,400 0 33,610 795,508 X 09 778,538 1,600 15,370 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 457 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 8,407 198,993 X X 09 136,348 7,704 54,941 0 170 4,024 X X 12 0 4,024 0 0 27,830 658,703 X X 14 0 658,703 0 - - 0 WILLIAMS SONOMA INC 96990410 348 10,000 X X 09 10,000 0 0 COM 0 35 1,000 X X 12 0 1,000 0 - - 0 WILMINGTON TRUST CORP 97180710 107 2,000 X 08 2,000 0 0 COM 0 883 16,460 X 09 16,460 0 0 0 406 7,580 X X 09 3,600 3,000 980 0 21 400 X X 12 0 400 0 - - 0 WIND RIVER SYSTEMS INC 97314910 173 3,600 X 09 3,600 0 0 COM 0 96 2,000 X X 09 0 0 2,000 0 12 251 X 12 251 0 0 0 486 10,137 X X 12 0 10,137 0 0 53,283 1,111,503 X X 14 0 1,111,503 0 - - 0 WINN DIXIE STORES INC 97428010 33 2,300 X X 04 2,300 0 0 COM 0 1 60 X X 05 60 0 0 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 458 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 21 1,432 X 08 1,432 0 0 0 12 800 X X 08 400 400 0 0 122 8,485 X 09 8,485 0 0 0 116 8,071 X X 09 7,399 0 672 - - 0 WINTRUST FINANCIAL CORP 97650W10 1,536 90,370 X 08 90,370 0 0 COM - - 0 WIRELESS FACILITIES INC 97653A10 137 2,376 X 12 2,376 0 0 COM 0 575 9,974 X X 12 0 9,974 0 - - 0 WISCONSIN ENERGY CORP 97665710 1 63 X 04 0 0 63 COM 0 90 4,500 X X 08 4,500 0 0 0 822 41,220 X 09 39,220 0 2,000 0 1,505 75,475 X X 09 62,500 900 12,075 - - 0 WITNESS SYS INC 97742410 11 600 X 09 600 0 0 COM 0 20 1,100 X 12 1,100 0 0 0 489 27,066 X X 12 0 27,066 0 0 9,171 507,720 X X 14 0 507,720 0 - - 0 WORKFLOW MGMT INC 98137N10 31 5,000 X 09 5,000 0 0 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 459 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 61 10,000 X X 12 0 10,000 0 - - 0 WORLD ACCESS INC 98141A10 96 17,814 X 09 17,814 0 0 COM - - 0 WORLDCOM INC GA NEW 98157D10 4,732 155,776 X 04 134,437 0 21,339 COM 0 884 29,090 X X 04 17,950 1,000 10,140 0 62 2,029 X 05 804 0 1,225 0 2,943 96,902 X X 05 96,302 0 600 0 35,209 1,159,158 X 06 1,159,158 0 0 0 29,016 955,264 X 08 942,714 0 12,550 0 9,486 312,312 X X 08 271,320 29,742 11,250 0 129,972 4,278,918 X 09 4,083,410 19,850 175,658 0 48,805 1,606,749 X X 09 879,401 35,597 691,751 0 1,881 61,917 X X 12 0 61,917 0 0 67,983 2,238,132 X X 14 0 2,238,132 0 - - 0 WRIGLEY WM JR CO 98252610 82 1,100 X 04 600 0 500 COM 0 202 2,700 X X 04 2,700 0 0 0 18 245 X X 05 245 0 0 0 256 3,425 X 08 2,525 0 900 0 393 5,250 X X 08 4,650 0 600 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 460 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 812 10,850 X 09 10,850 0 0 0 1,773 23,674 X X 09 15,850 0 7,824 0 45 600 X X 12 0 600 0 0 6,218 83,040 X X 14 0 83,040 0 - - 0 WYNDHAM INTL INC 98310110 33 17,986 X 10 0 0 17,986 CL A - - 0 X-RITE INC 98385710 96 11,000 X 09 9,800 120 1,080 COM - - 0 XCEL ENERGY INC 98389B10 48 1,750 X X 04 1,750 0 0 COM 0 108 3,932 X X 05 3,932 0 0 0 235 8,537 X 08 8,537 0 0 0 400 14,547 X X 08 9,434 132 4,981 0 1,189 43,222 X 09 40,022 0 3,200 0 1,549 56,332 X X 09 38,042 10,290 8,000 - - 0 XILINX INC 98391910 3 36 X 04 0 0 36 COM 0 53 619 X X 05 619 0 0 0 34 400 X 08 0 0 400 0 86 1,000 X X 08 1,000 0 0 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 461 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 34 400 X 09 400 0 0 0 151 1,764 X X 09 274 0 1,490 0 676 7,900 X 12 7,900 0 0 0 4,753 55,505 X X 12 0 55,505 0 0 29,922 349,458 X X 14 0 349,458 0 - - 0 XEROX CORP 98412110 3,216 213,500 X 01 0 0 213,500 COM 0 5 300 X 05 100 0 200 0 5 360 X X 05 360 0 0 0 38,441 2,552,000 X 06 2,552,000 0 0 0 6,235 413,897 X 08 413,897 0 0 0 427 28,378 X X 08 22,200 5,378 800 0 39,101 2,595,812 X 09 2,586,454 1,300 8,058 0 3,675 243,958 X X 09 140,212 8,400 95,346 0 857 56,884 X X 12 0 56,884 0 0 92 6,116 X X 14 0 6,116 0 - - 0 XYBERNAUT CORP 98414910 71 12,000 X X 12 0 12,000 0 COM - - 0 YAHOO INC 98433210 3,195 35,110 X 01 0 0 35,110 COM 0 115 1,259 X 04 1,200 0 59 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 462 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- SECURITY CONTINUED FROM PREVIOUS PAGE 0 113 1,237 X X 05 1,237 0 0 0 5 60 X 08 60 0 0 0 412 4,525 X X 08 0 0 4,525 0 3,228 35,470 X 09 35,470 0 0 0 1,118 12,285 X X 09 9,980 0 2,305 0 36 400 X 12 400 0 0 0 1,526 16,770 X X 12 0 16,770 0 0 15,023 165,093 X X 14 0 165,093 0 - - 0 YANKEE CANDLE INC 98475710 1,047 52,000 X 09 52,000 0 0 COM - - 0 YELLOW CORP 98550910 182 12,000 X 09 12,000 0 0 COM - - 0 YOUNG & RUBICAM INC 98742510 5,883 118,850 X 01 0 0 118,850 COM 0 22 438 X X 05 438 0 0 0 975 19,700 X 09 19,700 0 0 0 15 301 X X 09 12 0 289 0 10 200 X X 12 0 200 0 0 12,974 262,100 X X 14 0 262,100 0 - - 0 YOUNG INNOVATIONS INC 98752010 4,258 272,495 X X 14 0 272,495 0 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 463 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- Z SEVEN FD INC 98878910 300 35,527 X 09 0 0 35,527 COM - - 0 ZALE CORP NEW 98885810 302 9,300 X 09 9,300 0 0 COM 0 1,636 50,445 X X 12 0 50,445 0 - - 0 ZEBRA TECHNOLOGIES CORP 98920710 22,907 476,600 X 06 476,600 0 0 CL A 0 3,849 80,075 X 08 80,075 0 0 0 17,692 368,100 X 09 367,900 0 200 - - 0 ZIFF-DAVIS INC 98951110 130 16,000 X X 12 0 16,000 0 COM ZD 0 1,144 140,771 X X 14 0 140,771 0 - - 0 ZIFF-DAVIS INC 98951120 1 50 X 04 50 0 0 COM ZDNET 0 28 2,000 X X 12 0 2,000 0 0 2,248 159,887 X X 14 0 159,887 0 - - 0 ZIONS BANCORPORATION 98970110 15,598 305,000 X 06 305,000 0 0 COM 0 15,184 296,900 X 09 296,900 0 0 0 51 1,000 X X 09 1,000 0 0 - - 0 ZORAN CORP 98975F10 351 7,200 X 09 7,200 0 0 COM 1AMS0449A RUN DATE/TIME: 11/02/00 17:28 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694 FOR QTR ENDING 09/29/00 * * * S E C USE ONLY * * * PAGE 464 OF 464 ____ ITEM 6: INVESTMENT DISCRETION ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8: FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES) ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ---------------------------------- NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE ----------------------------------------------------------------------------------------------------------------------------------- ZWEIG TOTAL RETURN FD INC 98983710 1 200 X 09 200 0 0 COM 0 296 43,000 X X 12 0 43,000 0 - - 0 ZOLL MED CORP 98992210 2,169 44,500 X 06 44,500 0 0 COM 0 1,341 27,500 X 09 27,500 0 0 0 TOTAL FAIR MARKET VALUE 65,190,342
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