FORM 11-K
Table of Contents

SECURITIES AND EXCHANGE COMMISSION

WASHINGTON, D.C. 20549

 


 

x   Annual Report pursuant to Section 13 or 15(d) of the Securities Exchange Act of 1934 for the fiscal year ended December 31, 2002.

 

¨   Transition report pursuant to Section 13 or 15(d) of the Securities Exchange Act of 1934 for the transition period from                          to                     

Commission File Number 1-13699

 

RAYTHEON SAVINGS AND INVESTMENT PLAN

(Full Title of the Plan)

 


 

RAYTHEON COMPANY

(Name of the issuer of the securities held pursuant to the Plan)

 

141 Spring Street, Lexington, Massachusetts   02421
(Address of Principal Executive Offices)   (Zip Code)

 

     Page(s)

 

Report of PricewaterhouseCoopers LLP, Independent Auditors

   2

 

Raytheon Savings and Investment Plan Statements of Net Assets Available for Plan Benefits as of December 31, 2002 and 2001.

  

3

 

Raytheon Savings and Investment Plan Statement of Changes in Net Assets Available for Plan Benefits for the year ended December 31, 2002.

  

4

 

Raytheon Savings and Investment Plan Notes to Financial Statements.

  

5-12

 

Schedule H, Line 4i—Schedule of Assets (Held at End of Year)*

  

13-73

 

Signature

    

 

Exhibit 23 - Consent of PricewaterhouseCoopers LLP, Independent Auditors

    

 

Exhibit 99.1 - Certification of Senior Vice President - Human Resources and Senior Vice President - Chief Financial Officer, Raytheon Company Furnished Pursuant to 18 U.S.C. Section 1350 as Adopted Pursuant to section 906 of the Sarbanes-Oxley Act of 2002.

    

 

* Other supplemental schedules required by Section 2520.103-10 of the Department of Labor’s Rules and Regulations and Disclosure under the Employee Retirement Income Security Act of 1974 have been omitted because they are not applicable.

 



Table of Contents

Report of Independent Auditors

 

To the Participants and Administrator of

The Raytheon Savings and Investment Plan:

 

In our opinion, the accompanying statements of net assets available for plan benefits and the related statement of changes in net assets available for plan benefits present fairly, in all material respects, the net assets available for plan benefits of the Raytheon Savings and Investment Plan (the “Plan”) at December 31, 2002 and December 31, 2001, and the changes in net assets available for plan benefits for the year ended December 31, 2002 in conformity with accounting principles generally accepted in the United States of America. These financial statements are the responsibility of the Plan’s management; our responsibility is to express an opinion on these financial statements based on our audits. We conducted our audits of these statements in accordance with auditing standards generally accepted in the United States of America, which require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement. An audit includes examining, on a test basis, evidence supporting the amounts and disclosures in the financial statements, assessing the accounting principles used and significant estimates made by management, and evaluating the overall financial statement presentation. We believe that our audits provide a reasonable basis for our opinion.

 

Our audits were conducted for the purpose of forming an opinion on the basic financial statements taken as a whole. The supplemental schedule of Assets (Held at End of Year) is presented for the purpose of additional analysis and is not a required part of the basic financial statements but is supplementary information required by the Department of Labor’s Rules and Regulations for Reporting and Disclosure under the Employee Retirement Income Security Act of 1974. This supplemental schedule has been subjected to the auditing procedures applied in the audits of the basic financial statements and, in our opinion, is fairly stated in all material respects in relation to the basic financial statements taken as a whole.

 

/s/    PricewaterhouseCoopers LLP

Boston, Massachusetts

June 27, 2003

 

2


Table of Contents

Raytheon Savings and Investment Plan

Statements of Net Assets Available for Plan Benefits

December 31, 2002 and 2001


 

     2002    2001

Assets:

             

Investments:

             

At contract value (Notes B and E)

             

Investment contracts

   $ 1,733,507,744    $ 1,571,341,887

At fair value (Note B)

             

Registered investment companies

     2,652,899,219      3,272,058,623

Common collective trusts

     561,423,970      687,807,761

Raytheon Company common stock

     1,327,470,960      1,371,843,158

Plan managed funds

     96,816,357      142,733,881

Participant loans

     207,431,716      224,819,938
    

  

       6,579,549,966      7,270,605,248
    

  

Receivables:

             

Employer contributions

     5,419,791      —  

Accrued investment income and other receivables

     10,039,571      9,605,889

Cash and cash equivalents

     74,482,596      102,221,044
    

  

Total assets

     6,669,491,924      7,382,432,181
    

  

Liabilities:

             

Accrued expenses and other payables

     3,135,914      1,777,222
    

  

Total liabilities

     3,135,914      1,777,222
    

  

Net assets available for plan benefits

   $ 6,666,356,010    $ 7,380,654,959
    

  

 

The accompanying notes are an integral part of these financial statements.

 

3


Table of Contents

Raytheon Savings and Investment Plan

Statement of Changes in Net Assets Available for Plan Benefits

December 31, 2002 and 2001


 

Additions to net assets attributable to:

        

Investment loss (Notes B and E):

        

Net depreciation of investments

   $ (922,266,500 )

Interest and Dividends

     183,884,020  
    


       (738,382,480 )

Contributions and deferrals:

        

Employee deferrals

     426,258,618  

Employer contributions

     217,463,819  
    


       643,722,437  
    


Total additions

     (94,660,043 )
    


Deductions from net assets attributable to:

        

Distributions to participants

     619,304,340  

Administrative expenses

     334,566  
    


Total deductions

     619,638,906  
    


Decrease in net assets

     (714,298,949 )

Net assets, beginning of year

     7,380,654,959  
    


Net assets, end of year

   $ 6,666,356,010  
    


 

The accompanying notes are an integral part of these financial statements.

 

4


Table of Contents

Raytheon Savings and Investment Plan

Notes to Financial Statements


 

A.   Description of Plan

 

General

The following description of the Raytheon Savings and Investment Plan (the “Plan”), provides only general information. Participants should refer to the plan document for a complete description of the Plan’s provisions.

 

The Plan is a defined contribution plan covering the majority of employees of Raytheon Company (the “Company”). All employees are immediately eligible to enroll in the Plan on the first day of service, including employees from prior plans. The purpose of the Plan is to provide participants with a tax-effective means of meeting both short- and long-term investment objectives. The Plan is intended to be a “qualified cash or deferred arrangement” under the Internal Revenue Code (the “Code”). From January 1, 2000 until December 31, 2001, the entire Plan was an employee stock ownership plan (ESOP) that included a cash or deferred arrangement. Effective on and after January 1, 2002, the portion of the Plan that is invested in Raytheon Company stock is an ESOP that includes a cash or deferred arrangement, and the remaining portion of the Plan is a profit-sharing plan that includes a cash or deferred arrangement. The ESOP is intended to be an employee stock ownership arrangement in compliance with all of the related requirements for a qualified stock bonus plan as defined in the Code. The Plan is subject to the provisions of the Employee Retirement Income Security Act of 1974 (ERISA).

 

The Plan’s investments are held in the Raytheon Savings and Investment Plan Trust for Defined Contribution Plans (the “Trust”).

 

Contributions and Deferrals

Effective September 1, 2002, employees were allowed to defer up to 50% of their compensation on a pretax or post tax basis to the Plan. For 2002, the annual employee deferral for a participant cannot exceed $11,000. Participants can make after-tax contributions in excess of $11,000 for the plan year but total employee (deferrals and after-tax contributions) and employer contributions may not exceed $40,000 in a plan year. A participant who is eligible to make elective deferrals and is age 50 or over at the end of the plan year may make catch-up contributions of $1,000. The catch-up contributions will increase at a rate of $1,000 per year through 2006. The Company contributes 100% of the first 4% of compensation that a participant contributes to the Plan each pay period. The matching Company contribution is invested in the Raytheon Common Stock Fund and must be held in that fund until the beginning of the fifth plan year following the plan year for which the contribution was made or January 1st of the year the employee turns age 55, if earlier. The Company also makes an ESOP contribution equal to one-half of one percent of the participant’s compensation up to $200,000. The ESOP portion of the Plan provides for investment, primarily in the Raytheon Company Common Stock Fund; however, as required by the Code, the Plan permits limited diversification among other investment options, after a participant attains age 55 and completes 10 years of plan participation (including participation in the prior ESOP plans).

 

Participants may invest their deferrals in increments of 1% in any combination of investment alternatives available. The investment objectives range from investments with an emphasis on preservation of capital to equity investments with an emphasis on capital gains. The underlying investments include cash and equivalents, investment contracts, registered investment companies, common collective trusts, plan managed funds and Raytheon Company common stock.

 

5


Table of Contents

Raytheon Savings and Investment Plan

Notes to Financial Statements


 

Participant Accounts

Each participant’s account is credited with the participant’s contributions, the Company’s contributions and an allocation of plan earnings. Plan earnings are allocated based on account balances by investment option. Participant accounts are charged with plan expenses allocated evenly to participants based upon the number of participants.

 

Vesting

With the exception of certain union groups, effective January 1, 1999, all employee and employer contributions including ESOP contributions and earnings thereon are fully and immediately 100% vested for each participant who performs an hour of service on or after January 1, 1999.

 

Forfeitures of the nonvested portions of terminated participants’ accounts are used to reduce contributions of the Company and pay plan expenses. During 2002, $611,188 of forfeitures were used to pay plan expenses. At December 31, 2002 and 2001, unallocated plan forfeitures were $6,019,111 and $5,334,233, respectively. During 2002, the total amount of forfeitures from the Plan was $558,329.

 

Distributions to Participants

A participant may withdraw all or a portion of deferrals, employer contributions and related earnings upon attainment of age 59 1/2. For reasons of financial hardship, as defined in the plan document, a participant may withdraw all or a portion of deferrals and related earnings, subject to a reduction in the maximum deferral rate for the next 6 months. On termination of employment, a participant will receive a lump-sum distribution unless the vested account is valued in excess of $5,000, and the participant elects to defer distribution. A terminated participant may defer the distribution until April 1st of the year in which the participant reaches age 70 1/2.

 

Effective August 1, 2000, participants who have investments in the Raytheon Company Common Stock Fund may elect to reinvest dividends within the Plan or receive dividends in cash. Any dividends received in cash by participants will be subject to taxes in the year of receipt. In 2002, the Company’s Board of Directors declared dividends of $0.80 per share. Of the $8,634,013 in dividends relating to the Plan, approximately $1,969,501 was received in cash by participants who elected the cash payment option.

 

On March 11, 2002, Raytheon finalized the sale of its Aircraft Integration Systems (“AIS”) to L-3 Communications. Employees of AIS who were participants in the Plan were treated as terminated employees of the Company at the date of sale, and were therefore allowed to receive a lump-sum distribution or to defer payment of their vested account balance in accordance with the plan provisions. During the year ended December 31, 2002, $96,362,810 was paid out of the Plan to AIS employees, and has been included in distributions to participants in the statement of changes in net assets available for plan benefits.

 

Loans to Participants

A participant may borrow against a portion of the balance in the participant’s account, subject to certain restrictions. The maximum amount of a loan is the lesser of one-half of the participant’s account balance or $50,000. The minimum loan, which may be granted, is $500. The loans are secured by the balance in the participant’s account and bear interest equal to the prime rate published in the Wall Street Journal on the first business day in each calendar quarter and such rate will apply to loans which are made at any time during each respective calendar quarter. Loans must be repaid over a period of up to five years by means of payroll deductions. In certain cases, the repayment period may be extended up to 15 years. Interest paid to the Plan on loans to participants is credited to the borrower’s account in the investment fund to which repayments are made. Loans are valued at principal outstanding.

 

6


Table of Contents

Raytheon Savings and Investment Plan

Notes to Financial Statements


 

Administrative Expenses

Substantially all expenses of administering the Plan, such as legal and other administration fees are charged to participant accounts. To the extent not paid by the Plan, expenses are paid by the Company.

 

B.   Summary of Significant Accounting Policies

 

The accompanying financial statements are prepared on the accrual basis of accounting.

 

Plan investments are stated at fair value except the Plan’s benefit responsive investment contracts which are included in the financial statements at their contract value, defined as net employee contributions plus interest earned on the underlying investments at contracted rates. Investments in registered investment companies and common collective trusts are valued at the closing net asset value reported on the last business day of the year. Investments in securities (common stocks) traded on a national securities exchange are valued at the last reported sales price on the last business day of the year. Cash equivalents are short-term money market instruments and are valued at cost, which approximates fair value.

 

Security transactions are recorded on the trade date. Payables for outstanding purchases represent trades which have occurred but have not yet settled and are included in accrued expenses and other payables on the statement of net assets available for plan benefits.

 

The Plan presents in the statement of changes in net assets available for plan benefits the net appreciation (depreciation) in the fair value of its investments, which consists of the realized gains or losses and the unrealized appreciation (depreciation) on those investments.

 

Dividend income is recorded on the ex-dividend date. Income from other investments is recorded as earned on an accrual basis. Investment income includes both dividends and interest income.

 

Distributions are recorded when paid.

 

The preparation of financial statements in conformity with generally accepted accounting principles, requires the plan administrator to make estimates and assumptions that affect the reported amounts of net assets and liabilities and changes therein, and disclosure of contingent assets and liabilities. Actual results could differ from the estimates included in the financial statements.

 

The Plan provides for various investment options in any combination of stocks, fixed income securities, mutual funds and other investment securities. Investment securities are exposed to various risks, such as interest rate, market and credit risk. Due to the level of risk associated with certain investment securities and the level of uncertainty related to changes in the value of investment securities, it is at least reasonably possible that changes in risks in the near term would materially affect participants’ account balances and the amounts reported in the statement of net assets available for plan benefits and the statement of changes in net assets available for plan benefits.

 

In the normal course of business, the Plan enters into agreements that contain a variety of representations and warranties which provide general indemnifications. The Plan’s maximum exposure under these arrangements is unknown as this would involve future claims that may be

 

7


Table of Contents

Raytheon Savings and Investment Plan

Notes to Financial Statements


 

made against the Plan that have not yet occurred. However, based on experience, the Plan expects the risk of loss to be remote.

 

8


Table of Contents

Raytheon Savings and Investment Plan

Notes to Financial Statements


 

C.   Investments

 

The following presents investments that represent five percent or more of the Plan’s net assets:

 

     December 31,

     2002    2001

Raytheon Common Stock fund**

   $ 1,339,138,584    $ 1,371,843,158

Fidelity Equity Income fund

     704,939,910      915,693,447

State Street Bank and Trust GIC

     520,062,816      339,431,426

BT Pyramid Equity Index fund

     498,063,829      657,496,448

Chase Manhattan Bank GIC

     433,386,652      340,952,676

Westdeutche Landesbank ACT GIC

     433,386,345      340,953,729

Fidelity Magellan fund

     411,083,917      549,753,503

UBS Warburg GIC

     346,671,931      —  

Fidelity Balanced fund

     329,531,029      377,111,839

Fidelity Blue Chip fund

     323,505,654      440,260,794

Vanguard Primecap fund

     232,938,354      334,976,479

Deutsche Bank AG GIC

     —        550,004,055

 

  **   Amount is made up of both participant and non-participant directed amounts.

 

During the year ended December 31, 2002 the Plan’s investments (including gains and losses on investments bought and sold, as well as held during the year) depreciated in value by $922,266,500 as follows:

 

Registered investment companies

   $ 681,105,950

Common collective trusts

     145,967,447

Raytheon Company common stock

     58,445,319

Plan managed funds

     36,747,784
    

     $ 922,266,500
    

 

D.   Nonparticipant-Directed Investments

 

Information about the net assets and the significant components of the changes in net assets relating to the nonparticipant-directed investments is as follows:

 

     December 31,

     2002    2001

Net assets:

             

Raytheon Company common stock

   $ 700,324,802    $ 628,755,464

Cash and cash equivalents

     7,101,647      5,260,257
    

  

       707,426,449    $ 634,015,721
    

  

 

 

9


Table of Contents

Raytheon Savings and Investment Plan

Notes to Financial Statements


 

     December 31,
2002
 

Changes in net assets:

        

Contributions

   $ 187,851,729  

Dividends

     18,302,488  

Net depreciation of investments

     (47,428,563 )

Distribution to participants

     (59,002,979 )

Administrative expenses

     (196,713 )

Net transfers to other investments

     (26,115,234 )
    


     $ 73,410,728  
    


 

E.   Investment Contracts

 

Investments include collateralized fixed income investment contracts commonly referred to as Synthetic Guaranteed Investment Contracts and short-term investments, which are managed by investment management firms. The assets underlying the investment contracts are owned by the Plan and are maintained by the investment management firms. The accounts are credited with earnings on the underlying investments and charged for participant withdrawals and administrative expenses. The contracts are included in the financial statements at contract values as reported to the Plan by the contracting companies. Contract value represents contributions made under the contracts, plus earnings, less participant withdrawals and administrative expenses. The Plan utilizes a benefit responsive wrapper contract issued by third parties that provides market and cash flow risk protection to the Plan. The value of the wrapper is the difference between the fair value of the underlying assets and the contract value. At December 31, 2002, the value of the wrapper was ($92,076,676.) Participants may direct the withdrawals or transfer of all or a portion of their investment at contract value with limited restrictions related to transferring funds into a competing fund investment option. Due to the high creditworthiness of the contract issuer, there is no valuation reserve to adjust contract amount.

 

The crediting interest rates are adjusted quarterly to reflect the experienced and anticipated yields to be earned on such investments, based on their book value. The average yield and crediting interest rates were as follows:

 

10


Table of Contents

Raytheon Savings and Investment Plan

Notes to Financial Statements


 

     Average
yield


    Crediting
interest
rate


 

For the year ended December 31, 2002:

            

Chase Manhattan Bank (429666)

   5.83  %   5.43  %

State Street Bank and Trust (99054)

   5.53  %   5.44  %

Westdeutsche Landesbank (WLB6173)

   5.82  %   5.43  %

UBS Warburg (3088)

   5.54  %   5.42  %

For the year ended December 31, 2001:

            

Chase Manhattan Bank (429666)

   6.29  %   6.00  %

Deutsche Bank AG (FID-RAY-1)

   6.20  %   5.90  %

State Street Bank and Trust (99054)

   6.30  %   6.00  %

Westdeutsche Landesbank (WLB6173)

   6.14  %   6.00  %

 

11


Table of Contents

Raytheon Savings and Investment Plan

Notes to Financial Statements


 

F.   Federal Income Tax Status

 

The Internal Revenue Service has determined and informed the Company by letter dated July 18, 1995 that the Plan and related trust are designed in accordance with applicable sections of the Code. The Plan and related Trust have been amended and restated since receiving the determination letter. However, the plan administrator and the Plan’s legal counsel believe that the Plan is currently designed and being operated in compliance with applicable requirements of the Code.

 

G.   Plan Termination

 

Although it has not expressed any intention to do so, the Company reserves the right under the Plan at any time to discontinue its contributions and to terminate the Plan subject to the provisions of ERISA. Upon termination of the Plan all participants become fully vested in their accounts. In the event of plan termination, after payment of all expenses and proportional adjustment of accounts to reflect such expenses, fund losses or profits, and reallocations, each participant shall be entitled to receive all amounts then in his or her account.

 

H.   Related Party Transactions

 

The Plan’s trustee is Fidelity Management Trust Company (the “Trustee”). Certain plan investments are shares of mutual funds managed by the Trustee and therefore, these transactions in addition to participant loans qualify as party-in-interest transactions.

 

In accordance with the provisions of the Plan, the Trustee acts as the Plan’s agent for purchases and sales of shares of Raytheon Company common stock. Purchases amounted to $800,551,172 and sales amounted to $784,660,322 for the year ended December 31, 2002.

 

12


Table of Contents

Raytheon Company Savings and Investment Plan

Schedule H, line 4i—Schedule of Assets (Held at End of Year)

 

Identity of Issuer


  

Description of Investment


   Cost

   Current Value

Fidelity

   Fidelity STIF         $ 53,111,961

AOL TIME WARNER INC

   CORPORATE BOND AOL TIME WARNER 6.75% 4/15/11           415,964

AT&T CORP

   CORPORATE BOND AT&T CORP 7.3% 11/15/11           1,912,761

AT&T CORP

   CORPORATE BOND AT&T CORP 6.375% 3/15/04           512,500

AT&T WIRELESS SVCS INC

   CORPORATE BOND AT&T WIRELESS 7.35% 3/01/06           412,000

AT&T WIRELESS SVCS INC

   CORPORATE BOND AT&T WIRELESS 7.875% 3/01/11           804,000

ABBEY NATL PLC

   CORPORATE BOND ABBEY NATL MTN 6.69 10/17/05DT           615,106

ALLEGHENY ENRGY

   CORPORATE BOND ALLEGHENY ENRGY 8.25% 4/15/12           316,800

ALLIANCE CAPITAL MGMT LP

   CORPORATE BOND ALLIANCE CAPTL 5.625% 8/15/06           615,817

ALLSTATE CORP

   CORPORATE BOND ALLSTATE CORP 7.875% 5/01/05           553,341

AMERICAN GEN FIN CORP SR

   CORPORATE BOND AGFC SR MTN 5.875% 7/14/06 F           1,076,455

AMERICAN GEN FIN CORP SR

   CORPORATE BOND AGFC SR MTN 4.5% 11/15/07           1,029,540

AMVESCAP PLC

   CORPORATE BOND AMVESCAP PLC 5.9% 1/15/07           419,024

ARDEN RLTY LTD PARTNERSHI

   CORPORATE BOND ARDEN RLTY LTD 8.875% 3/01/05           973,613

ASSOCIATES CORP OF NO AME

   CORPORATE BOND ASSOC-NA 7.75% 2/15/05           2,146,154

BRE PROPERTIES INC

   CORPORATE BOND BRE PROPERTIES 5.95% 3/15/07           895,663

BANK OF BOSTON CORP (OLD)

   CORPORATE BOND BANK OF BOSTON 6.625 12/01/05           448,846

BANK OF NEW YORK INC

   CORPORATE BOND BONYINC 8.5% 12/15/04           279,700

BANK ONE CORP

   CORPORATE BONDBANKONE GLBL 6.5% 2/01/06           2,209,246

BOSTON PROP

   CORPORATE BOND BOSTON PROP 6.25% 1/15/13 144A           609,240

CIT GROUPT HLDNG

   CORPORATE BOND CIT GROUP HLDNG 7.75% 4/02/12           567,193

CAMDEN PROPERTY TRUST

   CORPORATE BONDCAMDEN PROPERTY 5.875 11/30/12           558,124

CHASE MAN CORP

   CORPORATE BOND CHASE MAN CORP 7.25% 6/01/07           1,113,525

CITIGROUP

   CORPORATE BOND CITIGROUP 5.625% 8/27/12           946,334

CITIZCOM

   CORPORATE BOND CITIZCOM 8.5% 5/15/06           1,345,485

COASTAL CORP

   CORPORATE BOND COASTAL CORP 9.625% 5/15/12           344,250

COASTAL CORP

   CORPORATE BOND COASTAL CORP 6.2% 5/15/04           262,300

CONS NATURAL

   CORPORATE BOND CONS NATURAL 7.375% 4/01/05           1,097,402

CONS NATURAL

   CORPORATE BOND CONS NATURAL 5.375% 11/01/06           560,256

CONSTELATION

   CORPORATE BOND CONSTELATION EC 6.35% 4/01/07           672,993

CONSTELATION

   CORPORATE BOND CONSTELATION EC 7% 4/01/12           352,087

CONSTELATION

   CORPORATE BOND CONSTELATION EN 6.125% 9/01/09           81,806

CONTL CAB

   CORPORATE BOND CONTL CAB 9% 9/01/08           399,053

CAF

   CORPORATE BOND CAF GLBL 6.875% 3/15/12           1,472,929

CCR MTN

   CORPORATE BOND CCR MTN 7.26% 5/10/04           1,064,603

CCR SER MTNE

   CORPORATE BOND CCR SER MTNE 6.934999% 7/16/07           1,126,508

COX COMMUN INC

   CORPORATE BOND COX COMMUN INC 7.75% 8/15/06           223,510

CREDIT SUISSE

   CORPORATE BOND CREDIT SUISSE F 6.5% 1/15/12           235,127

DCX

   CORPORATE BOND DCX 6.4 5/15/06           2,155,918

DELTA ETC

   CORPORATE BOND DELTA ETC A-2 7.57% 11/18/10           129,866

DANBNK

   CORPORATE BOND DANBNK 6.375 08-05 UT2 144A           1,050,323

DEUTSCHE TEL

   CORPORATE BOND DEUTSCHE TEL GLB8.25 6/15/05DT           1,251,950

DEUTSCHE TEL

   CORPORATE BOND DEUTSCHE TEL GLB 8% 6/15/10           777,420

DOMINION RESRCE

   CORPORATE BOND DOMINION RESRCE 7.625% 7/15/05           246,829

DUKE CAP CORP

   CORPORATE BOND DUKE CAP CORP 6.75% 2/15/32           144,765

EOP OPER

   CORPORATE BOND EOP OPER 6.763% 6/15/07           270,828

EOP OPER

   CORPORATE BOND EOP OPER 7.375% 11/15/03           520,254

 

13


Table of Contents

Identity of Issuer


  

Description of Investment


   Cost

   Current Value

EXELON GEN

   CORPORATE BOND EXELON GEN GLBL 6.95% 6/15/11         $ 1,443,116

FPL GROUP

   CORPORATE BOND FPL GROUP 6.125% 5/15/07           756,471

FALCONBRIDGE LTD

   CORPORATE BOND FALCONBRIDGE LTD 7.35% 6/05/12           1,035,870

FIFTHTHIRD BANK

   CORPORATE BOND FIFTHTHIRD BANK 6.75% 7/15/05           1,098,996

FIRST UN

   CORPORATE BOND FIRST UN GBL 7.55% 8/18/05 DT           360,551

FIRSTENERGY

   CORPORATE BOND FIRSTENERGY 5.5% 11/15/06           643,614

FIRSTENERGY

   CORPORATE BOND FIRSTENERGY 6.45% 11/15/11           711,313

FLEET FINL

   CORPORATE BOND FLEET FINL 7.125% 4/15/06           99,689

FLEET FINL

   CORPORATE BOND FLEETBOSTON GLB 7.25 9/15/05DT           1,062,987

FORD MTR CR

   CORPORATE BOND FORD MTR GLB 7.375% 10/28/09DT           743,147

FORD MTR CR

   CORPORATE BOND FORD MTR CR GLB 7.5% 3/15/05DT           2,040,528

FORD MTR CR

   CORPORATE BOND FORD MTR CR GLB7.875 6/15/10DT           503,132

FORD MTR CR

   CORPORATE BOND FORDMTRCR GLBL 6.875% 2/01/06           450,788

FORD MTR CR

   CORPORATE BOND FORD MTR CR GLB 6.5 1/25/07 DT           982,780

FRANCE TELECOM

   CORPORATE BOND FRANCE TELECOM STEP 3/1/11           1,445,338

GEN ELEC

   CORPORATE BOND GEN ELEC GLBL 6.125% 2/22/11 A           1,516,236

GECAPMTN

   CORPORATE BOND GECAPMTN 6% 6/15/12           2,915,123

GMAC

   CORPORATE BOND GMAC GLBL 7.5% 7/15/05 DT           121,105

GMAC

   CORPORATE BOND GMAC 6.75% 1/15/06           1,998,749

GMAC

   CORPORATE BOND GMAC 6.875% 9/15/11 GLBL           324,110

GOLDMAN SACHS

   CORPORATE BOND GOLDMAN SACHS 7.625% 8/17/05           1,127,760

GOLDMAN SACHS

   CORPORATE BOND GOLDMAN SACHS GLB 5.7% 9/01/12           626,820

GSCO

   CORPORATE BOND GSCO 7.2% 11/01/06 144A           1,109,832

HSBC

   CORPORATE BOND HSBC CAP 9.547/10 12/31/49 144           1,371,359

HEARST-ARGYLE

   CORPORATE BOND HEARST-ARGYLE 7% 11/15/07           533,083

HEWLETT

   CORPORATE BOND HEWLETT 5.5% 7/01/07           1,254,813

HOUSEHOLD

   CORPORATE BOND HOUSEHOLD 6.5% 1/24/06           527,136

HOUSEHOLD

   CORPORATE BOND HOUSEHOLD 6.375% 10/15/11           1,939,415

HOUSEHOLD

   CORPORATE BOND HOUSEHOLD 7% 5/15/12           323,110

HOUSEHOLD

   CORPORATE BOND HOUSEHOLD 6.375% 11/27/12           542,845

ING CAP

   CORPORATE BOND ING CAP FDG 8.439/VRN PERP DTC           1,162,836

KINDER MORGAN

   CORPORATE BOND KINDER MORGAN E 7.125% 3/15/12           790,500

KINDER MORGAN

   CORPORATE BOND KINDER MORGAN 5.35% 8/15/07           1,046,406

LBW NY

   CORPORATE BOND LBW NY 6.35% 4/01/12           444,361

LEGG MASON INC

   CORPORATE BOND LEGG MASON INC 6.75% 7/02/08           1,115,172

LEHMHLD

   CORPORATE BOND LEHMHLD GLBL 6.25% 5/15/06 DT           798,136

LEHMAN BR MTN

   CORPORATE BOND LEHMAN BR MTN 6.625% 1/18/12           830,123

MBNA CORP

   CORPORATE BOND MBNA CORP 7.5% 3/15/12           763,310

MELLON BANK

   CORPORATE BOND MELLON BANK NA 7.375% 5/15/07           924,214

MELLON FUNDING

   CORPORATE BOND MELLON FUNDING 7.5% 6/15/05           1,066,452

MERRIL LNCH

   CORPORATE BOND MERRIL LNCH B MTN 6.15 1/26/06           1,016,987

MERRIL LNCH

   CORPORATE BOND MERRILL LYN CO MTN 4% 11/15/07           489,949

METLIFE INC

   CORPORATE BOND METLIFE INC 5.375% 12/15/12           516,503

MDAMERIC

   CORPORATE BOND MDAMERIC EN 4.625% 10/1/7 144A           346,873

MDAMERIC

   CORPORATE BOND MDAMERIC EN 5.875 10/1/12 144A           380,149

MONONGAHELA PWR

   CORPORATE BOND MONONGAHELA PWR 5% 10/01/06           362,085

MORGAN STANLEY

   CORPORATE BOND MORGAN STAN GBL 7.75% 6/15/05           1,177,075

MORGAN STANLEY

   CORPORATE BOND MORGAN STANLEY 6.1% 4/15/06           1,301,790

MSTDW

   CORPORATE BOND MSTDW 5.8% 4/01/07           791,861

MOTOROLA INC

   CORPORATE BOND MOTOROLA INC 8% 11/01/11           828,000

NATIONSBANK

   CORPORATE BOND NATIONSBANK 6.875% 2/15/05           1,091,927

NEWCOURT CR GRP

   CORPORATE BOND NEWCOURT CR GRP 6.875% 2/16/05           1,681,752

 

14


Table of Contents

Identity of Issuer


  

Description of Investment


   Cost

   Current Value

NEWS AMER

   CORPORATE BOND NEWS AMER 6.625% 1/09/08         $ 1,071,783

NISOURCE FIN

   CORPORATE BOND NISOURCE FIN 7.625% 11/15/05           522,229

NISOURCE FIN

   CORPORATE BOND NISOURCE FIN 7.875% 11/15/10           576,989

NORFOLKS

   CORPORATE BOND NORFOLKS 6% 4/30/08           109,541

NORWEST FIN

   CORPORATE BOND NORWEST FIN 7.2% 4/01/04           2,550,746

NOVA SCOT

   CORPORATE BOND NOVA SCOT GLBL 5.75 2/27/12 CN           2,195,616

ONTARIO PROV

   CORPORATE BOND ONTARIO PROV GBL 7% 8/04/05           2,610,684

PNCFUND

   CORPORATE BOND PNCFUND 5.75% 8/1/06           1,065,101

PPL ELEC UTILS

   CORPORATE BOND PPL ELEC UTILS 5.875% 8/15/07           588,668

PPL ELEC UTILS

   CORPORATE BOND PPL ELEC UTILS 6.25% 8/15/09           783,224

PEMEX PROJ

   CORPORATE BOND PEMEX PROJ 7.875% 2/01/09 144A           537,500

PEMEX MTR

   CORPORATE BOND PEMEX MTR 7.375% 12/15/14 144A           512,500

PENN PWR & LGHT

   CORPORATE BOND PENN PWR & LGHT 6.5% 4/01/05           1,083,796

PETRONAS CAP

   CORPORATE BOND PETRONAS CAP 7% 5/22/12 144A           384,781

POPULAR NA INC

   CORPORATE BOND POPULAR NA INC 6.125% 10/15/06           854,815

POWERGEN US

   CORPORATE BOND POWERGEN US FDG 4.5% 10/15/04           1,061,358

PRME PROPERTY

   CORPORATE BOND PRME PROPERTY 6.25% 5/15/07           1,064,700

PRINCIPAL LIFE

   CORPORATE BOND PRINCIPAL LIFE 6.25% 2/15/12           741,994

PROGRESS ENERGY

   CORPORATE BOND PROGRESS ENERGY 6.75% 3/01/06           1,396,288

PUBLIC SVC ELEC

   CORPORATE BOND PUBLIC SVC ELEC&G 6.875% 1/1/3           1,500,000

RELIANT ENERGY

   CORPORATE BOND RELIANT ENERGY 8.125% 7/15/05           460,794

REYNOLDS

   CORPORATE BOND REYNOLDS RJ TOB 6.5% 6/01/07           1,591,069

ROYAL BK

   CORPORATE BOND ROYAL BK SC GLB 8.817PERP SER2           409,662

ROYAL BK

   CORPORATE BOND ROYAL KPN NV YANK 8% 10/01/10           1,463,844

SLM CORP

   CORPORATE BOND SLM CORP 5.375% 1/15/13           1,031,340

ST PAUL

   CORPORATE BOND ST PAUL COS 8.125% 4/15/10           811,715

SALOMONSMITH

   CORPORATE BOND SALOMONSMITH 5.875% 3/15/06 DT           1,080,580

SEMPRA ENERGY

   CORPORATE BOND SEMPRA ENERGY 7.95% 3/01/10           324,977

SHAW COMM

   CORPORATE BOND SHAW COMM 7.2% 12/15/11           864,687

SOUTHERN PWR

   CORPORATE BOND SOUTHERN PWR CO 6.25% 7/15/12           977,286

SPRINT CAP

   CORPORATE BOND SPRINT CAP CRP 6.125% 11/15/08           455,000

SPRINT CAP

   CORPORATE BOND SPRINT CAP CORP 6% 1/15/07           472,500

SPRINT CAP

   CORPORATE BOND SPRINT CAP CORP 8.375% 3/15/12           398,000

STATE ST CORP

   CORPORATE BOND STATE ST CORP 7.65% 6/15/10           599,971

SWISSBK

   CORPORATE BOND SWISSBK 6.75% 7/15/05           1,089,437

TCI COMM INC

   CORPORATE BOND TCI COMM INC 8.65% 9/15/04           1,073,645

TECO

   CORPORATE BOND TECO 6.125% 5/01/07           517,650

TECO

   CORPORATE BOND TECO 7% 5/01/12           1,108,800

TIAA GLOBAL

   CORPORATE BOND TIAA GLOBAL MKT 5% 3/01/07           558,898

TXU CORP

   CORPORATE BOND TXU CORP 6.375% 6/15/06 J           402,600

TELECOM

   CORPORATE BOND TELECOM DE PR 6.65% 5/15/06           508,211

TELEFONOS

   CORPORATE BOND TELEFONOS MEX 8.25% 1/26/06           1,095,000

TELUS CORP

   CORPORATE BOND TELUS CORP 7.5% 6/01/07           441,350

TELUS CORP

   CORPORATE BOND TELUS CORP 8% 6/01/11           888,000

TENN GAS

   CORPORATE BOND TENN GAS PIPELI 6% 12/15/11           1,058,400

TEXAS EAST

   CORPORATE BOND TEXAS EAST 7.3% 12/01/10           558,084

TEXTRON

   CORPORATE BOND TEXTRON FIN 7.125% 12/09/04           1,070,183

TIME WARNER INC

   CORPORATE BOND TIME WARNER INC 7.75% 6/15/05           1,065,460

USBANKNA

   CORPORATE BOND USBANKNA 5.7% 12/15/08           2,197,888

UNION PLANTERS

   CORPORATE BOND UNION PLANTERS 5.125% 6/15/07           334,656

MEXICO GOV

   CORPORATE BOND MEXICO GOV GLB 7.5% 1/14/12 DT           536,250

VALERO ENRGY

   CORPORATE BOND VALERO ENRGY 6.875% 4/15/12           442,598

 

15


Table of Contents

Identity of Issuer


  

Description of Investment


   Cost

   Current Value

VERIZON GLBL

   CORPORATE BOND VERIZON GLBL 7.25% 12/1/10         $ 1,278,599

VERIZON GLBL

   CORPORATE BOND VERIZON GLBL 6.125% 6/15/07           1,097,002

VERIZON GLBL

   CORPORATE BOND VERIZON GLBL 7.375% 9/01/12           862,904

VERIZON GLBL

   CORPORATE BOND VERIZON WRLSS 5.375% 12/15/06           1,269,293

VERIZON GLBL

   CORPORATE BOND VERIZON NEW YOR 7.375% 4/01/32           433,641

WASH MUTUAL INC

   CORPORATE BOND WASH MUTUAL INC 5.625% 1/15/07           1,021,987

WESTERN ATLAS

   CORPORATE BOND WESTERN ATLAS 7.875% 6/15/04           1,613,586

WEYERHSR GLBL

   CORPORATE BOND WEYERHSR GLBL 6.75% 3/15/12           545,169

WILLIAMS COS GLB

   CORPORATE BOND WILLIAMS COS GLB 7.5% 1/15/31           715,625

WILLIAMS COS

   CORPORATE BOND WILLIAMS COS 7.125% 9/01/11           602,600

FNMA

   FNMA 6.50% 1/33 #TBA           2,603,906

FNMA

   FNMA 6.50% 1/33 #TBA           146,460

FNMA

   FNMA 5.50% 1/33 #TBA           5,103,125

FNMA

   FNMA 6.00% 1/33 #TBA           10,343,750

FNMA

   FNMA 15YR 6.00% #313018           6,219,991

FNMA

   FNMA 15YR 5.50% 12/14 #535168           2,253,305

FNMA

   FNMA 15YR 5.50% 12/14 #535978           730,585

FNMA

   FNMA 15YR 5.50% 9/14 #545728           1,699,826

FNMA

   FNMA 6.50% 7/32 #545759           6,226,718

FNMA

   FNMA 15YR 5.50% 8/14 #563311           350,167

FNMA

   FNMA 6.50% 3/32 #636870           572,437

CHILE REP

   CHILE REP GLB 6.875 4/28/09 DT           655,782

CHILE REP

   CHILE REP GLB 7.125 1/11/12 DT           639,863

CHILE REP

   CHILE REP GLB 5.625 7/23/07 DT           510,000

MALAYSIA GLBL

   MALAYSIA GLBL 7.5% 7/15/11 DT           485,888

POLAND GLBL

   POLAND GLBL 6.25% 7/03/12 DT           1,015,650

GNMA

   GNMA 7.00% 1/33 #TBA           575,669

GNMA

   GNMA 7.00% 8/28 #416611           483,876

GNMA

   GNMA 7.00% 2/28 #462548           121,829

GNMA

   GNMA 7.00% 7/28 #462643           3,889,636

GNMA

   GNMA 7.00% 2/28 #468709           295,838

GNMA

   GNMA 7.00% 10/28 #481353           957,205

GNMA

   GNMA 8.00% 4/30 #519225           72,912

GNMA

   GNMA 8.00% 8/30 #536951           727,184

GNMA

   GNMA 7.00% 5/32 #552576           1,433,121

GNMA

   GNMA 8.00% 11/29 #186997           258,692

FHLMC

   FHLMC 5.75% 3/15/09           11,116,928

FHLMC

   FHLMC 5.875% 3/21/11 SUBS           345,458

FNMA

   FNMA 6.25% 2/01/11 SUBS           509,186

FNMA

   FNMA 5.5% 2/15/06           3,269,891

FNMA

   FNMA 4.75% 1/02/07 SUBS           1,150,934

SLMA

   SLMA 4.75% 4/23/04           2,609,438

CSFB

   CSFB 01-CKN5 AX CSTR 9/34           625,924

AESOP FUNDING II LLC

   AESOP 02-1A A1 3.85 10/06           1,030,000

AMERICREDIT AUTO RECEIV T

   AMCAR 01-B A4 5.37 6/08           1,902,556

AMERICREDIT AUTO RECEIV T

   AMCAR 01-C A4 5.01 7/08           1,319,732

BMW VEHICLE OWNER TRUST

   BMWOT 01-A A3 4.7 3/05           408,983

CAPITAL ONE AUTO FIN TR

   COAFT 02-A A4 4.79% 1/09           3,193,571

CAPITAL ONE AUTO FIN TR

   COAFT 02-C A4A 3.44 6/09           2,031,312

COMET

   COMET 02-B1 B1 1ML+68 7/08           743,906

CCMSC

   CCMSC 99-2 A1 7.032 1/32           550,676

CCIMT

   CCIMT 98-9 A 5.3 1/06           570,743

 

16


Table of Contents

Identity of Issuer


  

Description of Investment


   Cost

   Current Value

COMM

   COMM 99-1 A2 6.455 5/32         $ 662,989

CMAT

   CMAT 99-C1 A3 6.64 1/32           968,544

CMAT

   CMAT 99-C2 A1 7.285 11/32           1,349,658

CMAT

   CMAT 99-C2 A2 CSTR 11/32           649,240

CRC

   CRC 99-ABC1 A 6.74 1/09           631,099

CSFB

   CSFB 98-C1 C 6.78 5/40           1,110,460

CSFB

   CSFB 00-C1 A1 7.325 4/62           1,470,557

DCAT

   DCAT 00-A A4 7.23 1/05           3,084,966

DCMT

   DCMT 98-7 A 5.6 5/06           1,035,376

FHR

   FHR 2122 L 6 11/26           503,875

FHR

   FHR 2355 AE 6 9/31           2,336,573

FHR

   FHR 2396 PX 6 6/27           1,560,797

FNR

   FNR 94-63 PH 7 6/23           802,191

FNR

   FNR 01-64 PY 6 7/26           1,516,501

FNR

   FNR 02-73 QC 5.5 1/26           1,273,472

FORDO

   FORDO 02-D A3A 2.68 2/06           2,027,324

GGP

   GGP 1 A2 6.602 11/07           1,387,891

GSMT

   GSMT 01-FL4A D 1ML+91 12/10           285,216

GSMT

   GSMT 01-FL4A E 1ML+175 12/10           208,722

GNR

   GNR 02-47 VA 6.5% 4/13           779,149

HFCMC

   HFCMC 00-PH1 A1 7.715 1/34           1,355,536

HHPT

   HHPT 00-HLTA A1 7.055 10/15           1,236,238

HAT

   HAT 02-2 A3 2.85 3/07           1,511,250

HPLCC

   HPLCC 01-2 A 4.95 6/08           2,095,029

JPMC

   JPMC 00-C10 A1 7.1075 8/32           560,938

MSC

   MSC 97-XL1 A1 6.59 10/30           744,209

NBCMT

   NBCMT 93-2 A 6 12/05           1,042,374

PCCMT

   PCCMT 00-1 A 6.7 10/09           1,627,944

SCAMT

   SCAMT 96-3 A 7 7/08           2,059,028

TAROT

   TAROT 02-A A4 3.24 8/09           789,432

TRIZE

   TRIZE 01-TZHA C3 6.522 3/13           660,073

WESTO

   WESTO 00-A A3 7.22 9/04           65,181

USTB

   USTB 11.75% 2/15/10 C05           3,011,425

USTB

   USTB 12% 8/15/13 C08           12,631,954

USTB

   USTB 11.25% 2/15/15           4,163,380

USTB

   USTB 8% 11/15/21           13,271,744

USTN

   USTN 7% 7/15/06           16,075,275

USTN

   USTN 6.5% 2/15/10           35,362,110

USTN

   USTN 6.75% 5/15/05           2,396,998

USTN

   USTN 5.75% 11/15/05           757,220

ABBEY NATL FIRST CAP BV

   ABBEY NAT YANK 8.2% 10/15/04           1,102,693

AUSTRALIA & N ZEAL BKG GR

   ANZ YANK 6.25% 2/01/04           2,601,025

DEN DANSKE

   DEN DANSKE 6.55% 9/15/03 144A           1,135,955

MANITOBA YANK

   MANITOBA YANK 6.125 1/19/04           2,353,712

QUEBEC YANK

   QUEBEC YANK 6.5% 1/17/06           831,212

RAS LAF YANK

   RAS LAF YANK8.294 3/15/14 144A           867,440

SCOTLAND INTL

   SCOTLAND INT 8.8 1/27/04 144A           1,335,150

SCOTLAND INTL

   SCOTLAND INTL 7.7% 8/15/10144A           595,198

TYCO INTL YANK

   TYCO INTL YANK 6.375% 6/15/05           1,115,500

AIG SUNAMERICA GLB FIN II

   CORPORATE BOND AIG SUNAMERICA 7.6 6/15/05 144           1,378,622

AOL TIME WARNER INC

   CORPORATE BOND AOL TIME WARNER 6.125% 4/15/06           196,169

AOL TIME WARNER INC

   CORPORATE BOND AOL TIME WARNER 6.75% 4/15/11           306,774

 

17


Table of Contents

Identity of Issuer


  

Description of Investment


   Cost

   Current Value

AOL TIME WARNER INC

   CORPORATE BOND AOL TIME WARNER 5.625% 5/01/05         $ 971,458

AT&T CORP

   CORPORATE BOND AT&T CORP GLOBAL 6% 3/15/09DTC           124,821

AT&T BROADBAND

   CORPORATE BOND AT&T BROADBAND 8.375% 3/15/13           1,430,125

AMERADA HESS CORP

   CORPORATE BOND AMERADA HESS CO 5.9% 8/15/06           989,468

AMERADA HESS CORP

   CORPORATE BOND AMERADA HESS CO 5.3% 8/15/04           1,218,521

AMERICAN GENERAL FINANCE

   CORPORATE BOND AMER GENL FIN 5.875% 12/15/05           1,444,307

ANADARKO PETROLEUM CORP

   CORPORATE BOND ANADARKO PET 6.125% 3/15/12           284,530

ARCHSTONE SMITH TR (REIT)

   CORPORATE BOND ARCHSTONE SMITH TR 5% 8/15/07           367,518

ASSOCIATES CORP OF NO AME

   CORPORATE BOND ASSOC-NA 7.75% 2/15/05           1,100,592

ATLANTIC RICHFIELD CO

   CORPORATE BOND BP AMOCO 10.875% 7/15/05           1,602,382

AVALONBAY COMMTYS INC MTN

   CORPORATE BOND AVALONBAY COMM 6.625% 9/15/11           213,276

AVALONBAY COMMTYS INC MTN

   CORPORATE BOND AVALONBAY COMM 5% 8/01/07           593,890

BANK OF AMERICA CORPORATI

   CORPORATE BOND BANKAMER 7.8% 2/15/10 GLBL           2,206,545

BANK OF NEW YORK MTN

   CORPORATE BOND BONY MTN 3.9% 9/01/07 SER E           484,844

BELLSOUTH CAP FUNDING COR

   CORPORATE BOND BELLSOUTH CAP FDG6.04%11/15/26           497,001

BRISTOL-MYERS SQUIBB CO

   CORPORATE BOND BRISTOL-MYERS 5.75 10/11 GLBL           612,292

BURLINGTON NORTHERN SANTE

   CORPORATE BOND BURLINGTON NO 7.875% 4/15/07           1,288,026

CITIGROUP GLBL

   CORPORATE BOND CITIGROUP GLBL 7.25% 10/01/10           1,439,478

CITIGROUP GLBL

   CORPORATE BOND CITIGROUP GLBL 6.75 12/1/05 DT           2,918,934

CITICOR

   CORPORATE BOND CITICORP 7.75% 6/15/06           998,554

COMCAST CABLE

   CORPORATE BOND COMCAST CABLE 8.375% 5/01/07           790,984

CONOCO FNDNG GLBL

   CORPORATE BOND CONOCO FNDNG GLB5.45 10/15/6DT           1,592,065

CONOCO

   CORPORATE BOND CONOCO 5.9% 4/15/04           471,057

CONOCO

   CORPORATE BOND CONOCO 6.35% 4/15/09           365,061

CONS NATURAL

   CORPORATE BOND CONS NATURAL 5.375% 11/01/06           1,268,504

CONTINENTAL AIR

   CORPORATE BOND CONTINENTAL AIR 6.9% 1/02/18           365,761

CONTL CAB

   CORPORATE BOND CONTL CAB 8.3% 5/15/06           1,077,872

CORE INVT PTC

   CORPORATE BOND CORE INVT PTC 4.727% 11/30/07           1,124,145

CREDIT SUISSE

   CORPORATE BOND CREDIT SUISSE FB6.125%11/15/11           782,542

CREDIT SUISSE

   CORPORATE BOND CREDIT SUISSE F 4.625% 1/15/08           988,319

DTE ENERGY CO

   CORPORATE BOND DTE ENERGY CO 6% 6/01/04           628,457

DTE ENERGY CO

   CORPORATE BOND DTE ENERGY CO 6.45% 6/01/06           672,534

DELTA ETC

   CORPORATE BOND DELTA ETC A-2 7.57% 11/18/10           229,762

DETROIT EDISON

   CORPORATE BOND DETROIT EDISON 5.05% 10/01/05           688,490

DOMINION RESRCE

   CORPORATE BOND DOMINION RESRCE 7.625% 7/15/05           329,105

DOMINION RESRCE

   CORPORATE BOND DOMINION RES 5.125% 12/15/09           303,940

DOW

   CORPORATE BOND DOW 5.75% 12/15/08 GLB           391,309

DOW

   CORPORATE BOND DOW GLBL 6% 10/01/12           761,394

EOP OPER

   CORPORATE BOND EOP OPER 6.625% 2/15/05           265,034

EOP OPER

   CORPORATE BOND EOP OPER 7.375% 11/15/03           1,352,659

ERP OPERAT LP

   CORPORATE BOND ERP OPERAT LP 6.95% 3/02/11           902,025

EL PASO

   CORPORATE BOND EL PASO 7.875% 6/15/12 144A           367,500

FED EXPRESS

   CORPORATE BOND FED EXPRESS 6.72% 1/15/22           812,752

FUNION

   CORPORATE BOND FUNION 6.55% 10/15/35           898,903

FIRSTENERGY

   CORPORATE BOND FIRSTENERGY 5.5% 11/15/06           1,201,748

FLEETBOSTON GLB

   CORPORATE BOND FLEETBOSTON GLB4.875 12/1/06DT           1,472,404

FLA POWER & LIGHT

   CORPORATE BOND FLA POWER & LIGHT 5.875% 4/09           554,453

FL PWR&LT

   CORPORATE BOND FL PWR&LT 6.875% 12/01/05           836,296

FORD MTR CR

   CORPORATE BOND FORD MTR CR GLOBL 5.8% 1/12/09           621,421

FORD MTR CR

   CORPORATE BOND FORD MTR CR GBL 7.6% 8/01/05           995,519

FORD MTR CR

   CORPORATE BOND FORDMTRCR GLBL 6.875% 2/01/06           2,875,028

FORD MTR CR

   CORPORATE BOND FORDMTRCR GLB 7.375% 2/01/11DT           1,351,622

 

18


Table of Contents

Identity of Issuer


  

Description of Investment


   Cost

   Current Value

GEN ELEC

   CORPORATE BOND GEN ELEC GLBL 6.125% 2/22/11 A         $ 3,611,892

GEN ELEC

   CORPORATE BOND GECAPMTN 5% 6/15/07           2,551,824

GEN ELEC

   CORPORATE BOND GECAP GLBL MTN 5.45% 1/15/13           155,810

GENERAL MT

   CORPORATE BOND GENERAL MI 5.125% 2/15/07           1,806,134

GMAC

   CORPORATE BOND GMAC GLOBAL 5.85% 1/14/09 DTC           547,651

GMAC

   CORPORATE BOND GMAC GLOBAL 7.75% 1/19/10           1,203,924

GMAC

   CORPORATE BOND GMAC 6.75% 1/15/06           2,371,572

GMAC

   CORPORATE BOND GMAC 7.25% 3/02/11           1,019,031

GMAC

   CORPORATE BOND GMAC GLBL 6.875% 8/28/12           418,944

FORD MTR CR

   CORPORATE BOND FORD MTR GLB 7.375% 10/28/09EC           203,127

HONEYWELL GLBL

   CORPORATE BOND HONEYWELL GLB 6.875 10/3/05 DT           830,649

HONEYWELL GLBL

   CORPORATE BOND HONEYWELL GLBL 6.125% 11/01/11           624,475

HOUSEHOLD

   CORPORATE BOND HOUSEHOLD 6.5% 1/24/06           532,461

HOUSEHOLD

   CORPORATE BOND HOUSEHOLD 6.375% 10/15/11           1,855,775

IBRD GLOBAL

   CORPORATE BOND IBRD GLOBAL 5% 3/28/06 884           3,618,000

JP MORGAN CHASE

   CORPORATE BOND JP MORGAN CHASE 5.25% 5/30/07           1,918,785

KFW INTL FN GLB

   CORPORATE BOND KFW INTL FN GLB 5.25 6/28/06DT           2,249,402

KFW INTL FIN

   CORPORATE BOND KFW INTL FIN 4.75% 1/24/07           418,724

KELLOGG

   CORPORATE BOND KELLOGG 6.6% 4/01/11           946,046

KINDER MORGAN

   CORPORATE BOND KINDER MORGAN 6.5% 9/01/12           1,593,732

KSS

   CORPORATE BOND KSS 6.3% 3/01/11           1,773,888

KRAFT FOODS GLB

   CORPORATE BOND KRAFT FOODS GLB 5.625% 11/1/11           1,347,021

KROGER

   CORPORATE BOND KROGER 6.8% 4/01/11           986,543

LEHMHLD GLBL

   CORPORATE BOND LEHMHLD GLBL 6.25% 5/15/06 DT           1,957,073

LOCKHEED MARTIN

   CORPORATE BOND LOCKHEED MARTIN 7.25% 5/15/06           1,098,056

LOCKHEED MARTIN

   CORPORATE BOND LOCKHEED MART 7.2% 5/01/36 PO8           386,905

MOBIL OIL CDA

   CORPORATE BOND MOBIL OIL CDA 5% 12/21/04 EMTN           1,054,500

AMERITECH CAPITAL FUNDINING

   CORPORATE BOND AMERITECH CAP 6.25% 5/18/09 EC           637,883

IBRD

   CORPORATE BOND IBRD 6.015% 6/21/04           904,254

METLIFE INC

   CORPORATE BOND METLIFE INC 5.25% 12/01/06           1,066,140

METLIFE INC

   CORPORATE BOND METLIFE INC 5.375% 12/15/12           232,426

JP MORGAN CHASE

   CORPORATE BOND JP MORGAN 6.25% 2/15/11           711,485

MSTDW GLBL

   CORPORATE BOND MSTDW GLBL 6.75% 4/15/11           1,533,551

MSTDW GLBL

   CORPORATE BOND MSTDW 5.8% 4/01/07           1,242,028

NORFOLK SOUTH

   CORPORATE BOND NORFOLK SOUTH 7.05 5/01/37P04           1,312,710

NORTRNMTN

   CORPORATE BOND NORTRNMTN 6.3% 3/07/11           1,380,974

NORTHROP GRUMM

   CORPORATE BOND NORTHROP GRUMM 8.625% 10/15/04           543,317

OCCIDENTAL PET

   CORPORATE BOND OCCIDENTAL PET 6.75% 1/15/12           341,720

OCEAN ENERGY

   CORPORATE BOND OCEAN ENERGY 4.375% 10/01/07           715,421

ONCOR ELEC

   CORPORATE BOND ONCOR ELEC DEV 5% 9/01/07 144A           314,761

ONCOR ELEC

   CORPORATE BOND ONCOR ELE DL6.375 1/15/15 144A           448,580

PECO ENERGY

   CORPORATE BOND PECO ENERGY CO 5.95% 11/01/11           1,500,067

EUROBK GLBL

   CORPORATE BOND EUROBK GLBL 5.625% 1/24/06 EC           1,417,000

FLEETBOSTON GLB

   CORPORATE BOND FLEETBOSTON GLB 7.25 9/15/05EC           705,380

PHARMACIA CORP

   CORPORATE BOND PHARMACIA CORP 5.75% 12/01/05           750,763

PROGRESS ENERGY

   CORPORATE BOND PROGRESS ENERGY 6.75% 3/01/06           2,282,395

PROGRESS ENERGY

   CORPORATE BOND PROGRESS ENERGY 6.85% 4/15/12           437,987

PRUDENTIAL FDG

   CORPORATE BOND PRUDENTIAL FDG 6.6 5/15/08 144           1,189,765

QWEST CORP

   CORPORATE BOND QWEST CORP 8.875% 3/15/12           203,700

ROHM & HAAS

   CORPORATE BOND ROHM & HAAS 6.95% 7/15/04           1,600,295

SBC COMM GLBL

   CORPORATE BOND SBC COMM GLBL 6.25 3/15/11           876,440

SAFEWAY INC

   CORPORATE BOND SAFEWAY INC 6.15% 3/01/06           568,594

 

19


Table of Contents

Identity of Issuer


  

Description of Investment


   Cost

   Current Value

 

SEARS ROEBUCK GBL

   CORPORATE BOND SEARS ROEBUCK GBL 6.25 5/01/09         $ 335,475  

SEARS ROEBUCK GBL

   CORPORATE BOND SEARS RO ACC GLBL 6.75 8/15/11           390,905  

SEARS ROEBUCK GBL

   CORPORATE BOND SEARS ROEBUCK GL 6.7 4/15/12DT           920,740  

TIAA GLBL MKT

   CORPORATE BOND TIAA GLBL MKT 4.125% 11/15/07           905,080  

TAMPA ELEC CO

   CORPORATE BOND TAMPA ELEC CO 5.375% 8/15/07           782,396  

TRAINS

   CORPORATE BOND TRAINS 5-2002 0% 1/25/07 144A           2,918,568  

TEXACO CAPITAL

   CORPORATE BOND TEXACO CAPITAL 8.625% 6/30/10           566,904  

TEXAS EAST

   CORPORATE BOND TEXAS EAST 5.25% 7/15/07           647,065  

TIME WARNER INC

   CORPORATE BOND TIME WARNER INC 9.125% 1/15/13           527,796  

TIME WARNER INC

   CORPORATE BOND TIME WARNER INC 7.975% 8/15/04           347,063  

TIME WARNER INC

   CORPORATE BOND TIME WARNER INC 8.11% 8/15/06           226,037  

TIME WARNER INC

   CORPORATE BOND TIME WARNER INC 7.25% 10/15/17           519,462  

TOSCO CORP

   CORPORATE BOND TOSCO CORP 7.625% 5/15/06           708,124  

TURNER BROAD

   CORPORATE BOND TURNER BROAD 8.375% 7/01/13           614,250  

TYCO YANK

   CORPORATE BOND TYCO YANK 6.375% 2/15/06           128,040  

TYCO YANK

   CORPORATE BOND TYCO INTL YANK 5.8% 8/01/06           51,975  

UPAC

   CORPORATE BOND UPAC 6.7% 12/01/06           652,673  

UNITED AIR

   CORPORATE BOND UNITED AIR 6.201% 9/01/08 01-1           291,643  

US BANCORP MTN

   CORPORATE BOND US BANCORP MTN 3.95% 8/23/07           1,247,323  

UNITED TECHNOLOGIES

   CORPORATE BOND UNITED TECHNOLOGIES 7% 9/15/06           709,884  

UNITED TECHNOLOGIES

   CORPORATE BOND UNITED TECH 4.875% 11/01/06           1,058,298  

VERIZON

   CORPORATE BOND VERIZON GLBL 7.25% 12/1/10           517,122  

VERIZON

   CORPORATE BOND VERIZON NE GLB 6.5% 9/15/11 DT           723,224  

VERIZON

   CORPORATE BOND VERIZON PA GLBL 5.65% 11/15/11           812,567  

VERIZON

   CORPORATE BOND VERIZON NJ GLBL 5.875% 1/17/12           953,564  

WELLPOINT NEW

   CORPORATE BOND WELLPOINT NEW 6.375% 1/15/12           987,592  

WEYERHAEUSER

   CORPORATE BOND WEYERHAEUSER 6% 8/01/06           896,915  

WEYERHAEUSER

   CORPORATE BOND WEYERHAEUSER 5.95% 11/01/08           720,559  

WEYERHAEUSER

   CORPORATE BOND WEYERHSR GLBL 5.5% 3/15/05           502,474  

WEYERHAEUSER

   CORPORATE BOND WEYERHAUSER 5.25% 12/15/09           176,951  

WORLDCOM INC GLBL

   CORPORATE BOND WORLDCOM INC GLBL 8% 5/15/06           27,600  

WORLDCOM INC GLBL

   CORPORATE BOND WORLDCOM GLBL 8.25% 5/15/10 DT           293,250  

WORLDCOM INC GLBL

   CORPORATE BOND WORLDCOM 7.375% 1/15/06 144A           92,000  

WORLDCOM INC GLBL

   CORPORATE BOND WORLDCOM GLBL 7.5% 5/15/11 DT           59,800  

FHLG

   FHLG 15YR 6.00% 6/14 #E81303           988,595  

FHLG

   FHLG 15YR 6.00% 4/16 #E83298           574,306  

FHLG

   FHLG 15YR 6.50% 11/09 #G11047           1,504,686  

FHLG

   FHLG 15YR 5.50% 4/17 #E01143           926,250  

FNMA

   FNMA 15YR 5.50% 1/18 #TBA           1,968,281  

FNMA

   FNMA 6.00% 1/33 #TBA           (4,551,250 )

FNMA

   FNMA 6.00% 4/08 #251725           1,605,704  

FNMA

   FNMA 6.00% 11/28 #323362           2,312,120  

FNMA

   FNMA 6.00% 7/29 #323812           2,189,271  

FNMA

   FNMA 15YR 6.00% 4/14 #323980           386,023  

FNMA

   FNMA 6.00% 7/08 #426525           919,508  

FNMA

   FNMA 15YR 6.00% 10/13 #433147           267,351  

FNMA

   FNMA 15YR 6.00% 2/14 #449296           1,052,449  

FNMA

   FNMA 15YR 6.00% 6/15 #535444           1,298,140  

FNMA

   FNMA 15YR 6.00% 12/14 #535747           2,272,830  

FNMA

   FNMA 15YR 5.50% 8/15 #545151           1,268,057  

FNMA

   FNMA ARM 4/22 #556945           1,553,976  

FNMA

   FNMA ARM 10/29 #556946           1,125,120  

 

20


Table of Contents

Identity of Issuer


  

Description of Investment


   Cost

   Current Value

 

FNMA

  

FNMA ARM 4/16 #556948

        $ 1,276,677  

FNMA

  

FNMA 15YR 6.00% 4/16 #577520

          40,720  

FNMA

  

FNMA 15YR 6.00% 1/14 #588348

          228,937  

FNMA

  

FNMA 15YR 6.00% 7/14 #592873

          484,358  

FNMA

  

FNMA 15YR 6.00% 12/16 #620961

          52,814  

FNMA

  

FNMA 6.00% 5/32 #642419

          97,336  

QUEBEC PROV MTN

  

QUEBEC PROV MTN 6.35% 1/30/26A

          1,521,684  

UST

  

UST 5YR FUT MAR03 FUT GSCO

          (20,838,000 )

UST

  

UST 10YR FUT MAR03 TYH3 GSCO

          (7,478,047 )

UST

  

UST 2YR FUT MAR03 TUH3

          (11,620,125 )

GNMA

  

GNMA 15YR 7.50% 10/07 #780381

          1,569,719  

GNMA

  

GNMA 15YR 7.50% 6/09 #780462

          432,397  

GNMA

  

GNMA 15YR 6.50% 7/09 #780470

          1,036,512  

FHLMC

  

FHLMC 4.75% 10/11/12

          1,717,350  

FHLMC

  

FHLMC GLBL 4% 10/29/07

          1,388,860  

FHLMC

  

FHLMC 4.25/6.25% 3/22/06

          3,880,930  

FHLMC

  

FHLMC 7% 3/15/10

          8,138,119  

FHLMC

  

FHLMC 6.875% 9/15/10

          4,442,819  

FHLMC

  

FHLMC 5.25% 1/15/06

          1,944,574  

FHLMC

  

FHLMC 5.5% 7/15/06

          835,441  

FHLMC

  

FHLMC 4.875% 3/15/07

          7,401,363  

FNMA

  

FNMA 7.25% 1/15/10

          4,241,020  

FNMA

  

FNMA 5.5% 2/15/06

          3,286,295  

FNMA

  

FNMA 5% 1/15/07

          3,522,854  

FNMA

  

FANNIEMAE GLBL 5.25% 4/15/07

          3,525,211  

FNMA

  

FNMA 3.3% 7/02/04

          2,998,402  

BT GOVT STIF FUND

  

BT GOVT STIF FUND

          14,011,797  

CA DWR SER

  

CA DWR SER E 3.585% 5/01/04

          1,108,228  

AMSOUTH AUTO TRUST

  

ASAT 00-1 A4 6.76 2/05

          3,850,403  

CAPCO AMER SECURITIZATION

  

CASC 98-D7 A1A 5.86 10/30

          1,472,067  

CAPITAL AUTO RECVS ASSET

  

CARAT 02-3 A3 3.58% 10/06

          2,683,329  

CCMSC

  

CCMSC 97-1 A2 7.37 6/29

          3,268,377  

CCIMT

  

CCIMT 97-6 A 0 8/06

          2,371,331  

COMM

  

COMM 99-1 A2 6.455 5/32

          247,216  

CSFB

  

CSFB 01-33 4A1 6.5 4/16

          1,096,654  

FHR

  

FHR 1512 H 6.5 2/08

          3,145,109  

FNGT

  

FNGT 02-T6 A1 3.31 2/32

          1,731,193  

FNR

  

FNR 01-47 VA 6 7/12

          3,375,110  

FRBPT

  

FRBPT 00-FRB1 A2 CSTR 6/30

          989,874  

FORD

  

FORDO 02-C A3 3.38% 12/15

          2,970,348  

GMAC

  

GMACC 99-C1 A2 6.175 5/33

          2,588,653  

GMAC

  

GMACC 99-C2 A2 6.945 9/33

          1,834,181  

GT

  

GT 99-4 A5 6.97 5/31

          1,271,473  

LBCMT

  

LBCMT 99-C2 A1 7.105 10/32

          2,659,242  

MBNA

  

MBNAM 00-E A 7.8 10/12

          2,262,634  

BECO

  

BECO 99-1 A3 6.62 3/07

          3,616,389  

MLMI

  

MLMI 97-C1 A3 7.12 6/29

          1,084,369  

MLMI

  

MLMI 97-C2 A2 6.54 12/29

          1,478,887  

NBCMT

  

NBCMT 93-2 A 6 12/05

          1,563,561  

NAROT

  

NAROT 01-B A4 5.35 10/06

          1,414,572  

PHMS

  

PHMS 92-39 A10 7 11/07

          3,216,236  

PHMS

  

PHMS 93-2 A5 7 2/08

          2,129,397  

 

21


Table of Contents

Identity of Issuer


  

Description of Investment


   Cost

   Current Value

RFMSI

   RFMSI 95-S12 A2 7.25 8/10         $ 762,261

SLMA

   SLMA 02-1 A1 3ML+3 10/10           3,013,199

USTB

   USTB 10.375% 11/15/12           9,502,956

USTB

   USTB 9.25% 2/15/16           26,710,308

USTB

   USTB 8.5% 2/15/20           2,645,195

USTN

   USTN 6.5% 8/15/05           3,271,659

USTN

   USTN 5.625% 5/15/08           243,924

USTN

   USTN 4.75% 11/15/08           398,420

USTN

   USTN 6.5% 2/15/10           13,985,150

USTN

   USTN 6.75% 5/15/05           25,419,332

USTN

   USTN 5% 2/15/11           6,707,869

USTN

   USTN 5% 8/15/11           1,206,218

USTN

   USTN 4.875% 2/15/12           7,595,857

USTN

   USTN 3% 2/29/04           2,345,821

USTN

   USTN 3.625% 3/31/04           3,749,794

USTN

   USTN 3.375% 4/30/04           2,567,675

USTN

   USTN 3.25% 5/31/04           5,903,186

USTN

   USTN 2.125% 10/31/04           1,819,829

USTN

   USTN 3% 11/15/07           4,296,072

USTN

   USTN 4% 11/15/12           704,828

NORCEN EN YANK

   NORCEN EN YANK 7.375% 5/15/06           1,810,537

TYCO INTL YANK

   TYCO INTL YANK 6.375% 6/15/05           1,838,150

TBC INC

   POOLED EMP DAILY VAR RT 12/31/2099 DD 11/01/01           114,590,097

TBC INC

   POOLED EMP DAILY VAR RT 12/31/2099 DD 11/01/01           9,876,938

TBC INC

   POOLED EMP DAILY VAR RT 12/31/2099 DD 11/01/01           7,172,259

TBC INC

   POOLED EMP DAILY VAR RT 12/31/2099 DD 11/01/01           12,566,759

TBC INC

   POOLED EMP DAILY VAR RT 12/31/2099 DD 11/01/01           41,959,663

FEDERAL NATL

   MTG ASSN DISCOUNT MAT 02/12/2003           887,247

FEDERAL NATL

   MTG ASSN DISC MAT 03/05/2003           139,556

UNITED STATES

   TREASURY BILL DUE 02/20/2003 DD 08/22/02           488,650

AFRICAN DEVELOPMENT BANK

   6.500% 15/03/2004           14,777,000

COMMIT TO PUR FNMA SF MTG

   5.500% 01/01/2018 DD 01/01/03           2,953,313

PIMCO

   SWAP #31883 INT RT SWAP 5.000% 06/18/2008 DD 12/12/02           1,967,331

AIG SUNAMERICA

   SR NT 144A 5.100% 01/17/2007 DD 01/17/02           4,281,840

AOL TIME WARNER INC

   NT 6.875% 05/01/2012 DD 04/08/02           570,294

AT&T CORP SR

   NT VAR RT 11/15/2006 DD 05/15/02           4,275,200

AT&T CORP SR

   NT VAR RT 11/15/2011 DD 05/15/02           398,949

AT&T WIRELESS SVCS INC

   SR NT 7.875% 03/01/2011 DD 09/01/01           195,975

AT&T BROADBAND CORP

   NT 8.375% 03/15/2013 DD 11/18/02           255,587

AXA FINL INC

   SR NT 7.750% 08/01/2010 DD 07/28/00           169,733

AETNA INC SR

   NT 7.375% 03/01/2006 DD 03/02/01           379,509

COMMIT TO PUR FNMA SF MTG

   5.000% 02/01/2018 DD 02/01/03           19,385,890

COMMIT TO PUR FNMA SF MTG

   5.500% 01/01/2018 DD 01/01/03           1,035,930

COMMIT TO PUR FNMA SF MTG

   5.500% 01/01/2033 DD 01/01/03           6,729,888

COMMIT TO PUR FNMA SF MTG

   5.500% 02/01/2033 DD 02/01/03           18,783,235

COMMIT TO PUR FNMA SF MTG

   6.000% 01/01/2033 DD 01/01/03           11,367,730

COMMIT TO PUR FNMA SF MTG

   6.000% 01/01/2033 DD 01/01/03           11,884,445

COMMIT TO PUR GNMA SF MTG

   6.500% 01/15/2033 DD 01/01/03           3,146,250

ALBERTSONS INC

   NT 7.500% 02/15/2011 DD 01/29/01           488,971

ALBERTSONS INC

   NT 7.500% 02/15/2011 DD 01/29/01           51,773

ALCOA INC

   NT 2013 5.375% 01/15/2013 DD 08/13/02           206,384

COMMIT TO PUR FHLMC GOLD SFM

   7.500% 12/01/2033 DD 12/01/03           1,750,997

 

22


Table of Contents

Identity of Issuer


  

Description of Investment


   Cost

   Current Value

ALLSTATE

   FINL GBL FDG 144A 7.125% 09/26/2005 DD 09/26/00         $ 2,788,275

ALLTEL CORP

   SR NT 7.000% 07/01/2012 DD 06/19/02           63,385

AMERADA HESS CORP

   NT 6.650% 08/15/2011 DD 08/15/01           92,844

AMERICAN AIRLS

   P/T 01-2 CL A1 6.978% 10/01/2012 DD 10/04/01           2,068,532

AMERICAN EXPRESS

   01-2 CL A-1 5.530% 10/15/2008 DD 03/23/01           868,888

AMERICAN GEN FIN

   MTN #TR00378 5.375% 10/01/2012 DD 09/30/02           320,952

AMERICAN GEN FIN CORP

   MTN 4.500% 11/15/2007 DD 11/26/02           268,227

AMERICAN GENL CORP

   NTS 7.500% 08/11/2010 DD 08/11/00           1,539,746

ANADARKO FIN CO

   SR NT 6.750% 05/01/2011 DD 04/26/01           56,339

ANADARKO PETE CORP

   NT 6.125% 03/15/2012 DD 03/08/02           114,907

ANTHEM INS COS SURPLUS

   NT 144A 9.125% 04/01/2010 DD 02/02/00           246,064

ANTHEM INC

   NT 6.800% 08/01/2012 DD 07/31/02           65,628

ASSET SECURITIZATION

   97MD7 A1A 7.320% 01/13/2030 DD 03/27/97           1,397,795

ASSOCIATES CORP

   N A NOTES 6.100% 01/15/2005 DD 01/09/98           3,213,000

BB&T CORP

   SUB NT 2012 4.750% 10/01/2012 DD 09/24/02           336,203

BMW VEH OWNER

   TR 02 A CL A 4 4.460% 05/25/2007 DD 05/23/02           789,165

BANC AMER COML

   MTG 02 PB2 A4 6.186% 06/11/2035 DD 05/01/02           1,109,910

BANK AMER CORP

   SUB NT 7.400% 01/15/2011 DD 01/23/01           683,217

BANK AMER CORP

   SR NT 4.875% 09/15/2012 DD 09/25/02           197,104

BANK AMER CORP

   SR NT 3.875% 01/15/2008 DD 11/26/02           3,783,048

BANK ONE CORP

   MTN SB 00001 6.000% 02/17/2009 DD 02/17/99           109,109

BANK ONE CORP

   SUB NT 7.875% 08/01/2010 DD 08/02/00           323,595

BANK ONE ISSUANCE

   TR 02-4 CL A 2.940% 06/16/2008 DD 10/23/02           1,015,210

BANKBOSTON

   N A SUB NTS 7.000% 09/15/2007 DD 09/16/97           2,263,260

BEAR STEARNS COML

   MTG 01-A2 6.480% 02/15/2035 DD 05/01/01           504,999

BEAR STEARNS ARM

   TR 02 9 IIA VAR RT 10/25/2032 DD 09/01/02           5,645,183

BEAR STEARNS COS

   MTN #TR 00379 VAR RT 09/21/2004 DD 09/21/00           3,003,750

BELLSOUTH CAP FUNDING CORP

   7.750% 02/15/2010 DD 02/16/00           82,881

BOEING CAP CORP

   SR NT 6.500% 02/15/2012 DD 11/09/01           74,638

BRITISH TELECOMMUNICATIONS

   NT VAR RT 12/15/2003 DD 12/12/00           5,031,250

BRITISH TELECOMMUNICATIONS

   NT STEP UP 12/15/2010 DD 12/12/00           503,538

BURLINGTON NORTHN SANTA FE

   NT 6.750% 07/15/2011 DD 05/15/01           289,451

CIGNA CORP

   SR NT 7.000% 01/15/2011 DD 01/08/01           134,603

CIT EQUIP COLL

   TR 02 VT1 CL A4 4.670% 12/21/2009 DD 05/16/02           2,615,150

CIT GROUPINC

   5.625% 10/15/2003 DD 10/23/98           3,823,875

CIT GROUP INC

   SR NT 7.625% 08/16/2005 DD 08/16/00           2,366,870

CIT GROUP INC

   SR NT 6.500% 02/07/2006 DD 02/07/01           547,622

CIT GROUP INC

   NEW SR NT 5.500% 11/30/2007 DD 12/02/02           1,533,510

CIT GROUP INC

   MTN #SR 00051 5.625% 05/17/2004 DD 05/16/01           514,010

CNH EQUIP

   TR 2001 A NT CL A 4 5.380% 08/15/2007 DD 05/22/01           3,670,415

CSX CORP

   NT 6.300% 03/15/2012 DD 03/08/02           285,025

CVS CORP

   NT 5.500% 02/15/2004 DD 08/15/99           414,936

CAPITAL AUTO

   REC 02 2 CL A4 4.500% 10/15/2007 DD 04/25/02           947,142

CAPITAL AUTO

   REC ASSET TR 02 3 3.580% 10/16/2006 DD 08/08/02           928,845

CARRAMERICA RLTY CORP

   NTS 6.875% 03/01/2008 DD 02/23/98           4,330,400

CHASE MANHATTAN

   AUTO 02 A A 3 3.490% 03/15/2006 DD 03/06/02           2,552,250

CHASE MANHATTAN

   AUTO 02 A A 4 4.240% 09/15/2008 DD 03/06/02           943,101

CHASE MANHATTAN

   AUTO 02 B A4 4.210% 01/15/2009 DD 06/06/02           838,640

CINCINNATI GAS & ELEC CO

   DEB 5.700% 09/15/2012 DD 09/23/02           107,630

CIT

   RV TR 98-A ASSET BACKED A5 6.120% 11/15/2013 DD 06/15/98           10,687,500

CITIGROUP INC

   GLOBAL SUB NT 7.250% 10/01/2010 DD 10/11/00           1,108,631

CITIGROUP INC

   NT 6.000% 02/21/2012 DD 02/21/02           449,934

 

23


Table of Contents

Identity of Issuer


  

Description of Investment


   Cost

   Current Value

CITIGROUP INC

   GLOBAL SUB NT 5.625% 08/27/2012 DD 08/26/02         $ 178,752

CITIBANK CR CARD

   TR 00 A1 6.900% 10/15/2007 DD 09/28/00           1,004,571

CITIBANK CR CARD

   TR 2002 A3 NT 4.400% 05/15/2007 DD 05/21/02           1,050,520

CITIZENS COMMUNICATIONS CO

   NT 9.250% 05/15/2011 DD 05/23/01           178,652

COCA COLA ENTERPRISES INC

   NT 6.125% 08/15/2011 DD 08/15/01           77,356

COMCAST CABLE COMMUNS INC

   NT 6.750% 01/30/2011 DD 01/16/01           291,334

CONAGRA FOODS INC

   NT 6.000% 09/15/2006 DD 09/10/01           262,620

CONOCO FDG CO

   NT 5.450% 10/15/2006 DD 10/11/01           3,238,110

CONOCO FDG CO

   NT 6.350% 10/15/2011 DD 10/11/01           228,919

CONOCO FDG CO

   NT 6.350% 10/15/2011 DD 10/11/01           290,337

CONSOLIDATED EDISON CO

   N Y INC 5.625% 07/01/2012 DD 06/24/02           155,054

CONSOLIDATED NAT GAS CO

   SR NT 5.375% 11/01/2006 DD 10/25/01           348,840

CONSTELLATION ENERGY GROUP INC

   7.000% 04/01/2012 DD 03/26/02           63,061

CONTINENTAL AIRLINES

   PASS THRU 6.545% 08/02/2020 DD 02/08/99           299,621

COOPER INDS INC

   GTD SR NT 5.250% 07/01/2007 DD 06/21/02           172,141

COUNTRYWIDE HOME LNS

   MTN 7.260% 05/10/2004 DD 05/09/97           2,496,323

COUNTRYWIDE HM LNS

   MTN TR00279 5.625% 05/15/2007 DD 05/17/02           556,202

COX COMMUNICATIONS INC

   NEW NT 6.750% 03/15/2011 DD 03/09/01           312,034

COX COMMUNICATIONS INC

   NEW NT 7.125% 10/01/2012 DD 09/20/02           216,592

COX ENTERPRISES

   144A VAR RT 05/01/2033 DD 05/08/00           2,487,500

CREDIT SUISSE

   FB 01-CK1 CL A 3 6.380% 12/16/2035 DD 03/01/01           836,483

CREDIT SUISSE

   FB 02 CKN2 CL A3 6.133% 04/15/2037 DD 05/01/02           614,046

CREDIT SUISSE

   FB INC NT 6.125% 11/15/2011 DD 11/06/01           1,565,085

CREDIT SUISSE

   FB USA INC NT 6.500% 01/15/2012 DD 01/11/02           464,906

DAIMLERCHRYSLER

   AUTO TR 02A A4 4.490% 10/06/2008 DD 04/24/02           1,051,940

DAIMLERCHRYSLER

   AUTO TR 02C A43.090% 01/08/2008 DD 10/25/02           1,015,790

DAIMLER CHRYSLER

   NT 7.750% 01/18/2011 DD 01/18/01           348,432

DAIMLER CHRYSLER

   N A HLDG NT 6.400% 05/15/2006 DD 05/15/01           447,353

DEERE & CO

   GLOBAL NT 6.950% 04/25/2014 DD 04/17/02           106,030

DELPHI CORPORATION

   NT 6.125% 05/01/2004 DD 05/04/99           206,298

DELTA AIR LINES INC

   02-1 CL C 7.779% 07/02/2013 DD 04/30/02           4,155,195

DEUTSCHE TELEKOM INTL FIN

   BV STEP 06/15/2005 DD 07/06/00           5,467,050

DEUTSCHE TELEKOM INTL FIN

   BV STEP 06/15/2010 DD 07/06/00           230,346

DEVON FING CORP

   ULC NT 6.875% 09/30/2011 DD 10/03/01           228,341

DISNEY WALT CO

   NT 4.500% 09/15/2004 DD 09/24/01           3,075,450

DOMINION RES INC

   VA SER A 8.125% 06/15/2010 DD 06/26/00           273,399

DONALDSON LUFKIN & JEN

   SR NTS 6.500% 06/01/2008 DD 06/08/98           3,460,087

DOW CHEM CO

   NT 6.125% 02/01/2011 DD 02/08/01           262,749

DUKE ENERGY CORP

   SR NT 6.250% 01/15/2012 DD 01/14/02           114,804

EOP OPER LTD PARTNERSHIP

   NT 6.763% 06/15/2007 DD 06/15/98           259,994

EQUITABLE COS

   NTS 6.500% 04/01/2008 DD 04/06/98           160,485

EQUITY ONE ABS INC

   00-1 CL A-3 7.550% 02/25/2032 DD 11/01/00           2,506,201

FHLMC

   GROUP #E7-0881 5.500% 06/01/2013 DD 06/01/98           2,508,637

FHLMC

   POOL #E0-1098 6.000% 02/01/2017 DD 02/01/02           2,514,954

FHLMC

   MULTICLASS CTF 2093 G 6.000% 10/15/2025           7,484,783

FHLMC

   MULTICLASS MTG 2116 D 6.000% 07/15/2026 DD 01/01/99           10,604,736

FHLMC

   MULTICLASS MTG P/C1584HA 3.500% 11/15/2021           4,582,875

FHLMC

   MULTICLASS CTF 1837 B 6.500% 01/15/2022           336,620

FHLMC

   MULTICL MTG P/C 1861 H 6.500% 06/15/2023           1,835,995

FEDERAL FARM CR BK CONS

   DEBS 5.450% 01/10/2005 DD 01/19/01           2,791,750

FEDERAL FARM CR BK CONS

   MTN 5.850% 05/07/2003 DD 05/07/98           3,149,073

FHLMC

   GROUP #E2-0252 7.000% 07/01/2011 DD 07/01/96           434,503

 

24


Table of Contents

Identity of Issuer


  

Description of Investment


   Cost

   Current Value

FHLMC

   GROUP #E2-0257 7.000% 08/01/2011 DD 08/01/96         $ 961,078

FEDERAL HOME LN MTG CORP

   DEBS 5.125% 10/15/2008 DD 10/13/98           18,540,710

FEDERAL HOME LN MTG CORP

   DEBS 5.000% 05/15/2004 DD 05/15/01           2,148,011

FHLMC

   INT PMT ON % DEB 2031 5.750% 01/15/2012 DD 01/14/02           1,847,265

FHLMC

   INT PMT ON % DEB 2031 5.750% 01/15/2012 DD 01/14/02           4,974,261

FHLMC

   INT PMT ON % DEB 2031 5.750% 01/15/2012 DD 01/14/02           2,225,620

FEDERAL HOME LN MTG CORP

   MTN 4.875% 03/15/2007 DD 03/11/02           5,084,364

FEDERAL HOME LN MTG CORP

   DEB 3.500% 09/15/2007 DD 09/16/022           4,491,388

FNMA

   GTD REMIC P/T CTF93-52J 6.500% 04/25/2008           2,729,200

FNMA

   GTD REMIC P/T CTF93-209KB 5.659% 08/25/2008           51,372

FNMA

   GTD REMIC P/T 1996-7 H 6.500% 12/25/2023           857,009

FNMA

   GTD REMIC P/T 1996-7 J 6.500% 09/25/2024 DD 03/01/96           10,363,800

FEDERAL NATL MTG ASSN

   DEBS 5.500% 02/15/2006 DD 02/23/01           5,643,750

FEDERAL NATL MTG ASSN

   6.000% 05/15/2011 DD 05/25/01           746,005

FEDERAL NATL MTG ASSN

   6.000% 05/15/2011 DD 05/25/01           1,130,310

FEDERAL NATL MTG ASSN

   DEBS 5.250% 06/15/2006 DD 06/22/01           16,345,350

FEDERAL NATL MTG ASSN

   DEBS 5.250% 06/15/2006 DD 06/22/01           4,358,760

FEDERAL NATL MTG ASSN

   4.375% 10/15/2006 DD 10/25/01           18,122,722

FEDERAL NATL MTG ASSN

   5.000% 01/15/2007 DD 12/24/01           10,840,600

FEDERAL NATL MTG ASSN

   5.250% 04/15/2007 DD 03/26/02           9,852,210

FEDERAL NATL MTG ASSN

   5.250% 04/15/2007 DD 03/26/02           5,281,879

FEDERAL NATL MTG ASSN

   5.250% 04/15/2007 DD 03/26/02           3,831,415

FEDERAL NATL MTG ASSN

   DEBS 6.125% 03/15/2012 DD 03/26/02           8,561,400

FEDERAL NATL MTG ASSN

   DEBS 6.125% 03/15/2012 DD 03/26/02           917,700

FEDERAL NATL MTG ASSN

   4.250% 07/15/2007 DD 07/22/02           1,476,146

FEDERAL NATL MTG ASSN

   4.375% 09/15/2012 DD 09/23/02           2,156,622

FNMA

   POOL #0050986 6.000% 03/01/2009 DD 03/01/94           1,731,387

FNMA

   POOL #0125398 9.500% 03/01/2025 DD 02/01/95           6,695

FNMA

   POOL #0125420 5.500% 05/01/2011 DD 04/01/96           327,718

FNMA

   POOL #0250241 9.500% 04/01/2025 DD 03/01/95           85,825

FNMA

   POOL #0250275 9.500% 06/01/2025 DD 05/01/95           15,776

FNMA

   POOL #0251811 6.000% 07/01/2013 DD 06/01/98           3,630,356

FNMA

   POOL #0253012 7.500% 10/01/2029 DD 11/01/99           9,444

FNMA

   POOL #0253183 7.500% 04/01/2030 DD 03/01/00           2,537,221

FNMA

   POOL #0253346 7.500% 06/01/2030 DD 05/01/00           320,037

FNMA

   POOL #0254509 5.000% 10/01/2017 DD 09/01/02           5,923,763

FNMA

   POOL #02788409.500% 12/01/2024 DD 12/01/94           43,183

FNMA

   POOL #0287953 9.500% 03/01/2025 DD 03/01/95           14,148

FNMA

   POOL #0295064 9.500% 03/01/2025 DD 02/01/95           58,531

FNMA

   POOL #0304235 9.500% 01/01/2025 DD 01/01/95           1,620

FNMA

   POOL #0306382 9.500% 04/01/2025 DD 04/01/95           48,501

FNMA

   POOL #0307971 9.500% 03/01/2025 DD 03/01/95           55,453

FNMA

   POOL #0307972 9.500% 03/01/2025 DD 03/01/95           6,553

FNMA

   POOL #0313175 9.500% 11/01/2025 DD 10/01/96           1,076,674

FNMA

   POOL #0313692 8.500% 12/01/2025 DD 08/01/97           845,467

FNMA

   POOL #03233226.000% 10/01/2013 DD 09/01/98           1,347,410

FNMA

   POOL #0323833 6.000% 07/01/2014 DD 06/01/99           2,892,619

FNMA

   POOL #0323991 7.500% 11/01/2029 DD 10/01/99           402,310

FNMA

   POOL #0343466 5.500% 04/01/2011 DD 04/01/96           3,245,889

FNMA

   POOL #0417922 6.000% 03/01/2013 DD 03/01/98           2,402,696

FNMA

   POOL #0424277 5.500% 04/01/2013 DD 04/01/98           3,912,713

FNMA

   POOL #0445251 5.500% 12/01/2013 DD 12/01/98           5,210,338

 

25


Table of Contents

Identity of Issuer


  

Description of Investment


   Cost

   Current Value

FNMA

   POOL #0501862 7.500% 09/01/2029 DD 09/01/99         $ 515,166

FNMA

   POOL #0523327 7.500% 11/01/2029 DD 11/01/99           398,131

FNMA

   POOL #0524631 7.500% 12/01/2029 DD 12/01/99           29,159

FNMA

   POOL #0524950 7.500% 03/01/2030 DD 03/01/00           24,470

FNMA

   POOL #0525022 7.500% 02/01/2030 DD 02/01/00           28,578

FNMA

   POOL #0527755 7.500% 02/01/2030 DD 02/01/00           29,872

FNMA

   POOL #0527835 7.500% 02/01/2030 DD 02/01/00           30,785

FNMA

   POOL #0530157 7.500% 03/01/2030 DD 03/01/00           39,644

FNMA

   POOL #0530250 7.500% 03/01/2030 DD 03/01/00           8,009

FNMA

   POOL #0534811 7.500% 04/01/2030 DD 04/01/00           31,488

FNMA

   POOL #0558177 7.500% 10/01/2030 DD 10/01/00           21,115

FNMA

   POOL #0559626 7.500% 01/01/2031 DD 01/01/01           31,999

FNMA

   POOL #0563704 7.500% 12/01/2030 DD 12/01/00           8,849

FNMA

   POOL #05713167.500% 02/01/2031 DD 02/01/01           437,138

FNMA

   POOL #0604966 5.500% 11/01/2016 DD 11/01/01           2,562,800

FNMA

   POOL #0610445 7.500% 10/01/2031 DD 10/01/01           34,302

FNMA

   POOL #0621102 5.500% 01/01/2017 DD 01/01/02           7,123,402

FNMA

   POOL #0628075 7.500% 02/01/2032 DD 02/01/02           1,874,053

FNMA

   POOL #0628751 7.500% 03/01/2032 DD 02/01/02           1,814,849

FNMA

   POOL #0657382 5.000% 10/01/2017 DD 10/01/02           3,327,916

FEDERATED DEPT STORES

   SR NT 6.625% 04/01/2011 DD 03/27/01           60,075

FIRST UN NATL BK

   MTN #SB 00005 7.800% 08/18/2010 DD 08/18/00           476,864

FLEET CR CARD MASTER

   TR 02 C A 2.750% 04/15/2008 DD 11/26/02           933,908

FLORIDA PWR & LT CO

   1ST MTG BD 4.850% 02/01/2013 DD 12/13/02           61,292

FLORIDA PWR & LT CO

   1ST MTG BD 4.850% 02/01/2013 DD 12/13/02           270,708

FORD CR AUTO OWNER

   02 A CL B 4.790% 11/15/2006 DD 01/16/02           5,599,138

FORD CR AUTO OWNER

   02 A CL B 4.790% 11/15/2006 DD 01/16/02           5,208,500

FORD CR AUTO OWNER

   TR 02 C A4 3.790% 09/15/2006 DD 06/26/02           1,037,210

FORD CR AUTO OWNER

   TR 02 D A4A 3.130% 11/15/2006 DD 08/29/02           1,021,190

FORD MOTOR CR CO

   NT 6.750% 05/15/2005 DD 05/24/93           3,029,280

FORD MOTOR CREDIT CO

   SR NTS 5.800% 01/12/2009 DD 01/12/99           927,490

FORD MTR CR CO

   GLOBAL 7.500% 03/15/2005 DD 03/16/00           1,734,442

FORD MTR CR CO

   GLOBAL LANDMARK VAR RT 03/17/2003 DD 03/16/00           2,995,770

FORD MTR CR CO

   7.500% 06/15/2003 DD 06/14/00           2,029,600

FORD MTR CR CO

   GBL LANDMARK 7.875% 06/15/2010 DD 06/14/00           271,690

FORD MTR CR CO

   GLOBAL NT 7.600% 08/01/2005 DD 08/01/00           2,858,912

FORD MTR CR CO

   GLOBAL SECS 7.375% 02/01/2011 DD 01/30/01           476,471

FORD MTR CR CO

   GLOBAL SECS 6.500% 01/25/2007 DD 10/25/01           1,447,010

FORD MTR CR CO

   GBL LANDMARK 7.250% 10/25/2011 DD 10/25/01           971,680

FRANCE TELECOM

   SA NT STEP 03/01/2011 DD 09/01/01           306,412

FRANCE TELECOM

   SA NT VAR RT 03/01/2031 DD 09/01/01           2,434,660

GNMA

   POOL #0434180 6.000% 02/15/2029 DD 02/01/99           1,651,345

GNMA

   POOL #04343256.000% 05/15/2029 DD 05/01/99           252,203

GNMA

   POOL #0453202 8.500% 07/15/2027 DD 07/01/97           41,450

GNMA

   POOL #0464617 6.000% 03/15/2029 DD 03/01/99           3,379,497

GNMA

   POOL #0464627 6.000% 03/15/2029 DD 03/01/99           127,259

GNMA

   POOL #0468362 6.000% 04/15/2029 DD 04/01/99           382,163

GNMA

   POOL #0469862 6.000% 01/15/2029 DD 01/01/99           285,338

GNMA

   POOL #0479296 8.500% 04/15/2030 DD 04/01/00           30,022

GNMA

   POOL #0479334 8.500% 05/15/2030 DD 05/01/00           32,855

GNMA

   POOL #0482250 8.500% 08/15/2030 DD 08/01/00           7,657

GNMA

   POOL #0482926 6.000% 01/15/2029 DD 01/01/99           147,769

 

26


Table of Contents

Identity of Issuer


  

Description of Investment


   Cost

   Current Value

GNMA

   POOL #0486123 8.500% 08/15/2030 DD 08/01/00         $ 131,436

GNMA

   POOL #0486285 6.000% 12/15/2028 DD 01/01/99           20,824

GNMA

   POOL #0487568 6.000% 07/15/2029 DD 07/01/99           34,303

GNMA

   POOL #0489890 8.500% 06/15/2030 DD 06/01/00           25,765

GNMA

   POOL #0490168 6.000% 04/15/2029 DD 04/01/99           4,597,309

GNMA

   POOL #0491603 8.500% 11/15/2029 DD 11/01/99           251,222

GNMA

   POOL #0493532 6.000% 09/15/2029 DD 12/01/00           190,797

GNMA

   POOL #0497455 6.000% 01/15/2029 DD 01/01/99           3,005,751

GNMA

   POOL #0498414 6.000% 03/15/2029 DD 03/01/99           466,152

GNMA

   POOL #0500215 8.500% 02/15/2030 DD 02/01/00           99,343

GNMA

   POOL #0502020 8.500% 10/15/2029 DD 10/01/99           102,463

GNMA

   POOL #0506244 8.500% 06/15/2030 DD 06/01/00           82,536

GNMA

   POOL #0508360 8.500% 07/15/2030 DD 07/01/00           140,657

GNMA

   POOL #0518262 8.500% 07/15/2030 DD 07/01/00           242,781

GNMA

   POOL #0519389 8.500% 03/15/2030 DD 03/01/00           120,004

GNMA

   POOL #0520979 8.500% 09/15/2030 DD 09/01/00           154,643

GNMA

   POOL #0522081 8.500% 01/15/2030 DD 01/01/00           211,323

GNMA

   POOL #0522578 8.500% 01/15/2030 DD 01/01/00           13,339

GNMA

   POOL #0522629 8.500% 02/15/2030 DD 02/01/00           75,650

GNMA

   POOL #0522679 8.500% 03/15/2030 DD 03/01/00           26,715

GNMA

   POOL #0522730 8.500% 04/15/2030 DD 04/01/00           12,767

GNMA

   POOL #0522830 8.500% 06/15/2030 DD 06/01/00           63,384

GNMA

   POOL #0525508 8.500% 12/15/2029 DD 12/01/99           20,968

GNMA

   POOL #0525737 8.500% 02/15/2030 DD 02/01/00           26,352

GNMA

   POOL #0527142 8.500% 03/15/2030 DD 04/01/00           5,963

GNMA

   POOL #0528801 8.500% 05/15/2030 DD 05/01/00           6,621

GNMA

   POOL #0529295 8.500% 03/15/2030 DD 03/01/00           211,477

GNMA

   POOL #05294818.500% 07/15/2030 DD 07/01/00           20,436

GNMA

   POOL #0531251 8.500% 07/15/2030 DD 07/01/00           146,607

GNMA

   POOL #0531758 8.500% 07/15/2030 DD 07/01/00           52,710

GNMA

   POOL #0531778 8.500% 07/15/2030 DD 07/01/00           93,434

GNMA

   POOL #0532248 8.500% 05/15/2030 DD 07/01/00           11,187

GNMA

   POOL #0532312 8.500% 06/15/2030 DD 07/01/00           76,378

GNMA

   POOL #0532746 8.500% 07/15/2030 DD 07/01/00           135,325

GNMA

   POOL #0532769 8.500% 08/15/2030 DD 08/01/00           259,965

GNMA

   POOL #0537549 8.500% 07/15/2030 DD 07/01/00           24,551

GNMA

   POOL #0540101 8.500% 12/15/2030 DD 12/01/00           117,516

GNMA

   POOL #0540964 8.500% 10/15/2030 DD 10/01/00           23,021

GNMA

   POOL #0541025 8.500% 02/15/2031 DD 02/01/01           311,254

GNMA

   POOL #0780462 7.500% 06/15/2009 DD 11/01/96           268,078

GNMA

   POOL #0780470 6.500% 07/15/2009 DD 11/01/96           901,314

GNMA

   POOL #0781148 6.000% 07/15/2029 DD 03/01/00           299,007

GNMA

   POOL #0781163 8.500% 04/15/2030 DD 04/01/00           13,543

GNMA

   II POOL #0080395 VAR RT 04/20/2030 DD 04/01/00           3,055,879

GS MTG SECS CORP

   II 98-G1 A1 6.312% 04/13/2031 DD 05/01/98           6,953,113

GTE CORP

   DEBS 6.360% 04/15/2006 DD 04/15/98           70,193

GENERAL ELEC

   CAP MTN #TR00482 6.125% 02/22/2011 DD 02/21/01           341,154

GENERAL ELEC

   CAP MTN TR 00521 5.875% 02/15/2012 DD 02/15/02           3,741,815

GENERAL ELEC

   CAP MTN TR 00521 5.875% 02/15/2012 DD 02/15/02           1,122,545

GENERAL ELECTRIC

   CAP MTN 5.375% 03/15/2007 DD 03/20/02           818,879

GMAC

   NTS 6.625% 10/15/2005 DD 10/15/95           2,060,420

GMAC

   NTS 7.125% 05/01/2003 DD 05/01/96           1,013,170

 

27


Table of Contents

Identity of Issuer


  

Description of Investment


   Cost

   Current Value

GMAC

   NTS VAR RT 08/18/2003 DD 08/17/98         $ 2,969,550

GMAC

   5.950% 03/14/2003 DD 03/15/99           6,865,541

GENERAL MTRS

   ACCEP CORP GL BD 7.250% 03/02/2011 DD 03/02/01           881,461

GENERAL MTRS

   ACCEP CORP NT 6.875% 09/15/2011 DD 09/12/01           698,082

GENERAL MTRS

   ACCEP CORP SR NT 7.000% 02/01/2012 DD 02/01/02           220,933

GOLDEN WEST FINL CORP

   DEL SR 5.500% 08/08/2006 DD 08/08/01           2,157,340

GOLDEN WEST FINL CORP

   DEL SR 4.750% 10/01/2012 DD 09/26/02           150,830

GOLDMAN SACHS GROUP INC

   NT 6.650% 05/15/2009 DD 05/19/99           1,102,260

GOLDMAN SACHS GROUP INC

   SR NT 6.600% 01/15/2012 DD 01/10/02           325,972

GOLDMAN SACHS GROUP INC

   SR NT 5.700% 09/01/2012 DD 08/27/02           161,206

GREEN TREE FINL

   98-3 CTF A5 6.220% 03/01/2030 DD 04/28/98           1,772,098

GREEN TREE FINL CORP

   99-2 A-2 5.840% 12/01/2030 DD 03/31/99           396,481

GREEN TREE FINL CORP

   99-3 A5 6.160% 02/01/2031 DD 05/27/99           10,065,000

HSBC HLDGS

   PLC SUB NT 5.250% 12/12/2012 DD 12/12/02           415,117

HANCOCK JOHN II

   MTN 00001 144A 7.900% 07/02/2010 DD 06/30/00           222,889

HANCOCK JOHN

   MTN TR 00008 144A 6.500% 03/01/2011 DD 02/28/01           183,945

HANCOCK JOHN FINL SVCS INC

   SR 5.625% 12/01/2008 DD 12/06/01           309,287

HARLEY DAVIDSON

   TR 02 2 CL A 2 3.090% 06/15/2010 DD 08/16/02           714,070

HARTFORD FINL SVCS

   SR NT 7.750% 06/15/2005 DD 06/16/00           94,143

HARTFORD FINL

   SR NT 7.900% 06/15/2010 DD 06/16/00           227,372

HAWAIIAN ELEC

   MTN #TR 00023 VAR RT 04/15/2003 DD 04/13/00           1,499,520

HONDA AUTO

   REC 2002 2 CL A 4 4.490% 09/17/2007 DD 05/22/02           895,076

HONDA AUTO

   REC 02 4 CL A 4 2.700% 04/15/2008 DD 11/20/02           551,452

HONDA AUTO

   REC 01 1 CL A 4 5.560% 06/19/2006 DD 02/28/01           3,115,560

HONDA AUTO

   REC 01-3 CL A 4 3.960% 02/19/2007 DD 10/17/01           3,617,075

HONEYWELL INTL INC

   NT 5.125% 11/01/2006 DD 10/30/01           601,207

HOUSEHOLD FIN CORP

   NT 8.000% 07/15/2010 DD 07/18/00           152,508

HOUSEHOLD FIN CORP

   NT 6.750% 05/15/2011 DD 05/09/01           804,973

HOUSTON TEX

   INDPT SCH SER 494 VAR RT 02/15/2022 DD 05/10/01           751,500

HYATT EQUITIES LLC

   NT 144A 6.875% 06/15/2007 DD 06/17/02           144,410

HYDRO-QUEBEC

   6.300% 11-MAY-2011 NT           688,799

IBRD WORLD GLOBAL BD

   6.625% 08/21/2006 DD 08/21/96           12,467,730

INTERNATIONAL PAPER CO

   NT 6.750% 09/01/2011 DD 08/27/01           166,907

INTERNATIONAL PAPER CO

   NT 144A 5.850% 10/30/2012 DD 10/29/02           136,115

JOHNSON CTLS INC

   NT 5.000% 11/15/2006 DD 11/13/01           211,588

KELLOGG CO

   NT SER B 6.600% 04/01/2011 DD 03/29/01           95,730

KINDER MORGAN ENERGY PARTNERS

   7.125% 03/15/2012 DD 03/14/02           3,363,840

KINDER MORGAN ENERGY PARTNERS

   7.125% 03/15/2012 DD 03/14/02           78,490

KINDER MORGAN INC

   SR NT 6.500% 09/01/2012 DD 08/27/02           172,437

KRAFT FOODS INC

   NT 6.250% 06/01/2012 DD 05/20/02           111,827

KROGER CO

   NT 6.800% 04/01/2011 DD 05/11/01           526,157

KROGER CO

   NT 6.800% 04/01/2011 DD 05/11/01           158,943

KROGER CO

   SR NT 6.200% 06/15/2012 DD 06/17/02           165,489

LASMO USA INC

   GTD NT 7.500% 06/30/2006 DD 07/08/96           141,991

LEHMAN BROTHERS HOLDING

   NTS 6.625% 02/05/2006 DD 02/05/99           5,447,250

LEHMAN BROTHERS HLDGS

   TR 00387 6.625% 01/18/2012 DD 01/10/02           376,322

LOCKHEED MARTIN GTD

   7.250% 05/15/2006 DD 05/15/96           337,863

LOWES COS INC

   NT 8.250% 06/01/2010 DD 06/05/00           185,543

MBNA AMER BK

   MTN #TR00008 144A 7.750% 09/15/2005 DD 09/19/00           115,236

MBNA AMER BK

   MTN #SR00009 144A 6.500% 06/20/2006 DD 06/20/01           105,807

MARSH & MCLENNAN COS INC

   SR NT 5.375% 03/15/2007 DD 03/19/02           370,333

MARRIOT INTL

   NTS SER D 8.125% 04/01/2005 DD 03/27/00           195,862

 

28


Table of Contents

Identity of Issuer


  

Description of Investment


   Cost

   Current Value

MARRIOT INTL INC

   NT SER E 7.000% 01/15/2008 DD 07/15/01         $ 330,904

MASCO CORP

   NT 4.625% 08/15/2007 DD 08/20/02           165,126

MAY DEPT STORES

   NOTES 6.875% 11/01/2005 DD 11/01/96           110,310

MAY DEPT STORES CO

   GTD 5.950% 11/01/2008 DD 10/30/98           254,223

MCDONNELL DOUGLAS CORP

   NTS 6.875% 11/01/2006 DD 11/05/96           109,692

MEADWESTVACO CORP

   NT 6.850% 04/01/2012 DD 04/02/02           333,038

MEADWESTVACO CORP

   NT 6.850% 04/01/2012 DD 04/02/02           138,766

MELLON RESIDENTIAL

   FDG 98-2 A1 6.750% 01/25/2013 DD 05/01/98           271,964

MERRILL LYNCH CR CORP

   MTG LN FLTG RT 03/15/2025 DD 12/21/99           1,484,575

METLIFE INC

   SR NTS 5.250% 12/01/2006 DD 11/27/01           645,056

METLIFE INC

   SR NT 6.125% 12/01/2011 DD 11/27/01           178,094

METLIFE INC

   SR NT 5.375% 12/15/2012 DD 12/10/02           165,280

MONSANTO CO NEW

   SR NT 7.375% 08/15/2012 DD 08/14/02           210,233

MONUMENTAL GLOB FDG II

   SR 144A FLTG RT 09/26/2003 DD 09/27/00           2,606,890

MONUMENTAL GLOBAL

   NT 144A 6.050% 01/19/2006 DD 01/19/01           429,124

MORGAN STANLEY & CO

   02-1 144A VAR RT 003/01/2007 DD 02/06/02           15,981,900

MORGAN STANLEY DEAN WITTER& CO

   7.125% 01/15/2003 DD 12/23/99           1,702,397

MORGAN STANLEY DEAN WITTER CO

   7.750% 06/15/2005 DD 06/09/00           2,231,420

MORGAN STANLEY DW & CO

   GL NT 6.750% 04/15/2011 DD 04/23/01           4,434,030

MORGAN STANLEY DW & CO

   NT 6.600% 04/01/2012 DD 04/03/02           690,708

MORGAN STANLEY DW

   01 TOP5 A4 6.390% 10/15/2035 DD 12/01/01           1,111,925

NWA

   TR NO 2 SR AIRCRAFT CL A 9.250% 06/21/2014 DD 12/21/94           3,032,305

NWA

   TR NO 2 MEZZANINE NT B 10.230% 06/21/2014 DD 12/21/94           3,504,698

NYC

   TL 98-2 00-A CL B 144A 7.720% 11/10/2008 DD 07/26/00           559,022

NATIONAL RURAL UTILS COOP

   NT 6.500% 03/01/2007 DD 03/07/02           165,012

NATIONAL RURAL UTILS COOP

   FIN 7.250% 03/01/2012 DD 03/07/02           235,119

NATIONWIDE FINL SVCS INC

   SR NT 6.250% 11/15/2011 DD 11/19/01           1,042,810

NATIONWIDE FINL SVCS INC

   SR NT 5.900% 07/01/2012 DD 06/24/02           50,981

NAVISTAR FINL

   01-A NT CL B 5.590% 05/15/2008 DD 04/27/01           1,131,070

NAVISTAR FINL

   2001 B CL A4 4.370% 11/15/2008 DD 11/01/01           5,236,050

NEWS AMER HLDGS INC

   SR NT 8.500% 02/15/2005 DD 02/16/93           75,690

NEWS AMER INC

   SR NTS 6.625% 01/09/2008 DD 01/09/98           401,918

NOMURA

   ASSET SECS 98-D6 CL A1A 6.280% 03/15/2030 DD 03/11/98           2,455,472

NORFOLK SOUTHN CORP

   SR NT 6.750% 02/15/2011 DD 02/06/01           135,826

NORTHERN STS PWR CO

   SER A 144A 8.000% 08/28/2012 DD 08/28/02           2,834,050

PNC

   MTG ACCEP 01-C1 CL A 2 6.360% 03/12/2011 DD 03/01/01           673,740

PEMEX PROJ

   FDG MASTER TR NT 9.125% 10/13/2010 DD 04/13/01           171,750

PENNSYLVANIA ELEC

   SR NT SER A 5.750% 04/01/2004 DD 04/27/99           4,662,520

PEPCO HLDGS INC

   NT 144A 6.450% 08/15/2012 DD 09/06/02           174,723

PEPSIAMERICAS INC

   MTN #TR00003 3.875% 09/12/2007 DD 09/12/02           81,374

PHILLIPS PETE CO

   NT 8.500% 05/25/2005 DD 05/25/00           227,424

PHILLIPS PETE CO

   NT 8.750% 05/25/2010 DD 05/25/00           193,970

PROGRESS ENERGY INC

   SR NT 7.100% 03/01/2011 DD 02/22/01           5,511

PROGRESS ENERGY INC

   SR NT 6.850% 04/15/2012 DD 04/17/02           153,296

PROGRESSIVE CORP

   OHIO NTS 6.600% 01/15/2004 DD 01/12/94           5,240,900

PROTECTIVE LIFE US

   00-1 144A VAR RT 01/17/2003 DD 01/19/00           3,000,930

REGIONS FINL CORP

   SUB NT 7.000% 03/01/2011 DD 03/05/01           171,893

ROYAL BK SCOTLAND

   SUB NTS 5.000% 10/01/2014 DD 10/02/02           357,952

ROYAL KPN NV

   NT 8.000% 10/01/2010 DD 10/04/00           87,832

SBC COMMUNICATIONS INC

   GBL NT 5.875% 02/01/2012 DD 02/01/02           167,414

SBC COMMN INC

   GLOBAL NT 5.875% 08/15/2012 DD 08/19/02           188,972

SLM COR

   MTN #TR 00007 5.375% 01/15/2013 DD 12/06/02           587,864

 

29


Table of Contents

Identity of Issuer


  

Description of Investment


   Cost

   Current Value

SAFEWAY INC

   NT 6.150% 03/01/2006 DD 03/05/01         $ 205,778

SAFEWAY INC

   NT 6.500% 03/01/2011 DD 03/05/01           250,387

SAFEWAY INC

   NT 5.800% 08/15/2012 DD 08/12/02           41,856

SALOMON BROS

   MTG 97-TZH 144A 7.150% 03/25/2025 DD 06/27/97           4,202,643

SAPPI PAPIER HLDG

   AG GTD 144A 6.750% 06/15/2012 DD 06/10/02           115,080

SEARS CR ACCOUNT

   99-1 CL A 5.650% 03/17/2009 DD 03/23/99           2,097,040

SEARS CR ACCT

   MSTR TR 99-3 A 6.450% 11/17/2009 DD 11/23/99           2,697,925

SEARS ROEBUCK ACCEP CORP

   SR NT 6.700% 04/15/2012 DD 03/25/02           199,336

SECURITY CAP GROUP INC

   NTS 6.950% 06/15/2005 DD 06/23/98           2,249,834

SECURITY CAPITAL

   NTS 7.625% 07/01/2017 DD 07/01/97           165,294

SIMON PPTY GROUP

   LP NT 6.375% 11/15/2007 DD 10/26/01           486,756

SOUTHWEST AIRLS

   01-1 CL A2 5.496% 11/01/2006 DD 10/30/01           676,083

SOUTHWEST AIRLS CO

   95-A CL A-3 7.220% 07/01/2013 DD 10/04/95           2,172,115

SPRINT CAP CORP

   7.625% 01/30/2011 DD 01/25/01           304,000

SPRINT CAP CORP

   NT 8.375% 03/15/2012 DD 03/14/02           497,500

SPRINT CAP CORP

   NT 8.750% 03/15/2032 DD 03/14/02           3,325,000

STANDARD CR CARD

   95-1 CL A 8.250% 01/07/2007           2,795,825

STRUCTURED PROD

   01-12 144A VAR RT 06/20/2004 DD 07/12/01           1,482,188

SUNTRUST BK ATLANTA GA

   SB000026.375% 04/01/2011 DD 03/29/01           336,512

TCI COMMUN INC

   8.000% 08/01/2005 DD 08/01/95           207,732

TIAA GLOBAL MKTS

   SR NT 144A 5.000% 03/01/2007 DD 02/26/02           532,265

TARGET CORP

   NT 5.875% 03/01/2012 DD 03/11/02           1,084,200

TELEFONICA EUROPE

   B V US NT 7.750% 09/15/2010 DD 09/21/00           277,442

TIME WARNER INC

   NT 7.750% 06/15/2005 DD 06/15/95           3,196,380

US BK NATL ASSN

   MTN #SB 00001 6.375% 08/01/2011 DD 07/26/01           297,530

UNION PAC CORP

   NT 5.840% 05/25/2004 DD 05/25/01           410,314

UNION PAC CORP

   NT 6.500% 04/15/2012 DD 04/18/02           202,246

UNITED MEXICAN

   STS #TR 00006 8.375% 01/14/2011 DD 01/16/01           553,700

US BANCORP

   MTN #TR 00127 VAR RT 03/06/2003 DD 03/06/00           3,004,200

U S

   TREASURY BONDS 12.000% 08/15/2013 DD 08/15/83           5,460,938

U S

   TREASURY BONDS 13.250% 05/15/2014 DD 05/15/84           7,843,750

U S

   TREASURY BONDS 5.500% 08/15/2028 DD 08/15/98           3,241,890

U S

   TREASURY NOTES 07.875% 11/15/2004 DD 11/15/94           13,398,720

U S

   TREASURY NOTES06.500% 05/15/2005 DD 05/15/95           205,350

U S

   TREASURY NOTES06.625% 05/15/2007 DD 05/15/97           3,735,008

US

   TREASURY INFLATION INDEX NT 3.625% 01/15/2008 DD 01/15/98           11,081,005

US

   TREASURY INFLATION INDEX NT 3.875% 01/15/2009 DD 01/15/99           6,777,165

U S

   TREASURY NOTES05.875% 11/15/2004 DD 11/15/99           3,240,000

U S

   TREASURY NOTES 06.500% 02/15/2010 DD 02/15/00           4,781,240

U S

   TREASURY NOTES 06.500% 02/15/2010 DD 02/15/00           3,765,227

U S

   TREASURY NOTES 06.750% 05/15/2005 DD 05/15/00           490,600

U S

   TREASURY NOTES3.500% 11/15/2006 DD 11/15/01           4,682,835

U S

   TREASURY NOTES 2.125% 10/31/2004 DD 10/31/02           25,981,158

U S

   TREASURY NTS 3.000% 11/15/2007 DD 11/15/02           8,907,272

U S

   TREASURY NOTES 4.000% 11/15/2012 DD 11/15/02           395,483

U S

   TREASURY NOTES 2.000% 11/30/2004 DD 11/30/02           9,630,602

UNITED TECHNOLOGIES CORP

   NT 6.100% 05/15/2012 DD 04/29/02           262,754

UNITEDHEALTH GROUP INC

   NT 7.500% 11/15/2005 DD 11/16/00           157,927

UNUMPROVIDENT CORP

   SR NT 7.625% 03/01/2011 DD 03/09/01           24,967

VALERO ENERGY CORP

   NT 6.875% 04/15/2012 DD 04/15/02           286,388

VANDERBILT

   MTG & FIN 99-B I-A4 6.545% 04/17/2018           9,123,900

VANDERBILT

   MTG 7 FIN 02 A A2 4.770% 10/07/2014 DD 02/01/02           1,550,040

 

30


Table of Contents

Identity of Issuer


  

Description of Investment


   Cost

   Current Value

 

VERIZON GLOBAL FDG CORP

   NT6.750% 12/01/2005 DD 06/01/01           $ 994,356  

VERIZON GLOBAL FDG CORP

   NT 7.250% 12/01/2010 DD 06/01/01             568,265  

VERIZON NEW YORK INC

   DEB SER A 6.875% 04/01/2012 DD 03/28/02             825,721  

VIACOM INC

   GTD SR NT 6.625% 05/15/2011 DD 05/17/01             186,501  

VIRGINIA ELEC & PWR

   01 SER A 5.750% 03/31/2006 DD 03/27/01             3,007,900  

VODAFONE AIRTOUCH PLC

   NT 7.750% 02/15/2010 DD 08/15/00             265,140  

VOLKSWAGON

   AUTO LSE 02 A CL A3 2.360% 12/20/2005 DD 11/14/02             905,724  

VORNADO RLTY

   TR SR NT 5.625% 06/15/2007 DD 06/24/02             116,771  

WAMU

   MTG PASS THROUGH 02 AR4 VAR RT 04/25/2032 DD 03/01/02             3,508,820  

WFS

   FINL 2002 3 TR CL A 4 3.500% 02/20/2010 DD 08/15/02             6,150,060  

WACHOVIA CORP

   NEW 6.605% 10/01/2025 DD 10/05/95             2,718,825  

WASHINGTON MUT INC

   SR NT 4.375% 01/15/2008 DD 11/26/02             133,192  

WASHINGTON MUT

   BK # SR 00017 5.500% 01/15/2013 DD 11/19/02             148,622  

WASHINGTON MUT

   BK MTN #SB00001 6.875% 06/15/2011 DD 06/20/01             419,557  

WELLPOINT HEALTH NETWORKS

   NT 6.375% 06/15/2006 DD 06/15/01             180,003  

WELLS FARGO & CO

   NEW SUB NT 5.125% 09/01/2012 DD 09/05/02             371,890  

WELLS FARGO BK

   NA NT 6.450% 02/01/2011 DD 02/06/01             471,481  

WEYERHAEUSER CO

   NT 6.000% 08/01/2006 DD 08/03/01             2,110,380  

WEYERHAUSER CO

   NTS 6.750% 03/15/2012 DD 09/15/02             490,653  

WHITMAN CORPORATION

   NTS 6.000% 05/01/2004 DD 04/30/99             4,205,560  

WORLD FINL NETWORK

   CC 96B CL A 6.950% 04/15/2006 DD 05/09/96             7,143,430  

WORLD FINL NETWORK

   PPTYS 1996 WFP 144A 6.910% 09/01/2013 DD 11/21/96             219,910  

WORLD FINL NETWORK

   PPTYS TOWER 144A 6.950% 09/01/2013 DD 11/21/96             262,478  

RAYTHEON GLOBAL WRAP

   SYNTHETIC WRAPPER             (92,076,676 )

Raytheon

   Raytheon Stock Fund    $ 1,446,857,233      1,339,138,584  

General Motors

   GMH Stock Fund             70,017,576  

FUTURES CASH COLLATERAL MARGIN

   FUTURES CASH COLLATERAL MARGIN             24,000  

RAYTHEON LIQUIDITY FUND

   RAYTHEON LIQUIDITY FUND             714,857  

RAYTHEON LIQUIDITY FUND

   RAYTHEON LIQUIDITY FUND             917,325  

RAYTHEON LIQUIDITY FUND

   RAYTHEON LIQUIDITY FUND             2,507,247  

AGL CAP TR II TR

   AGL CAP TR II TR PFD SECS        %             26,480  

BANCORPSOUTH

   BANCORPSOUTH CAP TR I TR PFD             44,302  

HOSPITALITY

   HOSPITALITY PPTYS TR PFD SER B             48,222  

HRPT

   HRPT PPTYS TR PFD SER B             45,972  

LACLEDE

   LACLEDE CAP TR I GTD TR ORIG             45,675  

MB FINL

   MB FINL CAP TR I PFD GTD             42,080  

MILLS CORP

   MILLS CORP PFD SER B             33,475  

STERLING BANCHSARES

   STERLING BANCHSARES CAP TR III             23,301  

VNB

   VNB CAP TR I TOPRS 7.75%             42,320  

WEC

   WEC CAP TR I TR PFD SECS 6.85%             37,695  

INVIRTOGEN CORP CV SUB NT

   INVIRTOGEN CORP CV SUB NT             50,944  

PHOENIX COS INC NEW CORP UTS

   PHOENIX COS INC NEW CORP UTS             78,895  

PS BUSINESS

   PS BUSINESS PKS INC 8.750% SER             5,330  

RATIONAL SOFTWARE CVT SUB NT

   RATIONAL SOFTWARE CVT SUB NT             168,698  

UNITED FIRE & CASUALTY INS CO

   UNITED FIRE & CASUALTY INS CO             154,151  

ABLE LABRATORIES INC

   ABLE LABRATORIES INC             77,372  

ACAMBIS PLC

   ACAMBIS PLC SPONSORED ADR             121,730  

ACETO CORP

   ACETO CORP             29,225  

ACTIVISION INC

   ACTIVISION INC             94,835  

ACXIOM CORP

   ACXIOM CORP COM             (149,186 )

ADAPTEC INC

   ADAPTEC INC COM             85,321  

ADVANCED ENERGY INDS INC

   ADVANCED ENERGY INDS INC             (68,688 )

 

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Description of Investment


   Cost

   Current Value

 

ADVANCED NEUROMODULATION SYS

   ADVANCED NEUROMODULATION SYS         $ 194,103  

ADVO INC

   ADVO INC           219,961  

AEROFLEX INC

   AEROFLEX INC           100,533  

AFC ENTERPRISES INC

   AFC ENTERPRISES INC COM           79,838  

AGL RES INC

   AGL RES INC           150,660  

ALLIANCE IMAGING INC DEL

   ALLIANCE IMAGING INC DEL COM           86,390  

ALLIED CAPITAL CORP

   ALLIED CAPITAL CORP COM           98,235  

AMERICAN CAP STRATEGIES LTD

   AMERICAN CAP STRATEGIES LTD           34,544  

AMERICAN EAGLE OUTFITTERS

   AMERICAN EAGLE OUTFITTERS NEW           115,752  

AMERICAN HOME MTG HLDGS INC

   AMERICAN HOME MTG HLDGS INC           469,700  

AMERICAN MTG ACCEP CO

   AMERICAN MTG ACCEP CO SH BEN           207,123  

AMERICAN PWR CONVERSION CORP

   AMERICAN PWR CONVERSION CORP           (142,410 )

AMERIPATH INC

   AMERIPATH INC           49,450  

AMSURG CORP

   AMSURG CORP COM           112,794  

ANALOGIC CORP

   ANALOGIC CORP COM PAR $0.05           72,415  

ANALYSTS INTL CORP

   ANALYSTS INTL CORP           165,132  

ANAREN INC

   ANAREN INC           156,640  

ANIXTER INTL INC

   ANIXTER INTL INC COM           39,525  

ANSYS INC

   ANSYS INC COM           105,848  

ANTEON INTL CORP

   ANTEON INTL CORP           222,720  

ANTEON INTL CORP

   ANTEON INTL CORP           180,000  

AOL TIME WARNER INC

   AOL TIME WARNER INC           4,185  

APOLLO GROUP INC

   APOLLO GROUP INC CL A           (114,400 )

APOLLO GRP INC UNIV PHOENIX

   APOLLO GRP INC UNIV PHOENIX           247,296  

APPLIED FILMS CORP

   APPLIED FILMS CORP COM           117,941  

APPLIED MATLS INC

   APPLIED MATLS INC COM           (121,179 )

APTARGROUP INC

   APTARGROUP INC COM           134,332  

ARGONAUT GROUP INC

   ARGONAUT GROUP INC COM           40,268  

ARROW INTL INC

   ARROW INTL INC COM           122,010  

ARTESIAN RES CORP

   ARTESIAN RES CORP CL A           41,925  

ARTISAN PONENTS INC

   ARTISAN COMPONENTS INC           76,687  

ASML HOLDING N.V.

   ASML HOLDING N.V.           92,796  

ASSOCIATED BANC CORP

   ASSOCIATED BANC CORP COM           84,850  

ASTRO MED INC NEW

   ASTRO MED INC NEW           76,480  

ASTROPOWER INC

   ASTROPOWER INC CDT-COM           (105,468 )

ATLANTIC COAST AIRLS HLDGS INC

   ATLANTIC COAST AIRLS HLDGS INC           52,210  

ATMI INC

   ATMI INC COM           70,376  

AUTODESK INC

   AUTODESK INC COM           68,640  

AUTOMATIC DATA PROCESSING INC

   AUTOMATIC DATA PROCESSING INC           (117,750 )

AVID TECHNOLOGY INC

   AVID TECHNOLOGY INC COM           67,014  

AVOCENT CORP

   AVOCENT CORP COM           (97,768 )

AXCAN PHARMA INC

   AXCAN PHARMA INC COM           84,979  

BANCORPSOUTH INC

   BANCORPSOUTH INC           87,390  

BANDAG INC

   BANDAG INC           32,066  

BANK OF AMERICA CORP

   BANK OF AMERICA CORP           3,525  

BANKATLANTIC BANCORP INC

   BANKATLANTIC BANCORP INC CL A           118,711  

BANKATLANTIC BANCORP INC

   BANKATLANTIC BANCORP INC CL A           89,775  

BANKUNITED FIN CORP

   BANKUNITED FIN CORP CL A           155,231  

BANTA CORP

   BANTA CORP           93,810  

BEBE STORES INC

   BEBE STORES INC COM           68,340  

BECKMAN COULTER INC

   BECKMAN COULTER INC COM           138,744  

BIOSITE INCORPORATED

   BIOSITE INCORPORATED COM           81,648  

 

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Description of Investment


   Cost

   Current Value

 

BJ SVCS CO

   BJ SVCS CO COM         $ 100,161  

BLUE RHINO CORP

   BLUE RHINO CORP COM           69,038  

BOSTON ACOUSTICS INC

   BOSTON ACOUSTICS INC           28,800  

BOSTON PRIVATE FINL HLDGS INC

   BOSTON PRIVATE FINL HLDGS INC           96,440  

BRIGGS & STRATTON CORP

   BRIGGS & STRATTON CORP           148,645  

BROAD CORP

   BROADCOM CORP CL A COM           (112,950 )

BROOKLINE BANCORP INC

   BROOKLINE BANCORP INC DEL           172,074  

BROWN TOM INC

   BROWN TOM INC NEW COM           87,850  

BUSINESS OBJECTS SA

   BUSINESS OBJECTS SA SPON ADR           45,000  

C H ROBINSON WORLDWIDE INC

   C H ROBINSON WORLDWIDE INC           (171,600 )

CABLE DESIGN TECHNOLOGIES CORP

   CABLE DESIGN TECHNOLOGIES CORP           71,980  

CABOT MICROELECTRONICS CORP

   CABOT MICROELECTRONICS CORP           56,640  

CACI INTL INC

   CACI INTL INC CL A           103,356  

CACI INTL INC

   CACI INTL INC CL A           177,060  

CAL DIVE INTL INC

   CAL DIVE INTL INC COM           267,900  

CALIFORNIA PIZZA KITCHEN INC

   CALIFORNIA PIZZA KITCHEN INC           95,760  

CALLAWAY GOLF CO

   CALLAWAY GOLF CO COM           38,425  

CARAUSTAR INDS INC

   CARAUSTAR INDS INC           81,528  

CARAUSTAR INDS INC

   CARAUSTAR INDS INC           305,256  

CAREER ED CORP

   CAREER ED CORP COM           336,000  

CASELLA WASTE SYSTEMS INC

   CASELLA WASTE SYSTEMS INC           60,897  

CASEYS GEN STORES INC

   CASEYS GEN STORES INC           184,371  

CEC ENTMT INC

   CEC ENTMT INC COM           73,680  

CERES GROUP INC

   CERES GROUP INC COM           57,408  

CERNER CORP

   CERNER CORP           87,528  

CHARLOTTE RUSSE HLDG INC

   CHARLOTTE RUSSE HLDG INC           71,087  

CHATTEM INC

   CHATTEM INC COM           232,626  

CHECKERS DRIVE-IN RESTAURANT

   CHECKERS DRIVE-IN RESTAURANT           51,082  

CINTAS CORP

   CINTAS CORP           (91,500 )

CIRCOR INTL INC

   CIRCOR INTL INC COM           74,969  

CITIGROUP INC

   CITIGROUP INC           6,270  

CITIZENS BKG CORP MICH

   CITIZENS BKG CORP MICH           27,258  

CITIZENS SOUTH BKG CORP

   CITIZENS SOUTH BKG CORP DEL           107,100  

CLAYTON HOMES INC

   CLAYTON HOMES INC COM           76,734  

COASTAL BANCORP INC

   COASTAL BANCORP INC           232,920  

COCA COLA CO

   COCA COLA CO           5,580  

COGNEX CORP

   COGNEX CORP COM           71,877  

COGNOS INC

   COGNOS INC COM           56,280  

COHERENT INC

   COHERENT INC COM           141,645  

COHU INC

   COHU INC           204,330  

COLLINS INDS INC

   COLLINS INDS INC           38,250  

MERCIAL FED CORP

   COMMERCIAL FED CORP COM           119,085  

MONWEALTH INDS INC

   COMMONWEALTH INDS INC DEL COM           198,070  

MUNITY BK SYS INC

   COMMUNITY BK SYS INC COM           84,645  

MUNITY HEALTH SYS INC

   COMMUNITY HEALTH SYS INC NEW           177,074  

PUTER PROGRAMS & SYSTEMS

   COMPUTER PROGRAMS & SYSTEMS           2,971  

PUWARE CORP

   COMPUWARE CORP           80,640  

VERSE TECHNOLOGY INC

   COMVERSE TECHNOLOGY INC           71,934  

COORS ADOLPH CO

   COORS ADOLPH CO CL B           79,870  

CORINTHIAN COLLEGES INC

   CORINTHIAN COLLEGES INC COM           121,152  

CORN PRODS INTL INC

   CORN PRODS INTL INC COM           72,312  

CORPORATE EXECUTIVE BD CO

   CORPORATE EXECUTIVE BD CO COM           118,104  

 

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Identity of Issuer


  

Description of Investment


   Cost

   Current Value

 

COSTAR GROUP INC

   COSTAR GROUP INC COM         $ 219,555  

COVANCE INC

   COVANCE INC COM           152,458  

COX RADIO INC

   COX RADIO INC CL A           130,017  

CPI CORP

   CPI CORP           544,824  

CRANE CO

   CRANE CO           147,482  

CUBIC CORP

   CUBIC CORP COM           234,061  

CV THERAPEUTICS INC

   CV THERAPEUTICS INC COM           76,342  

CYMER INC

   CYMER INC COM           83,850  

D & K HEALTHCARE RES INC

   D & K HEALTHCARE RES INC COM           161,091  

DATASTREAM SYS INC

   DATASTREAM SYS INC COM           121,600  

DAVITA INC

   DAVITA INC COM           27,137  

DEB SHOPS INC

   DEB SHOPS INC           122,155  

DELL PUTER CORP

   DELL COMPUTER CORP           6,200  

DITECH MUNICATIONS CORP

   DITECH COMMUNICATIONS CORP COM           14,170  

DIXIE GROUP INC

   DIXIE GROUP INC CL A           326,992  

DOVER DOWNS GAMING & ENTNT INC

   DOVER DOWNS GAMING & ENTNT INC           87,264  

DUPONT PHOTOMASKS INC

   DUPONT PHOTOMASKS INC           62,775  

DUPONT PHOTOMASKS INC

   DUPONT PHOTOMASKS INC           (113,925 )

EASTERN CO

   EASTERN CO           243,542  

EASTMAN KODAK CO

   EASTMAN KODAK CO           9,240  

ECHELON CORP

   ECHELON CORP OC COM           (113,221 )

ECLIPSYS CORP

   ECLIPSYS CORP COM           71,155  

EDO CORP

   EDO CORP           293,538  

ELECTRONICS FOR IMAGING INC

   ELECTRONICS FOR IMAGING INC           137,861  

ELECTRONICS FOR IMAGING INC

   ELECTRONICS FOR IMAGING INC           (152,853 )

EMBARCADERO TECHNOLOGIES INC

   EMBARCADERO TECHNOLOGIES INC           33,432  

EMC CORP MASS

   EMC CORP MASS           (82,890 )

EMPIRE DIST ELEC CO

   EMPIRE DIST ELEC CO           184,457  

EMULEX CORP

   EMULEX CORP NEW           191,065  

ENGINEERED SUPPORT SYS INC

   ENGINEERED SUPPORT SYS INC           95,683  

ENSCO INTL INC

   ENSCO INTL INC COM           64,790  

ENTER MUNICATIONS CORP

   ENTERCOM COMMUNICATIONS CORP           150,144  

EOG RES INC

   EOG RES INC COM           99,800  

ESCO TECHNOLOGIES INC

   ESCO TECHNOLOGIES INC COM           189,403  

EVERGREEN RES INC

   EVERGREEN RES INC NO PAR           354,539  

EXACT SCIENCES CORP

   EXACT SCIENCES CORP COM           105,159  

EXACT SCIENCES CORP

   EXACT SCIENCES CORP COM           101,802  

EXACTECH INC

   EXACTECH INC           27,605  

EXAR CORP

   EXAR CORP COM           63,240  

EXULT INC

   EXULT INC DEL COM           (107,484 )

FACTSET RESH SYS INC

   FACTSET RESH SYS INC           (104,599 )

FAIR ISSAC & CO INC

   FAIR ISSAC & CO INC           55,510  

FAIRCHILD SEMICONDUCTOR INTL

   FAIRCHILD SEMICONDUCTOR INTL           (101,745 )

FALCON PRODS INC

   FALCON PRODS INC           135,675  

FARGO ELECTRONICS INC

   FARGO ELECTRONICS INC COM           65,836  

FINISH LINE INC

   FINISH LINE INC CL A           124,490  

FIRSTFED FINL CORP

   FIRSTFED FINL CORP DEL COM           103,554  

FIRSTMERIT CORP

   FIRSTMERIT CORP           86,640  

FLEETWOOD ENTERPRISES INC

   FLEETWOOD ENTERPRISES INC COM           170,345  

FLEXTRONICS INTERNATIONAL LTD

   FLEXTRONICS INTERNATIONAL LTD           101,556  

FMC CORP

   FMC CORP NEW COM           131,136  

FOOT LOCKER INC

   FOOT LOCKER INC COM           109,200  

 

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Description of Investment


   Cost

   Current Value

 

FOUNDRY NETWORKS INC

   FOUNDRY NETWORKS INC COM         $ 75,328  

FREQUENCY ELECTRS INC

   FREQUENCY ELECTRS INC           424,545  

FRIEDMAN BILLINGS RAMSEY GROUP

   FRIEDMAN BILLINGS RAMSEY GROUP           103,896  

FRONTIER OIL CORP

   FRONTIER OIL CORP COM           284,130  

FTI CONSULTING INC

   FTI CONSULTING INC COM           405,595  

FTI CONSULTING INC

   FTI CONSULTING INC COM           104,390  

G & K SVCS INC

   G & K SVCS INC CL A           28,321  

GAP INC

   GAP INC COM           136,576  

GEN PROBE INC

   GEN PROBE INC NEW           195,152  

GENERAL ELEC CO

   GENERAL ELEC CO           6,800  

GENESIS MICROCHIP INC

   GENESIS MICROCHIP INC           (114,840 )

GENESSE & WYO INC

   GENESSE & WYO INC CL A           124,542  

GEORGIA GULF CORP

   GEORGIA GULF CORP COM PAR           23,140  

GETTY IMAGES INC

   GETTY IMAGES INC COM           (125,255 )

GETTY RLTY CORP

   GETTY RLTY CORP NEW           144,323  

GOLDMAN SACHS GROUP INC

   GOLDMAN SACHS GROUP INC           9,000  

GOODYEAR TIRE & RUBR CO

   GOODYEAR TIRE & RUBR CO COM           (160,716 )

GRIFFON CORP

   GRIFFON CORP COM           126,666  

GTECH HLDGS CORP

   GTECH HLDGS CORP COM           36,218  

GTSI CORP

   GTSI CORP COM           51,648  

HANCOCK FABRIC INC

   HANCOCK FABRIC INC           65,270  

HANGER ORTHOPEDIC GROUP INC

   HANGER ORTHOPEDIC GROUP INC           147,938  

HARBOR FLA BANCSHARES INC

   HARBOR FLA BANCSHARES INC           (74,316 )

HARDINGE INC

   HARDINGE INC           84,975  

HARLEY DAVIDSON INC

   HARLEY DAVIDSON INC COM           (101,640 )

HARRIS CORP

   HARRIS CORP DEL COM           189,360  

HASBRO INC

   HASBRO INC COM           54,285  

HCC INS HLDGS INC

   HCC INS HLDGS INC COM           125,460  

HEADWATERS INC

   HEADWATERS INC COM           202,468  

HELIX TECHNOLOGY CORP

   HELIX TECHNOLOGY CORP           548,106  

HERITAGE PPTY INVT TR INC

   HERITAGE PPTY INVT TR INC           82,251  

HERLEY INDS INC

   HERLEY INDS INC DEL           81,295  

HEWLETT PACKARD CO

   HEWLETT PACKARD CO           8,820  

HIBERNIA CORP

   HIBERNIA CORP CL A COM           86,670  

HORACE MANN EDUCATORS CORP

   HORACE MANN EDUCATORS CORP NEW           78,183  

HOT TOPIC INC

   HOT TOPIC INC           164,736  

HYDRIL CO

   HYDRIL CO COM           70,710  

HYPERION SOLUTIONS CORP

   HYPERION SOLUTIONS CORP           48,773  

IBM CORP

   IBM CORP           8,360  

ICON PUB LTD CO

   ICON PUB LTD CO SPONSORED ADR           196,174  

ICU MED INC

   ICU MED INC           218,242  

IDACORP INC

   IDACORP INC COM           171,327  

IDX SYS CORP

   IDX SYS CORP COM           (95,368 )

IMPAC MED SYS INC

   IMPAC MED SYS INC           69,265  

INDEPENDENT BK CORP

   INDEPENDENT BK CORP MICH           94,744  

INFINEON TECHNOLOGIES AG

   INFINEON TECHNOLOGIES AG SPONS           (84,842 )

INGLES MKTS INC

   INGLES MKTS INC CL A           35,307  

INSIGNIA SYS INC

   INSIGNIA SYS INC           79,536  

INSITUFORM TECHNOLOGIES INC

   INSITUFORM TECHNOLOGIES INC           242,110  

INTEL CORP

   INTEL CORP           (85,635 )

INTERACTIVE DATA CORP

   INTERACTIVE DATA CORP COM           158,125  

INTERFACE INC

   INTERFACE INC CL A           5,219  

 

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Identity of Issuer


  

Description of Investment


   Cost

   Current Value

 

INTERMET CORP

   INTERMET CORP         $ 179,760  

INTERNATIONAL ALUM CORP

   INTERNATIONAL ALUM CORP           107,198  

INTERNATIONAL MULTIFOODS CORP

   INTERNATIONAL MULTIFOODS CORP           48,737  

INTERNATIONAL RECTIFIER CORP

   INTERNATIONAL RECTIFIER CORP           (138,450 )

INTERSIL CORP

   INTERSIL CORP CL A           405,654  

INTERSTATE BAKERIES CORP

   INTERSTATE BAKERIES CORP DEL           59,475  

INVERESK RESH GROUP INC

   INVERESK RESH GROUP INC           192,709  

INVITROGEN CORP

   INVITROGEN CORP COM           168,966  

IONICS INC

   IONICS INC           61,560  

ISHARES

   ISHARES TR RUSSELL 2000 VALUE           267,600  

ISHARES

   ISHARES TR S&P SMALL CAP 600/           276,450  

ITRON INC

   ITRON INC           94,316  

ITT EDL SVCS INC

   ITT EDL SVCS INC COM           129,525  

JACK IN THE BOX INC

   JACK IN THE BOX INC COM           191,919  

JAKKS PAC INC

   JAKKS PAC INC           80,820  

JARDEN CORP

   JARDEN CORP           144,652  

JO-ANN STORES INC

   JO-ANN STORES INC CL A           94,866  

JOHNSON & JOHNSON

   JOHNSON & JOHNSON           5,670  

JOS A BANK CLOTHIERS INC

   JOS A BANK CLOTHIERS INC           104,255  

JOY GLOBAL INC

   JOY GLOBAL INC           59,115  

KADANT INC

   KADANT INC COM           102,000  

KAYDON CORP

   KAYDON CORP           42,420  

KELLWOOD CO

   KELLWOOD CO           26,000  

KELLY SVCS INC

   KELLY SVCS INC CL A           66,717  

KEY ENERGY SERVICES INC

   KEY ENERGY SERVICES INC COM           108,537  

KEY ENERGY SERVICES INC

   KEY ENERGY SERVICES INC COM           154,795  

KINDRED HEALTHCARE INC

   KINDRED HEALTHCARE INC COM           49,008  

KLAMATH FIRST BANCORP INC

   KLAMATH FIRST BANCORP INC COM           240,900  

KOHLS CORP

   KOHLS CORP COM           (139,875 )

KOS PHARMECEUTICALS INC

   KOS PHARMECEUTICALS INC COM           127,490  

KROLL INC

   KROLL INC COM           134,514  

LABONE INC

   LABONE INC NEW COM           115,003  

LANCE INC

   LANCE INC           114,838  

LEARNING TREE INTL INC

   LEARNING TREE INTL INC           (58,910 )

LIBBEY INC

   LIBBEY INC COM           109,746  

LIBERTY CORP

   LIBERTY CORP COM           210,568  

LINENS N THINGS INC

   LINENS N THINGS INC COM           74,580  

LITTELFUSE INC

   LITTELFUSE INC COM           94,416  

LSI INDS INC

   LSI INDS INC OHIO COM           192,515  

LUFKIN INDS INC

   LUFKIN INDS INC COM           96,145  

MARTIN MARIETTA MATLS INC

   MARTIN MARIETTA MATLS INC COM           141,036  

MATTSON TECHNOLOGY INC

   MATTSON TECHNOLOGY INC COM           50,050  

MCSI INC

   MCSI INC COM           266,475  

MEDALLION FINANICAL CORP

   MEDALLION FINANICAL CORP           45,630  

MEDICAL STAFFING NETWORK HLDGS

   MEDICAL STAFFING NETWORK HLDGS           139,200  

MEDICIS PHARMACEUTICAL CORP

   MEDICIS PHARMACEUTICAL CORP           293,053  

MEDQUIST INC

   MEDQUIST INC COM           79,014  

MENS WEARHOUSE INC

   MENS WEARHOUSE INC COM           54,880  

MERCANTILE BANKSHARES CORP

   MERCANTILE BANKSHARES CORP           69,462  

MERCK & CO INC

   MERCK & CO INC           8,840  

MERCURY INTERACTIVE CORP

   MERCURY INTERACTIVE CORP           74,125  

MERIDIAN BIOSCIENCE INC

   MERIDIAN BIOSCIENCE INC COM           125,216  

 

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Identity of Issuer


  

Description of Investment


   Cost

   Current Value

 

MERIT MED SYS INC

   MERIT MED SYS INC COM         $ 105,337  

MERIX CORP

   MERIX CORP           63,840  

MESA AIR GROUP INC

   MESA AIR GROUP INC           76,536  

MET PRO CORP

   MET PRO CORP           302,632  

METHODE ELECTRS INC

   METHODE ELECTRS INC CL A COM           35,104  

METTLER-TOLEDO INTL INC

   METTLER-TOLEDO INTL INC           38,472  

MICROCHIP TECHNOLOGY INC

   MICROCHIP TECHNOLOGY INC COM           210,270  

MICROFINANCIAL INC

   MICROFINANCIAL INC COM           7,844  

MICROSOFT CORP

   MICROSOFT CORP           9,620  

MID ATLANTIC MED SVCS INC

   MID ATLANTIC MED SVCS INC COM           152,280  

MINERALS TECHNOLOGIES INC

   MINERALS TECHNOLOGIES INC COM           34,520  

MISONIX INC

   MISONIX INC COM           281,820  

MKS INSTRS INC

   MKS INSTRS INC           75,578  

MOCON INC

   MOCON INC COM           151,705  

MOLEX INC

   MOLEX INC COM           (152,064 )

MOODYS CORP

   MOODYS CORP COM           (53,677 )

MOOG INC CL A

   MOOG INC CL A           99,607  

MOSSIMO INC

   MOSSIMO INC           91,080  

MTC TECHNOLOGIES INC

   MTC TECHNOLOGIES INC           95,128  

NAM TAI ELECTRS INC

   NAM TAI ELECTRS INC COM PAR           166,749  

NATCO GROUP INC

   NATCO GROUP INC CL A           56,520  

NATIONAL SEMICONDUCTOR CORP

   NATIONAL SEMICONDUCTOR CORP           (72,048 )

NEOWARE SYS INC

   NEOWARE SYS INC COM           91,398  

NETWORK APPLIANCE INC

   NETWORK APPLIANCE INC COM           56,000  

NETWORKS ASSOCIATES INC

   NETWORKS ASSOCIATES INC           289,620  

NEWFIELD EXPL CO

   NEWFIELD EXPL CO COM           97,335  

NN INC

   NN INC COM           736,263  

NORTHWEST NAT GAS CO

   NORTHWEST NAT GAS CO COM           36,775  

NOVELL INC

   NOVELL INC           44,422  

NYMAGIC INC

   NYMAGIC INC           258,685  

OCEAN ENERGY INC

   OCEAN ENERGY INC TEX COM           109,835  

OCEANEERING INTL INC

   OCEANEERING INTL INC COM           179,810  

OLIN CORP

   OLIN CORP COM PAR $1.00           68,420  

ON ASSIGNMENT INC

   ON ASSIGNMENT INC COM           76,680  

ONE LIBERTY PPTYS INC

   ONE LIBERTY PPTYS INC           228,268  

ORACLE CORPORATION

   ORACLE CORPORATION COM           86,400  

ORTHOFIX INTERNATIONAL

   ORTHOFIX INTERNATIONAL N V           78,540  

OSHKOSH TRUCK CORP

   OSHKOSH TRUCK CORP CL B           288,743  

OSI SYSTEMS INC

   OSI SYSTEMS INC COM           123,954  

OWENS & MINOR INC

   OWENS & MINOR INC NEW           203,608  

O2MICRO INTERNATIONAL LTD

   O2MICRO INTERNATIONAL LTD SHS           (103,339 )

PAIN THERAPEUTICS INC

   PAIN THERAPEUTICS INC COM           19,359  

PANERA BREAD CO

   PANERA BREAD CO CL A COM           132,278  

PAPA JOHNS INTL INC

   PAPA JOHNS INTL INC COM           58,548  

PARAMETRIC TECHNOLOGY CORP

   PARAMETRIC TECHNOLOGY CORP COM           251,244  

PARK ELECTROCHEMICAL CORP

   PARK ELECTROCHEMICAL CORP COM           228,480  

PARTNERS TR FINL GROUP

   PARTNERS TR FINL GROUP COM           186,992  

PATINA OIL & GAS CORP

   PATINA OIL & GAS CORP           343,118  

PATTERSON UTI ENERGY INC

   PATTERSON UTI ENERGY INC COM           54,306  

PENN NATL GAMING INC

   PENN NATL GAMING INC COM           199,202  

PENTAIR INC

   PENTAIR INC COM           58,735  

PERI SEMICONDUCTOR CORP

   PERICOM SEMICONDUCTOR CORP           88,917  

 

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Table of Contents

Identity of Issuer


  

Description of Investment


   Cost

   Current Value

 

PFF BANCORP INC

   PFF BANCORP INC COM         $ 110,906  

PHOENIX COS INC NEW

   PHOENIX COS INC NEW COM           103,360  

PHOTON DYNAMICS INC

   PHOTON DYNAMICS INC COM           61,560  

PHOTRONICS INC

   PHOTRONICS INC COM           212,350  

PINNACLE ENTMT INC

   PINNACLE ENTMT INC COM           57,796  

PINNACLE SYS INC

   PINNACLE SYS INC COM           140,183  

PLAN VISTA CORP

   PLAN VISTA CORP COM           83,520  

PLATINUM UNDERWRITERS HLDGS

   PLATINUM UNDERWRITERS HLDGS           144,925  

PLEXUS CORP

   PLEXUS CORP           (71,996 )

PMI GROUP INC

   PMI GROUP INC           159,212  

POLY INC

   POLYCOM INC           86,632  

POMEROY PUTER RES INC

   POMEROY COMPUTER RES INC COM           37,978  

POPE & TALBOT INC

   POPE & TALBOT INC           302,312  

POWER INTEGRATIONS INC

   POWER INTEGRATIONS INC           66,300  

POWERWAVE TECHNOLOGIES INC

   POWERWAVE TECHNOLOGIES INC COM           52,380  

PREMCOR INC

   PREMCOR INC           28,899  

PROASSURANCE CORPORATION

   PROASSURANCE CORPORATION COM           149,100  

PROCTER & GAMBLE CO

   PROCTER & GAMBLE CO           3,245  

PSYCHMEDICS CORP

   PSYCHMEDICS CORP           173,072  

PXRE GROUP LTD

   PXRE GROUP LTD           700,700  

QLOGIC CORP

   QLOGIC CORP COM           (100,079 )

QUAKER CHEM CORP

   QUAKER CHEM CORP COM           120,640  

QUANEX CORP

   QUANEX CORP           163,480  

R & G FINANCIAL

   R & G FINANCIAL           249,217  

RADIO ONE INC

   RADIO ONE INC CL D NON VTG           174,603  

RADIO SHACK CORP

   RADIO SHACK CORP COM           (95,574 )

RARE HOSPITALITY INTL INC

   RARE HOSPITALITY INTL INC COM           121,694  

RATIONAL SOFTWARE CORP

   RATIONAL SOFTWARE CORP NEW COM           72,730  

RAYONIER INC

   RAYONIER INC COM           135,750  

RAYOVAC CORP

   RAYOVAC CORP COM           119,970  

REEBOK INTL LTD

   REEBOK INTL LTD COM           67,620  

REGAL BELOIT CORP

   REGAL BELOIT CORP           180,090  

REGAL ENTMT GROUP

   REGAL ENTMT GROUP CL A           92,106  

REGENERATION TECH INC

   REGENERATION TECH INC DEL COM           33,899  

RESEARCH IN MOTION LTD

   RESEARCH IN MOTION LTD COM           (136,448 )

RICHARDSON ELECTRS LTD

   RICHARDSON ELECTRS LTD           448,588  

RIGHT MGMT CONSULTANS INC

   RIGHT MGMT CONSULTANS INC COM           72,941  

ROADWAY CORPORATION

   ROADWAY CORPORATION           132,884  

ROBBINS & MYERS INC

   ROBBINS & MYERS INC COM           150,880  

ROBBINS & MYERS INC

   ROBBINS & MYERS INC COM           41,382  

ROBERT HALF INTL INC

   ROBERT HALF INTL INC COM           (107,937 )

ROSLYN BANCORP INC

   ROSLYN BANCORP INC COM           (135,225 )

ROSS STORES INC

   ROSS STORES INC COM           (194,994 )

ROXIO INC

   ROXIO INC COM           38,160  

RUSS BERRIE & CO INC

   RUSS BERRIE & CO INC COM           47,292  

SAFENET INC

   SAFENET INC COM           68,445  

SAFETY INS GROUP INC

   SAFETY INS GROUP INC           42,349  

SANMINA-SCI CORP

   SANMINA-SCI CORP           58,819  

SCANSOURCE INC

   SCANSOURCE INC COM           94,656  

SCHOLASTIC CORP

   SCHOLASTIC CORP COM           147,395  

SCIENTIFIC ATLANTA INC

   SCIENTIFIC ATLANTA INC           (141,134 )

SCOTTISH ANNUITY & LIFE HLDGS

   SCOTTISH ANNUITY & LIFE HLDGS           167,520  

 

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Table of Contents

Identity of Issuer


  

Description of Investment


   Cost

   Current Value

 

SCP POOL CORP

   SCP POOL CORP         $ (128,480 )

SCP POOL CORP

   SCP POOL CORP           128,480  

SCS TRANSN INC

   SCS TRANSN INC           10,901  

SEACOAST FINL SVCS CORP

   SEACOAST FINL SVCS CORP COM           93,952  

SEARS ROEBUCK & CO

   SEARS ROEBUCK & CO COM           (74,245 )

SEMTECH CORP

   SEMTECH CORP           217,308  

SENIOR HSG PPTYS TR SH BEN INT

   SENIOR HSG PPTYS TR SH BEN INT           138,991  

SIEBEL SYS INC

   SIEBEL SYS INC           (65,076 )

SIERRA HEALTH SVCS INC

   SIERRA HEALTH SVCS INC COM           182,192  

SIERRA PAC RES

   SIERRA PAC RES NEW COM           91,000  

SIGMA ALDRICH CORP

   SIGMA ALDRICH CORP           (165,580 )

SILGAN HLDGS INC

   SILGAN HLDGS INC COM           46,152  

SKILLSOFT PUB LTD CO

   SKILLSOFT PUB LTD CO SPON ADR           124,229  

SKY FINL GROUP INC

   SKY FINL GROUP INC COM           99,550  

SKYWEST INC

   SKYWEST INC COM           171,217  

SMITH INTL INC

   SMITH INTL INC COM           55,454  

SOUTHWEST AIRLS CO

   SOUTHWEST AIRLS CO COM           (87,570 )

SPAN AMER MED SYS INC

   SPAN AMER MED SYS INC           193,920  

SPINNAKER EXPL CO

   SPINNAKER EXPL CO COM           55,125  

SRA INTERNATIONAL INC

   SRA INTERNATIONAL INC CL A           105,651  

SRI/SURGICAL EXPRESS INC

   SRI/SURGICAL EXPRESS INC COM           12,480  

STATE STREET CORP

   STATE STREET CORP           (97,500 )

STEINER LEISURE LTD

   STEINER LEISURE LTD           128,248  

STERLING BANCSHARES INC

   STERLING BANCSHARES INC           112,485  

STMICROELECTRONICS N V

   STMICROELECTRONICS N V SHS N Y           (101,452 )

SUN HYDRAULICS CORP

   SUN HYDRAULICS CORP COM           104,000  

SWIFT ENERGY CO

   SWIFT ENERGY CO COM           148,918  

SYBASE INC

   SYBASE INC COM           188,940  

SYBRON DENTAL SPECIALTIES INC

   SYBRON DENTAL SPECIALTIES INC           233,145  

SYMANTEC CORP

   SYMANTEC CORP COM           (133,683 )

TASTY BAKING CO

   TASTY BAKING CO           26,100  

TECHNE CORP

   TECHNE CORP COM           (134,270 )

TECUMSEH PRODS CO

   TECUMSEH PRODS CO CL A           39,717  

TELLABS INC

   TELLABS INC COM           (153,397 )

TENNANT CO

   TENNANT CO           215,160  

TETRA TECHNOLOGIES INC

   TETRA TECHNOLOGIES INC DEL COM           68,448  

TEXAS INSTRS INC

   TEXAS INSTRS INC COM           (109,573 )

THQ INC

   THQ INC           96,725  

TIER TECHNOLOGIES INC

   TIER TECHNOLOGIES INC CL B           91,200  

TIERONE CORP

   TIERONE CORP           131,892  

TIMBERLINE SOFTWARE CORP

   TIMBERLINE SOFTWARE CORP           103,488  

TOWER AUTOMOTIVE INC

   TOWER AUTOMOTIVE INC           (59,850 )

TRACTOR SUPPLY CO

   TRACTOR SUPPLY CO           483,536  

TRANSTECHNOLOGY CORP

   TRANSTECHNOLOGY CORP COM           748,272  

TSAKOS ENERGY NAVIGATOIN LTD

   TSAKOS ENERGY NAVIGATOIN LTD           324,660  

U S FREIGHTWAYS CORP

   U S FREIGHTWAYS CORP COM           83,375  

ULTI INC.

   ULTICOM INC.COM           106,358  

UNITED GUARDIAN INC

   UNITED GUARDIAN INC           31,500  

UNITED ONLINE INC

   UNITED ONLINE INC COM           145,701  

UNITED PARCEL SVC INC

   UNITED PARCEL SVC INC CL B           1,520  

V F CORP

   V F CORP COM           (212,695 )

VALASSIS MUNICATIONS INC

   VALASSIS COMMUNICATIONS INC           67,689  

 

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Table of Contents

Identity of Issuer


  

Description of Investment


   Cost

   Current Value

 

VERITY INC

   VERITY INC COM         $ 76,463  

VERIZON MUNICATIONS

   VERIZON COMMUNICATIONS           5,200  

VERSITY LTD SHS

   VERSITY LTD SHS           73,190  

VIRAGE LOGIC CORP

   VIRAGE LOGIC CORP           80,240  

VISTEON CORP

   VISTEON CORP COM           27,144  

WASHINGTON FEDERAL INC

   WASHINGTON FEDERAL INC           126,735  

WAUSU-MOSINEE PAPER CORP

   WAUSU-MOSINEE PAPER CORP COM           162,690  

WCI CMNTYS INC

   WCI CMNTYS INC           30,600  

WEBSENSE INC

   WEBSENSE INC COM           115,349  

WELLS FINL CORP

   WELLS FINL CORP           246,018  

WESTPORT RESOURCES CORP

   WESTPORT RESOURCES CORP COM           187,200  

WESTWOOD ONE INC

   WESTWOOD ONE INC COM           183,064  

WGL HLDGS INC

   WGL HLDGS INC COM           126,776  

WH ENERGY SVCS INC

   WH ENERGY SVCS INC COM           142,982  

WILSON GREATBATCH TECHNOLOGIES

   WILSON GREATBATCH TECHNOLOGIES           140,160  

WISCONSIN ENERGY CORP

   WISCONSIN ENERGY CORP COM           128,520  

WOLVERINE WORLD WIDE INC

   WOLVERINE WORLD WIDE INC COM           89,149  

WOODHEAD DANIEL INC

   WOODHEAD DANIEL INC           247,470  

ZORAN CORP

   ZORAN CORP           (99,897 )

3M CO

   3M CO           6,720  

TC PIPELNS

   TC PIPELNS LP UT COM LP INT           94,301  

RAYTHEON LIQUIDITY FUND

   RAYTHEON LIQUIDITY FUND           502,979  

RAYTHEON LIQUIDITY FUND

   RAYTHEON LIQUIDITY FUND           618,737  

AMB PPTYS CORP

   AMB PPTYS CORP COM           95,760  

AMB PPTYS CORP

   AMB PPTYS CORP COM           1,419,984  

AMLI RESIDENTIAL

   AMLI RESIDENTIAL PPTYS TR SH           (223,440 )

APARTMENT INVT & MGMT CO

   APARTMENT INVT & MGMT CO CL A           412,280  

APARTMENT INVT & MGMT CO

   APARTMENT INVT & MGMT CO CL A           644,656  

APARTMENT INVT & MGMT CO

   APARTMENT INVT & MGMT CO CL A           539,712  

APARTMENT INVT & MGMT CO

   APARTMENT INVT & MGMT CO CL A           127,432  

ARCHSTONE SMITH TR

   ARCHSTONE SMITH TR COM           539,066  

ARCHSTONE SMITH TR

   ARCHSTONE SMITH TR COM           1,214,664  

ARDEN RLTY GROUP INC

   ARDEN RLTY GROUP INC COM           611,340  

ARDEN RLTY GROUP INC

   ARDEN RLTY GROUP INC COM           511,665  

ARDEN RLTY GROUP INC

   ARDEN RLTY GROUP INC COM           509,450  

ARDEN RLTY GROUP INC

   ARDEN RLTY GROUP INC COM           296,810  

AVALONBAY CMNTYS INC

   AVALONBAY CMNTYS INC COM           254,410  

AVALONBAY CMNTYS INC

   AVALONBAY CMNTYS INC COM           641,896  

BOSTON PPTYS INC

   BOSTON PPTYS INC COM           556,586  

BOSTON PPTYS INC

   BOSTON PPTYS INC COM           516,040  

BOSTON PPTYS INC

   BOSTON PPTYS INC COM           405,460  

BRE PPTYS INC CL A

   BRE PPTYS INC CL A           355,680  

BROOKFIELD PPTYS CORP

   BROOKFIELD PPTYS CORP COM           315,120  

CAMDEN PPTY TR SHS BEN INT

   CAMDEN PPTY TR SHS BEN INT           141,900  

CAMDEN PPTY TR SHS BEN INT

   CAMDEN PPTY TR SHS BEN INT           396,000  

CAMDEN PPTY TR SHS BEN INT

   CAMDEN PPTY TR SHS BEN INT           313,500  

CARRAMERICA RLTY CORP

   CARRAMERICA RLTY CORP COM           323,145  

CATELLUS DEV CORP

   CATELLUS DEV CORP COM           154,830  

CATELLUS DEV CORP

   CATELLUS DEV CORP COM           397,000  

CATELLUS DEV CORP

   CATELLUS DEV CORP COM           (416,850 )

CATELLUS DEV CORP

   CATELLUS DEV CORP COM           895,235  

CBL & ASSOC PPTYS INC

   CBL & ASSOC PPTYS INC COM           520,650  

 

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Table of Contents

Identity of Issuer


  

Description of Investment


   Cost

   Current Value

 

CENDANT CORP

   CENDANT CORP COM         $ 328,024  

CENTERPOINT PPTYS TR

   CENTERPOINT PPTYS TR COM           177,165  

CHELSEA PPTY GROUP INC

   CHELSEA PPTY GROUP INC COM           426,368  

CHELSEA PPTY GROUP INC

   CHELSEA PPTY GROUP INC COM           343,093  

CHELSEA PPTY GROUP INC

   CHELSEA PPTY GROUP INC COM           2,378,334  

CORPORATE OFFICE PPTYS TR

   CORPORATE OFFICE PPTYS TR COM           (92,598 )

COUSINS PPTYS INC

   COUSINS PPTYS INC COM           (419,900 )

CRESCENT REAL ESTATE EQUITIES

   CRESCENT REAL ESTATE EQUITIES           (416,000 )

DEVELOPERS DIVERSIFIED RLTY

   DEVELOPERS DIVERSIFIED RLTY           406,815  

DEVELOPERS DIVERSIFIED RLTY

   DEVELOPERS DIVERSIFIED RLTY           303,462  

DUKE REALTY CORPORATION

   DUKE REALTY CORPORATION           (470,825 )

EQUITY OFFICE PPTYS

   EQUITY OFFICE PPTYS TR COM           1,031,674  

EQUITY OFFICE PPTYS

   EQUITY OFFICE PPTYS TR COM           (399,680 )

EQUITY RESIDENTIAL

   EQUITY RESIDENTIAL SH           (208,930 )

EQUITY RESIDENTIAL

   EQUITY RESIDENTIAL SH           626,790  

EQUITY RESIDENTIAL

   EQUITY RESIDENTIAL SH           1,069,230  

ESSEX PPTY

   ESSEX PPTY TR           116,955  

GABLES RESIDENTIAL

   GABLES RESIDENTIAL TR SHS BEN           49,860  

GENERAL GROWTH PPTYS INC

   GENERAL GROWTH PPTYS INC           618,800  

GENERAL GROWTH PPTYS INC

   GENERAL GROWTH PPTYS INC           410,800  

GENERAL GROWTH PPTYS INC

   GENERAL GROWTH PPTYS INC           785,200  

GLIMCHER RLTY TR SHS BEN INT

   GLIMCHER RLTY TR SHS BEN INT           (19,525 )

HEALTH CARE REIT INC

   HEALTH CARE REIT INC COM           459,850  

HEALTHCARE REALTY TRUST INC

   HEALTHCARE REALTY TRUST INC           400,725  

HERITAGE PPTY INVT TR INC

   HERITAGE PPTY INVT TR INC           399,520  

HIGHWOODS PPTYS INC

   HIGHWOODS PPTYS INC COM           64,090  

HILTON HOTELS CORP

   HILTON HOTELS CORP COM           198,276  

HOME PPTYS N Y INC

   HOME PPTYS N Y INC COM           48,230  

HOME PPTYS N Y INC

   HOME PPTYS N Y INC COM           516,750  

HOSPITALITY PPTYS

   HOSPITALITY PPTYS TR COM SHS           475,200  

HOST MARRIOTT CORP

   HOST MARRIOTT CORP NEW COM           460,200  

HOST MARRIOTT CORP

   HOST MARRIOTT CORP NEW COM           479,670  

ISTAR FINL INC

   ISTAR FINL INC           133,238  

ISTAR FINL INC

   ISTAR FINL INC           617,100  

KEYSTONE PPTY TR CORP

   KEYSTONE PPTY TR CORP COM           509,100  

KIMCO RLTY CORP

   KIMCO RLTY CORP COM           144,008  

KIMCO RLTY CORP

   KIMCO RLTY CORP COM           677,144  

KIMCO RLTY CORP

   KIMCO RLTY CORP COM           (407,512 )

LIBERTY PPTY TR SHS BEN INT

   LIBERTY PPTY TR SHS BEN INT           325,788  

LIBERTY PPTY TR SHS BEN INT

   LIBERTY PPTY TR SHS BEN INT           201,222  

LIBERTY PPTY TR SHS BEN INT

   LIBERTY PPTY TR SHS BEN INT           511,040  

MACERICH CO

   MACERICH CO COM           553,500  

MACERICH CO

   MACERICH CO COM           276,750  

MACERICH CO

   MACERICH CO COM           1,872,675  

MACK CALI RLTY CORP

   MACK CALI RLTY CORP COM           545,400  

MACK CALI RLTY CORP

   MACK CALI RLTY CORP COM           296,940  

MFA MTG INVTS INC

   MFA MTG INVTS INC           181,440  

MID AMER APT CMNTYS INC

   MID AMER APT CMNTYS INC COM           (185,820 )

PAN PAC RETAIL PPTYS INC

   PAN PAC RETAIL PPTYS INC COM           (200,915 )

PAN PAC RETAIL PPTYS INC

   PAN PAC RETAIL PPTYS INC COM           200,915  

PRENTISS PPTYS TR SH BEN INT

   PRENTISS PPTYS TR SH BEN INT           509,040  

PRENTISS PPTYS TR SH BEN INT

   PRENTISS PPTYS TR SH BEN INT           763,560  

 

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Table of Contents

Identity of Issuer


  

Description of Investment


   Cost

   Current Value

 

PROLOGIS INT

   PROLOGIS INT         $ 1,415,945  

PROLOGIS INT

   PROLOGIS INT           533,180  

PROLOGIS INT

   PROLOGIS INT           714,260  

PUBLIC STORAGE INC

   PUBLIC STORAGE INC COM           720,513  

RECKSON ASSOC REALTY CORP

   RECKSON ASSOC REALTY CORP COM           395,740  

REGENCY CTRS CORP

   REGENCY CTRS CORP COM           421,200  

RFS HOTEL INVS INC

   RFS HOTEL INVS INC COM           48,870  

ROUSE CO

   ROUSE CO COM           148,990  

ROUSE CO

   ROUSE CO COM           754,460  

ROUSE CO

   ROUSE CO COM           881,260  

SIMON PPTY GROUP INC

   SIMON PPTY GROUP INC NEW COM           1,853,408  

SIMON PPTY GROUP INC

   SIMON PPTY GROUP INC NEW COM           647,330  

SIMON PPTY GROUP INC

   SIMON PPTY GROUP INC NEW COM           810,866  

SL GREEN REALTY CORP

   SL GREEN REALTY CORP           202,240  

SL GREEN REALTY CORP

   SL GREEN REALTY CORP           758,400  

STARWOOD HOTELS & RESORTS

   STARWOOD HOTELS & RESORTS           299,124  

SUN CMNTYS INC

   SUN CMNTYS INC COM           376,671  

TANGER FACTORY OUTLET CTR INC

   TANGER FACTORY OUTLET CTR INC           372,000  

TAUBMAN CENTERS INC

   TAUBMAN CENTERS INC           149,316  

TRIZEC PROPERTIES INC

   TRIZEC PROPERTIES INC           22,536  

UNITED DOMINION RLTY TR INC

   UNITED DOMINION RLTY TR INC           315,748  

UNITED DOMINION RLTY TR INC

   UNITED DOMINION RLTY TR INC           523,520  

UNITED DOMINION RLTY TR INC

   UNITED DOMINION RLTY TR INC           1,264,628  

VENTAS INC

   VENTAS INC           493,495  

VORNADO RLTY TR

   VORNADO RLTY TR COM           1,986,480  

VORNADO RLTY TR

   VORNADO RLTY TR COM           319,920  

WASHINGTON REAL ESTATE INVT TR

   WASHINGTON REAL ESTATE INVT TR           (408,000 )

WEINGARTEN RLTY

   WEINGARTEN RLTY INVS SH BEN           (202,730 )

AMDOCS LTD

   AMDOCS LTD NT CONV           735,375  

MERCURY INTERACTIVE

   MERCURY INTERACTIVE CVT SUB NT           370,129  

ACCENTURE LTD BERMUDA

   ACCENTURE LTD BERMUDA CL A           915,691  

ADVANCED FIBER MUNICATIONS

   ADVANCED FIBER COMMUNICATIONS           (423,672 )

ADVISORY BOARD CO

   ADVISORY BOARD CO           254,150  

AGERE SYS INC

   AGERE SYS INC CL A           239,040  

AGERE SYS INC

   AGERE SYS INC CL B           89,180  

ALCATEL ALSTHOM

   ALCATEL ALSTHOM SPONSORED ADR           889,776  

ALTERA CORP

   ALTERA CORP COM           (397,026 )

AOL TIME WARNER INC

   AOL TIME WARNER INC COM           776,830  

APPLIED MICRO CIRCUITS CORP

   APPLIED MICRO CIRCUITS CORP CD           703,314  

BROCADE MN SYS INC

   BROCADE COMMN SYS INC COM           568,836  

CENDANT CORP

   CENDANT CORP COM           777,616  

CINTAS CORP

   CINTAS CORP           (352,275 )

CISCO SYS INC

   CISCO SYS INC COM           360,250  

PUTER SCIENCES CORP

   COMPUTER SCIENCES CORP COM           826,800  

CONCORD EFS INC

   CONCORD EFS INC COM           354,150  

CONVERGYS CORP

   CONVERGYS CORP COM           149,985  

CORPORATE EXECUTIVE BD CO

   CORPORATE EXECUTIVE BD CO COM           (210,672 )

CSG SYS INTL INC

   CSG SYS INTL INC           128,310  

CYPRESS SEMICONDUCTOR CORP

   CYPRESS SEMICONDUCTOR CORP           239,668  

EDWARDS J D & CO

   EDWARDS J D & CO COM           182,736  

EMC CORP MASS

   EMC CORP MASS           779,780  

EMULEX CORP

   EMULEX CORP NEW           541,660  

 

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Identity of Issuer


  

Description of Investment


   Cost

   Current Value

 

ERICSSON L M TEL CO

   ERICSSON L M TEL CO ADR CL B         $ (346,788 )

FAIRCHILD SEMICONDUCTOR INTL

   FAIRCHILD SEMICONDUCTOR INTL           254,898  

FIRST DATA CORP

   FIRST DATA CORP COM           1,094,169  

FISERV INC

   FISERV INC COM           (573,755 )

F5 NETWORK INC

   F5 NETWORK INC COM           (240,576 )

GENESIS MICROCHIP INC

   GENESIS MICROCHIP INC           234,900  

HEWLETT PACKARD CO

   HEWLETT PACKARD CO COM           667,839  

IBM CORP

   IBM CORP COM           674,250  

INTEL CORP

   INTEL CORP           548,064  

INTERNATIONAL RECTIFIER CORP

   INTERNATIONAL RECTIFIER CORP           468,884  

INTERNET ARCHITECTURE HLDR TR

   INTERNET ARCHITECTURE HLDR TR           (2,812,598 )

INTERNET SEC SYS INC

   INTERNET SEC SYS INC COM           (113,646 )

MARVELL TECHNOLOGY GROUP LTD

   MARVELL TECHNOLOGY GROUP LTD           71,668  

MAXTOR CORP

   MAXTOR CORP COM NEW           831,651  

MCDATA CORP

   MCDATA CORP CL A           366,360  

MCDATA CORP

   MCDATA CORP CL B           17,575  

MERCURY INTERACTIVE CORP

   MERCURY INTERACTIVE CORP           (358,765 )

MICROSOFT CORP

   MICROSOFT CORP COM           537,680  

MOLEX INC

   MOLEX INC COM           (334,080 )

NOKIA CORP

   NOKIA CORP SPON ADR COM           1,430,650  

NORTEL NETWORKS CORP

   NORTEL NETWORKS CORP NEW COM           681,352  

ORACLE CORPORATION

   ORACLE CORPORATION COM           (547,560 )

PALM INC

   PALM INC COM NEW           814,830  

PAYCHEX INC

   PAYCHEX INC COM           (301,320 )

PEC SOLUTIONS INC

   PEC SOLUTIONS INC COM           (299,000 )

POWERWAVE TECHNOLOGIES INC

   POWERWAVE TECHNOLOGIES INC COM           118,800  

QLOGIC CORP

   QLOGIC CORP COM           (648,788 )

RED HAT INC

   RED HAT INC COM           275,406  

RESEARCH IN MOTION LTD

   RESEARCH IN MOTION LTD COM           (359,488 )

SABRE GROUP HLDGS INC CL A

   SABRE GROUP HLDGS INC CL A           559,599  

SECURE PUTING CORP

   SECURE COMPUTING CORP           (241,657 )

SEMICONDUCTOR HOLDERS TR DEP

   SEMICONDUCTOR HOLDERS TR DEP           (970,170 )

SKYWORKS SOLUTIONS INC

   SKYWORKS SOLUTIONS INC           (369,798 )

STMICROELECTRONICS N V SHS N Y

   STMICROELECTRONICS N V SHS N Y           573,809  

TAIWAN SEMICONDUCTOR MFG CO

   TAIWAN SEMICONDUCTOR MFG CO           282,000  

TEKELEC

   TEKELEC COM           (374,110 )

UT STAR INC

   UT STARCOM INC COM           1,045,041  

VERISIGN INC

   VERISIGN INC COM           274,284  

WEBSENSE INC

   WEBSENSE INC COM           (497,711 )

WESTERN DIGITAL CORP

   WESTERN DIGITAL CORP DEL COM           540,594  

XILINX INC

   XILINX INC COM           (354,320 )

RAYTHEON LIQUIDITY FUND

   RAYTHEON LIQUIDITY FUND           221,673  

RAYTHEON LIQUIDITY FUND

   RAYTHEON LIQUIDITY FUND           515,656  

RAYTHEON LIQUIDITY FUND

   RAYTHEON LIQUIDITY FUND           655,840  

RAYTHEON LIQUIDITY FUND

   RAYTHEON LIQUIDITY FUND           3,154,060  

SUN PHARMACEUTICAL INDS 6%

   SUN PHARMACEUTICAL INDS 6%           —    

ABBOTT LABS

   ABBOTT LABS COM           (128,000 )

ACCENTURE LTD

   ACCENTURE LTD BERMUDA CL A           230,272  

ACE LTD

   ACE LTD CAYMAN IS ORD SHS ADR           99,756  

ACS ACTIVADES DE CONSTRUCCION

   ACS ACTIVADES DE CONSTRUCCION           102,668  

ADIDAS-SALOMON

   ADIDAS-SALOMON AG NPV           255,004  

ADVANCED AUTO PTS INC

   ADVANCED AUTO PTS INC           88,020  

 

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Description of Investment


   Cost

   Current Value

 

AFFYMETRIX INC

   AFFYMETRIX INC OC-CAP STK         $ (68,670 )

AGCO CORP

   AGCO CORP COM           581,230  

AIRNET SYS INC

   AIRNET SYS INC COM           36,900  

ALAMO GROUP INC

   ALAMO GROUP INC           39,200  

ALUMINUM CORP OF CHINA ‘H’

   ALUMINUM CORP OF CHINA ‘H’           125,195  

AMBAC FINANCIAL GROUP INC

   AMBAC FINANCIAL GROUP INC           157,472  

AMCOL INTERNATIONAL CORP

   AMCOL INTERNATIONAL CORP           33,640  

AMEC ORD 50P

   AMEC ORD 50P           73,327  

AMERICAN BUSINESS FINL SVCS

   AMERICAN BUSINESS FINL SVCS           76,012  

AMERICAN MED SEC GRP INC

   AMERICAN MED SEC GRP INC COM           55,920  

AMERICAN VANGUARD CORP

   AMERICAN VANGUARD CORP           26,544  

AMOREPACIFIC CORP CO KSWN5000

   AMOREPACIFIC CORP CO KSWN5000           125,922  

AMVESCAP ORD25P

   AMVESCAP ORD25P           194,785  

ANDERSONS INC

   ANDERSONS INC COM           44,450  

ANFI INC

   ANFI INC           63,425  

ANGLO IRISH BK CORP

   ANGLO IRISH BK CORP ORDEUR0.32           190,125  

ANHEUSER BUSCH COS INC

   ANHEUSER BUSCH COS INC COM           (261,360 )

ANNTAYLOR STORES CORP

   ANNTAYLOR STORES CORP COM           149,066  

ANTHEM INC

   ANTHEM INC COM           383,690  

APPLERA CORP-APPLIED BIOSYSTEM

   APPLERA CORP-APPLIED BIOSYSTEM           (61,390 )

ARAMARK CORP

   ARAMARK CORP           460,600  

ASIAN PAINTS INDIA

   ASIAN PAINTS INDIA INR10 DEMAT           86,577  

ASM INTL EUR0.04

   ASM INTL EUR0.04           103,983  

ASSOCIATED BRITISH FOODS ORD

   ASSOCIATED BRITISH FOODS ORD           195,951  

AT&T CORP

   AT&T CORP           392,172  

AUSTRALIAN & NEW ZEALAND BANK

   AUSTRALIAN & NEW ZEALAND BANK           151,432  

AUSTRALIAN GAS LIGHT CO

   AUSTRALIAN GAS LIGHT CO ORD A$           136,507  

AUTONOMY CORP

   AUTONOMY CORP ORD GBP0.003333           78,910  

AUTOZONE INC

   AUTOZONE INC COM           (84,780 )

AVOCENT CORP

   AVOCENT CORP COM           (113,322 )

BADGER METER INC

   BADGER METER INC           25,680  

BAKER MICHAEL CORP

   BAKER MICHAEL CORP           128,115  

BANCO BPI SA

   BANCO BPI SA           99,810  

BANK OF AMERICA CORP

   BANK OF AMERICA CORP           153,054  

BANK OF THE OZARKS INC

   BANK OF THE OZARKS INC COM           35,160  

BAY ST BANCORP INC

   BAY ST BANCORP INC COM           85,800  

BECTON DICKINSON & CO

   BECTON DICKINSON & CO COM           (147,312 )

BEIJING DATANG

   BEIJING DATANG PWR GEN H CNY1           71,233  

BERU AG NPV

   BERU AG NPV           87,180  

BEST BUY INC

   BEST BUY INC COM           (48,300 )

BIG LOTS INC

   BIG LOTS INC COM           (92,610 )

BILLABONG INTERNATIONAL NPV

   BILLABONG INTERNATIONAL NPV           120,776  

BIOSITE INCORPORATED

   BIOSITE INCORPORATED COM           74,844  

BK OF IRELAND ORD STK

   BK OF IRELAND ORD STK EUR0.64           269,169  

BLACK & DECKER CORP

   BLACK & DECKER CORP COM           (162,982 )

BLAIR CORP

   BLAIR CORP           107,272  

BML INC

   BML INC JPY 50           101,036  

BOMBARDIER INC

   BOMBARDIER INC CLASS’B’SUBORD           199,535  

BON TON STORES INC

   BON TON STORES INC COM           22,678  

BOOKS A MILLION

   BOOKS A MILLION           31,236  

BOWATER INC

   BOWATER INC COM           633,445  

BRASS EAGLE INC

   BRASS EAGLE INC COM           3,512  

 

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Identity of Issuer


  

Description of Investment


   Cost

   Current Value

 

BRUNSWICK CORP

   BRUNSWICK CORP COM         $ (188,670 )

BT GROUP

   BT GROUP ORD GBP0.05           137,502  

BUILDING MATLS HLDG CORP

   BUILDING MATLS HLDG CORP           48,620  

BURBERRY GROUP ORD

   BURBERRY GROUP ORD GBP0.0005           249,621  

BWAY CORP

   BWAY CORP           83,076  

BYD CO

   BYD CO ‘H’ SHS CNY1           63,044  

CADENCE DESIGN SYS INC

   CADENCE DESIGN SYS INC COM           443,304  

CADMUS MUNICATIONS CORP

   CADMUS COMMUNICATIONS CORP COM           54,439  

CANADIAN PACIFIC RAILWAYS

   CANADIAN PACIFIC RAILWAYS COM           183,158  

CAPITAL CROSSING BK

   CAPITAL CROSSING BK COM           38,775  

CAPITAL ONE FINL CORP

   CAPITAL ONE FINL CORP           410,136  

CAPITAL ONE FINL CORP

   CAPITAL ONE FINL CORP           270,452  

CARDINAL HEALTH INC

   CARDINAL HEALTH INC COM           (94,704 )

CAREER ED CORP

   CAREER ED CORP COM           (260,000 )

CARRIAGE SVCS INC

   CARRIAGE SVCS INC COMMON           103,082  

CASSA DI RISPARMIO

   CASSA DI RISPARMIO EUR0.57           174,565  

CELADON GROUP INC

   CELADON GROUP INC           21,184  

CELANESE AG

   CELANESE AG NPV           80,965  

CELLTECH GROUP

   CELLTECH GROUP PLC ORD GBP0.50           103,906  

CENDANT CORP

   CENDANT CORP COM           520,856  

CENTRAL GARDEN & PET CO

   CENTRAL GARDEN & PET CO COM           111,060  

CEPHALON INC

   CEPHALON INC COM           403,944  

CERIDIAN CORP

   CERIDIAN CORP NEW COM           (111,034 )

CHARTER ONE FINL INC

   CHARTER ONE FINL INC           (178,126 )

CHINA UNI

   CHINA UNICOM HKD0.10           115,537  

CHIRON CORP

   CHIRON CORP COM           (451,200 )

CHROMCRAFT REVINGTON INC

   CHROMCRAFT REVINGTON INC           62,640  

CHRONIMED INC

   CHRONIMED INC           31,156  

CHUBB CORP

   CHUBB CORP COM           (104,400 )

CHUGAI PHARMACEUTL

   CHUGAI PHARMACEUTL Y50           164,734  

CIMAREX ENERGY CO

   CIMAREX ENERGY CO           352,630  

CINERGY CORP

   CINERGY CORP COM           542,892  

CITIGROUP INC

   CITIGROUP INC COM           464,508  

CITIZENS MUNICATIONS CO

   CITIZENS COMMUNICATIONS CO           581,305  

CLEAR CHANNEL MUNICATIONS

   CLEAR CHANNEL COMMUNICATIONS           305,778  

CLP HLDGS

   CLP HLDGS HKD5           173,138  

CNF INC

   CNF INC           39,888  

CNS INC

   CNS INC COM           81,360  

COASTAL BANCORP INC

   COASTAL BANCORP INC           71,170  

COCA COLA CO

   COCA COLA CO COM           (284,830 )

COLGATE PALMOLIVE CO

   COLGATE PALMOLIVE CO           (288,365 )

COLGATE PALMOLIVE CO

   COLGATE PALMOLIVE CO           (513,814 )

BI CORP Y50

   COMBI CORP Y50           100,708  

CAST CORP

   COMCAST CORP NEW CL A           253,896  

CAST CORP

   COMCAST CORP NEW CL A SPL           300,447  

CAST CORP

   COMCAST CORP NEW CL A SPL           140,058  

FORT SYSTEMS USA INC

   COMFORT SYSTEMS USA INC           117,250  

MERCE BANCORP INC N J

   COMMERCE BANCORP INC N J           (73,423 )

MONWEALTH INDS INC DEL

   COMMONWEALTH INDS INC DEL COM           33,467  

PU SYS INC

   COMPUCOM SYS INC COM           130,298  

VERSE TECHNOLOGY INC

   COMVERSE TECHNOLOGY INC           195,390  

CONCERTO SOFTWARE INC

   CONCERTO SOFTWARE INC           89,100  

 

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Identity of Issuer


  

Description of Investment


   Cost

   Current Value

 

CONSTELLATION BRANDS INC

   CONSTELLATION BRANDS INC CL A         $ (189,680 )

CONTINENTAL AG

   CONTINENTAL AG NPV           112,536  

CORINTHIAN COLLEGES INC

   CORINTHIAN COLLEGES INC COM           (109,794 )

CORPORACION GEO SA

   CORPORACION GEO SA DE SER B           65,090  

CORPORACION MAPFRE SA

   CORPORACION MAPFRE SA EUR0.5           277,547  

CORPORATE EXECUTIVE BD CO

   CORPORATE EXECUTIVE BD CO COM           (156,408 )

COTT CORP STK NPV

   COTT CORP COM STK NPV           126,595  

COUNTRYWIDE FINANCIAL CORP

   COUNTRYWIDE FINANCIAL CORP COM           289,240  

COUNTRYWIDE FINANCIAL CORP

   COUNTRYWIDE FINANCIAL CORP COM           537,160  

COURIER CORP

   COURIER CORP COM           22,324  

COVANCE INC

   COVANCE INC COM           186,884  

CP SHIPS LIMITED

   CP SHIPS LIMITED COM           118,267  

CRANE CO

   CRANE CO           (51,818 )

CREDIT SUISSE GROUP

   CREDIT SUISSE GROUP CHF1           225,645  

CSK AUTO CORP

   CSK AUTO CORP COM           112,497  

CSS INDS INC

   CSS INDS INC           102,610  

CULP INC

   CULP INC           78,200  

D/S SVENDBORG

   D/S SVENDBORG ‘B’ DNKR1000           111,890  

DANAHER CORP

   DANAHER CORP COM           (282,510 )

DEL LABS INC

   DEL LABS INC COM           115,140  

DELL PUTER CORP

   DELL COMPUTER CORP COM           211,246  

DELUXE CORP

   DELUXE CORP COM           (84,200 )

DIAL CORP

   DIAL CORP NEW COM           32,592  

DOCUCORP INTL INC

   DOCUCORP INTL INC COM           30,457  

DOMINION RES INC

   DOMINION RES INC VA NEW COM           (439,200 )

DOMTAR INC NPV

   DOMTAR INC COM NPV           130,396  

DOMTAR INC

   DOMTAR INC WTS 23-DEC-03           1,816  

DONALDSON INC

   DONALDSON INC           (50,400 )

DRAKE BEAN MORIN JAPAN

   DRAKE BEAN MORIN JAPAN JPY50           352,709  

DSP GROUP INC

   DSP GROUP INC COM           101,074  

DUMUN INC DEL

   DUCOMMUN INC DEL COM           42,795  

E PLUS INC

   E PLUS INC COM           23,970  

EBAY INC

   EBAY INC COM           (725,674 )

ECTEL LTD

   ECTEL LTD COM           73,528  

EDGE PETE CORP DEL

   EDGE PETE CORP DEL COM           39,375  

EFC BANCORP INC

   EFC BANCORP INC COM           54,750  

EIDOS ORD

   EIDOS ORD GBP0-02           153,775  

EL PASO CORP

   EL PASO CORP COM           (141,288 )

ELIOR NPV

   ELIOR NPV           98,346  

ELITE INFORMATION GRP INC

   ELITE INFORMATION GRP INC COM           12,950  

ELLIS PERRY INTL INC

   ELLIS PERRY INTL INC COM           61,180  

EMBRAKER EMPRESA BRASILEIRA

   EMBRAKER EMPRESA BRASILEIRA           75,414  

EMULEX CORP

   EMULEX CORP NEW           (196,630 )

ENCANA CORP

   ENCANA CORP COM           86,457  

ENESCO GROUP INC

   ENESCO GROUP INC COM           31,152  

ENI EUR1

   ENI EUR1           314,789  

ENNIS BUSINESS FORMS INC

   ENNIS BUSINESS FORMS INC COM           15,106  

ENZO BIOCHEM INC

   ENZO BIOCHEM INC           (92,400 )

EON LABS INC

   EON LABS INC           (51,057 )

EPCOS AG ORD NPV

   EPCOS AG ORD NPV           66,810  

ESPRIT HLDGS ORD

   ESPRIT HLDGS ORD HK$0.10           211,271  

ESTEE LAUDER COS INC

   ESTEE LAUDER COS INC CL A           (208,560 )

 

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Description of Investment


   Cost

   Current Value

 

EXPRESS SCRIPTS INC

   EXPRESS SCRIPTS INC COM STK         $ (427,556 )

FACTSET RESH SYS INC

   FACTSET RESH SYS INC           (87,637 )

FARGO ELECTRONICS INC

   FARGO ELECTRONICS INC COM           67,144  

FASTENAL CO

   FASTENAL CO           (186,950 )

FEDEX CORP

   FEDEX CORP COM           211,458  

FIBERMARK INC

   FIBERMARK INC COM           23,498  

FINLAY ENTERPRISES INC

   FINLAY ENTERPRISES INC COM NEW           124,218  

FIRS CASH FINANCIAL SERVICES

   FIRS CASH FINANCIAL SERVICES           101,089  

FIRST DATA CORP

   FIRST DATA CORP COM           566,560  

FIRST HEALTH GROUP CORP

   FIRST HEALTH GROUP CORP COM           (192,365 )

FISERV INC

   FISERV INC COM           (105,245 )

FISHER SCIENTIFIC INTL INC

   FISHER SCIENTIFIC INTL INC COM           (78,208 )

FOOT LOCKER INC

   FOOT LOCKER INC COM           187,950  

FORTUNE BRANDS INC

   FORTUNE BRANDS INC COM           (302,315 )

FORTUNE BRANDS INC

   FORTUNE BRANDS INC COM           (139,530 )

FOSTER WHEELER LTD

   FOSTER WHEELER LTD SHS           70,644  

FOUNTAIN SET HLDGS ORD

   FOUNTAIN SET HLDGS ORD HK$0.20           135,697  

FOUR SEASONS HOTELS LTD

   FOUR SEASONS HOTELS LTD VTG           (110,175 )

FPIC INS GROUP INC

   FPIC INS GROUP INC COM           113,850  

FREDDIE MAC CORP

   FREDDIE MAC CORP COM           330,680  

FRISCHS RESTAURANTS INC

   FRISCHS RESTAURANTS INC           72,625  

FUJI SEAL

   FUJI SEAL JPY50           102,149  

GALERIES LAFAYETTE

   GALERIES LAFAYETTE EUR 2           82,425  

GAMBRO AB

   GAMBRO AB SER A SEK1           359,131  

GAP INC

   GAP INC COM           482,672  

GARDEN FRESH RESTAURANT CORP

   GARDEN FRESH RESTAURANT CORP           48,000  

GEBERIT CHF20 (REG D)

   GEBERIT CHF20 (REG D)           173,569  

GENERAL DYNAMICS CORP

   GENERAL DYNAMICS CORP COM           (103,181 )

GENERAL ELEC CO

   GENERAL ELEC CO COM           138,795  

GENERALE DE SANTE

   GENERALE DE SANTE EUR0.75           122,884  

GENTEX CORP

   GENTEX CORP COM           (88,592 )

GENZYME CORP

   GENZYME CORP COM           159,678  

GILEAD SCIENCES INC

   GILEAD SCIENCES INC COM           353,600  

GILEAD SCIENCES INC

   GILEAD SCIENCES INC COM           105,400  

GIVAUDAN AG

   GIVAUDAN AG CHF10           199,537  

GJENSIDIGE NOR SAS NOK100

   GJENSIDIGE NOR SAS NOK100           137,619  

GJENSIDIGE NOR SAS NOK100

   GJENSIDIGE NOR SAS NOK100           216,325  

GLAXOSMITHKLINE ORD

   GLAXOSMITHKLINE ORD GBP0.25           155,439  

GLOBAL BIO-CHEM

   GLOBAL BIO-CHEM TE HKD0.10           118,778  

GLOBALSANTAFE CORPORATION SHS

   GLOBALSANTAFE CORPORATION SHS           352,640  

GOLD FIELDS LTD

   GOLD FIELDS LTD NEW SPON ADR           283,388  

GOLDCORP INC

   GOLDCORP INC NEW COM           248,040  

GOLDEN MEDITECH

   GOLDEN MEDITECH HKD0.10           82,684  

GOLDEN WEST FINL CORP

   GOLDEN WEST FINL CORP DEL COM           517,032  

GOLDMAN SACHS GROUP INC

   GOLDMAN SACHS GROUP INC COM           (115,770 )

GOODYS FAMILY CLOTHING INC

   GOODYS FAMILY CLOTHING INC COM           36,852  

GRANITIFIANDRE

   GRANITIFIANDRE EUR0.50           106,924  

GREEN MOUNTAIN PWR CORP

   GREEN MOUNTAIN PWR CORP           71,298  

GREENPOINT FINL CORP

   GREENPOINT FINL CORP COM           (180,720 )

GROUPO AEROPORTUARIO

   GROUPO AEROPORTUARIO DEL           85,693  

GRUPO FERROVIAL

   GRUPO FERROVIAL SA ORD NPV           242,228  

GUIDANT CORP

   GUIDANT CORP COM           555,300  

 

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Identity of Issuer


  

Description of Investment


   Cost

   Current Value

 

GUITAR CTR INC

   GUITAR CTR INC COM         $ 167,256  

GUNDLE/SLT ENVIRONMENTAL INC

   GUNDLE/SLT ENVIRONMENTAL INC           38,896  

H T E INC

   H T E INC COM           56,144  

HANA BANK

   HANA BANK KRW5000           145,127  

HARLEY DAVIDSON INC

   HARLEY DAVIDSON INC COM           (161,700 )

HARLEY DAVIDSON INC

   HARLEY DAVIDSON INC COM           (323,400 )

HARMAN INTL INDS INC

   HARMAN INTL INDS INC NEW COM           178,500  

HARMONY GOLD MNG LTD

   HARMONY GOLD MNG LTD SPONS ADR           309,304  

HARTFORD FINL SVCS GROUP INC

   HARTFORD FINL SVCS GROUP INC           199,892  

HARTFORD FINL SVCS GROUP INC

   HARTFORD FINL SVCS GROUP INC           436,128  

HARVEST NATURAL RESOURCES INC

   HARVEST NATURAL RESOURCES INC           141,900  

HASTINGS ENTMT INC

   HASTINGS ENTMT INC COM           50,573  

HEALTH NET INC

   HEALTH NET INC           227,040  

HEINEKEN NV EUR2

   HEINEKEN NV EUR2           163,958  

HELLENIC TELE ORGANIZATION

   HELLENIC TELECOM ORGANIZATION           124,511  

HENNES & MAURITZ

   HENNES & MAURITZ AB SEK0.25 ‘B           142,678  

HERITAGE FINL CORP WASH

   HERITAGE FINL CORP WASH COM           7,124  

HILL(WILLIAM) ORD

   HILL(WILLIAM) ORD GBP0.10           54,682  

HILLENBRAND INDS INC

   HILLENBRAND INDS INC COM           (202,902 )

HIT ENTMT ORD

   HIT ENTMT ORD GBP0.02           228,294  

HOME FED BANCORP

   HOME FED BANCORP           79,695  

HORIZON HEALTH CORP

   HORIZON HEALTH CORP COM           80,730  

HOVNANIAN ENTERPRISES INC

   HOVNANIAN ENTERPRISES INC CL A           (66,570 )

HSBC HLDGS

   HSBC HLDGS USD0.50 HONGKONG           179,280  

HUTTIG BLDG PRODS INC

   HUTTIG BLDG PRODS INC COM           36,195  

IBERIA LINEAS AEREAS DE ESPANA

   IBERIA LINEAS AEREAS DE ESPANA           134,973  

IDEC PHARMACEUTICALS CORP

   IDEC PHARMACEUTICALS CORP COM           (295,213 )

IHC CALAND NV

   IHC CALAND NV EUR1           123,833  

IMATION CORP

   IMATION CORP COM           147,336  

IMC GLOBAL INC

   IMC GLOBAL INC COM           343,574  

IMCO RECYCLING INC

   IMCO RECYCLING INC           128,454  

INDIRA SISTEMAS

   INDIRA SISTEMAS SA EUR0.20           168,996  

INDUSTRIAL-ALLIANCE LIFE INS

   INDUSTRIAL-ALLIANCE LIFE INS           83,639  

ING GROEP N.V. CVA

   ING GROEP N.V. CVA EUR0.24           150,742  

INTERMET CORP

   INTERMET CORP           114,660  

INTERNET SEC SYS INC

   INTERNET SEC SYS INC COM           (212,628 )

INTL FLAVORS & FRAGRANCES INC

   INTL FLAVORS & FRAGRANCES INC           38,610  

INTRALOT SA

   INTRALOT SA EUR.37           52,194  

INTUIT

   INTUIT COM           121,992  

ITLA CAP CORP

   ITLA CAP CORP           119,628  

J P MORGAN CHASE & CO

   J P MORGAN CHASE & CO COM           (110,400 )

JAPAN CASH MACHINES

   JAPAN CASH MACHINES JPY50           150,400  

JC PENNEY CO INC

   JC PENNEY CO INC COM           (239,304 )

JOHNSON & JOHNSON

   JOHNSON & JOHNSON COM           (198,727 )

JOHNSON MATTHEY

   JOHNSON MATTHEY ORD L1           94,804  

JSC MMC NORILSK NICKEL

   JSC MMC NORILSK NICKEL           109,575  

JYSKE BANK

   JYSKE BANK(AS) DKK20           88,183  

KABA HLDGS AG

   KABA HLDGS AG CHF10’B’(REGD)           112,822  

KB HOME

   KB HOME COM           (308,520 )

KDDI CORP

   KDDI CORP Y5000           175,192  

KEPPEL CORP ORD

   KEPPEL CORP ORD SGD0.50           76,794  

KIER GROUP ORD

   KIER GROUP ORD 1P           83,266  

 

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Identity of Issuer


  

Description of Investment


   Cost

   Current Value

 

KINGMAKER FOOTWEAR HLDGS

   KINGMAKER FOOTWEAR HLDGS ORD         $ 68,004  

KNIGHT RIDDER INC

   KNIGHT RIDDER INC           455,400  

KON KPN NV

   KON KPN NV EUR0.24           320,760  

KROGER CO

   KROGER CO COM           (105,060 )

LABORATORY CORP AMER HLDGS

   LABORATORY CORP AMER HLDGS           371,840  

LABORATORY CORP AMER HLDGS

   LABORATORY CORP AMER HLDGS           499,660  

LAKELAND FINL CORP

   LAKELAND FINL CORP COM           35,175  

LAM RESH CORP

   LAM RESH CORP COM           259,200  

LAMAR ADVERTISING CO

   LAMAR ADVERTISING CO CL A           521,575  

LAMAR ADVERTISING CO

   LAMAR ADVERTISING CO CL A           275,930  

LAMSON & SESSIONS CO

   LAMSON & SESSIONS CO           322  

LAURENTIAN BANK OF CDA

   LAURENTIAN BANK OF CDA COM           102,180  

LEGG MASON INC

   LEGG MASON INC           291,240  

LEGGETT & PLATT INC

   LEGGETT & PLATT INC COM           (51,612 )

LENNAR CORP

   LENNAR CORP COM           (304,440 )

LIFEPOINT HOSPS INC

   LIFEPOINT HOSPS INC COM           (230,469 )

LIMITED BRANDS INC

   LIMITED BRANDS INC           (76,615 )

LINCARE HLDGS INC

   LINCARE HLDGS INC COM           (50,592 )

LINENS N THINGS INC

   LINENS N THINGS INC COM           (49,720 )

LOBLAW CO

   LOBLAW CO           165,970  

LONDON STOCK EXCHANGE LTD ORD

   LONDON STOCK EXCHANGE LTD ORD           92,599  

LOWES COS INC

   LOWES COS INC COM           127,500  

LOWES COS INC

   LOWES COS INC COM           (210,000 )

LUFKIN INDS INC

   LUFKIN INDS INC COM           124,285  

LYDALL INC

   LYDALL INC           65,830  

LYON WILLIAMS HOMES

   LYON WILLIAMS HOMES COM           98,235  

MACQUARIE INFRA GR NPV(STAPLE)

   MACQUARIE INFRA GR NPV(STAPLE)           141,871  

MAGNA INTL INC.

   MAGNA INTL INC. CL A SUB VTG           133,794  

MAINE PUB SVC CO

   MAINE PUB SVC CO           54,400  

MANDALAY RESORT GROUP

   MANDALAY RESORT GROUP COM           (459,150 )

MANDALAY RESORT GROUP

   MANDALAY RESORT GROUP COM           (79,586 )

MANI INC

   MANI INC JPY50           106,312  

MANPOWER INC WIS

   MANPOWER INC WIS           (51,040 )

MANPOWER INC WIS

   MANPOWER INC WIS           379,610  

MANUFACTURERS SVCS LTD

   MANUFACTURERS SVCS LTD COM           137,946  

MARITRANS INC

   MARITRANS INC           68,850  

MARRIOTT INTL INC

   MARRIOTT INTL INC NEW CL A           (92,036 )

MATRIX SVC CO

   MATRIX SVC CO           60,288  

MATTEL INC

   MATTEL INC COM           427,045  

MCDONALDS CORP

   MCDONALDS CORP COM           65,928  

MCKESSON CORP

   MCKESSON CORP COM           140,556  

MCKESSON CORP

   MCKESSON CORP COM           345,984  

MEDIDEP EUR3

   MEDIDEP EUR3           115,609  

MEDIWARE INFORMATION SYS INC

   MEDIWARE INFORMATION SYS INC           66,371  

MEGA BLOKS INC

   MEGA BLOKS INC COM 144A           197,038  

MERCURY INTERACTIVE CORP

   MERCURY INTERACTIVE CORP           (240,165 )

MERRILL LYNCH & CO INC

   MERRILL LYNCH & CO INC           246,675  

METTLER-TOLEDO

   METTLER-TOLEDO INTL INC           225,767  

MGM MIRAGE

   MGM MIRAGE           (451,689 )

MICROSOFT CORP

   MICROSOFT CORP COM           356,730  

MILLENNIUM PHARMACEUTICALS INC

   MILLENNIUM PHARMACEUTICALS INC           423,996  

MILLENNIUM PHARMACEUTICALS INC

   MILLENNIUM PHARMACEUTICALS INC           138,950  

 

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Identity of Issuer


  

Description of Investment


   Cost

   Current Value

 

MM02 ORD

   MM02 ORD GBP0.001         $ 150,645  

MODTECH HLDG INC

   MODTECH HLDG INC COM           26,190  

MOLSON INC

   MOLSON INC CL A NON VTG           81,391  

MONRO MUFFLER BRAKE INC

   MONRO MUFFLER BRAKE INC           75,137  

MONSANTO CO

   MONSANTO CO NEW COM           209,825  

MONSANTO CO

   MONSANTO CO NEW COM           207,900  

MOODYS CORP

   MOODYS CORP COM           (425,287 )

MTS SYS CORP

   MTS SYS CORP           60,120  

MURPHY OIL CORP

   MURPHY OIL CORP COM           (188,540 )

MUTUALFIRST FINL INC

   MUTUALFIRST FINL INC COM           114,608  

NAMCO

   NAMCO Y50           123,967  

NASDAQ 100

   NASDAQ 100 TR UNIT SER 1           (1,052,784 )

NATIONAL INSTRS CORP

   NATIONAL INSTRS CORP COM           (155,952 )

NATURES SUNSHINE PRODS INC

   NATURES SUNSHINE PRODS INC           100,013  

NEOPOST

   NEOPOST FRF4           140,561  

NETIQ CORP

   NETIQ CORP COM           (30,875 )

NETWORKS ASSOCIATES INC

   NETWORKS ASSOCIATES INC           109,412  

NEUROCRINE BIOSCIENCES INC

   NEUROCRINE BIOSCIENCES INC COM           (86,754 )

NEW CENTY FINL CORP

   NEW CENTY FINL CORP COM           (297,063 )

NEW CENTY FINL CORP

   NEW CENTY FINL CORP COM           (99,021 )

NEW YORK CMNTY BANCORP INC

   NEW YORK CMNTY BANCORP INC           (51,984 )

NEW YORK CMNTY BANCORP INC

   NEW YORK CMNTY BANCORP INC           (181,944 )

NEW YORK TIMES CO

   NEW YORK TIMES CO CL A           (150,909 )

NEWELL RUBBERMAID INC

   NEWELL RUBBERMAID INC           (163,782 )

NEWS CORPORATION NPV

   NEWS CORPORATION NPV           241,122  

NEXTEL MUNICATIONS INC

   NEXTEL COMMUNICATIONS INC CL A           339,570  

NEXTEL MUNICATIONS INC

   NEXTEL COMMUNICATIONS INC CL A           419,265  

NH HOTELES S.A.

   NH HOTELES S.A.           160,693  

NICHIHA CORP

   NICHIHA CORP Y50           63,175  

NIKE INC

   NIKE INC CL B COM           (48,917 )

NIPPON YUSEN

   NIPPON YUSEN KK Y50           148,310  

NISSAN MOTOR CO

   NISSAN MOTOR CO Y50           312,126  

NISSIN PANY

   NISSIN COMPANY Y50           145,298  

NOBLE INTL LTD

   NOBLE INTL LTD           5,460  

NOKIA

   NOKIA (AB) OY EUR0.06           178,062  

NOKIA CORP

   NOKIA CORP SPON ADR COM           545,600  

NORDEA ORD

   NORDEA ORD EUR0.39632           222,997  

NORTEL NETWORKS CORP

   NORTEL NETWORKS CORP NEW COM           78,085  

NORTEL NETWORKS CORP

   NORTEL NETWORKS CORP NEW COM           307,510  

NORTHERN TR CORP

   NORTHERN TR CORP COM           (185,765 )

NORTHFORK BANCORPORATION INC

   NORTHFORK BANCORPORATION INC           (199,066 )

NORTHFORK BANCORPORATION INC

   NORTHFORK BANCORPORATION INC           (249,676 )

NORTHROP GRUMMAN CORP

   NORTHROP GRUMMAN CORP COM           446,200  

NORTHWEST PIPE CO

   NORTHWEST PIPE CO COM           24,220  

NOVOSTE CORP

   NOVOSTE CORP           66,424  

NUTRECO HOLDING

   NUTRECO HOLDING NV EUR0.24           93,493  

O’REILLY AUTOMOTIVE INC

   O’REILLY AUTOMOTIVE INC           (83,457 )

OCTEL CORP

   OCTEL CORP COM           124,820  

OFFICEMAX INC

   OFFICEMAX INC           360,000  

OLYMPUS OPTICAL CO

   OLYMPUS OPTICAL CO Y50           130,378  

OMEGA PROTEIN CORP

   OMEGA PROTEIN CORP COM           59,250  

OMNI GROUP INC

   OMNICOM GROUP INC USD0.15 COM           239,020  

 

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Identity of Issuer


  

Description of Investment


   Cost

   Current Value

 

ONESOURCE INFORMATION SVCS INC

   ONESOURCE INFORMATION SVCS INC         $ 68,530  

OPEN JT STK CO-VIMPEL

   OPEN JT STK CO-VIMPEL           125,543  

ORICA LIMITED

   ORICA LIMITED           248,918  

OTP BANK

   OTP BANK HUF100           233,966  

PACIFIC SUNWEAR CALIF INC

   PACIFIC SUNWEAR CALIF INC COM           228,201  

PARTHUSCEVA INC

   PARTHUSCEVA INC           12,582  

PATRICK CORP NPV

   PATRICK CORP NPV           190,530  

PATRIOT BK CORP

   PATRIOT BK CORP PA COM           46,110  

PAYCHEX INC

   PAYCHEX INC COM           (58,590 )

PEDIATRIC SVCS OF AMER INC

   PEDIATRIC SVCS OF AMER INC COM           80,620  

PEERLESS MFG CO

   PEERLESS MFG CO           14,940  

PEMCO AVIATION GROUP INC

   PEMCO AVIATION GROUP INC           63,045  

PENFORD CORP

   PENFORD CORP           122,583  

PENN WEST PETROLEUM NPV

   PENN WEST PETROLEUM COM NPV           121,510  

PEOPLES HLDG CO

   PEOPLES HLDG CO           4,075  

PEOPLESOFT INC

   PEOPLESOFT INC COM           (49,410 )

PERMASTEELISA

   PERMASTEELISA EUR0.25           267,403  

PERNOD-RICARD NPV

   PERNOD-RICARD NPV           227,620  

PERVASIVE SOFTWARE INC

   PERVASIVE SOFTWARE INC           114,536  

PETROLEUM DEV CORP

   PETROLEUM DEV CORP           25,970  

PF CHANGS CHINA BISTRO INC

   PF CHANGS CHINA BISTRO INC COM           (83,490 )

PLIVA D.D. GDR

   PLIVA D.D. GDR EACH REP 20% OF           79,293  

POLARIS INDS PARTNERS INC

   POLARIS INDS PARTNERS INC COM           (87,900 )

POLARIS INDS PARTNERS INC

   POLARIS INDS PARTNERS INC COM           (521,540 )

POMEROY PUTER RES INC

   POMEROY COMPUTER RES INC COM           53,820  

PPL CORP

   PPL CORP COM           468,180  

PRECISION DRILLING CORP

   PRECISION DRILLING CORP COM           170,930  

PRIME MED SVCS INC NEW

   PRIME MED SVCS INC NEW COM           53,754  

PROCTER & GAMBLE CO

   PROCTER & GAMBLE CO COM           (575,798 )

PROMOTORA DE INFOR

   PROMOTORA DE INFOR EUR0.10           93,385  

PROTECTIVE LIFE CORP

   PROTECTIVE LIFE CORP COM           (104,576 )

PROVIDENT FINL HLDGS INC

   PROVIDENT FINL HLDGS INC COM           39,720  

PUMA AG NPV

   PUMA AG NPV           238,004  

QBE INS GROUP

   QBE INS GROUP A$1           135,585  

QLOGIC CORP

   QLOGIC CORP COM           (62,118 )

QLOGIC CORP

   QLOGIC CORP COM           (238,119 )

QUALM INC

   QUALCOMM INC           138,282  

QUALM INC

   QUALCOMM INC           131,004  

RADIO SHACK CORP

   RADIO SHACK CORP COM           (93,700 )

RAMSAY HEALTH CARE LTD

   RAMSAY HEALTH CARE LTD AUD0.10           150,338  

RANK GROUP

   RANK GROUP ORD10P           144,586  

RECKITT BENCKISER ORD

   RECKITT BENCKISER ORD 10 10/19           311,885  

RED HAT INC

   RED HAT INC COM           66,783  

RENAL CARE GROUP INC

   RENAL CARE GROUP INC COM           (297,416 )

RESEARCH IN MOTION LTD

   RESEARCH IN MOTION LTD COM           (157,440 )

RF MICRO DEVICES INC

   RF MICRO DEVICES INC COM           140,003  

RICHTER GEDEON VEGYESZLTI GYAR

   RICHTER GEDEON VEGYESZLTI GYAR           163,818  

RLI CORP

   RLI CORP           234,360  

RONA INC NPV

   RONA INC COM NPV           97,761  

ROSS SYS INC

   ROSS SYS INC COM NEW           45,646  

ROYAL APPLIANCE MFG CO

   ROYAL APPLIANCE MFG CO           72,700  

ROYAL BANK OF CANADA

   ROYAL BANK OF CANADA COM STK           153,798  

 

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Identity of Issuer


  

Description of Investment


   Cost

   Current Value

 

ROYAL BANK OF SCOTLAND GRP ORD

   ROYAL BANK OF SCOTLAND GRP ORD         $ 365,910  

ROYAL CARIBBEAN CRUISES LTD

   ROYAL CARIBBEAN CRUISES LTD           (115,230 )

ROYAL DUTCH PETE CO

   ROYAL DUTCH PETE CO EUR.56           299,352  

RUBY TUESDAY INC

   RUBY TUESDAY INC           (62,244 )

RYANAIR HOLDINGS PLC

   RYANAIR HOLDINGS PLC SPONSORED           199,716  

RYANAIR HOLDINGS PLC

   RYANAIR HOLDINGS PLC SPONSORED           184,953  

RYLAND GROUP INC

   RYLAND GROUP INC           (290,145 )

SAFEWAY INC

   SAFEWAY INC NEW COM           144,832  

SAMSUNG ELECTRONICS CO

   SAMSUNG ELECTRONICS CO GDR 144           262,500  

SAMSUNG ELECTRS

   SAMSUNG ELECTRS KSWN5000           135,020  

SAMSUNG ELECTRS

   SAMSUNG ELECTRS KSWN5000           148,257  

SANDERSON FARMS INC

   SANDERSON FARMS INC           81,549  

SAPPI LTD SPONS

   SAPPI LTD SPONS ADR NEW           26,453  

SATYAM COMPUTER

   SATYAM COMPUTER INR2 DEMAT           2,707  

SATYAM COMPUTER

   SATYAM COMPUTER SVCS LTD ADR           317,267  

SCHERING PLOUGH CORP

   SCHERING PLOUGH CORP COM           1,038,960  

SCHOLASTIC CORP

   SCHOLASTIC CORP COM           (165,370 )

SCHWARZ PHARMA ORD

   SCHWARZ PHARMA ORD NPV           99,177  

SCIENTIFIC ATLANTA INC

   SCIENTIFIC ATLANTA INC           (42,696 )

SECHE ENVIRONNEMENT

   SECHE ENVIRONNEMENT EUR0.20           118,048  

SERENA SOFTWARE INC

   SERENA SOFTWARE INC COM           (47,370 )

SERONO

   SERONO SA SPONS ADR           352,560  

SGS HOLDING

   SGS HOLDING SZF20(REGD)           309,886  

SHIMANO INC

   SHIMANO INC Y50           37,309  

SI CORP

   SI CORP KRW500           170,742  

SIGMA ALDRICH CORP

   SIGMA ALDRICH CORP           (131,490 )

SITEL CORP

   SITEL CORP           57,000  

SKYWORKS SOLUTIONS INC

   SKYWORKS SOLUTIONS INC           269,806  

SMURFIT-STONE CONTAINER CORP

   SMURFIT-STONE CONTAINER CORP           337,063  

SONIC HEALTHCARE LTD

   SONIC HEALTHCARE LTD           164,697  

SONY CORP NPV

   SONY CORP NPV           62,695  

SOUTHSIDE BANCSHARES INC

   SOUTHSIDE BANCSHARES INC           57,759  

SOUTHWEST AIRLS CO

   SOUTHWEST AIRLS CO COM           (119,540 )

SOUTHWEST BANCORP INC OKLA

   SOUTHWEST BANCORP INC OKLA           111,757  

SOVEREIGN BANCORP INC

   SOVEREIGN BANCORP INC COM           413,070  

SPARTAN MTRS INC

   SPARTAN MTRS INC           43,244  

SPDR

   SPDR TR UNIT SER 1 STANDARD &           (1,067,583 )

SPORTSMANS GUIDE INC

   SPORTSMANS GUIDE INC COM NEW           53,193  

SPRINT CORP

   SPRINT CORP PCS COM SER 1           (80,592 )

SPX CORP

   SPX CORP           (52,430 )

ST FRANCES CAP CORP

   ST FRANCES CAP CORP COM           112,416  

ST JUDE MED INC

   ST JUDE MED INC COM           361,452  

ST PAUL COS INC

   ST PAUL COS INC           354,120  

STAGECOACH GROUP PLC ORD

   STAGECOACH GROUP PLC ORD           91,593  

STAPLES INC

   STAPLES INC COM           102,480  

STARBUCKS CORP

   STARBUCKS CORP COM           (258,826 )

STATE FINL SERVICES CORP

   STATE FINL SERVICES CORP-A           33,982  

STATE STREET CORP

   STATE STREET CORP           (202,800 )

STATION CASINOS INC

   STATION CASINOS INC           81,420  

STEEL TECHNOLOGIES INC

   STEEL TECHNOLOGIES INC           106,848  

STEPAN CHEM CO

   STEPAN CHEM CO COM           140,000  

STERICYCLE INC

   STERICYCLE INC COM           (343,217 )

 

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Identity of Issuer


  

Description of Investment


   Cost

   Current Value

 

STONERIDGE INC

   STONERIDGE INC COM         $ 123,760  

STORA ENSO

   STORA ENSO OYJ SER ‘R’ NPV           141,255  

STRATASYS INC

   STRATASYS INC           89,770  

SUN PHARMACEUTICAL

   SUN PHARMACEUTICAL INR10 DEMAT           99,442  

SUNOCO INC

   SUNOCO INC COM           444,612  

SUNTRUST BKS INC

   SUNTRUST BKS INC           (187,836 )

SUPERIOR FINL CORP DEL

   SUPERIOR FINL CORP DEL COM           62,461  

SVENSKA CELLULOSA

   SVENSKA CELLULOSA SER’B’SWKR10           185,578  

SWIFT TRANSN INC

   SWIFT TRANSN INC COM           (70,063 )

T V X GOLD INC

   T V X GOLD INC COM NO PAR           101,238  

TATE & LYLE ORD

   TATE & LYLE ORD 25P           141,486  

TDC A/S

   TDC A/S DKK5           208,974  

TEAM INC

   TEAM INC           48,825  

TECHTRONIC INDUSTRIES ORD

   TECHTRONIC INDUSTRIES ORD           113,048  

TELE CORP OF NEW ZEALAND

   TELECOM CORP OF NEW ZEALAND           105,686  

TELE ITALIA SPA DI RISP

   TELECOM ITALIA SPA DI RISP           169,095  

TELEFONOS DE MEXICO SA

   TELEFONOS DE MEXICO SA ADR           137,514  

TENET HEALTHCARE CORP

   TENET HEALTHCARE CORP COM           419,840  

TERADYNE INC

   TERADYNE INC COM           362,979  

TESCO ORD

   TESCO ORD 5P           148,031  

TEXWINCA HLDGS

   TEXWINCA HLDGS HKD0.05           117,511  

TIFFANY & CO

   TIFFANY & CO NEW COM           (54,993 )

TIMBERLAND BANCORP INC

   TIMBERLAND BANCORP INC COM           9,125  

TIMBERLINE SOFTWARE CORP

   TIMBERLINE SOFTWARE CORP           21,168  

TITAN CEMENT CO

   TITAN CEMENT CO EUR2.4 (REGD)           89,148  

TODD SHIPYARDS CORP

   TODD SHIPYARDS CORP           53,505  

TOMRA SYSTEMS ASA

   TOMRA SYSTEMS ASA NOK1           74,442  

TRAVELSKY TECHNOLOGY

   TRAVELSKY TECHNOLOGY CL H CNY1           84,479  

TRINITY MIRROR ORD

   TRINITY MIRROR ORD 10P           53,810  

TSURUHA CO

   TSURUHA CO JPY50           203,063  

TYCO INTL LTD

   TYCO INTL LTD NEW COM           274,988  

U S XPRESS ENTERPRISES INC

   U S XPRESS ENTERPRISES INC           33,288  

UBS AG

   UBS AG CHF0.80 (REGD)           257,583  

UNI-CHARM

   UNI-CHARM Y50           127,008  

UNIBAIL S.A.

   UNIBAIL S.A. EUR5           123,302  

UNICREDITO ITALIAN

   UNICREDITO ITALIAN EUR0.50           263,082  

UNILEVER NV CVA

   UNILEVER NV CVA NLG1.12           319,500  

UNITED PARCEL SVC INC

   UNITED PARCEL SVC INC CL B           (346,940 )

UNIVERSAL STAINLESS & ALLOY

   UNIVERSAL STAINLESS & ALLOY           7,260  

UNIVISION MUNICATIONS INC

   UNIVISION COMMUNICATIONS INC           355,250  

UPONOR OYJ

   UPONOR OYJ EUR2           126,599  

USA INTERACTIVE

   USA INTERACTIVE           275,040  

USA INTERACTIVE

   USA INTERACTIVE           352,968  

USANA HEALTH SCIENCES INC

   USANA HEALTH SCIENCES INC           46,995  

USS

   USS JPY50           150,164  

UT STAR INC

   UT STARCOM INC COM           109,065  

V F CORP

   V F CORP COM           (219,905 )

V F CORP

   V F CORP COM           (176,645 )

VALLEY NATL BANCORP

   VALLEY NATL BANCORP           (50,103 )

VEDIOR CVA

   VEDIOR CVA EUR0.05           37,678  

VERISIGN INC

   VERISIGN INC COM           314,384  

VERISIGN INC

   VERISIGN INC COM           291,126  

 

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Description of Investment


   Cost

   Current Value

 

VIVENDI UNIVERSAL

   VIVENDI UNIVERSAL EUR5.5         $ 32,301  

VNU NV

   VNU NV EURO0.20           159,073  

VODAFONE GROUP PLC ORD

   VODAFONE GROUP PLC ORD USD0.10           369,192  

VODAFONE LIBERTEL NV

   VODAFONE LIBERTEL NV EUR.3           146,195  

VODAPHONE TELECEL-UNICACOES

   VODAPHONE TELECEL-COMUNICACOES           70,387  

WAH SANG GAS HLDGS

   WAH SANG GAS HLDGS HKD0.01           183,884  

WAL MART STORES INC

   WAL MART STORES INC COM           (90,918 )

WALGREEN CO

   WALGREEN CO           (344,442 )

WALGREEN CO

   WALGREEN CO           (475,797 )

WAREHOUSE GROUP LIMITED ORD

   WAREHOUSE GROUP LIMITED ORD           239,755  

WASTE MGMT INC DEL

   WASTE MGMT INC DEL COM           93,972  

WATER PIK TECHNOLOGIES INC

   WATER PIK TECHNOLOGIES INC COM           115,395  

WATERFORD WEDGEWOOD UTS

   WATERFORD WEDGEWOOD UTS           99,502  

WATSON PHARMACEUTICALS INC

   WATSON PHARMACEUTICALS INC COM           237,468  

WATSON PHARMACEUTICALS INC

   WATSON PHARMACEUTICALS INC COM           514,514  

WEBMD CORP

   WEBMD CORP           148,770  

WEBSENSE INC

   WEBSENSE INC COM           (175,160 )

WEIGHT WATCHERS INTL INC

   WEIGHT WATCHERS INTL INC           (317,193 )

WELLA AG NPV

   WELLA AG NPV           82,244  

WELLS FARGO & CO

   WELLS FARGO & CO NEW COM           (192,167 )

WENDYS INTL INC

   WENDYS INTL INC COM           (186,783 )

WESTERN DIGITAL CORP DEL

   WESTERN DIGITAL CORP DEL COM           101,601  

WHOLE FOODS MKT INC

   WHOLE FOODS MKT INC           (189,828 )

WILLBROS GROUP INC

   WILLBROS GROUP INC           162,756  

WILSON GREATBATCH TECHNOLOGIES

   WILSON GREATBATCH TECHNOLOGIES           (17,520 )

WOOD GROUP (JOHN) ORD

   WOOD GROUP (JOHN) ORD           97,212  

WORLD ACCEP CORP

   WORLD ACCEP CORP           109,584  

WSFS FINL CORP

   WSFS FINL CORP           89,019  

XILINX INC

   XILINX INC COM           (119,480 )

YAMANOUCHI PHARMACEUTICAL CO

   YAMANOUCHI PHARMACEUTICAL CO           168,130  

YAOKO CO

   YAOKO CO JPY50           85,211  

YELLOW CORP

   YELLOW CORP COM           234,276  

YUKOS CORP

   YUKOS CORP SPONSORED ADR           133,245  

ZAPATA CORP

   ZAPATA CORP COM PAR $           54,990  

ZAPF CREATION NPV

   ZAPF CREATION NPV           163,935  

99 CENTS ONLY STORES

   99 CENTS ONLY STORES           (61,778 )

RAYTHEON LIQUIDITY FUND

   RAYTHEON LIQUIDITY FUND           2,212,508  

RAYTHEON LIQUIDITY FUND

   RAYTHEON LIQUIDITY FUND           117,371  

DEEP MARINE TECH SER A WTS

   DEEP MARINE TECH SER A PRIV PL           43,600  

ABLE LABRATORIES INC

   ABLE LABRATORIES INC           68,672  

ACAMBIS PLC

   ACAMBIS PLC SPONSORED ADR           108,068  

ACETO CORP

   ACETO CORP           25,871  

ADVANCED NEUROMODULATION SYS

   ADVANCED NEUROMODULATION SYS           172,341  

AEROFLEX INC

   AEROFLEX INC           89,148  

AFFYMETRIX INC

   AFFYMETRIX INC OC-CAP STK           (98,427 )

AMERISOURCEBERGEN CORP

   AMERISOURCEBERGEN CORP COM           470,868  

AMSURG CORP

   AMSURG CORP COM           100,107  

ANALOGIC CORP

   ANALOGIC CORP COM PAR $0.05           64,369  

ANALOGIC CORP

   ANALOGIC CORP COM PAR $0.05           749,794  

ANHEUSER BUSCH COS INC

   ANHEUSER BUSCH COS INC COM           (377,520 )

ANSYS INC

   ANSYS INC COM           93,728  

ANTEON INTL CORP

   ANTEON INTL CORP           197,760  

 

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Identity of Issuer


  

Description of Investment


   Cost

   Current Value

 

ANTHEM INC

   ANTHEM INC COM         $ 372,997  

APPLIED FILMS CORP

   APPLIED FILMS CORP COM           104,548  

ARCH COAL INC

   ARCH COAL INC COM           1,038,479  

ARGONAUT GROUP INC

   ARGONAUT GROUP INC COM           35,695  

ARTESIAN RES CORP

   ARTESIAN RES CORP CL A           32,615  

ARTISAN COMPONENTS INC

   ARTISAN COMPONENTS INC           68,046  

ATLANTIC COAST AIRLS HLDGS INC

   ATLANTIC COAST AIRLS HLDGS INC           46,316  

AVID TECHNOLOGY INC

   AVID TECHNOLOGY INC COM           59,441  

AVOCENT CORP

   AVOCENT CORP COM           (159,984 )

AXCAN PHARMA INC

   AXCAN PHARMA INC COM           75,563  

BANK OF AMERICA CORP

   BANK OF AMERICA CORP           215,667  

BANKATLANTIC BANCORP INC

   BANKATLANTIC BANCORP INC CL A           104,612  

BANKUNITED FIN CORP

   BANKUNITED FIN CORP CL A           137,368  

BAYTEX ENERGY LTD

   BAYTEX ENERGY LTD COM           675,265  

BECTON DICKINSON & CO

   BECTON DICKINSON & CO COM           (211,761 )

BELO CORPORATION

   BELO CORPORATION           380,988  

BIOSITE INCORPORATED

   BIOSITE INCORPORATED COM           105,462  

BJ SVCS CO

   BJ SVCS CO COM           455,571  

BLUE RHINO CORP

   BLUE RHINO CORP COM           61,387  

BOSTON PRIVATE FINL HLDGS INC

   BOSTON PRIVATE FINL HLDGS INC           84,405  

BRIGHAM EXPL CO

   BRIGHAM EXPL CO COM           283,392  

BROWN TOM INC

   BROWN TOM INC NEW COM           353,910  

BRUNSWICK CORP

   BRUNSWICK CORP COM           (270,096 )

BURLINGTON RES

   BURLINGTON RES INC COM           601,365  

BUSINESS OBJECTS SA

   BUSINESS OBJECTS SA SPON ADR           347,700  

CACI INTL INC

   CACI INTL INC CL A           157,172  

CAL DIVE INTL

   CAL DIVE INTL INC COM           235,000  

CANADIAN 88 ENERGY CORP

   CANADIAN 88 ENERGY CORP COM NE           189,600  

CAREER ED CORP

   CAREER ED CORP COM           (376,000 )

CAREMARK RX INC

   CAREMARK RX INC COM           351,163  

CASE RES INC

   CASE RES INC           98,101  

CASELLA WASTE SYSTEMS INC

   CASELLA WASTE SYSTEMS INC           53,962  

CEPHALON INC

   CEPHALON INC COM           276,434  

CHARTER ONE FINL INC

   CHARTER ONE FINL INC           (255,697 )

CHATTEM INC

   CHATTEM INC COM           206,322  

CHECKERS DRIVE-IN RESTAURANT

   CHECKERS DRIVE-IN RESTAURANT           45,322  

CHESAPEAKE ENERGY CORP

   CHESAPEAKE ENERGY CORP COM           121,518  

CHIRON CORP

   CHIRON CORP COM           (650,480 )

CNF INC

   CNF INC           56,508  

COCA COLA CO

   COCA COLA CO COM           (407,526 )

COLGATE PALMOLIVE CO

   COLGATE PALMOLIVE CO           (419,440 )

CAST CORP

   COMCAST CORP NEW CL A SPL           203,310  

PUTER PROGRAMS & SYSTEMS

   COMPUTER PROGRAMS & SYSTEMS           2,724  

STOCK RES INC

   COMSTOCK RES INC NEW           143,066  

CONSOL ENERGY INC

   CONSOL ENERGY INC COM           1,095,552  

CONSTELLATION BRANDS

   CONSTELLATION BRANDS INC CL A           (270,294 )

CORINTHIAN COLLEGES

   CORINTHIAN COLLEGES INC COM           (159,012 )

COUNTRYWIDE FINANCIAL CORP

   COUNTRYWIDE FINANCIAL CORP COM           418,365  

COVANCE

   COVANCE INC COM           268,031  

CRESCENT PT ENERGY

   CRESCENT PT ENERGY LTD CL A           218,705  

CRYSTALLEX INTL CORP

   CRYSTALLEX INTL CORP           197,684  

CV THERAPEUTICS INC

   CV THERAPEUTICS INC COM           67,596  

 

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Identity of Issuer


  

Description of Investment


   Cost

   Current Value

 

D & K HEALTHCARE RES INC

   D & K HEALTHCARE RES INC COM         $ 143,067  

DANAHER CORP

   DANAHER CORP COM           (400,770 )

DELL COMPUTER CORP

   DELL COMPUTER CORP COM           304,836  

DIAL CORP NEW

   DIAL CORP NEW COM           46,851  

DOMINION RES INC

   DOMINION RES INC VA NEW COM           (631,350 )

DRILLERS TECHNOLOGY CORP

   DRILLERS TECHNOLOGY CORP COM           45,158  

EBAY INC

   EBAY INC COM           (1,037,646 )

EDO CORP

   EDO CORP           260,373  

EDO CORP

   EDO CORP           222,969  

EL PASO CORP

   EL PASO CORP COM           (203,232 )

EMULEX CORP

   EMULEX CORP NEW           (281,960 )

ENGINEERED SUPPORT SYS INC

   ENGINEERED SUPPORT SYS INC           84,685  

ENZO BIOCHEM INC

   ENZO BIOCHEM INC           (133,000 )

ESCO TECHNOLOGIES INC

   ESCO TECHNOLOGIES INC COM           167,980  

EVERGREEN RES INC

   EVERGREEN RES INC NO PAR           314,399  

EXACT SCIENCES CORP

   EXACT SCIENCES CORP COM           93,355  

EXACTECH INC

   EXACTECH INC           24,494  

EXPRESS SCRIPTS INC STK

   EXPRESS SCRIPTS INC COM STK           (619,716 )

FACTSET RESH SYS INC

   FACTSET RESH SYS INC           (124,388 )

FARGO ELECTRONICS INC

   FARGO ELECTRONICS INC COM           95,920  

FARGO ELECTRONICS INC

   FARGO ELECTRONICS INC COM           58,424  

FIRST HEALTH GROUP CORP

   FIRST HEALTH GROUP CORP COM           (277,590 )

FIRSTFED FINL CORP DEL

   FIRSTFED FINL CORP DEL COM           91,193  

FLEXTRONICS INTERNATIONAL LTD

   FLEXTRONICS INTERNATIONAL LTD           371,744  

FORTUNE BRANDS INC

   FORTUNE BRANDS INC COM           (199,993 )

FOUR SEASONS HOTELS LTD VTG

   FOUR SEASONS HOTELS LTD VTG           (158,200 )

FTI CONSULTING INC

   FTI CONSULTING INC COM           359,945  

GENERAL ELEC CO

   GENERAL ELEC CO COM           197,235  

GENESSE & WYO INC

   GENESSE & WYO INC CL A           110,602  

GILEAD SCIENCES INC

   GILEAD SCIENCES INC COM           149,600  

GLOBAL INDS LTD

   GLOBAL INDS LTD COM           81,315  

GOLD FIELDS LTD

   GOLD FIELDS LTD NEW SPON ADR           407,632  

GOLDCORP INC

   GOLDCORP INC NEW COM           356,160  

GOLDMAN SACHS GROUP INC

   GOLDMAN SACHS GROUP INC COM           589,746  

GREENPOINT FINL CORP

   GREENPOINT FINL CORP COM           (262,044 )

GTSI CORP

   GTSI CORP COM           45,865  

HANCOCK FABRIC INC

   HANCOCK FABRIC INC           57,950  

HANGER ORTHOPEDIC GROUP INC

   HANGER ORTHOPEDIC GROUP INC           131,237  

HANOVER PRESSOR CO

   HANOVER COMPRESSOR CO COM           564,570  

HARLEY DAVIDSON INC

   HARLEY DAVIDSON INC COM           (462,000 )

HARVEST NATURAL RESOURCES INC

   HARVEST NATURAL RESOURCES INC           454,725  

HCA INC

   HCA INC           312,910  

HEADWATERS INC

   HEADWATERS INC COM           179,916  

HERLEY INDS INC

   HERLEY INDS INC DEL           72,243  

HILLENBRAND INDS INC

   HILLENBRAND INDS INC COM           (294,691 )

HURRICANE HYDROCARBONS LTD

   HURRICANE HYDROCARBONS LTD           677,300  

ICON PUB LTD CO

   ICON PUB LTD CO SPONSORED ADR           174,108  

ICU MED INC

   ICU MED INC           193,401  

IDEC PHARMACEUTICALS CORP

   IDEC PHARMACEUTICALS CORP COM           (424,576 )

IGEN INTERNATIONAL INC

   IGEN INTERNATIONAL INC           199,253  

IMATION CORP

   IMATION CORP COM           213,988  

IMPAC MED SYS INC

   IMPAC MED SYS INC           61,486  

 

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Description of Investment


   Cost

   Current Value

 

IMPACT ENERGY INC

   IMPACT ENERGY INC         $ 110,141  

INDEPENDENT BK CORP

   INDEPENDENT BK CORP MICH           85,182  

INSIGNIA SYS INC

   INSIGNIA SYS INC           70,524  

INTEL CORP

   INTEL CORP           575,312  

INTERGRAPH CORP

   INTERGRAPH CORP           633,322  

INTL FLAVORS & FRAGRANCES INC

   INTL FLAVORS & FRAGRANCES INC           56,160  

INVERESK RESH GROUP INC

   INVERESK RESH GROUP INC           170,914  

ITRON INC

   ITRON INC           83,773  

J JILL GROUP INC

   J JILL GROUP INC COM           171,674  

JARDEN CORP

   JARDEN CORP           367,598  

JARDEN CORP

   JARDEN CORP           128,421  

JC PENNEY CO INC

   JC PENNEY CO INC COM           (342,849 )

JDS UNIPHASE CORP

   JDS UNIPHASE CORP COM           340,267  

JO-ANN STORES INC

   JO-ANN STORES INC CL A           84,300  

JOS A BANK CLOTHIERS INC

   JOS A BANK CLOTHIERS INC           92,529  

JOY GLOBAL INC

   JOY GLOBAL INC           52,472  

KB HOME

   KB HOME COM           (445,640 )

KEY ENERGY SERVICES INC

   KEY ENERGY SERVICES INC COM           137,600  

KICK ENERGY CORP

   KICK ENERGY CORP COM RSTD           226,611  

KOS PHARMECEUTICALS INC

   KOS PHARMECEUTICALS INC COM           113,050  

KROLL INC

   KROLL INC COM           119,250  

LABONE INC

   LABONE INC NEW COM           102,067  

LENNAR CORP

   LENNAR CORP COM           (443,760 )

LOUISIANA PAC CORP

   LOUISIANA PAC CORP COM           193,682  

LOWES COS INC

   LOWES COS INC COM           (303,750 )

MANDALAY RESORT GROUP

   MANDALAY RESORT GROUP COM           (661,176 )

MASSEY ENERGY CORP

   MASSEY ENERGY CORP COM           486,000  

MCDERMOTT INTL INC

   MCDERMOTT INTL INC COM           307,914  

MCMORAN EXPLORATION CO

   MCMORAN EXPLORATION CO           14,790  

MEDIMMUNE INC

   MEDIMMUNE INC COM           251,594  

MERCURY INTERACTIVE CORP

   MERCURY INTERACTIVE CORP           (346,905 )

MERIT MED SYS INC

   MERIT MED SYS INC COM           93,504  

MESA AIR GROUP INC

   MESA AIR GROUP INC           67,928  

MGM MIRAGE

   MGM MIRAGE           (649,509 )

MICROSOFT CORP

   MICROSOFT CORP COM           511,830  

MIRANT CORP

   MIRANT CORP COM           255,906  

MISSION RES CORP

   MISSION RES CORP COM           30,217  

MONSANTO CO

   MONSANTO CO NEW COM           302,225  

MOODYS CORP

   MOODYS CORP COM           (611,092 )

MOORE LTD

   MOORE LTD           174,356  

MOSSIMO INC

   MOSSIMO INC           80,960  

MTC TECHNOLOGIES INC

   MTC TECHNOLOGIES INC           84,249  

MURPHY OIL CORP

   MURPHY OIL CORP COM           (265,670 )

NAM TAI ELECTRS INC

   NAM TAI ELECTRS INC COM PAR           147,923  

NASDAQ 100

   NASDAQ 100 TR UNIT SER 1           (1,510,940 )

NAVIGO ENERGY INC

   NAVIGO ENERGY INC           155,868  

NEOWARE SYS INC

   NEOWARE SYS INC COM           81,110  

NEUROCRINE BIOSCIENCES INC

   NEUROCRINE BIOSCIENCES INC COM           (127,848 )

NEVSUN RES LTD

   NEVSUN RES LTD           214,994  

NEW CENTY FINL CORP

   NEW CENTY FINL CORP COM           (429,091 )

NEW YORK CMNTY BANCORP INC

   NEW YORK CMNTY BANCORP INC           (262,808 )

NEWFIELD EXPL CO

   NEWFIELD EXPL CO COM           1,474,323  

 

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Description of Investment


   Cost

   Current Value

 

NEWPARK RES INC

   NEWPARK RES INC PAR $0.01 NEW         $ 511,995  

NORTEL NETWORKS CORP

   NORTEL NETWORKS CORP NEW COM           428,485  

NORTHFORK BANCORPORATION INC

   NORTHFORK BANCORPORATION INC           (357,644 )

NOVAGOLD RESOURCES INC

   NOVAGOLD RESOURCES INC COM           197,246  

O’REILLY AUTOMOTIVE INC

   O’REILLY AUTOMOTIVE INC           (121,392 )

OCEANEERING INTL INC

   OCEANEERING INTL INC COM           159,820  

OIL TEC RES LTD

   OIL TEC RES LTD           141,790  

OLYMPIA ENERGY INC

   OLYMPIA ENERGY INC           370,692  

OMI CORP NEW

   OMI CORP NEW COM           253,176  

OSHKOSH TRUCK CORP

   OSHKOSH TRUCK CORP CL B           253,995  

PATINA OIL & GAS CORP

   PATINA OIL & GAS CORP           304,536  

PEABODY ENERGY CORP

   PEABODY ENERGY CORP COM           1,063,972  

PENN NATL GAMING INC

   PENN NATL GAMING INC COM           176,839  

PENN NATL GAMING INC

   PENN NATL GAMING INC COM           195,078  

PENN VA CORP

   PENN VA CORP           796,065  

PENN WEST PETE LTD

   PENN WEST PETE LTD COM NEW           521,648  

PFF BANCORP INC

   PFF BANCORP INC COM           98,438  

PHLX GOLD / SILVER INDEX

   PHLX GOLD / SILVER INDEX           160,000  

PINNACLE ENTMT INC

   PINNACLE ENTMT INC COM           51,282  

PITTSTON CO BRINKS GROUP

   PITTSTON CO BRINKS GROUP COM           261,677  

PLAINS EXPLORATION & PRODTN

   PLAINS EXPLORATION & PRODTN           239,850  

PLAINS RESOURCES INC

   PLAINS RESOURCES INC           291,510  

POLARIS INDS PARTNERS INC

   POLARIS INDS PARTNERS INC COM           (750,080 )

PRIMA ENERGY CORP

   PRIMA ENERGY CORP PAR $0.015           158,756  

PROCTER & GAMBLE CO

   PROCTER & GAMBLE CO COM           (833,618 )

PROTECTIVE LIFE CORP

   PROTECTIVE LIFE CORP COM           (151,360 )

QLOGIC CORP

   QLOGIC CORP COM           (341,649 )

QUALM INC

   QUALCOMM INC           200,145  

QUANEX CORP

   QUANEX CORP           145,390  

R & G FINANCIAL

   R & G FINANCIAL           221,340  

R H DONNELLEY CORP

   R H DONNELLEY CORP COM NEW           587,959  

RARE HOSPITALITY INTL INC

   RARE HOSPITALITY INTL INC COM           107,994  

REAL RES INC

   REAL RES INC           135,587  

REGENERATION TECH INC

   REGENERATION TECH INC DEL COM           30,053  

REMINGTON OIL & GAS CORP

   REMINGTON OIL & GAS CORP COM           461,121  

RENAL CARE GROUP INC

   RENAL CARE GROUP INC COM           (427,140 )

RF MICRO DEVICES INC

   RF MICRO DEVICES INC COM           200,842  

RIGHT MGMT CONSULTANS INC

   RIGHT MGMT CONSULTANS INC COM           64,660  

RIO ALTO RES INTL INC

   RIO ALTO RES INTL INC           91,151  

ROADWAY CORPORATION

   ROADWAY CORPORATION           118,160  

RYLAND GROUP INC

   RYLAND GROUP INC           (416,875 )

S & P 500 INDEX

   S & P 500 INDEX           291,000  

SAFENET INC

   SAFENET INC COM           60,587  

SAFEWAY INC

   SAFEWAY INC NEW COM           207,904  

SCANSOURCE INC

   SCANSOURCE INC COM           84,303  

SCHEIN HENRY INC

   SCHEIN HENRY INC COM           317,700  

SCHLUMBERGER LTD

   SCHLUMBERGER LTD COM           471,408  

SCHOLASTIC CORP

   SCHOLASTIC CORP COM           (237,270 )

SEACOAST FINL SVCS CORP

   SEACOAST FINL SVCS CORP COM           99,054  

SERENA SOFTWARE INC

   SERENA SOFTWARE INC COM           (67,897 )

SIERRA HEALTH SVCS INC

   SIERRA HEALTH SVCS INC COM           161,535  

SILGAN HLDGS INC

   SILGAN HLDGS INC COM           40,722  

 

58


Table of Contents

Identity of Issuer


  

Description of Investment


   Cost

   Current Value

 

SKYWORKS SOLUTIONS INC

   SKYWORKS SOLUTIONS INC         $ 350,834  

SMITH INTL INC

   SMITH INTL INC COM           489,300  

SPDR

   SPDR TR UNIT SER 1 STANDARD &           (1,535,202 )

STAPLES INC

   STAPLES INC COM           146,400  

STARBUCKS CORP

   STARBUCKS CORP COM           (372,954 )

STATE STREET CORP

   STATE STREET CORP           (292,500 )

STERICYCLE INC

   STERICYCLE INC COM           (492,161 )

STERLING BANCSHARES INC

   STERLING BANCSHARES INC           100,632  

STILLWATER MNG CO

   STILLWATER MNG CO COM           164,780  

SUNTRUST BKS INC

   SUNTRUST BKS INC           (267,524 )

TELLABS INC

   TELLABS INC COM           440,053  

TEMPEST ENERGY CORP

   TEMPEST ENERGY CORP CL A           183,710  

TETRA TECHNOLOGIES INC

   TETRA TECHNOLOGIES INC DEL COM           60,050  

TIER TECHNOLOGIES INC

   TIER TECHNOLOGIES INC CL B           80,800  

TIER TECHNOLOGIES INC

   TIER TECHNOLOGIES INC CL B           577,920  

TMBR/SHARP DRILLING INC

   TMBR/SHARP DRILLING INC           173,200  

TMP WORLDWIDE INC

   TMP WORLDWIDE INC COM           238,076  

TRACTOR SUPPLY CO

   TRACTOR SUPPLY CO           428,640  

TRANSOCEAN INC

   TRANSOCEAN INC           464,000  

TREASURE IS

   TREASURE IS RTY TR TR UT           60,363  

TRIMERIS INC

   TRIMERIS INC COM           474,852  

UNITED ONLINE INC

   UNITED ONLINE INC COM           129,282  

UNIVERSAL COMPRESSION HLDGS

   UNIVERSAL COMPRESSION HLDGS           351,992  

UPTON RESOURCES INC

   UPTON RESOURCES INC           366,455  

USA INTERACTIVE

   USA INTERACTIVE           243,640  

V F CORP

   V F CORP COM           (255,955 )

VERISIGN INC

   VERISIGN INC COM           228,410  

VERITY INC

   VERITY INC COM           67,892  

VERMILION RES LTD

   VERMILION RES LTD COM           1,005,292  

VERSITY LTD SHS

   VERSITY LTD SHS           64,995  

WALGREEN CO

   WALGREEN CO           (685,965 )

WALTER INDS INC

   WALTER INDS INC COM           510,851  

WEIGHT WATCHERS INTL INC

   WEIGHT WATCHERS INTL INC           (455,103 )

WELLS FARGO & CO

   WELLS FARGO & CO NEW COM           (276,533 )

WESTERN GAS RES INC

   WESTERN GAS RES INC           1,035,485  

WILLIAMS CLAYTON ENERGY INC

   WILLIAMS CLAYTON ENERGY INC           254,940  

WILLIAMS COS INC

   WILLIAMS COS INC COM           270,000  

X CAL RES LTD

   X CAL RES LTD           21,667  

XTO ENERGY INC

   XTO ENERGY INC COM           521,170  

TC PIPELNS LP UT LP INT

   TC PIPELNS LP UT COM LP INT           83,621  

RAYTHEON LIQUIDITY FUND

   RAYTHEON LIQUIDITY FUND           1,358,259  

RAYTHEON LIQUIDITY FUND

   RAYTHEON LIQUIDITY FUND           542,900  

RAYTHEON LIQUIDITY FUND

   RAYTHEON LIQUIDITY FUND           1,574,933  

RAYTHEON LIQUIDITY FUND

   RAYTHEON LIQUIDITY FUND           128,165  

ACCENTURE LTD

   ACCENTURE LTD BERMUDA CL A           41,377  

ACQUITY BRANDS INC

   ACQUITY BRANDS INC           105,612  

ADVANTA CORP

   ADVANTA CORP CL A           54,784  

AES CORP

   AES CORP COM           302,000  

AETNA INC NEW

   AETNA INC COM NEW           870,716  

ALBEMARLE CORP

   ALBEMARLE CORP           258,895  

ALBERTSONS INC

   ALBERTSONS INC COM           560,952  

AMAZON. INC

   AMAZON.COM INC COM           878,385  

 

59


Table of Contents

Identity of Issuer


  

Description of Investment


   Cost

   Current Value

AMCOL INTERNATIONAL CORP

  

AMCOL INTERNATIONAL CORP

        $ 77,140

AMERADA HESS CORP

  

AMERADA HESS CORP COM

          324,795

AMERICAN HOME MTG HLDGS INC

  

AMERICAN HOME MTG HLDGS INC

          605,000

AMERICAN MGMT SYS INC

  

AMERICAN MGMT SYS INC COM

          95,920

AMERICAN MTG ACCEP CO

  

AMERICAN MTG ACCEP CO SH BEN

          291,663

AMERICAN NATL INS CO

  

AMERICAN NATL INS CO

          180,444

AMERICAN PHYSICIANS CAP INC

  

AMERICAN PHYSICIANS CAP INC

          793,782

AMERIPATH INC

  

AMERIPATH INC

          325,725

AMERON INTERNATIONAL CORP

  

AMERON INTERNATIONAL CORP

          198,540

AMERUS GROUP CO

  

AMERUS GROUP CO COM

          163,966

ANALYSTS INTL CORP

  

ANALYSTS INTL CORP

          215,028

AOL TIME WARNER INC

  

AOL TIME WARNER INC COM

          444,090

AON CORP

  

AON CORP COM

          948,278

ASHLAND INC

  

ASHLAND INC

          427,237

ASHLAND INC

  

ASHLAND INC

          174,033

ASTORIA FINL CORP

  

ASTORIA FINL CORP COM

          314,940

ASTRO MED INC

  

ASTRO MED INC NEW

          96,640

ATLANTIC COAST AIRLS HLDGS INC

  

ATLANTIC COAST AIRLS HLDGS INC

          129,924

BANDAG INC

  

BANDAG INC

          201,136

BANK ONE CORP

  

BANK ONE CORP COM

          657,900

BANK UTD CORP LITIGATION

  

BANK UTD CORP LITIGATION

          190

BANKATLANTIC BANCORP INC

  

BANKATLANTIC BANCORP INC CL A

          240,030

BANKATLANTIC BANCORP INC

  

BANKATLANTIC BANCORP INC CL A

          115,290

BANTA CORP

  

BANTA CORP

          190,747

BAXTER INTL INC

  

BAXTER INTL INC COM

          243,600

BEAR STEARNS COS INC

  

BEAR STEARNS COS INC COM

          285,120

BECKMAN COULTER INC

  

BECKMAN COULTER INC COM

          191,880

BEDFORD PPTY

  

BEDFORD PPTY INVS COM PAR$0.02

          220,934

BOB EVANS FARMS INC

  

BOB EVANS FARMS INC

          196,140

BOEING CO

  

BOEING CO COM

          672,996

BOSTON ACOUSTICS INC

  

BOSTON ACOUSTICS INC

          28,800

BOWNE & CO INC

  

BOWNE & CO INC COM

          886,989

BRIGGS & STRATTON CORP

  

BRIGGS & STRATTON CORP

          178,374

BROOKLINE BANCORP INC

  

BROOKLINE BANCORP INC DEL

          220,269

BRUNSWICK CORP

  

BRUNSWICK CORP COM

          244,278

CAPITAL ONE FINL CORP

  

CAPITAL ONE FINL CORP

          243,704

CARAUSTAR INDS INC

  

CARAUSTAR INDS INC

          342,228

CATO CORP

  

CATO CORP CL A

          118,745

CENTURYTEL INC

  

CENTURYTEL INC COM

          132,210

CERES GROUP INC

  

CERES GROUP INC COM

          73,920

CHECKPOINT SYS INC

  

CHECKPOINT SYS INC COM

          135,454

CIT GROUP INC

  

CIT GROUP INC

          981,470

CITIGROUP INC

  

CITIGROUP INC COM

          524,331

CITIZENS SOUTH BKG CORP

  

CITIZENS SOUTH BKG CORP DEL

          137,700

CNF INC

  

CNF INC

          919,086

COASTAL BANCORP INC

  

COASTAL BANCORP INC

          284,680

COHU INC

  

COHU INC

          252,840

COLLINS INDS INC

  

COLLINS INDS INC

          39,375

COLONIAL BANCGROUP INC

  

COLONIAL BANCGROUP INC COM

          102,598

CAST CORP NEW

  

COMCAST CORP NEW CL A

          332,337

MERCE BANCSHARES INC

  

COMMERCE BANCSHARES INC

          203,561

MERCIAL METALS CO

  

COMMERCIAL METALS CO

          217,616

 

60


Table of Contents

Identity of Issuer


  

Description of Investment


   Cost

   Current Value

MONWEALTH INDS INC

  

COMMONWEALTH INDS INC DEL COM

        $ 206,949

MUNITY BK SYS INC

  

COMMUNITY BK SYS INC COM

          56,430

PUTER ASSOC INTL INC

  

COMPUTER ASSOC INTL INC COM

          1,639,575

COOPER INDUSTRIES LTD

  

COOPER INDUSTRIES LTD

          1,124,483

COOPER TIRE & RUBR CO

  

COOPER TIRE & RUBR CO

          196,352

COORS ADOLPH CO

  

COORS ADOLPH CO CL B

          214,375

CPI CORP

  

CPI CORP

          702,765

CRESCENT REAL ESTATE EQUITIES

  

CRESCENT REAL ESTATE EQUITIES

          124,800

CUBIC CORP

  

CUBIC CORP COM

          298,566

CUMMINS INC

  

CUMMINS INC COM

          168,780

CYTEC INDS INC

  

CYTEC INDS INC COM

          928,202

DEB SHOPS INC

  

DEB SHOPS INC

          156,581

DELUXE CORP

  

DELUXE CORP COM

          433,630

DILLARDS INC

  

DILLARDS INC CL A COM

          103,090

DILLARDS INC

  

DILLARDS INC CL A COM

          863,974

DIXIE GROUP INC

  

DIXIE GROUP INC CL A

          404,156

DOLE FOOD INC

  

DOLE FOOD INC COM

          302,994

DONNELLEY R R & SONS CO

  

DONNELLEY R R & SONS CO COM

          226,408

DOVER DOWNS GAMING & ENTNT INC

  

DOVER DOWNS GAMING & ENTNT INC

          111,807

DOWNEY FINL CORP

  

DOWNEY FINL CORP COM

          163,800

DUKE ENERGY CORP

  

DUKE ENERGY CORP COM

          68,390

EASTERN CO

  

EASTERN CO

          315,172

EASTMAN KODAK CO

  

EASTMAN KODAK CO COM

          812,928

EBAY INC

  

EBAY INC COM

          88,166

ENTERGY CORP

  

ENTERGY CORP NEW COM

          182,360

ESTERLINE TECHNOLOGIES CORP

  

ESTERLINE TECHNOLOGIES CORP

          81,282

ESTERLINE TECHNOLOGIES CORP

  

ESTERLINE TECHNOLOGIES CORP

          627,285

FALCON PRODS INC

  

FALCON PRODS INC

          179,820

FANNIE MAE

  

FANNIE MAE

          443,877

FIRSTFED FINL CORP

  

FIRSTFED FINL CORP DEL COM

          138,960

FMC CORP

  

FMC CORP NEW COM

          81,960

FMC CORP

  

FMC CORP NEW COM

          743,787

FOOTSTAR INC

  

FOOTSTAR INC COM

          23,664

FRANKLIN BANCORP INC

  

FRANKLIN BANCORP INC MICH

          18,251

FREQUENCY ELECTRS INC

  

FREQUENCY ELECTRS INC

          547,305

FRIEDMAN BILLINGS RAMSEY GROUP

  

FRIEDMAN BILLINGS RAMSEY GROUP

          137,592

FRONTIER OIL CORP

  

FRONTIER OIL CORP COM

          368,508

GENERAL ELEC CO

  

GENERAL ELEC CO COM

          90,095

GENERAL MOTORS CORP

  

GENERAL MOTORS CORP CL H NEW

          187,250

GOODRICH CORP

  

GOODRICH CORP

          194,192

GREENPOINT FINL CORP

  

GREENPOINT FINL CORP COM

          320,778

GTECH HLDGS CORP

  

GTECH HLDGS CORP COM

          390,040

HARDINGE INC

  

HARDINGE INC

          136,950

HARSCO CORP

  

HARSCO CORP

          271,065

HASBRO INC

  

HASBRO INC COM

          790,886

HEALTH NET INC

  

HEALTH NET INC

          813,780

HEALTH NET INC

  

HEALTH NET INC

          369,600

HELIX TECHNOLOGY CORP

  

HELIX TECHNOLOGY CORP

          706,720

HEWLETT PACKARD CO

  

HEWLETT PACKARD CO COM

          873,208

HIBERNIA CORP

  

HIBERNIA CORP CL A COM

          127,116

HOME DEPOT INC

  

HOME DEPOT INC COM

          309,084

HOSPITALITY PPTYS

  

HOSPITALITY PPTYS TR COM SHS

          102,080

 

61


Table of Contents

Identity of Issuer


  

Description of Investment


   Cost

   Current Value

HUNTINGTON BANCSHARES INC

  

HUNTINGTON BANCSHARES INC

        $ 209,552

IBM CORP

  

IBM CORP COM

          395,250

ICN PHARMACEUTICALS INC

  

ICN PHARMACEUTICALS INC NEW

          183,288

IKON OFFICE SOLUTIONS INC

  

IKON OFFICE SOLUTIONS INC COM

          58,630

IMATION CORP

  

IMATION CORP COM

          315,720

INGLES MKTS INC

  

INGLES MKTS INC CL A

          44,722

INTER TEL INC

  

INTER TEL INC COM

          261,375

INTERFACE INC

  

INTERFACE INC CL A

          4,912

INTERMET CORP

  

INTERMET CORP

          232,260

INTERNATIONAL ALUM CORP

  

INTERNATIONAL ALUM CORP

          107,198

INTERSTATE BAKERIES CORP

  

INTERSTATE BAKERIES CORP DEL

          161,650

IOMEGA CORP

  

IOMEGA CORP COM NEW

          67,510

IPC HOLDINGS LTD

  

IPC HOLDINGS LTD COM

          1,132,286

ISTAR FINL INC

  

ISTAR FINL INC

          316,965

J P MORGAN CHASE & CO

  

J P MORGAN CHASE & CO COM

          506,400

JOHNSON CTLS INC

  

JOHNSON CTLS INC COM

          160,340

KLAMATH FIRST BANCORP INC

  

KLAMATH FIRST BANCORP INC COM

          430,408

KOGER EQUITY INC

  

KOGER EQUITY INC COM

          191,880

KROGER CO

  

KROGER CO COM

          673,620

LAFARGE NORTH AMERICA INC

  

LAFARGE NORTH AMERICA INC

          118,260

LANDAMERICA FINL GROUP INC

  

LANDAMERICA FINL GROUP INC

          134,710

LANDRYS RESTAURANTS INC

  

LANDRYS RESTAURANTS INC

          261,252

LEAR CORP

  

LEAR CORP COM

          226,304

LLOYDS TSB GROUP ORD

  

LLOYDS TSB GROUP ORD 25P

          402,807

LOEWS CORP

  

LOEWS CORP COM

          831,402

LSI INDS INC OHIO

  

LSI INDS INC OHIO COM

          246,530

LUBRIZOL CORP

  

LUBRIZOL CORP

          271,450

LUFKIN INDS INC

  

LUFKIN INDS INC COM

          93,800

MARATHON OIL CORP

  

MARATHON OIL CORP

          617,410

MCKESSON CORP

  

MCKESSON CORP COM

          513,570

MCSI INC

  

MCSI INC COM

          339,625

MEMBERWORKS INC

  

MEMBERWORKS INC

          224,750

MENTOR CORP MINN

  

MENTOR CORP MINN COM

          277,200

MENTOR GRAPHICS CORP

  

MENTOR GRAPHICS CORP COM

          32,226

MERIDIAN BIOSCIENCE INC

  

MERIDIAN BIOSCIENCE INC COM

          156,864

MET PRO CORP

  

MET PRO CORP

          401,096

MGIC INVT CORP

  

MGIC INVT CORP WIS COM

          615,370

MISONIX INC

  

MISONIX INC COM

          362,285

MOCON INC

  

MOCON INC COM

          114,842

MONSANTO CO

  

MONSANTO CO NEW COM

          1,534,706

NACCO INDS INC

  

NACCO INDS INC CL A

          925,736

NATIONAL HEALTH INVS INC

  

NATIONAL HEALTH INVS INC COM

          118,992

NCR CORP NEW

  

NCR CORP NEW

          118,700

NEXTEL MUNICATIONS INC

  

NEXTEL COMMUNICATIONS INC CL A

          972,510

NN INC

  

NN INC COM

          952,047

NORTHEAST UTILS

  

NORTHEAST UTILS COM

          259,407

NOVELL INC

  

NOVELL INC

          69,138

NSTAR

  

NSTAR COM

          270,779

NVR INC

  

NVR INC

          358,050

NYMAGIC INC

  

NYMAGIC INC

          336,485

OLD REP INTL CORP

  

OLD REP INTL CORP COM

          308,000

ONE LIBERTY PPTYS INC

  

ONE LIBERTY PPTYS INC

          297,208

 

62


Table of Contents

Identity of Issuer


  

Description of Investment


   Cost

   Current Value

OWENS ILL INC

  

OWENS ILL INC NEW

        $ 227,448

PACIFICARE HEALTH SYS INC

  

PACIFICARE HEALTH SYS INC DEL

          365,300

PARK ELECTROCHEMICAL CORP

  

PARK ELECTROCHEMICAL CORP COM

          295,680

PARTNERS TR FINL GROUP

  

PARTNERS TR FINL GROUP COM

          241,800

PATINA OIL & GAS CORP

  

PATINA OIL & GAS CORP

          245,288

PFF BANCORP INC

  

PFF BANCORP INC COM

          118,750

PHILLIPS VAN HEUSEN CORP

  

PHILLIPS VAN HEUSEN CORP COM

          167,620

PLAN VISTA CORP

  

PLAN VISTA CORP COM

          205,440

PMI GROUP INC

  

PMI GROUP INC

          234,312

PNM RES INC

  

PNM RES INC

          73,842

POPE & TALBOT INC

  

POPE & TALBOT INC

          423,522

PPL CORP

  

PPL CORP COM

          204,612

PSYCHMEDICS CORP

  

PSYCHMEDICS CORP

          224,853

PUGET ENERGY INC

  

PUGET ENERGY INC NEW

          200,655

PULTE HOMES INC

  

PULTE HOMES INC COM

          167,545

PXRE GROUP LTD

  

PXRE GROUP LTD

          901,600

QUAKER CHEM CORP

  

QUAKER CHEM CORP COM

          178,640

QWEST MUNICATIONS INTL INC

  

QWEST COMMUNICATIONS INTL INC

          655,000

RADIAN GROUP INC

  

RADIAN GROUP INC

          931,536

RAIT INVT TR

  

RAIT INVT TR COM

          30,240

RICHARDSON ELECTRS LTD

  

RICHARDSON ELECTRS LTD

          597,540

ROADWAY CORPORATION

  

ROADWAY CORPORATION

          242,946

ROBBINS & MYERS INC

  

ROBBINS & MYERS INC COM

          211,600

RYDER SYS INC

  

RYDER SYS INC COM

          242,352

RYLAND GROUP INC

  

RYLAND GROUP INC

          226,780

SALTON INC

  

SALTON INC COM

          54,834

SCOTTISH ANNUITY & LIFE HLDGS

  

SCOTTISH ANNUITY & LIFE HLDGS

          214,635

SEMPRA ENERGY

  

SEMPRA ENERGY COM

          333,465

SHAW GROUP INC

  

SHAW GROUP INC COM

          180,950

SHOPKO STORES INC

  

SHOPKO STORES INC COM

          179,280

SOLA INTL INC

  

SOLA INTL INC COM

          201,500

SONIC AUTOMATIC INC

  

SONIC AUTOMATIC INC COM

          190,336

SOVEREIGN BANCORP INC

  

SOVEREIGN BANCORP INC COM

          309,100

SPAN AMER MED SYS INC

  

SPAN AMER MED SYS INC

          138,976

STEWART ENTERPRISES INC

  

STEWART ENTERPRISES INC CL A

          95,821

STORAGE TECHNOLOGY CORP

  

STORAGE TECHNOLOGY CORP COM

          336,294

STRIDE RITE CORP

  

STRIDE RITE CORP COM

          157,023

SUN HYDRAULICS CORP

  

SUN HYDRAULICS CORP COM

          104,000

SUNRISE ASSISTED LIVING INC

  

SUNRISE ASSISTED LIVING INC

          131,917

SUPERVALU INC

  

SUPERVALU INC COM

          232,791

SYKES ENTERPRISES INC

  

SYKES ENTERPRISES INC COM

          65,272

SYSTEMS & PUTER TECHNOLOGY

  

SYSTEMS & COMPUTER TECHNOLOGY

          48,160

TASTY BAKING CO

  

TASTY BAKING CO

          57,420

TECUMSEH PRODS CO

  

TECUMSEH PRODS CO CL A

          154,455

TELLABS INC

  

TELLABS INC COM

          558,154

TENET HEALTHCARE CORP

  

TENET HEALTHCARE CORP COM

          298,480

TENNANT CO

  

TENNANT CO

          277,100

TIERONE CORP

  

TIERONE CORP

          166,760

TIMBERLINE SOFTWARE CORP

  

TIMBERLINE SOFTWARE CORP

          105,252

TOLL BROS INC

  

TOLL BROS INC COM

          181,800

TRANSTECHNOLOGY CORP

  

TRANSTECHNOLOGY CORP COM

          868,792

TSAKOS ENERGY NAVIGATOIN LTD

  

TSAKOS ENERGY NAVIGATOIN LTD

          417,420

 

63


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Identity of Issuer


  

Description of Investment


   Cost

   Current Value

 

TYCO INTL LTD NEW

  

TYCO INTL LTD NEW COM

        $ 1,151,192  

TYSON FOODS INC

  

TYSON FOODS INC CL A

          31,416  

U S FREIGHTWAYS CORP

  

U S FREIGHTWAYS CORP COM

          57,500  

UGI CORP NEW

  

UGI CORP NEW COM

          261,730  

UMB FINL CORP

  

UMB FINL CORP

          72,313  

UNIONBANCAL CORP

  

UNIONBANCAL CORP

          298,452  

UNITED GUARDIAN INC

  

UNITED GUARDIAN INC

          107,520  

UNITED HEALTH GROUP INC

  

UNITED HEALTH GROUP INC COM

          1,002,000  

UNIVERSAL CORP VA

  

UNIVERSAL CORP VA

          173,712  

US ONCOLOGY INC

  

US ONCOLOGY INC COM

          219,351  

USA INTERACTIVE

  

USA INTERACTIVE

          595,920  

UST INC

  

UST INC COM

          297,527  

VARCO INTERNATIONAL INC

  

VARCO INTERNATIONAL INC COM

          153,120  

W HLDG CO INC

  

W HLDG CO INC COM

          260,919  

WASHINGTON FEDERAL INC

  

WASHINGTON FEDERAL INC

          226,881  

WASHINGTON MUTUAL INC

  

WASHINGTON MUTUAL INC COM

          821,814  

WASHINGTON MUTUAL INC

  

WASHINGTON MUTUAL INC COM

          860,660  

WASTE MGMT INC DEL

  

WASTE MGMT INC DEL COM

          715,104  

WELLS FINL CORP

  

WELLS FINL CORP

          318,990  

WESTCORP

  

WESTCORP

          224,700  

WHIRLPOOL CORP

  

WHIRLPOOL CORP COM

          250,656  

WISCONSIN ENERGY CORP

  

WISCONSIN ENERGY CORP COM

          216,720  

WOODHEAD DANIEL INC

  

WOODHEAD DANIEL INC

          319,790  

WPP GRP PLC

  

WPP GRP PLC SPONSORED ADR NEW

          454,560  

YORK INTL CORP

  

YORK INTL CORP NEW COM

          202,003  

RAYTHEON LIQUIDITY FUND

  

RAYTHEON LIQUIDITY FUND

          476,127  

RAYTHEON LIQUIDITY FUND

  

RAYTHEON LIQUIDITY FUND

          197,269  

ABBOTT LABS

  

ABBOTT LABS COM

          232,000  

ABBOTT LABS

  

ABBOTT LABS COM

          944,000  

ABGENIX INC

  

ABGENIX INC COM

          57,486  

ABGENIX INC

  

ABGENIX INC COM

          26,458  

ACTELION

  

ACTELION CHF2.50

          26,470  

ADVANCED NEUROMODULATION SYS

  

ADVANCED NEUROMODULATION SYS

          175,500  

AKZO NOBEL N.V.

  

AKZO NOBEL N.V. ADR

          829,140  

ALEXION PHARMACEUTICALS INC

  

ALEXION PHARMACEUTICALS INC

          338,880  

ALEXION PHARMACEUTICALS INC

  

ALEXION PHARMACEUTICALS INC

          39,536  

ALKERMES INC

  

ALKERMES INC COM

          92,859  

ALLERGAN INC

  

ALLERGAN INC COM

          184,384  

ALLERGAN INC

  

ALLERGAN INC COM

          172,860  

AMERISOURCEBERGEN CORP

  

AMERISOURCEBERGEN CORP COM

          71,689  

AMERISOURCEBERGEN CORP

  

AMERISOURCEBERGEN CORP COM

          373,653  

AMERISOURCEBERGEN CORP

  

AMERISOURCEBERGEN CORP COM

          108,620  

AMGEN INC

  

AMGEN INC

          217,530  

AMGEN INC

  

AMGEN INC

          932,962  

AMGEN INC

  

AMGEN INC

          364,000  

AMGEN INC

  

AMGEN INC

          538,508  

AMGEN INC

  

AMGEN INC

          3,150  

AMGEN INC

  

AMGEN INC

          4,875  

AMYLIN PHARMACEUTICALS INC

  

AMYLIN PHARMACEUTICALS INC COM

          40,350  

ANTHEM INC

  

ANTHEM INC

          (1,200 )

ANTHEM INC

  

ANTHEM INC COM

          262,922  

ANTHEM INC

  

ANTHEM INC COM

          380,545  

 

64


Table of Contents

Identity of Issuer


  

Description of Investment


   Cost

   Current Value

 

ANTHEM INC

  

ANTHEM INC COM

        $ 496,910  

APPLERA CORP-CELERA GENOMICS

  

APPLERA CORP-CELERA GENOMICS

          72,676  

ARGOSY GAMING CO

  

ARGOSY GAMING CO COM

          212,773  

ARGOSY GAMING CO

  

ARGOSY GAMING CO COM

          (212,773 )

ASPECT MED SYS INC

  

ASPECT MED SYS INC COM

          23,052  

ASTRAZENECA PLC

  

ASTRAZENECA PLC SPONSORED ADR

          (39,652 )

ATS MED INC

  

ATS MED INC

          28,305  

AVENTIS

  

AVENTIS SPONSORED ADR

          904,973  

BAUSCH & LOMB INC

  

BAUSCH & LOMB INC COM

          36,000  

BAXTER INTL INC

  

BAXTER INTL INC COM

          25,200  

BAYER A G

  

BAYER A G SPONSORED ADR

          569,395  

BIOGEN INC

  

BIOGEN INC COM

          64,096  

BIOGEN INC

  

BIOGEN INC COM

          (40,861 )

BIOGEN INC

  

BIOGEN INC COM

          942,612  

BIOMARIN PHARMACEUTICAL

  

BIOMARIN PHARMACEUTICAL COM

          7,755  

BIOMET INC

  

BIOMET INC COM

          28,660  

BIOSITE INCORPORATED

  

BIOSITE INCORPORATED COM

          (101,720 )

BIOVAIL CORP

  

BIOVAIL CORP COM

          10,564  

BITOECH HOLDERS TR DEPOSITORY

  

BITOECH HOLDERS TR DEPOSITORY

          (152,631 )

BITOECH HOLDERS TR DEPOSITORY

  

BITOECH HOLDERS TR DEPOSITORY

          (615,597 )

BOSTON SCIENTIFIC CORP

  

BOSTON SCIENTIFIC CORP

          1,870  

BOSTON SCIENTIFIC CORP

  

BOSTON SCIENTIFIC CORP COM

          190,490  

BOSTON SCIENTIFIC CORP

  

BOSTON SCIENTIFIC CORP COM

          238,112  

BRISTOL MYERS SQUIBB CO

  

BRISTOL MYERS SQUIBB CO COM

          537,080  

BRUKER DALTONICS INC

  

BRUKER DALTONICS INC COM

          (58,028 )

CARDIAC SCIENCE INC

  

CARDIAC SCIENCE INC COM NEW

          195,143  

CARDINAL HEALTH INC

  

CARDINAL HEALTH INC COM

          112,461  

CAREMARK RX INC

  

CAREMARK RX INC COM

          184,763  

CAREMARK RX INC

  

CAREMARK RX INC COM

          116,513  

CELGENE CORP

  

CELGENE CORP

          (247,979 )

CENTENE CORP

  

CENTENE CORP DEL

          (99,091 )

CEPHALON INC

  

CEPHALON INC COM

          192,239  

CEPHALON INC

  

CEPHALON INC COM

          511,014  

CHIRON CORP

  

CHIRON CORP COM

          (115,808 )

CHIRON CORP

  

CHIRON CORP COM

          (297,040 )

CIGNA CORP

  

CIGNA CORP COM

          (48,522 )

MUNITY HEALTH SYS INC

  

COMMUNITY HEALTH SYS INC NEW

          877,134  

CONCEPTUS INC

  

CONCEPTUS INC COM

          156,219  

CUBIST PHARMACEUTICALS INC

  

CUBIST PHARMACEUTICALS INC

          40,327  

CURAGEN CORP

  

CURAGEN CORP COM

          37,293  

CV THERAPEUTICS INC

  

CV THERAPEUTICS INC COM

          207,526  

CV THERAPEUTICS INC

  

CV THERAPEUTICS INC COM

          67,414  

D & K HEALTHCARE RES INC

  

D & K HEALTHCARE RES INC COM

          154,639  

DAVITA INC

  

DAVITA INC COM

          44,406  

DURECT CORP

  

DURECT CORP COM

          3,232  

EPIX MED INC

  

EPIX MED INC COM

          29,643  

ESPERION THERAPEUTICS INC

  

ESPERION THERAPEUTICS INC COM

          20,613  

EXELIXIS INC

  

EXELIXIS INC COM

          112,000  

EXPRESS SCRIPTS INC

  

EXPRESS SCRIPTS INC COM STK

          (101,364 )

FISCHER IMAGING CORP

  

FISCHER IMAGING CORP

          44,474  

FOREST LABS INC

  

FOREST LABS INC CL A COM

          294,660  

FOREST LABS INC

  

FOREST LABS INC CL A COM

          608,964  

 

65


Table of Contents

Identity of Issuer


  

Description of Investment


   Cost

   Current Value

 

FOREST LABS INC

  

FOREST LABS INC CL A COM

        $ 139,472  

FUJISAWA PHARM CO

  

FUJISAWA PHARM CO Y50

          34,318  

GENENTECH INC

  

GENENTECH INC

          63,004  

GENENTECH INC

  

GENENTECH INC

          (40,124 )

GENTA INC

  

GENTA INC COM NEW

          (241,543 )

GENZYME CORP

  

GENZYME CORP

          13,320  

GENZYME CORP

  

GENZYME CORP COM

          177,124  

GENZYME CORP

  

GENZYME CORP COM

          232,125  

GILEAD SCIENCES INC

  

GILEAD SCIENCES INC

          5,800  

GILEAD SCIENCES INC

  

GILEAD SCIENCES INC COM

          379,780  

GILEAD SCIENCES INC

  

GILEAD SCIENCES INC COM

          455,600  

GUIDANT CORP

  

GUIDANT CORP COM

          765,080  

HCA INC

  

HCA INC

          585,150  

HCA INC

  

HCA INC

          224,100  

HCA INC

  

HCA INC

          534,520  

HCA INC

  

HCA INC

          242,775  

HCA INC

  

HCA INC

          300  

HEALTH MGMT ASSOC INC

  

HEALTH MGMT ASSOC INC NEW CL A

          (187,413 )

HUMAN GENOME SCIENCES INC

  

HUMAN GENOME SCIENCES INC COM

          40,526  

ICOS CORP

  

ICOS CORP

          97,620  

IDEC PHARMACEUTICALS CORP

  

IDEC PHARMACEUTICALS CORP COM

          (70,320 )

IDEC PHARMACEUTICALS CORP

  

IDEC PHARMACEUTICALS CORP COM

          106,144  

IMCLONE SYSTEMS INC

  

IMCLONE SYSTEMS INC

          62,664  

INAMED CORP

  

INAMED CORP

          156,156  

INHALE THERAPEUTIC SYS

  

INHALE THERAPEUTIC SYS COM

          808  

INKLINE PHARMACEUTICAL CO INC

  

INKLINE PHARMACEUTICAL CO INC

          4,030  

INSPIRE PHARMACEUTICALS INC

  

INSPIRE PHARMACEUTICALS INC

          98,257  

INTERMUNE INC

  

INTERMUNE INC

          360  

INTERMUNE INC

  

INTERMUNE INC COM

          134,693  

INVACARE CORP

  

INVACARE CORP

          (250,649 )

INVITROGEN CORP

  

INVITROGEN CORP COM

          (118,589 )

INVITROGEN CORP

  

INVITROGEN CORP COM

          40,677  

ISIS PHARMACEUTICALS

  

ISIS PHARMACEUTICALS

          16,475  

ISIS PHARMACEUTICALS

  

ISIS PHARMACEUTICALS

          355,860  

JOHNSON & JOHNSON

  

JOHNSON & JOHNSON COM

          166,501  

KING PHARMACEUTICALS INC

  

KING PHARMACEUTICALS INC COM

          735,732  

LABORATORY CORP AMER HLDGS

  

LABORATORY CORP AMER HLDGS

          120,848  

LABORATORY CORP AMER HLDGS

  

LABORATORY CORP AMER HLDGS

          314,670  

LIGAND PHARMACEUTICAL INC

  

LIGAND PHARMACEUTICAL INC CL B

          8,055  

LILLY ELI & CO

  

LILLY ELI & CO COM

          171,450  

LILLY ELI & CO

  

LILLY ELI & CO COM

          (247,650 )

LILLY ELI & CO

  

LILLY ELI & CO COM

          82,550  

MCKESSON CORP

  

MCKESSON CORP COM

          35,139  

MEDICAL STAFFING NETWORK HLDGS

  

MEDICAL STAFFING NETWORK HLDGS

          (58,240 )

MEDICINES CO

  

MEDICINES CO COM

          190,638  

MEDIMMUNE INC

  

MEDIMMUNE INC COM

          437,437  

MEDIMMUNE INC

  

MEDIMMUNE INC COM

          1,253,080  

MEDTRONIC INC

  

MEDTRONIC INC

          1,500  

MEDTRONIC INC

  

MEDTRONIC INC COM

          193,800  

MEDTRONIC INC

  

MEDTRONIC INC COM

          123,120  

MENTOR CORP MINN

  

MENTOR CORP MINN COM

          (81,620 )

MILLENNIUM PHARMACEUTICALS INC

  

MILLENNIUM PHARMACEUTICALS INC

          26,202  

 

66


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Identity of Issuer


  

Description of Investment


   Cost

   Current Value

 

MILLIPORE CORP

  

MILLIPORE CORP COM

        $ (48,960 )

MONSANTO CO NEW

  

MONSANTO CO NEW COM

          134,635  

NEUROCRINE BIOSCIENCES INC

  

NEUROCRINE BIOSCIENCES INC COM

          292,224  

NEUROCRINE BIOSCIENCES INC

  

NEUROCRINE BIOSCIENCES INC COM

          (59,358 )

NOVEN PHARMACEUTICALS INC

  

NOVEN PHARMACEUTICALS INC COM

          23,998  

NPS PHARMACEUTICALS INC

  

NPS PHARMACEUTICALS INC

          241,632  

NPS PHARMACEUTICALS INC

  

NPS PHARMACEUTICALS INC

          30,456  

OMNICARE INC

  

OMNICARE INC COM

          188,734  

OMNICARE INC

  

OMNICARE INC COM

          283,577  

ONYX PHARMACEUTICALS INC

  

ONYX PHARMACEUTICALS INC

          1,162  

ORAPHARMA INC

  

ORAPHARMA INC COM

          488,244  

OSI PHARMACEUTICALS INC

  

OSI PHARMACEUTICALS INC

          34,440  

OSI PHARMACEUTICALS INC

  

OSI PHARMACEUTICALS INC

          (158,752 )

PATTERSON DENTAL CO

  

PATTERSON DENTAL CO COM

          83,106  

PFIZER INC

  

PFIZER INC COM STK USD0.05

          409,638  

PFIZER INC

  

PFIZER INC COM STK USD0.05

          2,066,532  

PFIZER INC

  

PFIZER INC COM STK USD0.05

          617,820  

PHARMACEUTICAL PROD DEV INC

  

PHARMACEUTICAL PROD DEV INC

          243,234  

PHARMACEUTICAL RES INC

  

PHARMACEUTICAL RES INC

          60,792  

PHARMACIA CORP

  

PHARMACIA CORP COM

          1,713,800  

PHARMACIA CORP

  

PHARMACIA CORP COM

          355,300  

PROGENICS PHARMACEUTICALS INC

  

PROGENICS PHARMACEUTICALS INC

          9,990  

PROTEIN DESIGN LABS INC

  

PROTEIN DESIGN LABS INC

          15,300  

PROTEIN DESIGN LABS INC

  

PROTEIN DESIGN LABS INC

          416,500  

PROTEIN DESIGN LABS INC

  

PROTEIN DESIGN LABS INC

          28,050  

PROVINCE HEALTHCARE CO

  

PROVINCE HEALTHCARE CO COM

          242,277  

QLT INC

  

QLT INC COM

          (267,069 )

REGENERON PHARMACEUTICALS INC

  

REGENERON PHARMACEUTICALS INC

          (205,646 )

REGENERON PHARMACEUTICALS INC

  

REGENERON PHARMACEUTICALS INC

          49,977  

REHABCARE GROUP INC

  

REHABCARE GROUP INC COM

          (93,492 )

REHABCARE GROUP INC

  

REHABCARE GROUP INC COM

          (71,436 )

RESPIRONICS INC

  

RESPIRONICS INC COM

          62,688  

SALIX PHARMACEUTICALS INC

  

SALIX PHARMACEUTICALS INC

          33,552  

SANOFI-SYNTHELABO

  

SANOFI-SYNTHELABO EUR2

          134,481  

SCHEIN HENRY INC

  

SCHEIN HENRY INC COM

          182,250  

SCHERING PLOUGH CORP

  

SCHERING PLOUGH CORP COM

          (247,530 )

SCHERING PLOUGH CORP

  

SCHERING PLOUGH CORP COM

          68,820  

SCHERING PLOUGH CORP

  

SCHERING PLOUGH CORP COM

          98,568  

SCIOS INC

  

SCIOS INC

          30,625  

SCIOS INC

  

SCIOS INC

          140,094  

SEPRACOR INC

  

SEPRACOR INC

          21,274  

SHIRE PHARMACEUTICALS GROUP

  

SHIRE PHARMACEUTICALS GROUP

          317,352  

SIGMA ALDRICH CORP

  

SIGMA ALDRICH CORP

          (149,509 )

SPDR TR UNIT SER 1 STANDARD &

  

SPDR TR UNIT SER 1 STANDARD &

          (3,115,401 )

ST JUDE MED INC

  

ST JUDE MED INC COM

          222,432  

ST JUDE MED INC

  

ST JUDE MED INC COM

          95,328  

ST JUDE MED INC

  

ST JUDE MED INC COM

          15,888  

STAAR SURGICAL CO

  

STAAR SURGICAL CO NEW PAR

          4,404  

SUNRISE ASSISTED LIVING INC

  

SUNRISE ASSISTED LIVING INC

          (72,928 )

SYMYX TECHNOLOGIES INC

  

SYMYX TECHNOLOGIES INC COM

          57,914  

TECHNE CORP

  

TECHNE CORP COM

          (248,542 )

TECHNE CORP

  

TECHNE CORP COM

          (116,272 )

 

67


Table of Contents

Identity of Issuer


  

Description of Investment


   Cost

   Current Value

 

TELIK INC

  

TELIK INC COM

        $ 24,486  

TENET HEALTHCARE CORP

  

TENET HEALTHCARE CORP COM

          85,280  

TENET HEALTHCARE CORP

  

TENET HEALTHCARE CORP COM

          530,540  

TEVA PHARMACEUTICAL INDS

  

TEVA PHARMACEUTICAL INDS ADR

          942,084  

TEVA PHARMACEUTICAL INDS

  

TEVA PHARMACEUTICAL INDS ADR

          96,139  

TEVA PHARMACEUTICAL INDS

  

TEVA PHARMACEUTICAL INDS ADR

          154,440  

TRANSKARYOTIC THERAPIES INC

  

TRANSKARYOTIC THERAPIES INC

          32,670  

TRANSKARYOTIC THERAPIES INC

  

TRANSKARYOTIC THERAPIES INC

          1,170  

TRIAD HOSPS INC

  

TRIAD HOSPS INC COM

          170,329  

TRIAD HOSPS INC

  

TRIAD HOSPS INC COM

          137,218  

TRIAD HOSPS INC

  

TRIAD HOSPS INC COM

          325,147  

TRIANGLE PHARMACEUTICALS INC

  

TRIANGLE PHARMACEUTICALS INC

          21,978  

TRIMERIS INC

  

TRIMERIS INC COM

          400,737  

TRIMERIS INC

  

TRIMERIS INC COM

          (98,245 )

TULARIK INC

  

TULARIK INC

          11,190  

UNITED HEALTH GROUP INC

  

UNITED HEALTH GROUP INC

          (240 )

UNITED HEALTH GROUP INC

  

UNITED HEALTH GROUP INC COM

          237,975  

UNITED HEALTH GROUP INC

  

UNITED HEALTH GROUP INC COM

          567,800  

UNITED HEALTH GROUP INC

  

UNITED HEALTH GROUP INC COM

          200,400  

UNITED HEALTH GROUP INC

  

UNITED HEALTH GROUP INC COM

          496,825  

UNITED PANAM FINL CORP

  

UNITED PANAM FINL CORP COM

          103,688  

UNIVERSAL HEALTH SVCS INC

  

UNIVERSAL HEALTH SVCS INC CL B

          61,787  

UNIVERSAL HEALTH SVCS INC

  

UNIVERSAL HEALTH SVCS INC CL B

          965,140  

VARIAN MED SYS FNC

  

VARIAN MED SYS FNC COM

          52,576  

VAXGEN INC

  

VAXGEN INC COM NEW

          (77,433 )

VERSICOR INC

  

VERSICOR INC COM

          84,162  

VERTEX PHARMACEUTICALS INC

  

VERTEX PHARMACEUTICALS INC COM

          72,910  

VERTEX PHARMACEUTICALS INC

  

VERTEX PHARMACEUTICALS INC COM

          64,193  

WATERS CORP

  

WATERS CORP COM

          56,628  

WELLPOINT HEALTH NETWORK INC

  

WELLPOINT HEALTH NETWORK INC

          142,320  

WOMEN FIRST HEALTHCARE

  

WOMEN FIRST HEALTHCARE

          6,842  

WRIGHT MED GROUP INC

  

WRIGHT MED GROUP INC COM

          (121,864 )

WYETH

  

WYETH

          579,700  

WYETH

  

WYETH

          355,300  

WYETH

  

WYETH

          (40,392 )

XOMA LTD

  

XOMA LTD COM

          1,692  

ZIMMER HLDGS INC

  

ZIMMER HLDGS INC COM

          107,537  

RAYTHEON LIQUIDITY FUND

  

RAYTHEON LIQUIDITY FUND

          37,140  

ALCOA INC

  

ALCOA INC COM

          1,829,006  

AMERICAN EXPRESS CO

  

AMERICAN EXPRESS CO COM

          2,833,656  

AT&T CORP

  

AT&T CORP

          2,095,850  

BOEING CO

  

BOEING CO COM

          2,635,901  

CATERPILLAR INC

  

CATERPILLAR INC

          3,664,915  

CITIGROUP INC

  

CITIGROUP INC COM

          2,822,238  

COCA COLA CO

  

COCA COLA CO COM

          3,514,364  

DISNEY WALT CO

  

DISNEY WALT CO COM

          1,309,693  

DU PONT E I DE NEMOURS & CO

  

DU PONT E I DE NEMOURS & CO

          3,398,784  

EASTMAN KODAK CO

  

EASTMAN KODAK CO COM

          2,808,806  

EXXON MOBIL CORP

  

EXXON MOBIL CORP

          2,802,188  

GENERAL ELEC CO

  

GENERAL ELEC CO COM

          1,945,565  

GENERAL MTRS CORP

  

GENERAL MTRS CORP COM

          2,954,698  

HEWLETT PACKARD CO

  

HEWLETT PACKARD CO COM

          1,394,008  

 

68


Table of Contents

Identity of Issuer


  

Description of Investment


   Cost

   Current Value

HOME DEPOT INC

  

HOME DEPOT INC COM

        $ 1,923,509

HONEYWELL INTL INC

  

HONEYWELL INTL INC COM

          1,917,600

IBM CORP

  

IBM CORP COM

          6,213,175

INTEL CORP

  

INTEL CORP

          1,250,271

INTERNATIONAL PAPER CO

  

INTERNATIONAL PAPER CO COM

          2,794,103

J P MORGAN CHASE & CO

  

J P MORGAN CHASE & CO COM

          1,917,600

JOHNSON & JOHNSON

  

JOHNSON & JOHNSON COM

          4,307,542

MCDONALDS CORP

  

MCDONALDS CORP COM

          1,284,792

MERCK & CO INC

  

MERCK & CO INC COM

          4,528,800

MICROSOFT CORP

  

MICROSOFT CORP COM

          4,146,340

PHILIP MORRIS COS INC

  

PHILIP MORRIS COS INC COM

          3,250,506

PROCTER & GAMBLE CO

  

PROCTER & GAMBLE CO COM

          6,889,810

SBC MUNICATIONS INC

  

SBC COMMUNICATIONS INC COM

          2,176,120

UNITED TECHNOLOGIES CORP

  

UNITED TECHNOLOGIES CORP COM

          4,961,394

WAL MART STORES INC

  

WAL MART STORES INC COM

          4,050,902

3M CO

  

3M CO

          9,883,728

AOL TIME WARNER INC

  

COMMON STOCK

          186,020

AT&T CORP

  

COMMON STOCK

          107,573

AGERE SYSTEMS INC

  

COMMON STOCK

          26,928

ALCOA INC

  

COMMON STOCK

          182,240

APPLIED MATERIALS INC

  

COMMON STOCK

          74,271

ARCHSTONE SMITH TRUST REIT

  

COMMON STOCK

          197,736

ASHLAND INC

  

COMMON STOCK

          205,416

AUTONATION INC

  

COMMON STOCK

          155,744

BANK OF AMERICA CORPORATION

  

COMMON STOCK

          466,119

BARD C R INC

  

COMMON STOCK

          58,000

BECKMAN COULTER INC

  

COMMON STOCK

          203,688

BELLSOUTH CORP

  

COMMON STOCK

          341,484

CIGNA CORP

  

COMMON STOCK

          176,816

CVS CORP

  

COMMON STOCK

          207,251

CATERPILLAR INC

  

COMMON STOCK

          370,332

CHEVRONTEXACO CORP

  

COMMON STOCK

          219,384

CHUBB CORP

  

COMMON STOCK

          172,260

CITIGROUP INC

  

COMMON STOCK

          721,395

COMCAST CL A SPECIAL

  

COMMON STOCK

          506,016

COMERICA INC

  

COMMON STOCK

          172,960

ACE LTD

  

COMMON STOCK

          243,522

GLOBALSANTAFE CORP

  

COMMON STOCK

          272,384

DOLLAR GENERAL CORP

  

COMMON STOCK

          246,170

DOMINION RESOURCES INC

  

COMMON STOCK

          109,800

DOW CHEMICAL CO

  

COMMON STOCK

          222,750

DUPONT (EI) DE NEMOURS & CO

  

COMMON STOCK

          424,000

EMERSON ELEC CO

  

COMMON STOCK

          233,910

EXELON CORP

  

COMMON STOCK

          379,944

EXXON MOBIL CORP

  

COMMON STOCK

          897,958

FAMILY DOLLAR STORES INC

  

COMMON STOCK

          90,509

FANNIE MAE

  

COMMON STOCK

          450,310

GANNETT INC

  

COMMON STOCK

          179,500

GOLDMAN SACHS GROUP INC

  

COMMON STOCK

          258,780

HARTFORD FINL SVCS GROUP INC

  

COMMON STOCK

          318,010

HEWLETT-PACKARD CO

  

COMMON STOCK

          206,584

INTEL CORP

  

COMMON STOCK

          298,944

 

69


Table of Contents

Identity of Issuer


  

Description of Investment


   Cost

   Current Value

KELLOGG CO

  

COMMON STOCK

        $ 257,025

KIMBERLY CLARK CORP

  

COMMON STOCK

          180,386

MARSH & MCLENNAN COS INC

  

COMMON STOCK

          217,187

MAY DEPT STORES CO

  

COMMON STOCK

          94,218

MCDONALDS CORP

  

COMMON STOCK

          164,016

MICRON TECHNOLOGY INC

  

COMMON STOCK

          160,710

MONSANTO CO

  

COMMON STOCK

          30,531

NATIONAL CITY CORP

  

COMMON STOCK

          549,132

NATIONAL FUEL GAS CO

  

COMMON STOCK

          215,592

NIKE INC

  

COMMON STOCK

          231,244

NUCOR CORP

  

COMMON STOCK

          115,640

PNC FINANCIAL SERVICES GRP INC

  

COMMON STOCK

          159,220

PEPSICO INC

  

COMMON STOCK

          227,988

PHARMACIA CORP

  

COMMON STOCK

          388,740

PROGRESS ENERGY INC

  

COMMON STOCK

          247,095

REPUBLIC SERVICES INC

  

COMMON STOCK

          346,170

SBC COMMUNICATIONS INC

  

COMMON STOCK

          612,686

ST PAUL COS INC

  

COMMON STOCK

          173,655

SCANA CORP

  

COMMON STOCK

          164,088

SCHERING PLOUGH CORP

  

COMMON STOCK

          193,140

SHELL TRANSPORT

  

COMMON STOCK

          233,520

SOUTHWEST AIRLINES CO

  

COMMON STOCK

          172,360

STANCORP FINL GROUP INC

  

COMMON STOCK

          263,790

STANLEY WORKS

  

COMMON STOCK

          408,044

TERADYNE INC

  

COMMON STOCK

          225,073

TRAVELERS PROPERTY CAS CORP

  

COMMON STOCK

          36,405

VERIZON COMMUNICATIONS

  

COMMON STOCK

          306,125

WASHINGTON MUTUAL INC

  

COMMON STOCK

          600,822

WELLCHOICE INC

  

COMMON STOCK

          7,185

WELLS FARGO & CO

  

COMMON STOCK

          426,517

WEYERHAEUSER CO

  

COMMON STOCK

          275,576

DB DISCRETIONARY STIF FUND

  

MONEY MARKET

          412,083

BGI US DEBT INDEX

  

MUTUAL FUND

          12,569,597

Morgan Stanley

  

MSIFT Small Cap Growth I Fund

          7,616,169

Barclays’ Global Investors

  

BGI US Debt Index Fund

          24,781,362
    

BGI EAFE Equity Index Fund

          1,509,633

CNOOC LTD

  

COMMON STOCK

          135,694

CEMEX SA CPO

  

COMMON STOCK

          331,039

ACE LTD

  

COMMON STOCK

          359,855

COMPANHIA SIDER NACIONAL

  

COMMON STOCK

          34,789

VALE DO RIO DOCE

  

COMMON STOCK

          150,233

VALE DO RIO DOCE

  

COMMON STOCK

          104,076

CHECK POINT SFTWRE TECHNLS LTD

  

COMMON STOCK

          28,534

XL CAPITAL LTD

  

COMMON STOCK

          394,439

IRSA INVERS Y REPRESENT

  

COMMON STOCK

          5,090

KT CORP

  

COMMON STOCK

          198,389

PEREZ COMPANC

  

COMMON STOCK

          8,064

SK TELECOM LTD

  

COMMON STOCK

          285,044

SATYAM COMPUTER SVCS LTD

  

COMMON STOCK

          168,978

TELEFONOS DE MEXICO

  

COMMON STOCK

          318,841

TGS (TRNSPRT GAS)

  

COMMON STOCK

          13,952

 

70


Table of Contents

Identity of Issuer


  

Description of Investment


   Cost

   Current Value

 

IRSA INVERS

  

CORPORATE BOND

        $ 4,719  

CANADIAN DOLLAR

  

CURRENCY

          2,094  

BRITISH POUND STERLING CURRENCY

  

CURRENCY

          (3 )

HONG KONG DOLLAR

  

CURRENCY

          6,053  

NEW ZEALAND DOLLAR CURRENCY

  

CURRENCY

          42  

PHILIPPINE PESO

  

CURRENCY

          302  

CANADIAN DOLLAR

  

CURRENCY CONTRACT

          2,072  

CANADIAN DOLLAR

  

CURRENCY CONTRACT

          (2,142 )

HONG KONG DOLLAR

  

CURRENCY CONTRACT

          4,794  

HONG KONG DOLLAR

  

CURRENCY CONTRACT

          (4,794 )

CURRENCY CONTRACT—USD

  

CURRENCY CONTRACT

          2,142  

CURRENCY CONTRACT—USD

  

CURRENCY CONTRACT

          (2,072 )

CURRENCY CONTRACT—USD

  

CURRENCY CONTRACT

          925  

CURRENCY CONTRACT—USD

  

CURRENCY CONTRACT

          (926 )

ABBEY NATIONAL

  

FOREIGN STOCK

          125,443  

CHUBB

  

FOREIGN STOCK

          80,572  

KIDDE

  

FOREIGN STOCK

          81,647  

BHP BILLITON

  

FOREIGN STOCK

          212,693  

CELLTECH GROUP

  

FOREIGN STOCK

          172,842  

BAE SYSTEMS

  

FOREIGN STOCK

          204,328  

STAGECOACH GROUP

  

FOREIGN STOCK

          54,799  

BCE INC/BELL CANADA

  

FOREIGN STOCK

          324,932  

UNILEVER

  

FOREIGN STOCK

          511,021  

INTERNATIONAL POWER

  

FOREIGN STOCK

          65,225  

BARRICK GOLD CORP

  

FOREIGN STOCK

          299,206  

ROLLS-ROYCE

  

FOREIGN STOCK

          331,783  

SHIRE PHARMACEUTICALS

  

FOREIGN STOCK

          118,654  

SHELL TRANSPORT & TRAD

  

FOREIGN STOCK

          505,182  

SMITHS

  

FOREIGN STOCK

          326,928  

LLOYDS TSB

  

FOREIGN STOCK

          132,937  

WPP

  

FOREIGN STOCK

          238,637  

CEMEX

  

FOREIGN STOCK

          59,055  

ADIDAS-SALOMON

  

FOREIGN STOCK

          191,823  

IBERDROLA

  

FOREIGN STOCK

          214,055  

NORSK HYDRO

  

FOREIGN STOCK

          251,903  

AVENTIS

  

FOREIGN STOCK

          532,146  

VALEO

  

FOREIGN STOCK

          292,919  

HOLMEN

  

FOREIGN STOCK

          314,765  

UPM KYMMENE CORP

  

FOREIGN STOCK

          587,923  

BAYER

  

FOREIGN STOCK

          179,214  

M REAL

  

FOREIGN STOCK

          83,992  

STORA ENSO

  

FOREIGN STOCK

          340,814  

BASF

  

FOREIGN STOCK

          338,802  

SAMPO OYJ SER A

  

FOREIGN STOCK

          346,336  

AUTOLIV INC SWED

  

FOREIGN STOCK

          318,779  

BIC

  

FOREIGN STOCK

          99,881  

NORDEA

  

FOREIGN STOCK

          110,662  

AKZO NOBEL

  

FOREIGN STOCK

          237,880  

VOLKSWAGEN

  

FOREIGN STOCK

          21,629  

SAN PAOLO IMI SPA

  

FOREIGN STOCK

          122,897  

WCM BETEILIGUNGS

  

FOREIGN STOCK

          95,383  

REPSOL YPF

  

FOREIGN STOCK

          374,334  

 

71


Table of Contents

Identity of Issuer


  

Description of Investment


   Cost

   Current Value

WOLTERS KLUWER

  

FOREIGN STOCK

        $ 168,497

METSO OYJ

  

FOREIGN STOCK

          211,954

RODAMCO EUROPE

  

FOREIGN STOCK

          386,665

DSM

  

FOREIGN STOCK

          319,268

SANDVIK AB-SER A & SER B

  

FOREIGN STOCK

          353,761

ZURICH FINANCIAL SERVICES

  

FOREIGN STOCK

          112,799

PHILIPS ELEC

  

FOREIGN STOCK

          408,492

APN NEWS & MEDIA LIMITED

  

FOREIGN STOCK

          30,105

CHINA MOBILE (HK) LTD

  

FOREIGN STOCK

          351,168

CLP HLDGS LTD

  

FOREIGN STOCK

          500,165

CNOOC LTD

  

FOREIGN STOCK

          234,239

CHEUNG KONG HLDGS LTD

  

FOREIGN STOCK

          677,597

CHEUNG KONG INFRASTR HLDGS LTD

  

FOREIGN STOCK

          287,188

PETROCHINA CO LTD

  

FOREIGN STOCK

          384,456

EAST JAPAN RAILWAY CO

  

FOREIGN STOCK

          302,509

GP BATTERIES INTERNATIONAL LTD

  

FOREIGN STOCK

          4,634

GUOCO GROUP LTD

  

FOREIGN STOCK

          29,611

HANG LUNG GROUP LTD

  

FOREIGN STOCK

          164,312

KOOKMIN BANK

  

FOREIGN STOCK

          125,711

HITACHI LTD

  

FOREIGN STOCK

          290,550

HONG KONG ELECTRIC HLDGS

  

FOREIGN STOCK

          370,319

HUTCHISON WHAMPOA LTD

  

FOREIGN STOCK

          236,388

CK LIFE SCIENCES INTL HLDG INC

  

FOREIGN STOCK

          748

MAKITA CORP

  

FOREIGN STOCK

          94,132

MURATA MFG CO LTD

  

FOREIGN STOCK

          117,454

NATIONAL AUSTRALIA BANK LTD

  

FOREIGN STOCK

          131,201

DENSO CORP

  

FOREIGN STOCK

          183,602

NEC CORP

  

FOREIGN STOCK

          104,673

NIPPON TELEGRAPH & TELEPHONE

  

FOREIGN STOCK

          293,156

NOMURA HOLDINGS INC

  

FOREIGN STOCK

          174,317

ONO PHARMACEUTICAL CO LTD

  

FOREIGN STOCK

          151,132

QANTAS AIRWAYS LTD

  

FOREIGN STOCK

          84,356

SHANGRI-LA ASIA LTD (HOKO)

  

FOREIGN STOCK

          103,415

SINGAPORE AIRLINES LTD (LOC)

  

FOREIGN STOCK

          142,392

SONY CORP

  

FOREIGN STOCK

          413,100

SCMP GROUP LTD

  

FOREIGN STOCK

          112,260

SMARTONE TELECOM HLDGS LTD

  

FOREIGN STOCK

          106,648

SWIRE PACIFIC LTD

  

FOREIGN STOCK

          326,250

TELECOM CORP NEW ZEALAND

  

FOREIGN STOCK

          1,890

TOTO LTD

  

FOREIGN STOCK

          1,763

YUE YUEN INDUSTRIAL HLDGS LTD

  

FOREIGN STOCK

          315,321

NORSKE SKOGINDS

  

FOREIGN STOCK

          107,517

AXA

  

FOREIGN STOCK

          245,669

NOVARTIS

  

FOREIGN STOCK

          205,269

SUEZ (FRAN)

  

FOREIGN STOCK

          68,593

UBS AG (REGD)

  

FOREIGN STOCK

          283,636

ENI SPA

  

FOREIGN STOCK

          534,441

SWISS REINSURANCE (REG)

  

FOREIGN STOCK

          365,032

TRANSCANADA PIPELINES LTD

  

FOREIGN STOCK

          360,323

BANKERS TRUST STIF FUND

  

MONEY MARKET

          6,179,305

VOLKSWAGEN

  

PREFERRED STOCK

          559,702

Janus Funds

  

Janus Olympus Fund

          11,174,914

 

72


Table of Contents

Identity of Issuer


  

Description of Investment


   Cost

   Current Value

    

Janus Balanced Fund

        $ 14,861,642
    

Janus Enterprise Fund

          6,800,880
    

Janus Overseas Fund

          8,068,670

PBHG Funds

  

PBHG Select Growth Fund

          4,160,578

Scudder Funds

  

Scudder Fixed Income Institutional Fund

          6,155

T Rowe Price Funds

  

T Rowe Price Small Cap Stock Fund

          66,562,575

Artisan Funds

  

Artisan International Fund

          14,475,692

PIMCO Funds

  

PIMCO Total Return Institutional Fund

          96,157,662

Dreyfus Premier

  

Dreyfus Premium Core Bond R Fund

          16,183,740

Excelsior Funds

  

Excelsior Value and Restructuring Fund

          13,560,212

BlackRock Funds

  

BlackRock Midcap Growth Fund

          4,913,651

Turner Funds

  

Turner Concentrated Growth I Fund

          4,738,298
    

Turner Mid Cap Growth Fund

          14,846,401
    

Turner Microcap Growth Fund

          18,321

TCW Galileo Funds

  

TCW Galileo Value Opportunities I Fund

          20,050,773

AIM Family of Funds

  

AIM Basic Value A Fund

          37,592,780

Oakmark Funds

  

Oakmark Equity and Income I Fund

          105,596

American Century Investments

  

American Century Small Cap Value I Fund

          29,015,989

Vanguard Group

  

Vanguard Morgan Growth Adm Fund

          86,377,086
    

Vanguard Primecap Adm Fund

          232,938,354
    

Vanguard Windsor Adm Fund

          112,720,199

Putnam Funds

  

George Putnam Fund of Boston Y

          748,488
    

Putnam International Voyager Y Fund

          4,491,781

Nations Funds

  

NM Focus Equity PR A Fund

          1,000

Hartford HLS Mutual Funds

  

Hartford Midcap HLS 1A Fund

          16,627

Advisors Inner Circle Funds

  

C&B Mid Cap Value Fund

          41,399

Fidelity Group

  

Fidelity Magellan Fund

          411,083,917
    

Fidelity Equity Income Fund

          704,939,910
    

Fidelity Balanced Fund

          329,531,029
    

Fidelity Blue Chip Fund

          323,505,654
    

Fidelity Retire Money Market Fund

          72,137,756

FID INST CASH PORT: MM FUND CLASS

  

COMMON STOCK

          5,568,444

BANKERS TRUST EQUITY INDEX FUND

  

COMMON STOCK

          492,495,385

Participant Loans

  

Interest rates ranging from 4.25% to 11.04%

          207,431,716

 

Indicates a Party-in-Interest to the Plan (see Note H).

 

73


Table of Contents

SIGNATURE

 

Pursuant to the requirements of the Securities and Exchange Act of 1934, the Raytheon Savings and Investment Plan has duly caused this annual report to be signed by the undersigned thereunto duly authorized.

 

RAYTHEON SAVINGS AND INVESTMENT PLAN

 

By:

 

/s/    Keith J. Peden


            Keith J. Peden
    Senior Vice President - Human Resources

 

June 30, 2003