13F-HR 1 wam13f-032802.txt 13F UNITED STATES SECURITIES AND EXCHANGE COMMISSION WASHINGTON, D.C. 20549 FORM 13F FORM 13F COVER PAGE REPORT FOR THE QUARTER ENDED: 03/28/2002 CHECK HERE IF AMENDMENT [ ]; AMENDMENT NUMBER: THIS AMENDMENT (CHECK ONE ONLY): [ ] IS A RESTATEMENT [ ] ADDS NEW HOLDINGS ENTRIES. INSTITUTIONAL INVESTMENT MANAGER FILING THIS REPORT: NAME: LIBERTY WANGER ASSET MANAGEMENT, LP ADRESS: 227 W MONROE SUITE 3000 CHICAGO, IL 60606 13F FILE NUMBER: 801-41391 THE INSTITUTIONAL INVESTMENT MANAGER FILING THIS REORT AND THE PERSON TO WHOM IT IS SIGNED HEREBY REPRESENT THAT THE PERSON SIGNING THE REPORT IS AUTHORIZED TO SUBMIT IT, THAT ALL INFORMATION CONTAINED HERIN 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: BRUCE H. LAUER TITLE: CHIEF ADMINISTRATIVE OFFICER PHONE: 312 634 9230 SIGNATURE, PLACE, AND DATE OF SIGNING BRUCE H. LAUER CHICAGO, ILLINOIS April 09, 2002 REPORT TYPE (CHECK ONLY ONE): [ X ] 13F HOLDINGS REPORT [ ] 13F NOTICE [ ] 13 F 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: 2 FORM 13F INFORMATION TABLE ENTRY TOTAL: 298 FORM 13F INFORMATION TABLE VALUE TOTAL: $6,682,844 LIST OF OTHER INCLUDED MANAGERS: NO. 13F FILE NUMBER NAME 01 28-4798 LIBERTY ACORN INVESTMENT TRUST 02 28-5842 WANGER ADVISORS TRUST NAME OF ISSUER CLASS CUSIP SHARE TOTAL TICKER FAIR MARKET VALUE(IN 000'S) ACLARA BIOSCIENCES CS 00461P106 1,320,000 ACLA 4,409 ACTEL CORP CS 004934105 261,000 ACTL 5,405 ACTIVISION INC CS 004930202 802,500 ATVI 23,939 ACTUATE CORP CS 00508B102 600,000 ACTU 4,332 ADVANCED DIGITAL CS 007525108 525,000 ADIC 6,830 AFFILIATED MANAGERS CS 008252108 1,340,000 AMG 96,252 AIRNET SYSTEMS CS 009417106 600,000 ANS 6,258 ALEXION PHARMAC. CS 015351109 157,000 ALXN 3,691 ALLIANCE GAMING CS 01859P609 95,000 ALLY 2,900 AMDOCS FS G02602103 704,900 DOX 18,786 AMERICAN DENTAL CS 025353103 412,500 ADPI 3,939 AMERICAN MANAGEMENT CS 027352103 1,229,000 AMSY 22,959 AMERICAN POWER CONVE CS 029066107 481,000 APCC 7,109 AMERICREDIT CORP CS 03060R101 6,665,900 ACF 253,238 AMETEK INC CS 031100100 843,000 AME 31,368 AMLI RESIDENTIAL CS 001735109 650,000 AML 16,393 ANALYSTS INTERNATION CS 032681108 2,613,200 ANLY 10,453 ANCHOR BANCORP WI CS 032839102 1,272,800 ABCW 25,494 ANSWERTHINK INC CS 036916104 853,000 ANSR 5,553 APPLIED FILMS CORP CS 038197109 265,000 AFCO 6,519 APPLIED INDUSTRIAL T CS 03820C105 792,000 AIT 15,246 AQUILA INC CS 03840P102 4,104 ILA 102 AQUILA-RESTRICTED CS 03840J106 1,727,100 ILA-DISC26,626 ARENA PHARMA. CS 040047102 670,000 ARNA 6,673 ASE TEST FS Y02516105 818,500 ASTSF 12,777 ASPECT TELECOM CS 04523Q102 947,800 ASPT 3,706 ASSOCIATED BANCORP CS 045487105 1,454,400 ASBC 55,311 ASYST TECH INC CS 04648X107 745,200 ASYT 13,563 ATCHISON CASTING CS 046613105 490,000 FDY 784 ATHEROGENICS CS 047439104 361,000 AGIX 2,614 ATMOS ENERGY CS 049560105 1,162,000 ATO 27,423 AVID TECHNOLOGY CS 05367P100 1,500,000 AVID 20,865 AVNET INC CS 053807103 540,000 AVT 14,612 AVOCENTCORP CS 053893103 457,000 AVCT 12,243 AXCELIS TECH CS 054540109 1,355,000 ACLS 19,377 BALLY TOTAL FITNESS CS 05873K108 2,247,000 BFT 49,322 BEVERLY ENTERPRISES CS 087851309 4,859,000 BEV 34,985 BIGFOOT IMS INC PC 089990949 263,158 BIG-IMS 1 BIGFOOT INTL CS 409992948 2,683 BIGFOOT 1 BKF CAPITAL GROUP CS 05548G102 352,900 BKF 10,534 BORDERS GROUP INC CS 099709107 1,709,000 BGP 40,862 BOSTON SCIENTIFIC CS 101137107 244,000 BSX 6,122 BRE PROPERTIES CS 05564E106 535,000 BRE 17,393 BSQUARE CORP. CS 11776U102 3,400,000 BSQR 12,444 CADIZ INC CS 127537108 720,000 CLCI 6,480 CALLOWAY GOLF CS 131193104 1,920,000 ELY 36,960 CAPITAL TRUST CS 14052H100 1,837,300 CT 9,187 CARBO CERAMICS CS 140781105 467,700 CRR 19,157 CARNIVAL CORP CS 143658102 1,583,000 CCL 51,685 CENTRAL EURO DISTR FS 228672SDL 200,000 CED-DISC2,160 CHELSEA PROPERTY CS 163421100 100,000 CPG 5,404 CHICOS FAS INC CS 168615102 908,000 CHS 30,600 CHILES OFFSHORE CS 16888M104 647,800 COD 14,899 CHITTENDEN CORP CS 170228100 955,000 CHZ 27,838 CHOICEPOINT INC CS 170388102 417,000 CPS 24,019 CHRISTOPHER& BANKS CS 171046105 2,494,500 CHBS 81,944 CIBER INC. CS 17163B102 3,218,800 CBR 29,452 CIPHERGEN BIOSYS CS 17252Y104 806,000 CIPH 4,852 CITIZENS UTILS CO DE CS 17453B101 25,160 CZN 270 CLARCOR INC CS 179895107 1,781,600 CLC 57,011 CLARK/BARDES INC CS 180668105 1,210,400 CBC 34,860 CLICKSOFTWARE TECHS CS M25082104 1,660,000 CKSW 1,909 COACH INC CS 189754104 1,103,000 COH 55,933 COLUMBIA SPORTS CS 198516106 150,000 COLM 5,033 COMARCO INC CS 200080109 1,293,950 CMRO 13,470 COMMONWEALTH BANCORP CS 20268X102 894,000 CMSB 22,180 COMMONWEALTH TELEPHO CS 203349105 1,243,200 CTCO 47,552 CONCORD EFS INC CS 206197105 1,360,000 CEFT 45,220 CONECTIV CS 206829103 1,845,000 CIV 45,922 CONSOLIDATED TOMOKA CS 210226106 254,000 CTO 5,461 CORVAS INTERNATIONAL CS 221005101 1,383,000 CVAS 7,869 COVANTA ENERGY CS 22281N103 1,032,500 COV 743 CROWN CASTLE CS 228227104 1,538,000 CCI 10,166 CUBIC CORP CS 229669106 235,000 CUB 15,362 CUMULUS MEDIA CS 231082108 620,000 CMLS 11,098 CUNO INC. CS 126583103 409,700 CUNO 15,208 DIONEX CS 254546104 560,800 DNEX 13,644 DIVERSA CORP CS 255064107 423,300 DVSA 5,376 DONALDSON COMP CS 257651109 225,000 DCI 9,047 DREYFUS MUN BD FD CO MF 26201Q104 109,017 DRTAX 1,267 DVI INC CS 233343102 1,150,000 DVI 21,160 DYNEGY INC CS 26816Q101 2,693,800 DYN 78,120 E.PIPHANY CS 26881V100 758,000 EPNY 5,730 EATON VANCE CORP CS 278265103 530,100 EV 21,177 EDWARDS LIFESCIENCES CS 28176E108 1,282,000 EW 35,832 EQUITABLE RESOURCES CS 294549100 1,777,600 EQT 61,878 EQUITY OFFICE PROP CS 294741103 151,200 EOP 4,534 EQUITY RESIDENTIAL P CS 29476L107 9,000 EQR 259 ESCO TECHNOLOGIES CS 296315104 266,000 ESE 10,331 EURONET WORLDWIDE FS 298736109 169,000 EEFT 2,873 EVERGREEN RESOURCES CS 299900308 754,500 EVG 31,463 EXCEL TECH CS 30067T103 415,000 XLTC 9,113 EXPEDITORS INTL WASH CS 302130109 1,939,000 EXPD 118,279 FIRST FEDERAL CAP. CS 319960100 13,000 FTFC 245 FIRST HEALTH GROUP CS 320960107 5,313,000 FHCC 128,203 FIRST INDUSTRIAL CS 32054K103 895,000 FR 30,654 FIRST YEARS INC CS 337610109 641,000 KIDD 7,788 FMC TECHNOLOGIES CS 30249U101 1,294,000 FTI 25,789 FOREST CITY ENT CL A CS 345550107 150,000 FCE.A 5,700 FOREST CITY ENT CL B CS 345550305 699,000 FCE.B 26,737 FORWARD AIR CS 349853101 840,000 FWRD 26,586 FUELCELL ENERGY CS 35952H106 220,000 FCEL 3,467 FURNITURE BRANDS CS 360921100 858,500 FBN 31,292 GADZOOKS INC CS 362553109 1,352,000 GADZ 23,592 GAIAM CS 36268Q103 347,000 GAIA 6,391 GENE LOGIC INC CS 368689105 252,000 GLGC 4,904 GENERAL GROWTH PROP CS 370021107 505,000 GGP 22,321 GENESCO INC CS 371532102 190,000 GCO 5,238 GENZYME MOLECULAR CS 372917500 380,000 GZMO 2,204 GETTY IMAGES INC CS 374276103 1,750,500 GETY 52,445 GIBRALTAR STEEL CORP CS 37476F103 1,173,000 ROCK 25,524 GLACIER BANCORP CS 37637Q105 749,800 GBCI 16,990 GLOBAL PAYMENTS CS 37940X102 1,889,080 GPN 69,235 GP STRATEGIES CORP CS 36225V104 820,000 GPX 3,198 GPO AEROPORTUARIO AD 40051E202 576,900 ASR 8,711 GROUP 1 SOFTWARE CS 39943Y103 193,100 GSOF 2,694 GUILFORD PHARM CS 401829106 361,000 GLFD 2,570 H & R BLOCK INC CS 093671105 245,000 HRB 10,890 HAEMONETICS CORP CS 405024100 350,000 HAE 11,109 HANOVER COMPRESSOR CS 410768105 869,000 HC 15,633 HARLEY DAVIDSON INC CS 412822108 2,121,000 HDI 116,931 HCC INSURANCE HLDGS CS 404132102 1,429,000 HCC 39,941 HELEN OF TROY CS G4388N106 2,700,000 HELE 38,340 HERMAN MILLER CS 600544100 490,000 MLHR 11,652 HON INDUSTRIES INC CS 438092108 764,300 HNI 21,714 HOT TOPIC INC CS 441339108 981,500 HOTT 20,513 HUB GROUP INC CS 443320106 1,503,300 HUBGE 14,883 HYPERION SOLUTIONS CS 44914M104 795,000 HYSL 21,473 IGATE CAPITAL CS 45169U105 4,580,400 IGTE 18,042 IMS HEALTH INC CS 449934108 282,000 RX 6,331 INCYTE PHARMACEUTICA CS 45337C102 320,000 INCY 3,808 INDUS INTERNATIONAL CS 45578L100 1,640,000 IINT 8,561 INFORMATION HOLDINGS CS 456727106 1,115,300 IHI 32,121 INFOUSA INC CS 456818301 3,148,000 IUSA 24,019 INHALE THERAPEUTIC S CS 457191104 845,000 INHL 8,915 INSIGHT COMMS CS 45768V108 200,000 ICCI 4,190 INSITUFORM TECH CS 457667103 200,000 INSUA 5,054 INSURANCE AUTO AUCTI CS 457875102 619,000 IAAI 10,362 INTEGRATED CIRCUIT CS 45811K208 910,000 ICST 18,564 INTERMAGNETICS GEN CS 458771102 344,800 IMGC 9,396 INTERNATIONAL GAME T CS 459902102 3,458,100 IGT 215,509 INVESTMENT CO. OF CH FS 045933009 300,000 INVCHINA837 ITT EDUCATIONAL CS 45068B109 2,546,000 ESI 114,570 IXYS CORP CS 46600W106 431,000 SYXI 5,038 J D EDWARDS & CO CS 281667105 4,627,000 JDEC 83,471 JABIL CIRCUIT CS 466313103 338,000 JBL 7,953 JACKSONVILLE POWER MB 469364DV2 150,000 JACPWR 153 JDA SOFTWARE GROUP CS 46612K108 2,855,000 JDAS 91,017 JONES APPAREL CS 480074103 1,812,480 JNY 63,346 KENSEY NASH CORP CS 490057106 150,000 KNSY 2,484 KHANTY MANSISYK ORD FS 649991916 8,251 KMOC 3,713 KHANTY MANSIYSK CB 649992922 1,500,000 KHANTY 1,500 KNIGHT TRADING CS 499063105 720,000 NITE 5,141 KRONOS INC CS 501052104 1,752,850 KRON 82,349 LA QUINTA CORP CS 50419U202 461,300 LQI 3,298 LABOR READY CS 505401208 3,072,000 LRW 23,962 LAKES GAMING INC CS 51206P109 113,000 LACO 785 LASALLE HOTEL PROP CS 517942108 1,444,000 LHO 23,393 LEUCADIA NATIONAL CO CS 527288104 1,098,000 LUK 39,254 LIBERTY MEDIA CORP CS 530718105 4,004,848 L 50,621 LINCARE HOLDINGS INC CS 532791100 3,457,800 LNCR 93,776 LOCUS CS 54099C979 2,500,000 LOCUS 10,000 MACERICH CO. CS 554382101 625,000 MAC 18,844 MAGELLAN HEALTH SERV CS 559079108 1,448,800 MGL 8,258 MANUFACTURED HOME CO CS 564682102 787,300 MHC 25,981 MAPICS INC CS 564910107 2,526,000 MAPX 19,248 MARKEL CORP CS 570535104 295,288 MKL 60,094 MARTHA STEWART CS 573083102 860,000 MSO 15,394 MAXYGEN CS 577776107 365,000 MAXY 4,570 MDSI-MOBILE DATA SOL FS 55268N100 227,600 MDSI 858 MEDAREX CS 583916101 280,000 MEDX 4,516 MEDIACOM COMM CS 58446K105 2,778,000 MCCC 38,920 MEDQUIST INC. CS 584949101 197,000 MEDQ 5,910 MERCANTILE BANK CS 587405101 83,000 MRBK 3,591 METABOLEX SERIES F P PS 591014998 363,636 MBOLEX 582 METTLER TOLEDO INT'L CS 592688105 701,000 MTD 31,727 MICHAELS STORES CS 594087108 980,000 MIK 37,044 MICRODOSE TECH CS 596999995 326,000 MICRODOS326 MICROS SYSTEMS CS 594901100 2,299,000 MCRS 58,510 MICROSEMI CORP CS 595137100 435,100 MSCC 7,101 MIH LTD FS G6116R101 876,850 MIHL 2,500 MILLENNIUM CELL CS 60038B105 800,000 MCEL 3,176 MINE SAFETY APP. CS 602720104 226,100 MSA 8,490 MOBILE MINI INC CS 60740F105 650,000 MINI 20,917 MOHAWK INDUSTRIES CS 608190104 556,000 MHK 33,410 MONACO COACH CS 60886R103 1,183,000 MNC 28,747 MONARCH CASINO AND R CS 609027107 752,700 MCRI 7,911 MRO SOFTWARE CS 55347W105 1,389,500 MROI 17,285 MULTEX.COM INC. CS 625367107 3,720,000 MLTX 16,852 MYRIAD GENETICS CS 62855J104 253,000 MYGN 8,478 NAUTICA CS 639089101 1,084,000 NAUT 16,433 NAVIGANT CONSULTING CS 63935N107 3,231,000 NCI 20,937 NDC HEALTH CORP CS 639480102 2,850,800 NDC 103,741 NEO PLANET PS 64099B921 53,376 NPLANETB11 NEOPLANET INC SERIES PS 640994935 250,000 NPLANET 29 NEUBERGER BERMAN CS 641234109 1,375,899 NEU 64,461 NEW HORIZONS WW CS 645526104 550,000 NEWH 6,595 NEWPARK RESOURCE CS 651718504 5,452,000 NR 42,253 NEXELL THERAPEUTICS CS 65332H203 147 NEXL 0 NORTHWEST PIPE CO. CS 667746101 390,000 NWPX 5,967 NOVELL INC CS 670006105 10,526,000 NOVL 40,946 NOVOSTE CORP CS 67010C100 2,318,600 NOVT 19,128 NPS PHARM CS 62936P103 516,000 NPSP 16,837 NuCo 2 Inc. CS 629428103 48,000 NUCO 612 ORTHOFIX INTL NV FS N6748L102 810,700 OFIX 32,696 OWENS & MINOR CS 690732102 780,000 OMI 15,319 PARADIGM GEO FS 69900J104 430,000 PGEO 1,686 PAYPAL INC CS 704508100 20,000 PYPL 381 PEMSTAR INC CS 706552106 1,181,800 PMTR 11,345 PEOPLES BANK BRIDGEP CS 710198102 2,007,500 PBCT 49,485 PEREGRINE SYSTEMS CS 71366Q101 200,000 PRGN 1,904 PERLEGEN SCIENCES PS 714999992 1,249,999 PERLEGEN4,500 PHARMACYCLICS INC. CS 716933106 528,000 PCYC 4,118 PHILADELPHIA CONS CS 717528103 871,800 PHLY 34,698 PIER ONE IMPORTS CS 720279108 1,118,000 PIR 23,020 PINNACLE ENTERTAIN CS 723456109 700,000 PNK 5,642 PIONEER STANDARD ELE CS 723877106 995,600 PIOS 14,088 POMEROY COMPUTER CS 731822102 750,000 PMRY 11,385 PRIMEDIA INC CS 74157K101 1,981,000 PRM 6,280 PRINCETON REVIEW CS 742352107 610,000 REVU 5,307 PROQUEST CO CS 74346P102 240,000 PQE 10,318 PROTECTIVE LIFE CS 743674103 995,000 PL 31,024 PROTEIN DESIGN LABS CS 74369L103 469,000 PDLI 8,034 RADIANT SYSTEMS CS 75025N102 200,000 RADS 1,810 RAINBOW TECH CS 750862104 200,000 RNBO 2,012 RCM TECHOLOGIES CS 749360400 2,169,000 RCMT 10,216 REPUBLIC BANCORP CS 760282103 1,596,090 RBNC 22,345 RLI CORP CS 749607107 446,000 RLI 23,058 ROUSE CO CS 779273101 1,104,000 RSE 34,202 RSA SECURITY INC CS 749719100 1,145,000 RSAS 10,305 SALEM COMMUNICATIONS CS 794093104 1,809,000 SALM 42,873 SANGAMO BIO CS 800677106 78,000 SGMO 721 SCOTTS CO. CS 810186106 504,000 SMG 23,073 SEACHANGE INTL CS 811699107 1,650,000 SEAC 25,064 SECURITY CAPITAL EUR CS 99HWQS906 1,062,498 SCGLOBAL19,125 SEI INVESTMENTS CO CS 784117103 3,027,000 SEIC 129,586 SENSABLE SERIES C PF PS 817252984 301,205 SENSABLE1,000 SEROLOGICALS CORPORA CS 817523103 908,900 SERO 14,242 SHUFFLE MASTER INC CS 825549108 1,645,000 SHFL 33,986 SIERRA PACIFIC RES CS 826428104 300,000 SRP 4,527 SIX FLAGS INC CS 83001P109 1,530,000 PKS 27,326 SKECHERS USA CS 830566105 1,236,500 SKX 23,382 SL GREEN REALTY CS 78440X101 1,041,000 SLG 34,978 SOLA INTERNATIONAL CS 834092108 127,000 SOL 1,869 SPARTECH CS 847220209 1,570,000 SEH 38,622 SPEEDWAY MOTOR CS 847788106 310,000 TRK 8,838 SPSS INC CS 78462K102 455,000 SPSS 7,981 STANCORP FINANCIAL CS 852891100 300,000 SFG 16,500 STARTEC GLOBAL COMM CS 85569E103 20,000 STGC 0 STATION CASINOS CS 857689103 1,668,000 STN 27,772 STEINER LEISURE CS P8744Y102 1,214,900 STNR 26,193 STERIS CORP CS 859152100 2,079,500 STE 43,378 STEVEN MADDEN CS 556269108 1,226,000 SHOO 21,455 STRATEGIC HOTEL BOND CV 68599Q9A6 2,500,000 STRAT.B 2,250 STRATEGIC HOTEL CAP CS 862723103 208,333 STRAT.C 1,250 SUMMIT PROPERTIES CS 866239106 540,000 SMT 13,230 SUPERIOR FINANCIAL CS 868161100 80,319 SUFI 1,329 SYBASE CS 871130100 130,000 SY 2,271 SYMYX TECHNOLOGIES CS 87155S108 347,000 SMMX 7,166 SYNAPTIC PHARM CS 87156R109 260,000 SNAP 1,560 SYNCOR CS 87157J106 914,000 SCOR 24,907 SYNOPSYS INC CS 871607107 151,000 SNPS 8,329 SYRRX INC SER C PFD PS 87299N981 769,231 SYRRX 5,000 SYSTEMS AND COMPUTER CS 871873105 2,395,000 SCTC 31,590 TCF FINANCIAL CORP CS 872275102 1,253,000 TCB 65,920 TECHNE CORPORATION CS 878377100 135,000 TECH 3,722 TEKTRONIX CS 879131100 420,000 TEK 9,937 TELEPHONE AND DATA S CS 879433100 595,000 TDS 52,509 TESORO PETROLEUM COR CS 881609101 2,020,000 TSO 28,381 TETRA TECH INC CS 88162G103 1,254,500 TTEK 17,927 TEXAS REGIONAL BANKS CS 882673106 902,000 TRBS 39,381 THQ INQ CS 872443403 1,034,000 THQI 50,769 TIDEL TECHNOLOGIES 6 CV 8863689A9 3,000,000 TIDEL6% 600 TIME WARNER TELECM CS 887319101 750,000 TWTC 4,560 TIPPERARY CORP CS 888002300 2,271,712 TPY 3,635 TWEETER HOME ENT CS 901167106 300,000 TWTR 5,865 U.S. STEEL CORP CS 912909108 600,000 X 10,890 ULTRA PETROLEUM CS 903914109 1,972,200 UPL 15,738 UMPQUA CORP CS 904214103 290,000 UMPQ 4,338 UNISOURCE CS 909205106 1,519,400 UNS 31,087 UNIVERSAL ELECTRONIC CS 913483103 365,000 UEIC 5,347 UTI WORLDWIDE CS G87210103 400,000 UTIW 7,920 VAIL RESORTS INC. CS 91879Q109 1,069,500 MTN 22,705 VARIAN INC. CS 922206107 281,300 VARI 10,673 VISX INC CS 92844S105 1,206,000 EYE 21,298 VITALSTREAM PC 927993998 225,461 VITALSTR 1,127 VITALSTREAM C PC 927994913 580,000 VITALSTC 290 WACKENHUT CORP CL B CS 929794303 2,567,400 WAK.B 83,620 WATERS CORP CS 941848103 132,000 WAT 3,692 WATSCO INC CS 942622200 614,300 WSO 10,965 WESTERN WIRELESS CS 95988E204 2,268,200 WWCA 19,824 WHOLE FOODS CS 966837106 608,000 WFMI 27,780 WORLD ACCEPTANCE COR CS 981419104 3,096,200 WRLD 21,735 XTO ENERGY INC CS 98385X106 6,317,100 XTO 126,658 YOUNG BROADCASTING A CS 987434107 200,000 YBTVA 4,998 ZALE CORP CS 988858106 670,000 ZLC 27,202 ZEBRA TECH CS 989207105 211,600 ZBRA 11,445 ZENITH NATIONAL INSU CS 989390109 2,380 ZNT 69 6,682,844