UNITED STATES
                       SECURITIES AND EXCHANGE COMMISSION
                             WASHINGTON, D.C. 20549

                                    FORM 13F

                               FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: March 31, 2004

Check here if Amendment [ ]; Amendment No. ___
     This Amendment (check one only):  [ ] is a restatement.
                                       [ ] adds new holdings entries.

Institutional Investment Manager Filing this Report:

Name:        Waddell & Reed Financial, Inc.
Address:     6300 Lamar Avenue
             Overland Park, KS  66202

Form 13F File Number:  28-7592

The institutional investment manager filing this report and the person by whom
it is signed hereby represent that the person signing the report is authorized
to submit it, that all information contained herein is true, correct and
complete, and that it is understood that all required items, statements,
schedules, lists, and tables, are considered integral parts of this form.

Persons Signing this Report on Behalf of Reporting Manager:

Name:        Wendy J. Hills
Title:       Secretary
Phone:       (913) 236-2013

Signature, Place and Date of Signing:

/s/  Wendy J. Hills           Overland Park, Kansas         May 12, 2004


The securities reported on herein are beneficially owned by (i) one or more
open-end investment companies or other managed accounts which are advised by
Waddell & Reed Investment Management Company ("WRIMCO") or Waddell & Reed Ivy
Investment Company ("WRIICO"), or (ii) by managed accounts advised by Austin,
Calvert & Flavin, Inc. ("ACF"), an investment advisor and wholly owned
subsidiary of WRIMCO. WRIMCO is an investment advisory subsidiary of Waddell &
Reed, Inc. ("WRI"). WRI is a broker-dealer and underwriting subsidiary of
Waddell & Reed Financial Services, Inc., a parent holding company ("WRFSI").
WRFSI is a subsidiary of Waddell & Reed Financial, Inc., a publicly traded
company ("WDR"). WRIICO is an investment advisory subsidiary of WDR. WDR, WRFSI
and WRI are deemed to have "investment discretion" over the securities due to
their control relationship with WRIICO, WRIMCO and/or ACF pursuant to Rule
13f-1(b) of the 1934 Securities Exchange Act, as amended.

Report Type (check only one):

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

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

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


                              FORM 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:        5
Form 13F Information Table Entry Total    961
Form 13F Information Table Value Total    $25,398,103 ($ thousands)

List of Other Included Managers:

Provide a numbered list of the name(s) and Form 13F file number(s) of all
institutional investment managers with respect to which this report is filed,
other than the manager filing this report.



No.      Form 13F File Number      Name
                             
1        28-7594                   Waddell & Reed Financial Services, Inc.

2        28-375                    Waddell & Reed, Inc.

3        28-4466                   Waddell & Reed Investment Management Company

4        28-3226                   Austin, Calvert & Flavin, Inc.

5        28-10368                  Waddell & Reed Ivy Investment Company






              ITEM 1              ITEM 2        ITEM 3   ITEM 4                ITEM 5      ITEM 6    ITEM 7           ITEM 8

                                                                                                                 VOTING AUTHORITY
                                                          FAIR       SHARES/                        MANAGERS         (SHARES)
                                 TITLE OF       CUSIP    MARKET     PRINCIPAL  SH/ PUT/  INVESTMENT   SEE              (B)     (C)
          NAME OF ISSUE            CLASS        NUMBER   VALUE       AMOUNT    PRN CALL  DISCRETION INSTR V  (A) SOLE SHARED  NONE
                                                                                              
A D C TELECOMMUNICATIONS            COM       000886101      4,091   1,415,400  SH        DEFINED    1,2,3   1,415,400
AU OPTRONICS CORP              SPONSORED ADR  002255107      3,162     151,292  SH        DEFINED      5       151,292
AU OPTRONICS CORP              SPONSORED ADR  002255107     53,447   2,557,270  SH        DEFINED    1,2,3   2,557,270
ABBOTT LABS                         COM       002824100     15,521     377,633  SH        DEFINED      5       377,633
ABBOTT LABS                         COM       002824100     40,837     993,589  SH        DEFINED   1,2,3,4    993,589
ABBOTT LABS                         COM       002824100    195,371   4,753,564  SH        DEFINED    1,2,3   4,753,564
ACCREDO HEALTH INC                  COM       00437V104        310       8,150  SH        DEFINED      5         8,150
ACTIVISION INC NEW                COM NEW     004930202        195      12,300  SH        DEFINED      5        12,300
ACXIOM CORP                         COM       005125109     10,668     486,350  SH        DEFINED      5       486,350
ACXIOM CORP                         COM       005125109     24,850   1,132,900  SH        DEFINED    1,2,3   1,132,900
ADAPTEC INC                         COM       00651F108        671      76,900  SH        DEFINED      5        76,900
ADAPTEC INC                         COM       00651F108     11,372   1,302,600  SH        DEFINED    1,2,3   1,302,600
ADVANCED NEUROMODULATION SYS        COM       00757T101      4,459     123,500  SH        DEFINED      5       123,500
ADVANCED NEUROMODULATION SYS        COM       00757T101     10,474     290,100  SH        DEFINED    1,2,3     290,100
ADVISORY BRD CO                     COM       00762W107      6,166     168,361  SH        DEFINED      5       168,361
ADVISORY BRD CO                     COM       00762W107     14,216     388,139  SH        DEFINED    1,2,3     388,139
ADVANCIS PHARMACEUTICALS COR        COM       00764L109        687      75,000  SH        DEFINED      5        75,000
ADVANCIS PHARMACEUTICALS COR        COM       00764L109      3,893     425,000  SH        DEFINED    1,2,3     425,000
AETNA INC NEW                       COM       00817Y108      2,425      27,030  SH        DEFINED      5        27,030
AETNA INC NEW                       COM       00817Y108     53,900     600,760  SH        DEFINED    1,2,3     600,760
AGILENT TECHNOLOGIES INC            COM       00846U101      1,800      56,900  SH        DEFINED      5        56,900
AGILENT TECHNOLOGIES INC            COM       00846U101     20,514     648,550  SH        DEFINED    1,2,3     648,550
AIR PRODS & CHEMS INC               COM       009158106     10,629     212,064  SH        DEFINED      5       212,064
AIR PRODS & CHEMS INC               COM       009158106     24,553     489,890  SH        DEFINED   1,2,3,4    489,890
AIR PRODS & CHEMS INC               COM       009158106    141,725   2,827,714  SH        DEFINED    1,2,3   2,827,714
AIRTRAN HLDGS INC                   COM       00949P108     11,880   1,000,000  SH        DEFINED    1,2,3   1,000,000
ALARIS MEDICAL SYSTEMS INC          COM       011637105      6,750     361,925  SH        DEFINED      5       361,925
ALARIS MEDICAL SYSTEMS INC          COM       011637105     15,492     830,679  SH        DEFINED    1,2,3     830,679
ALBERTO CULVER CO                   COM       013068101         63       1,440  SH        DEFINED      5         1,440
ALBERTO CULVER CO                   COM       013068101     53,268   1,214,225  SH        DEFINED    1,2,3   1,214,225
ALCAN ALUMINIUM LTD NEW             COM       013716105        618      13,800  SH        DEFINED      5        13,800
ALCAN ALUMINIUM LTD NEW             COM       013716105      6,992     156,100  SH        DEFINED    1,2,3     156,100
ALCOA INC                           COM       013817101        973      28,050  SH        DEFINED      5        28,050
ALCOA INC                           COM       013817101        437      12,585  SH        DEFINED   1,2,3,4     12,585
ALCOA INC                           COM       013817101     59,129   1,704,509  SH        DEFINED    1,2,3   1,704,509
ALLEGHANY CORP DEL                  COM       017175100        227         918  SH        DEFINED   1,2,3,4        918
ALLERGAN INC                        COM       018490102      1,751      20,800  SH        DEFINED      5        20,800
ALLERGAN INC                        COM       018490102        168       2,000  SH        DEFINED   1,2,3,4      2,000
ALLERGAN INC                        COM       018490102     25,042     297,550  SH        DEFINED    1,2,3     297,550
ALLIANCE DATA SYSTEMS CORP          COM       018581108      3,493     104,100  SH        DEFINED      5       104,100
ALLIANCE DATA SYSTEMS CORP          COM       018581108     58,260   1,736,500  SH        DEFINED    1,2,3   1,736,500
ALLSTATE CORP                       COM       020002101        409       9,000  SH        DEFINED      5         9,000
ALLSTATE CORP                       COM       020002101     72,772   1,600,800  SH        DEFINED    1,2,3   1,600,800
ALTERA  CORP                        COM       021441100        345      16,850  SH        DEFINED      5        16,850
ALTERA  CORP                        COM       021441100      6,509     318,200  SH        DEFINED    1,2,3     318,200
ALTRIA GROUP INC                    COM       02209S103      2,078      38,161  SH        DEFINED      5        38,161
ALTRIA GROUP INC                    COM       02209S103      1,612      29,600  SH        DEFINED   1,2,3,4     29,600
ALTRIA GROUP INC                    COM       02209S103     41,786     767,418  SH        DEFINED    1,2,3     767,418
AMAZON COM INC                      COM       023135106      1,472      34,000  SH        DEFINED      5        34,000
AMAZON COM INC                      COM       023135106     33,352     770,600  SH        DEFINED    1,2,3     770,600






              ITEM 1              ITEM 2        ITEM 3   ITEM 4                ITEM 5      ITEM 6    ITEM 7           ITEM 8

                                                                                                                 VOTING AUTHORITY
                                                          FAIR       SHARES/                        MANAGERS         (SHARES)
                                 TITLE OF       CUSIP    MARKET     PRINCIPAL  SH/ PUT/  INVESTMENT   SEE              (B)     (C)
          NAME OF ISSUE            CLASS        NUMBER   VALUE       AMOUNT    PRN CALL  DISCRETION INSTR V  (A) SOLE SHARED  NONE
                                                                                               
AMERICA MOVIL S A DE C V        SPON ADR L    02364W105        209       5,400  SH        DEFINED   1,2,3,4      5,400
                                    SHS
AMERICAN ELEC PWR INC               COM       025537101        364      11,050  SH        DEFINED   1,2,3,4     11,050
AMERICAN EXPRESS CO                 COM       025816109        684      13,200  SH        DEFINED      5        13,200
AMERICAN EXPRESS CO                 COM       025816109      5,806     111,971  SH        DEFINED   1,2,3,4    111,971
AMERICAN EXPRESS CO                 COM       025816109     24,732     477,000  SH        DEFINED    1,2,3     477,000
AMERICAN FINL RLTY TR               COM       02607P305        878      51,800  SH        DEFINED    1,2,3      51,800
AMERICAN HEALTHWAYS INC             COM       02649V104     60,032   2,460,847  SH        DEFINED    1,2,3   2,460,847
AMERICAN INTL GROUP INC             COM       026874107     10,338     144,897  SH        DEFINED      5       144,897
AMERICAN INTL GROUP INC             COM       026874107     16,999     238,251  SH        DEFINED   1,2,3,4    238,251
AMERICAN INTL GROUP INC             COM       026874107    112,834   1,581,417  SH        DEFINED    1,2,3   1,581,417
AMERICAN ITALIAN PASTA CO          CL A       027070101     17,917     448,720  SH        DEFINED      5       448,720
AMERICAN ITALIAN PASTA CO          CL A       027070101     61,116   1,530,566  SH        DEFINED    1,2,3   1,530,566
AMERITRADE HLDG CORP NEW            COM       03074K100        379      24,650  SH        DEFINED      5        24,650
AMERITRADE HLDG CORP NEW            COM       03074K100      6,112     397,000  SH        DEFINED    1,2,3     397,000
AMETEK INC NEW                      COM       031100100      1,162      45,310  SH        DEFINED      5        45,310
AMETEK INC NEW                      COM       031100100      2,733     106,590  SH        DEFINED    1,2,3     106,590
AMGEN INC                           COM       031162100     15,788     271,523  SH        DEFINED      5       271,523
AMGEN INC                           COM       031162100      8,529     146,691  SH        DEFINED   1,2,3,4    146,691
AMGEN INC                           COM       031162100    215,505   3,706,344  SH        DEFINED    1,2,3   3,706,344
AMIS HLDGS INC                      COM       031538101      1,153      71,200  SH        DEFINED      5        71,200
AMIS HLDGS INC                      COM       031538101     24,331   1,502,400  SH        DEFINED    1,2,3   1,502,400
AMPHENOL CORP NEW                  CL A       032095101      3,041     102,400  SH        DEFINED      5       102,400
AMPHENOL CORP NEW                  CL A       032095101     69,577   2,342,650  SH        DEFINED    1,2,3   2,342,650
AMSURG CORP                         COM       03232P405     21,856     958,589  SH        DEFINED      5       958,589
AMSURG CORP                         COM       03232P405     73,427   3,220,495  SH        DEFINED    1,2,3   3,220,495
AMYLIN PHARMACEUTICALS INC          COM       032346108      1,400      59,100  SH        DEFINED      5        59,100
AMYLIN PHARMACEUTICALS INC          COM       032346108     47,747   2,015,475  SH        DEFINED    1,2,3   2,015,475
ANADARKO PETE CORP                  COM       032511107     15,598     300,777  SH        DEFINED      5       300,777
ANADARKO PETE CORP                  COM       032511107         21         400  SH        DEFINED   1,2,3,4        400
ANADARKO PETE CORP                  COM       032511107    178,964   3,450,900  SH        DEFINED    1,2,3   3,450,900
ANALOG DEVICES INC                  COM       032654105     40,763     849,046  SH        DEFINED      5       849,046
ANALOG DEVICES INC                  COM       032654105    244,478   5,092,236  SH        DEFINED    1,2,3   5,092,236
ANGIOTECH PHARMACEUTICALS IN        COM       034918102        117       4,800  SH        DEFINED      5         4,800
ANGIOTECH PHARMACEUTICALS IN        COM       034918102     18,243     747,679  SH        DEFINED    1,2,3     747,679
ANHEUSER BUSCH COS INC              COM       035229103      5,920     116,074  SH        DEFINED      5       116,074
ANHEUSER BUSCH COS INC              COM       035229103         10         200  SH        DEFINED   1,2,3,4        200
ANHEUSER BUSCH COS INC              COM       035229103     74,948   1,469,569  SH        DEFINED    1,2,3   1,469,569
ANTHEM INC                          COM       03674B104        861       9,500  SH        DEFINED      5         9,500
ANTHEM INC                          COM       03674B104     41,069     453,100  SH        DEFINED    1,2,3     453,100
APACHE CORP                         COM       037411105        138       3,200  SH        DEFINED      5         3,200
APACHE CORP                         COM       037411105         36         840  SH        DEFINED   1,2,3,4        840
APACHE CORP                         COM       037411105     51,886   1,201,900  SH        DEFINED    1,2,3   1,201,900
APPLE COMPUTER INC                  COM       037833100      1,659      61,350  SH        DEFINED      5        61,350
APPLE COMPUTER INC                  COM       037833100     33,154   1,226,100  SH        DEFINED    1,2,3   1,226,100
APPLIED MATLS INC                   COM       038222105     11,903     557,137  SH        DEFINED      5       557,137
APPLIED MATLS INC                   COM       038222105    191,475   8,962,074  SH        DEFINED    1,2,3   8,962,074
APPLIED MICRO CIRCUITS CORP         COM       03822W109      6,383   1,111,050  SH        DEFINED    1,2,3   1,111,050
ARACRUZ CELULOSE S A           SPON ADR PFD   038496204        811      21,200  SH        DEFINED      5        21,200
                                     B
ARACRUZ CELULOSE S A           SPON ADR PFD   038496204     10,744     280,900  SH        DEFINED    1,2,3     280,900
                                     B
ARBITRON INC                        COM       03875Q108        304       7,550  SH        DEFINED      5         7,550






              ITEM 1              ITEM 2        ITEM 3   ITEM 4                ITEM 5      ITEM 6    ITEM 7           ITEM 8

                                                                                                                 VOTING AUTHORITY
                                                          FAIR       SHARES/                        MANAGERS         (SHARES)
                                 TITLE OF       CUSIP    MARKET     PRINCIPAL  SH/ PUT/  INVESTMENT   SEE              (B)     (C)
          NAME OF ISSUE            CLASS        NUMBER   VALUE       AMOUNT    PRN CALL  DISCRETION INSTR V  (A) SOLE SHARED  NONE
                                                                                               
ARBITRON INC                        COM       03875Q108     12,658     314,400  SH        DEFINED    1,2,3     314,400
ARCHER DANIELS MIDLAND CO           COM       039483102      1,188      70,400  SH        DEFINED      5        70,400
ARCHER DANIELS MIDLAND CO           COM       039483102     13,127     778,100  SH        DEFINED    1,2,3     778,100
ARCHSTONE SMITH TR                  COM       039583109      2,507      84,957  SH        DEFINED   1,2,3,4     84,957
ASK JEEVES INC                      COM       045174109        225       6,300  SH        DEFINED      5         6,300
ASYST TECHNOLOGY CORP               COM       04648X107        809      98,450  SH        DEFINED      5        98,450
ASYST TECHNOLOGY CORP               COM       04648X107     13,184   1,603,900  SH        DEFINED    1,2,3   1,603,900
AUTOMATIC DATA PROCESSING INC       COM       053015103        332       7,900  SH        DEFINED      5         7,900
AUTOMATIC DATA PROCESSING INC       COM       053015103         93       2,220  SH        DEFINED   1,2,3,4      2,220
AUTOMATIC DATA PROCESSING INC       COM       053015103      3,755      89,400  SH        DEFINED    1,2,3      89,400
AVID TECHNOLOGY INC                 COM       05367P100     10,387     224,900  SH        DEFINED      5       224,900
AVID TECHNOLOGY INC                 COM       05367P100     24,159     523,100  SH        DEFINED    1,2,3     523,100
AXCELIS TECHNOLOGIES INC            COM       054540109        136      12,300  SH        DEFINED      5        12,300
BJ SVCS CO                          COM       055482103        268       6,200  SH        DEFINED      5         6,200
BJ SVCS CO                          COM       055482103     12,133     280,407  SH        DEFINED    1,2,3     280,407
BP AMOCO P L C                 SPONSORED ADR  055622104     24,274     474,104  SH        DEFINED   1,2,3,4    474,104
BP AMOCO P L C                 SPONSORED ADR  055622104     12,534     244,800  SH        DEFINED    1,2,3     244,800
BRE PROPERTIES INC                 CL A       05564E106        618      18,000  SH        DEFINED   1,2,3,4     18,000
BAKER HUGHES INC                    COM       057224107     15,112     414,250  SH        DEFINED      5       414,250
BAKER HUGHES INC                    COM       057224107    207,309   5,682,807  SH        DEFINED    1,2,3   5,682,807
BANK OF AMERICA CORPORATION         COM       060505104      7,105      87,732  SH        DEFINED      5        87,732
BANK OF AMERICA CORPORATION         COM       060505104        370       4,572  SH        DEFINED   1,2,3,4      4,572
BANK OF AMERICA CORPORATION         COM       060505104     77,181     953,091  SH        DEFINED    1,2,3     953,091
BANK NEW YORK INC                   COM       064057102      4,725     150,000  SH        DEFINED    1,2,3     150,000
BANK ONE CORP                       COM       06423A103        932      17,100  SH        DEFINED      5        17,100
BANK ONE CORP                       COM       06423A103        128       2,350  SH        DEFINED   1,2,3,4      2,350
BANK ONE CORP                       COM       06423A103     10,550     193,500  SH        DEFINED    1,2,3     193,500
BARD C R INC                        COM       067383109      2,138      21,900  SH        DEFINED      5        21,900
BARD C R INC                        COM       067383109     33,783     346,000  SH        DEFINED    1,2,3     346,000
BARRICK GOLD CORP                   COM       067901108      1,684      70,800  SH        DEFINED      5        70,800
BARRICK GOLD CORP                   COM       067901108     18,496     777,800  SH        DEFINED    1,2,3     777,800
BARR LABS INC                       COM       068306109        165       3,600  SH        DEFINED      5         3,600
BARR LABS INC                       COM       068306109      7,993     174,150  SH        DEFINED    1,2,3     174,150
BELLSOUTH CORP                      COM       079860102      1,389      50,165  SH        DEFINED      5        50,165
BELLSOUTH CORP                      COM       079860102        382      13,800  SH        DEFINED   1,2,3,4     13,800
BERKSHIRE HATHAWAY INC DEL         CL A       084670108    109,161       1,170  SH        DEFINED    1,2,3       1,170
BERKSHIRE HATHAWAY INC DEL         CL B       084670207     11,915       3,830  SH        DEFINED      5         3,830
BERKSHIRE HATHAWAY INC DEL         CL B       084670207     27,228       8,752  SH        DEFINED   1,2,3,4      8,752
BERKSHIRE HATHAWAY INC DEL         CL B       084670207     44,039      14,156  SH        DEFINED    1,2,3      14,156
BEST BUY INC                        COM       086516101     10,055     194,416  SH        DEFINED      5       194,416
BEST BUY INC                        COM       086516101    175,916   3,401,316  SH        DEFINED    1,2,3   3,401,316
BIOMET INC                          COM       090613100      2,034      53,125  SH        DEFINED      5        53,125
BIOMET INC                          COM       090613100     72,508   1,893,400  SH        DEFINED    1,2,3   1,893,400
BIOGEN IDEC INC                     COM       09062X103        766      13,800  SH        DEFINED   1,2,3,4     13,800
BOMBAY CO INC                       COM       097924104      2,741     349,200  SH        DEFINED      5       349,200
BOMBAY CO INC                       COM       097924104     20,219   2,575,681  SH        DEFINED    1,2,3   2,575,681
BORDERS GROUP INC                   COM       099709107      6,098     256,850  SH        DEFINED      5       256,850
BORDERS GROUP INC                   COM       099709107     14,757     621,600  SH        DEFINED    1,2,3     621,600
BOSTON SCIENTIFIC CORP              COM       101137107     45,652   1,077,205  SH        DEFINED      5     1,077,205
BOSTON SCIENTIFIC CORP              COM       101137107    318,490   7,515,099  SH        DEFINED    1,2,3   7,515,099






              ITEM 1              ITEM 2        ITEM 3   ITEM 4                ITEM 5      ITEM 6    ITEM 7           ITEM 8

                                                                                                                 VOTING AUTHORITY
                                                          FAIR       SHARES/                        MANAGERS         (SHARES)
                                 TITLE OF       CUSIP    MARKET     PRINCIPAL  SH/ PUT/  INVESTMENT   SEE              (B)     (C)
          NAME OF ISSUE            CLASS        NUMBER   VALUE       AMOUNT    PRN CALL  DISCRETION INSTR V  (A) SOLE SHARED  NONE
                                                                                               
BRISTOL MYERS SQUIBB CO             COM       110122108     23,157     955,708  SH        DEFINED   1,2,3,4    955,708
BRISTOL MYERS SQUIBB CO             COM       110122108         44       1,800  SH        DEFINED    1,2,3       1,800
BROADCOM CORP                      CL A       111320107      1,575      40,300  SH        DEFINED      5        40,300
BROADCOM CORP                      CL A       111320107     27,606     706,400  SH        DEFINED    1,2,3     706,400
BROCADE COMMUNICATIONS SYS INC      COM       111621108      2,670     400,000  SH        DEFINED    1,2,3     400,000
BRUNSWICK CORP                      COM       117043109        751      18,400  SH        DEFINED      5        18,400
BRUNSWICK CORP                      COM       117043109      8,517     208,600  SH        DEFINED    1,2,3     208,600
BURLINGTON NORTHN SANTA FE CP       COM       12189T104         66       2,100  SH        DEFINED   1,2,3,4      2,100
BURLINGTON NORTHN SANTA FE CP       COM       12189T104     13,073     415,000  SH        DEFINED    1,2,3     415,000
BURLINGTON RES INC                  COM       122014103     19,033     299,126  SH        DEFINED      5       299,126
BURLINGTON RES INC                  COM       122014103         64       1,000  SH        DEFINED   1,2,3,4      1,000
BURLINGTON RES INC                  COM       122014103    234,102   3,679,109  SH        DEFINED    1,2,3   3,679,109
BUSINESS OB JECTS S A          SPONSORED ADR  12328X107        238       8,350  SH        DEFINED    1,2,3       8,350
C H ROBINSON WORLDWIDE INC          COM       12541W100        965      23,300  SH        DEFINED      5        23,300
C H ROBINSON WORLDWIDE INC          COM       12541W100     15,736     380,100  SH        DEFINED    1,2,3     380,100
CKE RESTAURANTS INC                 COM       12561E105      4,202     424,400  SH        DEFINED      5       424,400
CKE RESTAURANTS INC                 COM       12561E105     16,083   1,624,500  SH        DEFINED    1,2,3   1,624,500
CNA FINL CORP                       COM       126117100     22,048     800,000  SH        DEFINED    1,2,3     800,000
CABOT MICROELECTRONICS CORP         COM       12709P103      8,163     193,700  SH        DEFINED      5       193,700
CABOT MICROELECTRONICS CORP         COM       12709P103     53,086   1,259,742  SH        DEFINED    1,2,3   1,259,742
CADENCE DESIGN SYSTEM INC           COM       127387108      8,253     559,900  SH        DEFINED    1,2,3     559,900
CANON INC                           COM       138006309        259       5,000  SH        DEFINED    1,2,3       5,000
CAPITOL FED FINL                    COM       14057C106        115       3,200  SH        DEFINED      5         3,200
CAPITOL FED FINL                    COM       14057C106      1,042      29,058  SH        DEFINED    1,2,3      29,058
CAREMARK RX INC                     COM       141705103     42,836   1,288,303  SH        DEFINED   1,2,3,   1,288,303
CAREMARK RX INC                     COM       141705103         60       1,800  SH        DEFINED    1,2,3       1,800
CARNIVAL CORP                       COM       143658300     44,460     989,973  SH        DEFINED   1,2,3,4    989,973
CARNIVAL CORP                       COM       143658300         63       1,400  SH        DEFINED    1,2,3       1,400
CARRAMERICA RLTY CORP               COM       144418100        255       7,533  SH        DEFINED   1,2,3,4      7,533
CATERPILLAR INC DEL                 COM       149123101      6,984      88,323  SH        DEFINED      5        88,323
CATERPILLAR INC DEL                 COM       149123101        403       5,100  SH        DEFINED   1,2,3,4      5,100
CATERPILLAR INC DEL                 COM       149123101     95,734   1,210,756  SH        DEFINED    1,2,3   1,210,756
CELESTICA INC                   SUB VTG SHS   15101Q108      6,560     400,000  SH        DEFINED    1,2,3     400,000
CEMEX S A                       SPON ADR 5    151290889      2,123      71,200  SH        DEFINED      5        71,200
                                    ORD
CEMEX S A                       SPON ADR 5    151290889     19,923     668,100  SH        DEFINED    1,2,3     668,100
                                    ORD
CENDANT CORP                        COM       151313103        920      37,700  SH        DEFINED      5        37,700
CENDANT CORP                        COM       151313103     10,436     427,900  SH        DEFINED    1,2,3     427,900
CENTRAL FGHT LINES INC NEV          COM       153491105         66       5,000  SH        DEFINED      5         5,000
CENTRAL FGHT LINES INC NEV          COM       153491105        263      20,000  SH        DEFINED    1,2,3      20,000
CENTURYTEL INC                      COM       156700106      5,171     188,100  SH        DEFINED      5       188,100
CENTURYTEL INC                      COM       156700106     17,855     649,500  SH        DEFINED    1,2,3     649,500
CEPHALON INC                        COM       156708109      1,108      19,350  SH        DEFINED      5        19,350
CEPHALON INC                        COM       156708109     17,993     314,100  SH        DEFINED    1,2,3     314,100
CERNER CORP                         COM       156782104     37,171     824,550  SH        DEFINED      5       824,550
CERNER CORP                         COM       156782104    200,770   4,453,628  SH        DEFINED    1,2,3   4,453,628
CHARTER ONE FINL INC                COM       160903100      2,149      60,762  SH        DEFINED      5        60,762
CHARTER ONE FINL INC                COM       160903100     31,243     883,572  SH        DEFINED    1,2,3     883,572
CHECKFREE CORP NEW                  COM       162813109     49,342   1,675,444  SH        DEFINED      5     1,675,444
CHECKFREE CORP NEW                  COM       162813109    175,836   5,970,667  SH        DEFINED    1,2,3   5,970,667
CHEVRONTEXACO CORP                  COM       166764100      1,635      18,624  SH        DEFINED      5        18,624






              ITEM 1              ITEM 2        ITEM 3   ITEM 4                ITEM 5      ITEM 6    ITEM 7           ITEM 8

                                                                                                                 VOTING AUTHORITY
                                                          FAIR       SHARES/                        MANAGERS         (SHARES)
                                 TITLE OF       CUSIP    MARKET     PRINCIPAL  SH/ PUT/  INVESTMENT   SEE              (B)     (C)
          NAME OF ISSUE            CLASS        NUMBER   VALUE       AMOUNT    PRN CALL  DISCRETION INSTR V  (A) SOLE SHARED  NONE
                                                                                               
CHEVRONTEXACO CORP                  COM       166764100      2,049      23,345  SH        DEFINED   1,2,3,4     23,345
CHEVRONTEXACO CORP                  COM       166764100     16,318     185,900  SH        DEFINED    1,2,3     185,900
CHICAGO BRIDGE & IRON CO N V   N Y REGISTRY   167250109      8,548     307,150  SH        DEFINED    1,2,3     307,150
                                    SH
CHICAGO MERCANTILE HLDGS INC       CL A       167760107     21,192     219,059  SH        DEFINED      5       219,059
CHICAGO MERCANTILE HLDGS INC       CL A       167760107    178,899   1,849,274  SH        DEFINED    1,2,3   1,849,274
CHUBB CORP                          COM       171232101     22,217     319,485  SH        DEFINED   1,2,3,4    319,485
CHUBB CORP                          COM       171232101     15,466     222,400  SH        DEFINED    1,2,3     222,400
CINERGY CORP                        COM       172474108        699      17,100  SH        DEFINED      5        17,100
CINERGY CORP                        COM       172474108     14,366     351,330  SH        DEFINED   1,2,3,4    351,330
CINERGY CORP                        COM       172474108      7,969     194,900  SH        DEFINED    1,2,3     194,900
CIPHERGEN BIOSYSTEMS INC            COM       17252Y104      4,811     574,500  SH        DEFINED      5       574,500
CIPHERGEN BIOSYSTEMS INC            COM       17252Y104     10,507   1,254,550  SH        DEFINED    1,2,3   1,254,550
CISCO SYS INC                       COM       17275R102     47,260   2,008,072  SH        DEFINED      5     2,008,072
CISCO SYS INC                       COM       17275R102    313,561  13,323,179  SH        DEFINED    1,2,3  13,323,179
CITADEL BROADCASTING CORP           COM       17285T106        175      10,000  SH        DEFINED      5        10,000
CITADEL BROADCASTING CORP           COM       17285T106      1,658      95,000  SH        DEFINED    1,2,3      95,000
CINTAS CORP                         COM       172908105      3,802      87,645  SH        DEFINED      5        87,645
CINTAS CORP                         COM       172908105     51,439   1,185,650  SH        DEFINED    1,2,3   1,185,650
CITIGROUP INC                       COM       172967101     15,045     291,003  SH        DEFINED      5       291,003
CITIGROUP INC                       COM       172967101     32,544     629,470  SH        DEFINED   1,2,3,4    629,470
CITIGROUP INC                       COM       172967101    176,863   3,420,956  SH        DEFINED    1,2,3   3,420,956
CITRIX SYS INC                      COM       177376100      6,743     311,250  SH        DEFINED    1,2,3     311,250
CLEAR CHANNEL COMMUNICATIONS        COM       184502102     14,773     348,834  SH        DEFINED   1,2,3,4    348,834
CLEAR CHANNEL COMMUNICATIONS        COM       184502102     20,752     490,000  SH        DEFINED    1,2,3     490,000
CLOROX CO DEL                       COM       189054109        369       7,550  SH        DEFINED      5         7,550
CLOROX CO DEL                       COM       189054109      1,500      30,659  SH        DEFINED    1,2,3      30,659
COACH INC                           COM       189754104      4,652     113,490  SH        DEFINED      5       113,490
COACH INC                           COM       189754104     40,873     997,156  SH        DEFINED    1,2,3     997,156
COCA COLA CO                        COM       191216100     23,476     466,728  SH        DEFINED      5       466,728
COCA COLA CO                        COM       191216100     32,248     641,115  SH        DEFINED   1,2,3,4    641,115
COCA COLA CO                        COM       191216100    355,125   7,060,142  SH        DEFINED    1,2,3   7,060,142
COCA COLA ENTERPRISES INC           COM       191219104      2,021      83,600  SH        DEFINED      5        83,600
COCA COLA ENTERPRISES INC           COM       191219104     29,553   1,222,700  SH        DEFINED    1,2,3   1,222,700
COGNEX CORP                         COM       192422103        840      25,250  SH        DEFINED      5        25,250
COGNEX CORP                         COM       192422103      1,974      59,350  SH        DEFINED    1,2,3      59,350
COLGATE PALMOLIVE CO                COM       194162103      6,988     126,818  SH        DEFINED      5       126,818
COLGATE PALMOLIVE CO                COM       194162103     96,070   1,743,556  SH        DEFINED    1,2,3   1,743,556
COMCAST CORP NEW                   CL A       20030N101        201       6,998  SH        DEFINED      5         6,998
COMMONWEALTH TEL ENTERPRISES        COM       203349105      7,030     171,350  SH        DEFINED      5       171,350
COMMONWEALTH TEL ENTERPRISES        COM       203349105     15,909     387,750  SH        DEFINED    1,2,3     387,750
COMPANIA VALE DO RIO DOCE      SPONSORED ADR  204412209      1,323      24,100  SH        DEFINED      5        24,100
COMPANIA VALE DO RIO DOCE      SPONSORED ADR  204412209     16,981     309,300  SH        DEFINED    1,2,3     309,300
CONAGRA FOODS INC                   COM       205887102     12,385     459,720  SH        DEFINED   1,2,3,4    459,720
CONAGRA FOODS INC                   COM       205887102      1,101      40,861  SH        DEFINED    1,2,3      40,861
CONNS INC                           COM       208242107        322      20,500  SH        DEFINED      5        20,500
CONNS INC                           COM       208242107      5,442     346,300  SH        DEFINED    1,2,3     346,300
CONOCOPHILLIPS                      COM       20825C104        600       8,600  SH        DEFINED      5         8,600
CONOCOPHILLIPS                      COM       20825C104         91       1,300  SH        DEFINED   1,2,3,4      1,300
CONOCOPHILLIPS                      COM       20825C104      6,820      97,700  SH        DEFINED    1,2,3      97,700
CONSTELLATION BRANDS INC           CL A       21036P108        571      17,800  SH        DEFINED      5        17,800






              ITEM 1              ITEM 2        ITEM 3   ITEM 4                ITEM 5      ITEM 6    ITEM 7           ITEM 8

                                                                                                                 VOTING AUTHORITY
                                                          FAIR       SHARES/                        MANAGERS         (SHARES)
                                 TITLE OF       CUSIP    MARKET     PRINCIPAL  SH/ PUT/  INVESTMENT   SEE              (B)     (C)
          NAME OF ISSUE            CLASS        NUMBER   VALUE       AMOUNT    PRN CALL  DISCRETION INSTR V  (A) SOLE SHARED  NONE
                                                                                               
CONSTELLATION BRANDS INC           CL A       21036P108      6,497     202,400  SH        DEFINED    1,2,3     202,400
COOPER CAMERON CORP                 COM       216640102        163       3,700  SH        DEFINED      5         3,700
COOPER CAMERON CORP                 COM       216640102          7         150  SH        DEFINED   1,2,3,4        150
COOPER CAMERON CORP                 COM       216640102     17,924     406,900  SH        DEFINED    1,2,3     406,900
CORNING INC                         COM       219350105      7,017     627,650  SH        DEFINED    1,2,3     627,650
CORNING INC                        DBCV       219350AJ4         26      33,000 PRN        DEFINED    1,2,3      33,000
                                   11/0
CORPORATE EXECUTIVE BRD CO          COM       21988R102     36,494     777,385  SH        DEFINED    1,2,3     777,385
COSTCO WHSL CORP NEW                COM       22160K105     20,723     551,868  SH        DEFINED      5       551,868
COSTCO WHSL CORP NEW                COM       22160K105         37         980  SH        DEFINED   1,2,3,4        980
COSTCO WHSL CORP NEW                COM       22160K105    228,108   6,074,790  SH        DEFINED    1,2,3   6,074,790
COUNTRYWIDE CR INDS INC DEL         COM       222372104        997      10,400  SH        DEFINED      5        10,400
COUNTRYWIDE CR INDS INC DEL         COM       222372104     64,905     676,800  SH        DEFINED    1,2,3     676,800
COX COMMUNICATIONS INC NEW         CL A       224044107      8,984     284,312  SH        DEFINED      5       284,312
COX COMMUNICATIONS INC NEW         CL A       224044107    110,333   3,491,542  SH        DEFINED    1,2,3   3,491,542
COX RADIO INC                      CL A       224051102      8,788     412,590  SH        DEFINED      5       412,590
COX RADIO INC                      CL A       224051102     34,885   1,637,810  SH        DEFINED    1,2,3   1,637,810
CRAY INC                            COM       225223106      4,468     675,400  SH        DEFINED    1,2,3     675,400
CREE INC                            COM       225447101     55,378   2,487,783  SH        DEFINED    1,2,3   2,487,783
CULLEN FROST BANKERS INC            COM       229899109      2,367      55,348  SH        DEFINED   1,2,3,4     55,348
DANAHER CORP DEL                    COM       235851102      4,855      51,995  SH        DEFINED      5        51,995
DANAHER CORP DEL                    COM       235851102        271       2,900  SH        DEFINED   1,2,3,4      2,900
DANAHER CORP DEL                    COM       235851102     45,618     488,570  SH        DEFINED    1,2,3     488,570
DARDEN RESTAURANTS INC              COM       237194105     19,832     800,000  SH        DEFINED    1,2,3     800,000
DEAN FOODS CO NEW                   COM       242370104     13,537     405,300  SH        DEFINED    1,2,3     405,300
DEERE & CO                          COM       244199105     12,175     175,661  SH        DEFINED      5       175,661
DEERE & CO                          COM       244199105        211       3,050  SH        DEFINED   1,2,3,4      3,050
DEERE & CO                          COM       244199105    161,805   2,334,509  SH        DEFINED    1,2,3   2,334,509
DELL INC                            COM       24702R101     15,879     472,800  SH        DEFINED      5       472,800
DELL INC                            COM       24702R101     18,456     549,519  SH        DEFINED   1,2,3,4    549,519
DELL INC                            COM       24702R101    203,442   6,057,540  SH        DEFINED    1,2,3   6,057,540
DELTA AIR LINES INC DEL             COM       247361108      3,866     488,150  SH        DEFINED    1,2,3     488,150
DELTA AIR LINES INC DEL         NOTE 8.000%   247361YP7      2,368   3,200,000 PRN        DEFINED    1,2,3   3,200,000
                                    6/0
DENDRITE INTL INC                   COM       248239105     58,718   3,668,755  SH        DEFINED    1,2,3   3,668,755
DEVON ENERGY CORP NEW               COM       25179M103        849      14,600  SH        DEFINED      5        14,600
DEVON ENERGY CORP NEW               COM       25179M103      1,025      17,632  SH        DEFINED   1,2,3,4     17,632
DEVON ENERGY CORP NEW               COM       25179M103     50,364     866,100  SH        DEFINED    1,2,3     866,100
DIAGEO P L C                   SPON ADR NEW   25243Q205        976      18,450  SH        DEFINED      5        18,450
DIAGEO P L C                   SPON ADR NEW   25243Q205      8,453     159,858  SH        DEFINED    1,2,3     159,858
DISNEY WALT CO                  COM DISNEY    254687106         97       3,900  SH        DEFINED   1,2,3,4      3,900
DISNEY WALT CO                  COM DISNEY    254687106     40,404   1,616,800  SH        DEFINED    1,2,3   1,616,800
DOLLAR GEN CORP                     COM       256669102        698      36,350  SH        DEFINED      5        36,350
DOLLAR GEN CORP                     COM       256669102      7,818     407,205  SH        DEFINED   1,2,3,4    407,205
DOLLAR GEN CORP                     COM       256669102      7,956     414,400  SH        DEFINED    1,2,3     414,400
DOMINION RES INC VA NEW             COM       25746U109     15,793     245,622  SH        DEFINED      5       245,622
DOMINION RES INC VA NEW             COM       25746U109        309       4,800  SH        DEFINED   1,2,3,4      4,800
DOMINION RES INC VA NEW             COM       25746U109    191,715   2,981,573  SH        DEFINED    1,2,3   2,981,573
DOW CHEM CO                         COM       260543103        898      22,300  SH        DEFINED      5        22,300
DOW CHEM CO                         COM       260543103        105       2,600  SH        DEFINED   1,2,3,4      2,600
DOW CHEM CO                         COM       260543103      8,383     208,107  SH        DEFINED    1,2,3     208,107
DU PONT E I DE NEMOURS & CO         COM       263534109      5,836     138,233  SH        DEFINED      5       138,233






              ITEM 1              ITEM 2        ITEM 3   ITEM 4                ITEM 5      ITEM 6    ITEM 7           ITEM 8

                                                                                                                 VOTING AUTHORITY
                                                          FAIR       SHARES/                        MANAGERS         (SHARES)
                                 TITLE OF       CUSIP    MARKET     PRINCIPAL  SH/ PUT/  INVESTMENT   SEE              (B)     (C)
          NAME OF ISSUE            CLASS        NUMBER   VALUE       AMOUNT    PRN CALL  DISCRETION INSTR V  (A) SOLE SHARED  NONE
                                                                                               
DU PONT E I DE NEMOURS & CO         COM       263534109     22,676     537,087  SH        DEFINED   1,2,3,4    537,087
DU PONT E I DE NEMOURS & CO         COM       263534109    123,737   2,930,757  SH        DEFINED    1,2,3   2,930,757
DUPONT PHOTOMASKS INC               COM       26613X101      6,805     293,250  SH        DEFINED      5       293,250
DUPONT PHOTOMASKS INC               COM       26613X101     16,002     689,600  SH        DEFINED    1,2,3     689,600
E M C CORP MASS                     COM       268648102     48,107   3,534,707  SH        DEFINED      5     3,534,707
E M C CORP MASS                     COM       268648102    283,083  20,799,614  SH        DEFINED    1,2,3  20,799,614
ENSCO INTL INC                      COM       26874Q100        330      11,700  SH        DEFINED      5        11,700
ENSCO INTL INC                      COM       26874Q100         18         650  SH        DEFINED   1,2,3,4        650
ENSCO INTL INC                      COM       26874Q100      3,721     132,100  SH        DEFINED    1,2,3     132,100
ENI S P A                      SPONSORED ADR  26874R108        878       8,700  SH        DEFINED    1,2,3       8,700
EPIX MEDICAL INC                    COM       26881Q101     17,935     863,516  SH        DEFINED    1,2,3     863,516
EPIQ SYS INC                        COM       26882D109     16,053     986,053  SH        DEFINED    1,2,3     986,053
EATON CORP                          COM       278058102      5,956     106,000  SH        DEFINED    1,2,3     106,000
EBAY INC                            COM       278642103      6,854      98,898  SH        DEFINED      5        98,898
EBAY INC                            COM       278642103     93,762   1,352,985  SH        DEFINED    1,2,3   1,352,985
ECHOSTAR COMMUNICATIONS NEW        CL A       278762109      6,328     193,650  SH        DEFINED    1,2,3     193,650
ELECTRONIC ARTS INC                 COM       285512109     10,329     191,780  SH        DEFINED      5       191,780
ELECTRONIC ARTS INC                 COM       285512109    121,351   2,253,082  SH        DEFINED    1,2,3   2,253,082
EMBRAER-EMPRESA BRASILEIRA DE   SP ADRF PFD   29081M102        642      20,000  SH        DEFINED      5        20,000
                                    SHS
EMBRAER-EMPRESA BRASILEIRA DE   SP ADRF PFD   29081M102        128       4,000  SH        DEFINED    1,2,3       4,000
                                    SHS
EMERSON ELEC CO                     COM       291011104        911      15,200  SH        DEFINED      5        15,200
EMERSON ELEC CO                     COM       291011104        168       2,800  SH        DEFINED   1,2,3,4      2,800
EMERSON ELEC CO                     COM       291011104     21,191     353,655  SH        DEFINED    1,2,3     353,655
ENCYSIVE PHARMACEUTICALS INC        COM       29256X107        103      10,000  SH        DEFINED   1,2,3,4     10,000
ENTEGRIS INC                        COM       29362U104      8,724     688,520  SH        DEFINED      5       688,520
ENTEGRIS INC                        COM       29362U104     20,334   1,604,880  SH        DEFINED    1,2,3   1,604,880
ENTERASYS NETWORKS INC              COM       293637104      3,036   1,200,000  SH        DEFINED    1,2,3   1,200,000
ENTERCOM COMMUNICATIONS CORP       CL A       293639100      7,927     175,100  SH        DEFINED      5       175,100
ENTERCOM COMMUNICATIONS CORP       CL A       293639100     18,531     409,350  SH        DEFINED    1,2,3     409,350
ENTERGY CORP NEW                    COM       29364G103        851      14,300  SH        DEFINED      5        14,300
ENTERGY CORP NEW                    COM       29364G103      9,746     163,800  SH        DEFINED    1,2,3     163,800
EQUITABLE RES INC                   COM       294549100     22,210     500,000  SH        DEFINED    1,2,3     500,000
EQUITY OFFICE PROPERTIES TRUST      COM       294741103        511      17,700  SH        DEFINED      5        17,700
EQUITY OFFICE PROPERTIES TRUST      COM       294741103      4,169     144,311  SH        DEFINED    1,2,3     144,311
ERICSSON L M TEL CO            ADR B SEK 10   294821608      6,126     220,930  SH        DEFINED      5       220,930
ERICSSON L M TEL CO            ADR B SEK 10   294821608     58,532   2,110,800  SH        DEFINED    1,2,3   2,110,800
ETHAN ALLEN INTERIORS INC           COM       297602104        322       7,800  SH        DEFINED      5         7,800
EURONET WORLDWIDE INC               COM       298736109      2,530     132,600  SH        DEFINED      5       132,600
EURONET WORLDWIDE INC               COM       298736109     39,556   2,073,150  SH        DEFINED    1,2,3   2,073,150
EXELON CORP                         COM       30161N101     13,080     189,925  SH        DEFINED    1,2,3     189,925
EXTREME NETWORKS INC                COM       30226D106         83      11,450  SH        DEFINED      5        11,450
EXXON MOBIL CORP                    COM       30231G102     17,210     413,803  SH        DEFINED      5       413,803
EXXON MOBIL CORP                    COM       30231G102     28,110     675,890  SH        DEFINED   1,2,3,4    675,890
EXXON MOBIL CORP                    COM       30231G102    294,880   7,090,159  SH        DEFINED    1,2,3   7,090,159
FLIR SYS INC                        COM       302445101     14,029     368,500  SH        DEFINED      5       368,500
FLIR SYS INC                        COM       302445101     33,366     876,450  SH        DEFINED    1,2,3     876,450
FACTSET RESH SYS INC                COM       303075105     14,592     342,850  SH        DEFINED      5       342,850
FACTSET RESH SYS INC                COM       303075105     74,639   1,753,732  SH        DEFINED    1,2,3   1,753,732
FAMILY DLR STORES INC               COM       307000109        262       7,300  SH        DEFINED   1,2,3,4      7,300
FAMILY DLR STORES INC               COM       307000109      7,035     195,700  SH        DEFINED    1,2,3     195,700






              ITEM 1              ITEM 2        ITEM 3   ITEM 4                ITEM 5      ITEM 6    ITEM 7           ITEM 8

                                                                                                                 VOTING AUTHORITY
                                                          FAIR       SHARES/                        MANAGERS         (SHARES)
                                 TITLE OF       CUSIP    MARKET     PRINCIPAL  SH/ PUT/  INVESTMENT   SEE              (B)     (C)
          NAME OF ISSUE            CLASS        NUMBER   VALUE       AMOUNT    PRN CALL  DISCRETION INSTR V  (A) SOLE SHARED  NONE
                                                                                               
FASTENAL CO                         COM       311900104      2,086      38,900  SH        DEFINED      5        38,900
FASTENAL CO                         COM       311900104     34,874     650,400  SH        DEFINED    1,2,3     650,400
FEDERAL HOME LN MTG CORP            COM       313400301        549       9,300  SH        DEFINED      5         9,300
FEDERAL HOME LN MTG CORP            COM       313400301      6,266     106,100  SH        DEFINED    1,2,3     106,100
FEDERAL NATL MTG ASSN               COM       313586109      1,625      21,850  SH        DEFINED      5        21,850
FEDERAL NATL MTG ASSN               COM       313586109     16,001     215,206  SH        DEFINED    1,2,3     215,206
FILENET CORP                        COM       316869106      9,438     354,600  SH        DEFINED      5       354,600
FILENET CORP                        COM       316869106     22,234     835,400  SH        DEFINED    1,2,3     835,400
FINANCIAL FED CORP                  COM       317492106      8,836     264,300  SH        DEFINED      5       264,300
FINANCIAL FED CORP                  COM       317492106     51,321   1,535,187  SH        DEFINED    1,2,3   1,535,187
FIRST DATA CORP                     COM       319963104     41,030     973,192  SH        DEFINED   1,2,3,4    973,192
FIRST DATA CORP                     COM       319963104         63       1,500  SH        DEFINED    1,2,3       1,500
FISERV INC                          COM       337738108      1,277      35,950  SH        DEFINED      5        35,950
FISERV INC                          COM       337738108     20,924     589,000  SH        DEFINED    1,2,3     589,000
FLEETBOSTON FINL CORP               COM       339030108        777      17,300  SH        DEFINED      5        17,300
FLEETBOSTON FINL CORP               COM       339030108      8,814     196,300  SH        DEFINED    1,2,3     196,300
FOREST LABS INC                    CL A       345838106     43,616     608,990  SH        DEFINED      5       608,990
FOREST LABS INC                    CL A       345838106    294,851   4,116,880  SH        DEFINED    1,2,3   4,116,880
FORMFACTOR INC                      COM       346375108      4,843     231,900  SH        DEFINED      5       231,900
FORMFACTOR INC                      COM       346375108     11,382     545,000  SH        DEFINED    1,2,3     545,000
FOSSIL INC                          COM       349882100     21,164     634,982  SH        DEFINED    1,2,3     634,982
FOX ENTMT GROUP INC                CL A       35138T107      4,893     180,538  SH        DEFINED      5       180,538
FOX ENTMT GROUP INC                CL A       35138T107     56,209   2,074,150  SH        DEFINED    1,2,3   2,074,150
FREEPORT-MCMORAN COPPER & GOLD     CL B       35671D857      2,243      57,376  SH        DEFINED      5        57,376
FREEPORT-MCMORAN COPPER & GOLD     CL B       35671D857     24,167     618,229  SH        DEFINED    1,2,3     618,229
FRIEDMAN BILLINGS RAMSEY GRO       CL A       358434108     32,388   1,200,000  SH        DEFINED    1,2,3   1,200,000
GANNETT INC                         COM       364730101        485       5,500  SH        DEFINED      5         5,500
GANNETT INC                         COM       364730101      5,597      63,500  SH        DEFINED    1,2,3      63,500
GAP INC DEL                         COM       364760108        149       6,800  SH        DEFINED      5         6,800
GAP INC DEL                         COM       364760108      1,064      48,550  SH        DEFINED    1,2,3      48,550
GENENTECH INC                     COM NEW     368710406      3,026      28,600  SH        DEFINED      5        28,600
GENENTECH INC                     COM NEW     368710406     39,423     372,550  SH        DEFINED    1,2,3     372,550
GENERAL CABLE CORP DEL NEW          COM       369300108        486      65,850  SH        DEFINED      5        65,850
GENERAL CABLE CORP DEL NEW          COM       369300108      8,369   1,133,950  SH        DEFINED    1,2,3   1,133,950
GENERAL DYNAMICS CORP               COM       369550108        822       9,200  SH        DEFINED    1,2,3       9,200
GENERAL ELEC CO                     COM       369604103     13,186     432,057  SH        DEFINED      5       432,057
GENERAL ELEC CO                     COM       369604103     35,461   1,161,891  SH        DEFINED   1,2,3,4  1,161,891
GENERAL ELEC CO                     COM       369604103    220,676   7,230,536  SH        DEFINED    1,2,3   7,230,536
GENERAL GROWTH PPTYS INC            COM       370021107        232       6,600  SH        DEFINED   1,2,3,4      6,600
GENERAL MLS INC                     COM       370334104        527      11,300  SH        DEFINED      5        11,300
GENERAL MLS INC                     COM       370334104        189       4,050  SH        DEFINED   1,2,3,4      4,050
GENERAL MLS INC                     COM       370334104      5,896     126,300  SH        DEFINED    1,2,3     126,300
GENTEX CORP                         COM       371901109     12,962     299,000  SH        DEFINED      5       299,000
GENTEX CORP                         COM       371901109     82,388   1,900,534  SH        DEFINED    1,2,3   1,900,534
GENUINE PARTS CO                    COM       372460105        422      12,900  SH        DEFINED      5        12,900
GENUINE PARTS CO                    COM       372460105      3,726     113,875  SH        DEFINED   1,2,3,4    113,875
GENUINE PARTS CO                    COM       372460105      3,911     119,515  SH        DEFINED    1,2,3     119,515
GENZYME CORP                   COM GENL DIV   372917104      4,205      89,600  SH        DEFINED      5        89,600
GENZYME CORP                   COM GENL DIV   372917104     72,671   1,548,500  SH        DEFINED    1,2,3   1,548,500
GETTY IMAGES INC                    COM       374276103     26,126     483,994  SH        DEFINED      5       483,994






              ITEM 1              ITEM 2        ITEM 3   ITEM 4                ITEM 5      ITEM 6    ITEM 7           ITEM 8

                                                                                                                 VOTING AUTHORITY
                                                          FAIR       SHARES/                        MANAGERS         (SHARES)
                                 TITLE OF       CUSIP    MARKET     PRINCIPAL  SH/ PUT/  INVESTMENT   SEE              (B)     (C)
          NAME OF ISSUE            CLASS        NUMBER   VALUE       AMOUNT    PRN CALL  DISCRETION INSTR V  (A) SOLE SHARED  NONE
                                                                                               
GETTY IMAGES INC                    COM       374276103    135,473   2,509,694  SH        DEFINED    1,2,3   2,509,694
GILEAD SCIENCES INC                 COM       375558103      5,932     106,590  SH        DEFINED      5       106,590
GILEAD SCIENCES INC                 COM       375558103     67,998   1,221,895  SH        DEFINED    1,2,3   1,221,895
GILLETTE CO                         COM       375766102     28,758     735,506  SH        DEFINED   1,2,3,4    735,506
GILLETTE CO                         COM       375766102         47       1,200  SH        DEFINED    1,2,3       1,200
GLAXO WELLCOME PLC             SPONSORED ADR  37733W105        374       9,364  SH        DEFINED   1,2,3,4      9,364
GLAXO WELLCOME PLC             SPONSORED ADR  37733W105     20,175     505,000  SH        DEFINED    1,2,3     505,000
GOLDMAN SACHS GROUP INC             COM       38141G104     54,952     526,610  SH        DEFINED      5       526,610
GOLDMAN SACHS GROUP INC             COM       38141G104         10         100  SH        DEFINED   1,2,3,4        100
GOLDMAN SACHS GROUP INC             COM       38141G104    281,933   2,701,801  SH        DEFINED    1,2,3   2,701,801
GOODRICH CORP                       COM       382388106      3,814     135,857  SH        DEFINED      5       135,857
GOODRICH CORP                       COM       382388106     44,856   1,598,010  SH        DEFINED    1,2,3   1,598,010
GRAINGER W W INC                    COM       384802104        350       7,300  SH        DEFINED      5         7,300
GRAINGER W W INC                    COM       384802104      3,898      81,200  SH        DEFINED    1,2,3      81,200
GUIDANT CORP                        COM       401698105     12,140     191,575  SH        DEFINED      5       191,575
GUIDANT CORP                        COM       401698105    131,849   2,080,620  SH        DEFINED    1,2,3   2,080,620
HANOVER COMPRESSOR CO               COM       410768105         85       7,000  SH        DEFINED      5         7,000
HANOVER COMPRESSOR CO               COM       410768105        759      62,800  SH        DEFINED    1,2,3      62,800
HARLEY DAVIDSON INC                 COM       412822108        131       2,450  SH        DEFINED      5         2,450
HARLEY DAVIDSON INC                 COM       412822108     21,973     411,950  SH        DEFINED    1,2,3     411,950
HARMAN INTL INDS INC                COM       413086109      4,566      57,360  SH        DEFINED      5        57,360
HARMAN INTL INDS INC                COM       413086109     62,967     791,040  SH        DEFINED    1,2,3     791,040
HARTFOLD FINL SVCS GROUP INC        COM       416515104        159       2,500  SH        DEFINED   1,2,3,4      2,500
HARTFOLD FINL SVCS GROUP INC        COM       416515104     31,850     500,000  SH        DEFINED    1,2,3     500,000
HERSHEY FOODS CORP                  COM       427866108        973      11,750  SH        DEFINED      5        11,750
HERSHEY FOODS CORP                  COM       427866108     12,676     153,000  SH        DEFINED    1,2,3     153,000
HOLOGIC INC                         COM       436440101      4,779     235,550  SH        DEFINED      5       235,550
HOLOGIC INC                         COM       436440101     10,913     537,850  SH        DEFINED    1,2,3     537,850
HOME DEPOT INC                      COM       437076102      6,621     177,230  SH        DEFINED      5       177,230
HOME DEPOT INC                      COM       437076102         93       2,500  SH        DEFINED   1,2,3,4      2,500
HOME DEPOT INC                      COM       437076102     73,260   1,960,913  SH        DEFINED    1,2,3   1,960,913
HUNT J B TRANS SVCS INC             COM       445658107     39,841   1,417,331  SH        DEFINED    1,2,3   1,417,331
HYPERION SOLUTIONS CORP             COM       44914M104        211       5,100  SH        DEFINED      5         5,100
ICOS CORP                           COM       449295104      3,123      84,400  SH        DEFINED      5        84,400
ICOS CORP                           COM       449295104     51,847   1,401,275  SH        DEFINED    1,2,3   1,401,275
ITT EDUCATIONAL SERVICES INC        COM       45068B109     41,124   1,318,078  SH        DEFINED    1,2,3   1,318,078
IDEX CORP                           COM       45167R104      1,150      26,450  SH        DEFINED      5        26,450
IDEX CORP                           COM       45167R104     18,970     436,300  SH        DEFINED    1,2,3     436,300
IDEXX LABS INC                      COM       45168D104      8,563     150,604  SH        DEFINED      5       150,604
IDEXX LABS INC                      COM       45168D104     16,579     291,596  SH        DEFINED    1,2,3     291,596
ILEX ONCOLOGY INC                   COM       451923106        237       9,900  SH        DEFINED   1,2,3,4      9,900
ILLINOIS TOOL WKS INC               COM       452308109      5,932      74,866  SH        DEFINED      5        74,866
ILLINOIS TOOL WKS INC               COM       452308109     25,512     321,995  SH        DEFINED   1,2,3,4    321,995
ILLINOIS TOOL WKS INC               COM       452308109    101,704   1,283,650  SH        DEFINED    1,2,3   1,283,650
INCO LTD                            COM       453258402     27,704     800,000  SH        DEFINED    1,2,3     800,000
INFORMATICA CORP                    COM       45666Q102      4,259     494,100  SH        DEFINED      5       494,100
INFORMATICA CORP                    COM       45666Q102      9,931   1,152,100  SH        DEFINED    1,2,3   1,152,100
INTEGRATED DEVICE TECHNOLOGY        COM       458118106      6,895     458,000  SH        DEFINED    1,2,3     458,000
INTEL CORP                          COM       458140100     13,783     507,101  SH        DEFINED      5       507,101
INTEL CORP                          COM       458140100     31,455   1,157,277  SH        DEFINED   1,2,3,4  1,157,277






              ITEM 1              ITEM 2        ITEM 3   ITEM 4                ITEM 5      ITEM 6    ITEM 7           ITEM 8

                                                                                                                 VOTING AUTHORITY
                                                          FAIR       SHARES/                        MANAGERS         (SHARES)
                                 TITLE OF       CUSIP    MARKET     PRINCIPAL  SH/ PUT/  INVESTMENT   SEE              (B)     (C)
          NAME OF ISSUE            CLASS        NUMBER   VALUE       AMOUNT    PRN CALL  DISCRETION INSTR V  (A) SOLE SHARED  NONE
                                                                                               
INTEL CORP                          COM       458140100    190,244   6,999,410  SH        DEFINED    1,2,3   6,999,410
INTER TEL INC                       COM       458372109      6,318     209,800  SH        DEFINED      5       209,800
INTER TEL INC                       COM       458372109     14,759     490,100  SH        DEFINED    1,2,3     490,100
INTERACTIVECORP                     COM       45840Q101     37,306   1,180,000  SH        DEFINED    1,2,3   1,180,000
INTERNATIONAL BUSINESS MACHS        COM       459200101      7,926      86,300  SH        DEFINED      5        86,300
INTERNATIONAL BUSINESS MACHS        COM       459200101     34,554     376,241  SH        DEFINED   1,2,3,4    376,241
INTERNATIONAL BUSINESS MACHS        COM       459200101    115,903   1,262,006  SH        DEFINED    1,2,3   1,262,006
INTERNATIONAL FLAVORS&FRAGRANC      COM       459506101      7,100     200,000  SH        DEFINED    1,2,3     200,000
INTERNATIONAL GAME TECHNOLOGY       COM       459902102     40,106     892,035  SH        DEFINED      5       892,035
INTERNATIONAL GAME TECHNOLOGY       COM       459902102    230,887   5,135,387  SH        DEFINED    1,2,3   5,135,387
INTL PAPER CO                       COM       460146103        490      11,600  SH        DEFINED      5        11,600
INTL PAPER CO                       COM       460146103     13,741     325,145  SH        DEFINED   1,2,3,4    325,145
INTL PAPER CO                       COM       460146103     44,956   1,063,793  SH        DEFINED    1,2,3   1,063,793
INTERSIL CORP                      CL A       46069S109        917      41,150  SH        DEFINED      5        41,150
INTERSIL CORP                      CL A       46069S109     18,884     847,200  SH        DEFINED    1,2,3     847,200
INTUIT                              COM       461202103     12,236     273,250  SH        DEFINED    1,2,3     273,250
ISHARES INC                        MSCI       464286103      1,325      94,320  SH        DEFINED      5        94,320
                                 AUSTRALIA
ISHARES INC                     MSCI PAC J    464286665      6,153      79,420  SH        DEFINED      5        79,420
                                    IDX
ISHARES INC                     MSCI JAPAN    464286848      5,294     487,000  SH        DEFINED      5       487,000
ISHARES TR                       RUSL 2000    464287648     12,515     200,240  SH        DEFINED    1,2,3     200,240
                                   GROW
IVAX CORP                           COM       465823102      2,658     116,750  SH        DEFINED      5       116,750
IVAX CORP                           COM       465823102     48,840   2,144,924  SH        DEFINED    1,2,3   2,144,924
J P MORGAN CHASE & CO               COM       46625H100      1,707      40,700  SH        DEFINED      5        40,700
J P MORGAN CHASE & CO               COM       46625H100         10         250  SH        DEFINED   1,2,3,4        250
J P MORGAN CHASE & CO               COM       46625H100     19,410     462,700  SH        DEFINED    1,2,3     462,700
JOHNSON & JOHNSON                   COM       478160104     33,032     651,261  SH        DEFINED   1,2,3,4    651,261
JOHNSON & JOHNSON                   COM       478160104     11,224     221,300  SH        DEFINED    1,2,3     221,300
JOURNAL COMMUNICATIONS INC         CL A       481130102     23,205   1,160,236  SH        DEFINED    1,2,3   1,160,236
JUNIPER NETWORKS                    COM       48203R104        541      20,800  SH        DEFINED      5        20,800
JUNIPER NETWORKS                    COM       48203R104     14,464     556,000  SH        DEFINED    1,2,3     556,000
KLA-TENCOR CORP                     COM       482480100      6,378     126,855  SH        DEFINED      5       126,855
KLA-TENCOR CORP                     COM       482480100     76,258   1,516,820  SH        DEFINED    1,2,3   1,516,820
KANSAS CITY SOUTHN INDS INC       COM NEW     485170302      6,771     487,100  SH        DEFINED      5       487,100
KANSAS CITY SOUTHN INDS INC       COM NEW     485170302     43,563   3,134,057  SH        DEFINED    1,2,3   3,134,057
KB HOME                             COM       48666K109        404       5,000  SH        DEFINED      5         5,000
KB HOME                             COM       48666K109      2,020      25,000  SH        DEFINED    1,2,3      25,000
KELLOGG CO                          COM       487836108      8,011     204,153  SH        DEFINED      5       204,153
KELLOGG CO                          COM       487836108    115,599   2,945,950  SH        DEFINED    1,2,3   2,945,950
KINDER MORGAN INC KANS              COM       49455P101      1,040      16,500  SH        DEFINED      5        16,500
KINDER MORGAN INC KANS              COM       49455P101      9,926     157,511  SH        DEFINED    1,2,3     157,511
KNIGHT RIDDER INC                   COM       499040103        472       6,450  SH        DEFINED      5         6,450
KNIGHT RIDDER INC                   COM       499040103      2,088      28,508  SH        DEFINED    1,2,3      28,508
KOHLS CORP                          COM       500255104      6,041     125,000  SH        DEFINED    1,2,3     125,000
KONINKLIJKE PHILIPS ELECTRS NV    SP ADR      500472303        504      17,400  SH        DEFINED    1,2,3      17,400
                                  NEW2000
KRISPY KREME DOUGHNUTS INC          COM       501014104     11,461     333,750  SH        DEFINED    1,2,3     333,750
KRONOS INC                          COM       501052104      6,175     189,900  SH        DEFINED      5       189,900
KRONOS INC                          COM       501052104     14,206     436,900  SH        DEFINED    1,2,3     436,900
KYPHON INC                          COM       501577100        674      28,200  SH        DEFINED      5        28,200
KYPHON INC                          COM       501577100      9,685     405,500  SH        DEFINED    1,2,3     405,500
LKQ CORP                            COM       501889208     17,451     998,347  SH        DEFINED    1,2,3     998,347






              ITEM 1              ITEM 2        ITEM 3   ITEM 4                ITEM 5      ITEM 6    ITEM 7           ITEM 8

                                                                                                                 VOTING AUTHORITY
                                                          FAIR       SHARES/                        MANAGERS         (SHARES)
                                 TITLE OF       CUSIP    MARKET     PRINCIPAL  SH/ PUT/  INVESTMENT   SEE              (B)     (C)
          NAME OF ISSUE            CLASS        NUMBER   VALUE       AMOUNT    PRN CALL  DISCRETION INSTR V  (A) SOLE SHARED  NONE
                                                                                               
LTX CORP                            COM       502392103      7,872     521,500  SH        DEFINED    1,2,3     521,500
L-3 COMMUNICATIONS HDGS INC         COM       502424104        803      13,500  SH        DEFINED      5        13,500
L-3 COMMUNICATIONS HDGS INC         COM       502424104     13,026     219,000  SH        DEFINED    1,2,3     219,000
LABONE INC NEW                      COM       50540L105      6,025     198,870  SH        DEFINED      5       198,870
LABONE INC NEW                      COM       50540L105     13,973     461,230  SH        DEFINED    1,2,3     461,230
LABORATORY CORP AMER HLDGS        COM NEW     50540R409      1,478      37,650  SH        DEFINED      5        37,650
LABORATORY CORP AMER HLDGS        COM NEW     50540R409     23,829     607,100  SH        DEFINED    1,2,3     607,100
LAM RESEARCH CORP                   COM       512807108      9,117     362,300  SH        DEFINED      5       362,300
LAM RESEARCH CORP                   COM       512807108     81,147   3,224,600  SH        DEFINED    1,2,3   3,224,600
LAMAR ADVERTISING CO               CL A       512815101      1,903      47,350  SH        DEFINED      5        47,350
LAMAR ADVERTISING CO               CL A       512815101     31,047     772,500  SH        DEFINED    1,2,3     772,500
LANCER CORP                         COM       514614106        117      15,802  SH        DEFINED   1,2,3,4     15,802
LAUDER ESTEE COS INC               CL A       518439104      6,131     138,280  SH        DEFINED      5       138,280
LAUDER ESTEE COS INC               CL A       518439104     19,170     432,331  SH        DEFINED   1,2,3,4    432,331
LAUDER ESTEE COS INC               CL A       518439104     91,102   2,054,620  SH        DEFINED    1,2,3   2,054,620
LEGG MASON INC                      COM       524901105      2,834      30,550  SH        DEFINED      5        30,550
LEGG MASON INC                      COM       524901105     37,664     405,950  SH        DEFINED    1,2,3     405,950
LEHMAN BROS HLDGS INC               COM       524908100      1,185      14,300  SH        DEFINED      5        14,300
LEHMAN BROS HLDGS INC               COM       524908100          9         109  SH        DEFINED   1,2,3,4        109
LEHMAN BROS HLDGS INC               COM       524908100     13,872     167,400  SH        DEFINED    1,2,3     167,400
LENNAR CORP                         COM       526057104      1,000      18,500  SH        DEFINED      5        18,500
LENNAR CORP                         COM       526057104      9,299     172,100  SH        DEFINED    1,2,3     172,100
LEXMARK INTL NEW                   CL A       529771107         83         900  SH        DEFINED      5           900
LEXMARK INTL NEW                   CL A       529771107        626       6,800  SH        DEFINED    1,2,3       6,800
LIBERTY MEDIA CORP NEW           COM SER A    530718105      7,582     692,458  SH        DEFINED      5       692,458
LIBERTY MEDIA CORP NEW           COM SER A    530718105     87,528   7,993,400  SH        DEFINED    1,2,3   7,993,400
LILLY ELI & CO                      COM       532457108      4,417      66,026  SH        DEFINED      5        66,026
LILLY ELI & CO                      COM       532457108        101       1,517  SH        DEFINED   1,2,3,4      1,517
LILLY ELI & CO                      COM       532457108     73,659   1,101,037  SH        DEFINED    1,2,3   1,101,037
LINCOLN NATL CORP IND               COM       534187109     23,362     493,705  SH        DEFINED   1,2,3,4    493,705
LINCOLN NATL CORP IND               COM       534187109     14,395     304,200  SH        DEFINED    1,2,3     304,200
LINEAR TECHNOLOGY CORP              COM       535678106      3,589      96,950  SH        DEFINED      5        96,950
LINEAR TECHNOLOGY CORP              COM       535678106     44,337   1,197,805  SH        DEFINED    1,2,3   1,197,805
LIZ CLAIBORNE INC                   COM       539320101      3,818     104,060  SH        DEFINED    1,2,3     104,060
LOCKHEED MARTIN CORP                COM       539830109     13,158     288,294  SH        DEFINED      5       288,294
LOCKHEED MARTIN CORP                COM       539830109     22,088     483,961  SH        DEFINED   1,2,3,4    483,961
LOCKHEED MARTIN CORP                COM       539830109    186,378   4,083,657  SH        DEFINED    1,2,3   4,083,657
LOWES COS INC                       COM       548661107      4,966      88,467  SH        DEFINED      5        88,467
LOWES COS INC                       COM       548661107        230       4,100  SH        DEFINED   1,2,3,4      4,100
LOWES COS INC                       COM       548661107     47,772     851,091  SH        DEFINED    1,2,3     851,091
LUCENT TECHNOLOGIES INC             COM       549463107         82      19,930  SH        DEFINED   1,2,3,4     19,930
MBNA CORP                           COM       55262L100     22,104     800,000  SH        DEFINED    1,2,3     800,000
MAGUIRE PPTYS INC                   COM       559775101        132       5,150  SH        DEFINED      5         5,150
MAGUIRE PPTYS INC                   COM       559775101        617      24,107  SH        DEFINED    1,2,3      24,107
MANDALAY RESORT GROUP               COM       562567107        303       5,300  SH        DEFINED      5         5,300
MANDALAY RESORT GROUP               COM       562567107      1,229      21,456  SH        DEFINED    1,2,3      21,456
MANPOWER INC                        COM       56418H100      7,840     168,600  SH        DEFINED      5       168,600
MANPOWER INC                        COM       56418H100     30,213     649,745  SH        DEFINED   1,2,3,4    649,745
MANPOWER INC                        COM       56418H100    106,228   2,284,482  SH        DEFINED    1,2,3   2,284,482
MANUFACTURED HOME CMNTYS INC        COM       564682102        706      20,000  SH        DEFINED   1,2,3,4     20,000






              ITEM 1              ITEM 2        ITEM 3   ITEM 4                ITEM 5      ITEM 6    ITEM 7           ITEM 8

                                                                                                                 VOTING AUTHORITY
                                                          FAIR       SHARES/                        MANAGERS         (SHARES)
                                 TITLE OF       CUSIP    MARKET     PRINCIPAL  SH/ PUT/  INVESTMENT   SEE              (B)     (C)
          NAME OF ISSUE            CLASS        NUMBER   VALUE       AMOUNT    PRN CALL  DISCRETION INSTR V  (A) SOLE SHARED  NONE
                                                                                               
MANUGISTICS GROUP INC               COM       565011103         69      10,092  SH        DEFINED      5        10,092
MARSH & MCLENNAN COS INC            COM       571748102        519      11,200  SH        DEFINED   1,2,3,4     11,200
MARSH & MCLENNAN COS INC            COM       571748102     45,071     973,450  SH        DEFINED    1,2,3     973,450
MARRIOTT INTL INC NEW              CL A       571903202      2,235      52,528  SH        DEFINED      5        52,528
MARRIOTT INTL INC NEW              CL A       571903202     26,113     613,700  SH        DEFINED    1,2,3     613,700
MARTEK BIOSCIENCES CORP             COM       572901106      7,455     130,827  SH        DEFINED      5       130,827
MARTEK BIOSCIENCES CORP             COM       572901106     17,517     307,423  SH        DEFINED    1,2,3     307,423
MASCO CORP                          COM       574599106      1,114      36,600  SH        DEFINED      5        36,600
MASCO CORP                          COM       574599106     12,633     415,000  SH        DEFINED    1,2,3     415,000
MATRIXONE INC                       COM       57685P304        115      15,800  SH        DEFINED      5        15,800
MATTSON TECHNOLOGY INC              COM       577223100      1,527     127,500  SH        DEFINED      5       127,500
MATTSON TECHNOLOGY INC              COM       577223100     25,839   2,156,850  SH        DEFINED    1,2,3   2,156,850
MAXIM INTEGRATED PRODS INC          COM       57772K101      9,096     193,482  SH        DEFINED      5       193,482
MAXIM INTEGRATED PRODS INC          COM       57772K101    117,035   2,489,582  SH        DEFINED    1,2,3   2,489,582
MAY DEPT STORES CO                  COM       577778103        520      15,050  SH        DEFINED      5        15,050
MAY DEPT STORES CO                  COM       577778103     13,449     388,917  SH        DEFINED    1,2,3     388,917
MAXIMUS INC                         COM       577933104     25,909     740,250  SH        DEFINED      5       740,250
MAXIMUS INC                         COM       577933104     60,068   1,716,224  SH        DEFINED    1,2,3   1,716,224
MCCORMICK & CO INC              COM NON VTG   579780206      1,679      50,100  SH        DEFINED    1,2,3      50,100
MCDATA CORP                        CL B       580031102        794     115,300  SH        DEFINED    1,2,3     115,300
MCDATA CORP                        CL A       580031201        470      67,000  SH        DEFINED      5        67,000
MCDATA CORP                        CL A       580031201      7,446   1,061,500  SH        DEFINED    1,2,3   1,061,500
MCDONALDS CORP                      COM       580135101         57       2,000  SH        DEFINED   1,2,3,4      2,000
MCDONALDS CORP                      COM       580135101     19,999     700,000  SH        DEFINED    1,2,3     700,000
MEDICIS PHARMACEUTICAL CORP      CL A NEW     584690309        233       5,834  SH        DEFINED      5         5,834
MEDTRONIC INC                       COM       585055106     17,855     373,936  SH        DEFINED      5       373,936
MEDTRONIC INC                       COM       585055106     29,379     615,266  SH        DEFINED   1,2,3,4    615,266
MEDTRONIC INC                       COM       585055106    207,180   4,338,855  SH        DEFINED    1,2,3   4,338,855
MEMBERWORKS INC                     COM       586002107     29,820     852,982  SH        DEFINED    1,2,3     852,982
MERCK & CO INC                      COM       589331107        544      12,300  SH        DEFINED      5        12,300
MERCK & CO INC                      COM       589331107         55       1,250  SH        DEFINED   1,2,3,4      1,250
MERCK & CO INC                      COM       589331107      6,151     139,200  SH        DEFINED    1,2,3     139,200
MERCURY INTERACTIVE CORP            COM       589405109      4,710     105,305  SH        DEFINED      5       105,305
MERCURY INTERACTIVE CORP            COM       589405109     61,518   1,375,310  SH        DEFINED    1,2,3   1,375,310
MERRILL LYNCH & CO INC              COM       590188108      1,212      20,350  SH        DEFINED      5        20,350
MERRILL LYNCH & CO INC              COM       590188108        113       1,900  SH        DEFINED   1,2,3,4      1,900
MERRILL LYNCH & CO INC              COM       590188108     70,945   1,191,159  SH        DEFINED    1,2,3   1,191,159
MICROSOFT CORP                      COM       594918104     14,208     569,471  SH        DEFINED      5       569,471
MICROSOFT CORP                      COM       594918104     35,832   1,436,138  SH        DEFINED   1,2,3,4  1,436,138
MICROSOFT CORP                      COM       594918104    202,891   8,131,906  SH        DEFINED    1,2,3   8,131,906
MICROSTRATEGY INC                CL A NEW     594972408     10,104     189,768  SH        DEFINED      5       189,768
MICROSTRATEGY INC                CL A NEW     594972408     32,509     610,550  SH        DEFINED    1,2,3     610,550
MICROCHIP TECHNOLOGY INC            COM       595017104     35,383   1,334,965  SH        DEFINED      5     1,334,965
MICROCHIP TECHNOLOGY INC            COM       595017104    235,412   8,881,805  SH        DEFINED    1,2,3   8,881,805
MICROMUSE INC                       COM       595094103      3,703     474,790  SH        DEFINED      5       474,790
MICROMUSE INC                       COM       595094103      8,639   1,107,610  SH        DEFINED    1,2,3   1,107,610
MICRON TECHNOLOGY INC               COM       595112103      2,941     175,975  SH        DEFINED      5       175,975
MICRON TECHNOLOGY INC               COM       595112103     52,003   3,112,090  SH        DEFINED    1,2,3   3,112,090
MINERALS TECHNOLOGIES INC           COM       603158106      8,728     152,850  SH        DEFINED      5       152,850
MINERALS TECHNOLOGIES INC           COM       603158106     20,810     364,450  SH        DEFINED    1,2,3     364,450






              ITEM 1              ITEM 2        ITEM 3   ITEM 4                ITEM 5      ITEM 6    ITEM 7           ITEM 8

                                                                                                                 VOTING AUTHORITY
                                                          FAIR       SHARES/                        MANAGERS         (SHARES)
                                 TITLE OF       CUSIP    MARKET     PRINCIPAL  SH/ PUT/  INVESTMENT   SEE              (B)     (C)
          NAME OF ISSUE            CLASS        NUMBER   VALUE       AMOUNT    PRN CALL  DISCRETION INSTR V  (A) SOLE SHARED  NONE
                                                                                               
MOLEX INC                           COM       608554101        159       5,250  SH        DEFINED      5         5,250
MOLEX INC                           COM       608554101      4,150     136,633  SH        DEFINED   1,2,3,4    136,633
MOLEX INC                           COM       608554101      7,410     244,000  SH        DEFINED    1,2,3     244,000
MOLEX INC                          CL A       608554200      1,288      49,450  SH        DEFINED      5        49,450
MOLEX INC                          CL A       608554200          7         272  SH        DEFINED   1,2,3,4        272
MOLEX INC                          CL A       608554200     24,451     938,600  SH        DEFINED    1,2,3     938,600
MONDAVI ROBERT CORP                CL A       609200100      5,556     146,664  SH        DEFINED      5       146,664
MONDAVI ROBERT CORP                CL A       609200100     39,273   1,036,634  SH        DEFINED    1,2,3   1,036,634
MORGAN STANLEY                    COM NEW     617446448      9,371     163,543  SH        DEFINED      5       163,543
MORGAN STANLEY                    COM NEW     617446448     24,111     420,794  SH        DEFINED   1,2,3,4    420,794
MORGAN STANLEY                    COM NEW     617446448    185,778   3,242,207  SH        DEFINED    1,2,3   3,242,207
MOTOROLA INC                        COM       620076109        456      25,900  SH        DEFINED      5        25,900
MOTOROLA INC                        COM       620076109         84       4,800  SH        DEFINED   1,2,3,4      4,800
MOTOROLA INC                        COM       620076109      5,227     297,000  SH        DEFINED    1,2,3     297,000
MURPHY OIL CORP                     COM       626717102      1,927      30,600  SH        DEFINED   1,2,3,4     30,600
MYOGEN INC                          COM       62856E104      2,323     212,050  SH        DEFINED      5       212,050
MYOGEN INC                          COM       62856E104      5,296     483,400  SH        DEFINED    1,2,3     483,400
NATIONAL CITY CORP                  COM       635405103        865      24,300  SH        DEFINED      5        24,300
NATIONAL CITY CORP                  COM       635405103      9,717     273,100  SH        DEFINED    1,2,3     273,100
NATIONAL INSTRS CORP                COM       636518102      5,968     189,900  SH        DEFINED      5       189,900
NATIONAL INSTRS CORP                COM       636518102     13,871     441,400  SH        DEFINED    1,2,3     441,400
NATIONAL SEMICONDUCTOR CORP         COM       637640103      7,775     175,000  SH        DEFINED    1,2,3     175,000
NATURAL RESOURCE PARTNERS L    COM UNIT L P   63900P103      2,079      54,000  SH        DEFINED   1,2,3,4     54,000
NETEASE COM INC                SPONSORED ADR  64110W102        112       2,250  SH        DEFINED      5         2,250
NETEASE COM INC                SPONSORED ADR  64110W102     27,566     553,599  SH        DEFINED    1,2,3     553,599
NETGEAR INC                         COM       64111Q104        619      45,000  SH        DEFINED      5        45,000
NETGEAR INC                         COM       64111Q104     10,381     755,000  SH        DEFINED    1,2,3     755,000
NETWORK APPLIANCE INC               COM       64120L104      1,824      85,050  SH        DEFINED      5        85,050
NETWORK APPLIANCE INC               COM       64120L104     29,635   1,381,900  SH        DEFINED    1,2,3   1,381,900
NEUROCRINE BIOSCIENCES INC          COM       64125C109        656      11,100  SH        DEFINED      5        11,100
NEUROCRINE BIOSCIENCES INC          COM       64125C109     10,669     180,400  SH        DEFINED    1,2,3     180,400
NEWFIELD EXPL CO                    COM       651290108     30,754     641,650  SH        DEFINED      5       641,650
NEWFIELD EXPL CO                    COM       651290108     84,862   1,770,539  SH        DEFINED    1,2,3   1,770,539
NEWMONT MINING CORP                 COM       651639106     10,798     231,563  SH        DEFINED   1,2,3,4    231,563
NEWMONT MINING CORP                 COM       651639106      9,354     200,600  SH        DEFINED    1,2,3     200,600
NEWPARK RES INC                   COM PAR     651718504         64      12,250  SH        DEFINED      5        12,250
                                  $.01NEW
NEWS CORP LTD                   SP ADR PFD    652487802      1,018      32,100  SH        DEFINED      5        32,100
NEWS CORP LTD                   SP ADR PFD    652487802        310       9,764  SH        DEFINED   1,2,3,4      9,764
NEWS CORP LTD                   SP ADR PFD    652487802     50,413   1,589,800  SH        DEFINED    1,2,3   1,589,800
NEXTEL COMMUNICATIONS INC          CL A       65332V103      1,788      72,400  SH        DEFINED      5        72,400
NEXTEL COMMUNICATIONS INC          CL A       65332V103     30,193   1,222,650  SH        DEFINED    1,2,3   1,222,650
NEXTEL PARTNERS INC                CL A       65333F107        725      57,500  SH        DEFINED      5        57,500
NEXTEL PARTNERS INC                CL A       65333F107     12,163     964,200  SH        DEFINED    1,2,3     964,200
NIKE INC                           CL B       654106103      8,500     109,150  SH        DEFINED      5       109,150
NIKE INC                           CL B       654106103        318       4,080  SH        DEFINED   1,2,3,4      4,080
NIKE INC                           CL B       654106103     86,226   1,107,310  SH        DEFINED    1,2,3   1,107,310
NOKIA CORP                     SPONSORED ADR  654902204        241      11,900  SH        DEFINED      5        11,900
NOKIA CORP                     SPONSORED ADR  654902204     44,016   2,170,433  SH        DEFINED   1,2,3,4  2,170,433
NOKIA CORP                     SPONSORED ADR  654902204     13,213     651,514  SH        DEFINED    1,2,3     651,514
NOBLE ENERGY INC                    COM       655044105        751      15,950  SH        DEFINED      5        15,950






              ITEM 1              ITEM 2        ITEM 3   ITEM 4                ITEM 5      ITEM 6    ITEM 7           ITEM 8

                                                                                                                 VOTING AUTHORITY
                                                          FAIR       SHARES/                        MANAGERS         (SHARES)
                                 TITLE OF       CUSIP    MARKET     PRINCIPAL  SH/ PUT/  INVESTMENT   SEE              (B)     (C)
          NAME OF ISSUE            CLASS        NUMBER   VALUE       AMOUNT    PRN CALL  DISCRETION INSTR V  (A) SOLE SHARED  NONE
                                                                                               
NOBLE ENERGY INC                    COM       655044105     31,876     676,775  SH        DEFINED    1,2,3     676,775
NORDSON CORP                        COM       655663102     10,133     270,574  SH        DEFINED      5       270,574
NORDSON CORP                        COM       655663102     23,274     621,476  SH        DEFINED    1,2,3     621,476
NORTEL NETWORKS CORP NEW            COM       656568102      1,627     273,900  SH        DEFINED      5       273,900
NORTEL NETWORKS CORP NEW            COM       656568102     51,096   8,602,050  SH        DEFINED    1,2,3   8,602,050
NORTHROP GRUMMAN CORP               COM       666807102      1,043      10,600  SH        DEFINED      5        10,600
NORTHROP GRUMMAN CORP               COM       666807102     23,786     241,679  SH        DEFINED   1,2,3,4    241,679
NORTHROP GRUMMAN CORP               COM       666807102     24,172     245,600  SH        DEFINED    1,2,3     245,600
NORTHWEST AIRLS CORP               CL A       667280101        801      78,950  SH        DEFINED    1,2,3      78,950
NOVARTIS A G                   SPONSORED ADR  66987V109        328       7,700  SH        DEFINED      5         7,700
NOVARTIS A G                   SPONSORED ADR  66987V109      3,587      84,200  SH        DEFINED    1,2,3      84,200
NOVELLUS SYS INC                    COM       670008101      9,670     304,650  SH        DEFINED    1,2,3     304,650
ODYSSEY HEALTHCARE INC              COM       67611V101     14,405     763,811  SH        DEFINED      5       763,811
ODYSSEY HEALTHCARE INC              COM       67611V101     71,178   3,774,030  SH        DEFINED    1,2,3   3,774,030
OFFICE DEPOT INC                    COM       676220106        691      36,700  SH        DEFINED      5        36,700
OFFICE DEPOT INC                    COM       676220106      7,833     416,200  SH        DEFINED    1,2,3     416,200
OMNICARE INC                        COM       681904108     38,773     874,650  SH        DEFINED      5       874,650
OMNICARE INC                        COM       681904108    110,734   2,497,957  SH        DEFINED    1,2,3   2,497,957
OMNICOM GROUP INC                   COM       681919106     12,038     150,000  SH        DEFINED    1,2,3     150,000
OPENWAVE SYS INC                    COM       683718308      6,076     456,866  SH        DEFINED      5       456,866
OPENWAVE SYS INC                    COM       683718308     14,259   1,072,116  SH        DEFINED    1,2,3   1,072,116
OPSWARE INC                         COM       68383A101        660      86,700  SH        DEFINED      5        86,700
OPSWARE INC                         COM       68383A101     11,242   1,477,250  SH        DEFINED    1,2,3   1,477,250
ORACLE CORP                         COM       68389X105     11,177     930,265  SH        DEFINED      5       930,265
ORACLE CORP                         COM       68389X105    131,980  10,984,590  SH        DEFINED    1,2,3  10,984,590
O REILLY AUTOMOTIVE INC             COM       686091109     11,154     279,200  SH        DEFINED      5       279,200
O REILLY AUTOMOTIVE INC             COM       686091109     59,713   1,494,695  SH        DEFINED    1,2,3   1,494,695
PPL CORP                            COM       69351T106        716      15,700  SH        DEFINED      5        15,700
PPL CORP                            COM       69351T106        278       6,100  SH        DEFINED   1,2,3,4      6,100
PPL CORP                            COM       69351T106      8,003     175,500  SH        DEFINED    1,2,3     175,500
PACIFICARE HEALTH SYS DEL           COM       695112102      1,922      48,600  SH        DEFINED      5        48,600
PACIFICARE HEALTH SYS DEL           COM       695112102     25,557     646,200  SH        DEFINED    1,2,3     646,200
PACTIV CORP                         COM       695257105        340      15,300  SH        DEFINED      5        15,300
PACTIV CORP                         COM       695257105      3,814     171,400  SH        DEFINED    1,2,3     171,400
PANERA BREAD CO                    CL A       69840W108        160       4,100  SH        DEFINED      5         4,100
PANERA BREAD CO                    CL A       69840W108      1,397      35,900  SH        DEFINED    1,2,3      35,900
PATTERSON UTI ENERGY INC            COM       703481101     15,318     434,850  SH        DEFINED      5       434,850
PATTERSON UTI ENERGY INC            COM       703481101     80,546   2,286,616  SH        DEFINED    1,2,3   2,286,616
PAYCHEX INC                         COM       704326107      5,518     155,050  SH        DEFINED      5       155,050
PAYCHEX INC                         COM       704326107     68,454   1,923,400  SH        DEFINED    1,2,3   1,923,400
PEABODY ENERGY CORP                 COM       704549104      1,288      27,700  SH        DEFINED      5        27,700
PEABODY ENERGY CORP                 COM       704549104     13,865     298,100  SH        DEFINED    1,2,3     298,100
PEPSICO INC                         COM       713448108      5,055      93,866  SH        DEFINED      5        93,866
PEPSICO INC                         COM       713448108     34,599     642,509  SH        DEFINED   1,2,3,4    642,509
PEPSICO INC                         COM       713448108     78,558   1,458,830  SH        DEFINED    1,2,3   1,458,830
PFIZER INC                          COM       717081103     63,092   1,800,044  SH        DEFINED      5     1,800,044
PFIZER INC                          COM       717081103     48,997   1,397,914  SH        DEFINED   1,2,3,   1,397,914
PFIZER INC                          COM       717081103    594,368  16,957,728  SH        DEFINED    1,2,3  16,957,728
PHARMACEUTICAL RES INC              COM       717125108      9,427     165,800  SH        DEFINED      5       165,800
PHARMACEUTICAL RES INC              COM       717125108     22,008     387,050  SH        DEFINED    1,2,3     387,050






              ITEM 1              ITEM 2        ITEM 3   ITEM 4                ITEM 5      ITEM 6    ITEM 7           ITEM 8

                                                                                                                 VOTING AUTHORITY
                                                          FAIR       SHARES/                        MANAGERS         (SHARES)
                                 TITLE OF       CUSIP    MARKET     PRINCIPAL  SH/ PUT/  INVESTMENT   SEE              (B)     (C)
          NAME OF ISSUE            CLASS        NUMBER   VALUE       AMOUNT    PRN CALL  DISCRETION INSTR V  (A) SOLE SHARED  NONE
                                                                                               
PLACER DOME INC                     COM       725906101        334      18,614  SH        DEFINED   1,2,3,4     18,614
POGO PRODUCING CO                   COM       730448107      7,798     170,000  SH        DEFINED    1,2,3     170,000
POWER INTEGRATIONS INC              COM       739276103     13,193     450,650  SH        DEFINED      5       450,650
POWER INTEGRATIONS INC              COM       739276103     55,081   1,881,493  SH        DEFINED    1,2,3   1,881,493
POWER-ONE INC                       COM       739308104      7,886     711,400  SH        DEFINED      5       711,400
POWER-ONE INC                       COM       739308104     19,206   1,732,600  SH        DEFINED    1,2,3   1,732,600
PRAXAIR INC                         COM       74005P104      5,174     139,380  SH        DEFINED      5       139,380
PRAXAIR INC                         COM       74005P104     44,016   1,185,788  SH        DEFINED    1,2,3   1,185,788
PRICE T ROWE GROUP INC              COM       74144T108      4,686      87,150  SH        DEFINED      5        87,150
PRICE T ROWE GROUP INC              COM       74144T108     51,308     954,303  SH        DEFINED    1,2,3     954,303
PRINCIPAL FINANCIAL GROUP IN        COM       74251V102     24,941     700,000  SH        DEFINED    1,2,3     700,000
PROCTER & GAMBLE CO                 COM       742718109      6,831      65,132  SH        DEFINED      5        65,132
PROCTER & GAMBLE CO                 COM       742718109        317       3,025  SH        DEFINED   1,2,3,4      3,025
PROCTER & GAMBLE CO                 COM       742718109    117,815   1,123,333  SH        DEFINED    1,2,3   1,123,333
PROGRESS ENERGY INC                 COM       743263105        232       4,918  SH        DEFINED   1,2,3,4      4,918
PROLOGIS TR                     SH BEN INT    743410102        265       7,400  SH        DEFINED      5         7,400
PROLOGIS TR                     SH BEN INT    743410102     31,634     881,893  SH        DEFINED   1,2,3,4    881,893
PROLOGIS TR                     SH BEN INT    743410102      1,198      33,409  SH        DEFINED    1,2,3      33,409
PROVIDIAN FINL CORP                 COM       74406A102     26,200   2,000,000  SH        DEFINED    1,2,3   2,000,000
PRUDENTIAL FINL INC                 COM       744320102      1,366      30,500  SH        DEFINED      5        30,500
PRUDENTIAL FINL INC                 COM       744320102     39,874     890,450  SH        DEFINED    1,2,3     890,450
QLOGIC CORP                         COM       747277101        746      22,600  SH        DEFINED      5        22,600
QLOGIC CORP                         COM       747277101     16,999     515,050  SH        DEFINED    1,2,3     515,050
QUIKSILVER INC                      COM       74838C106      1,385      63,400  SH        DEFINED      5        63,400
QUIKSILVER INC                      COM       74838C106      3,260     149,200  SH        DEFINED    1,2,3     149,200
RAIT INVT TR                        COM       749227104      1,704      57,650  SH        DEFINED    1,2,3      57,650
RAILAMERICA INC                     COM       750753105        130      10,810  SH        DEFINED   1,2,3,4     10,810
RESEARCH IN MOTION LTD              COM       760975102     17,959     192,420  SH        DEFINED      5       192,420
RESEARCH IN MOTION LTD              COM       760975102    264,017   2,828,850  SH        DEFINED    1,2,3   2,828,850
RESMED INC                          COM       761152107     23,750     525,550  SH        DEFINED      5       525,550
RESMED INC                          COM       761152107     44,292     980,130  SH        DEFINED    1,2,3     980,130
RESOURCES CONNECTION INC            COM       76122Q105      8,603     194,909  SH        DEFINED      5       194,909
RESOURCES CONNECTION INC            COM       76122Q105     20,668     468,241  SH        DEFINED    1,2,3     468,241
RITE AID CORP                       COM       767754104        332      61,100  SH        DEFINED      5        61,100
RITE AID CORP                       COM       767754104     12,626   2,321,000  SH        DEFINED    1,2,3   2,321,000
ROWAN COS INC                       COM       779382100      7,582     359,500  SH        DEFINED    1,2,3     359,500
ROYAL DUTCH PETE CO               NY REG      780257804        527      11,083  SH        DEFINED   1,2,3,4     11,083
                                  GLD1.25
SBC COMMUNICATIONS INC              COM       78387G103      1,449      59,035  SH        DEFINED      5        59,035
SBC COMMUNICATIONS INC              COM       78387G103     23,426     954,606  SH        DEFINED   1,2,3,4    954,606
SBC COMMUNICATIONS INC              COM       78387G103     44,307   1,805,519  SH        DEFINED    1,2,3   1,805,519
SLM CORP                            COM       78442P106     36,793     879,160  SH        DEFINED      5       879,160
SLM CORP                            COM       78442P106      3,319      79,300  SH        DEFINED   1,2,3,4     79,300
SLM CORP                            COM       78442P106    138,905   3,319,110  SH        DEFINED    1,2,3   3,319,110
SABRE HLDGS CORP                   CL A       785905100        396      15,980  SH        DEFINED      5        15,980
SABRE HLDGS CORP                   CL A       785905100      6,570     264,820  SH        DEFINED    1,2,3     264,820
ST JUDE MED INC                     COM       790849103        195       2,700  SH        DEFINED      5         2,700
ST JUDE MED INC                     COM       790849103      1,399      19,400  SH        DEFINED    1,2,3      19,400
ST PAUL COS INC                     COM       792860108      5,889     147,200  SH        DEFINED    1,2,3     147,200
SALIX PHARMACEUTICALS INC           COM       795435106        414      14,280  SH        DEFINED      5        14,280
SALIX PHARMACEUTICALS INC           COM       795435106      6,346     218,670  SH        DEFINED    1,2,3     218,670






              ITEM 1              ITEM 2        ITEM 3   ITEM 4                ITEM 5      ITEM 6    ITEM 7           ITEM 8

                                                                                                                 VOTING AUTHORITY
                                                          FAIR       SHARES/                        MANAGERS         (SHARES)
                                 TITLE OF       CUSIP    MARKET     PRINCIPAL  SH/ PUT/  INVESTMENT   SEE              (B)     (C)
          NAME OF ISSUE            CLASS        NUMBER   VALUE       AMOUNT    PRN CALL  DISCRETION INSTR V  (A) SOLE SHARED  NONE
                                                                                               
SAP AKTIENGESELLSCHAFT         SPONSORED ADR  803054204     53,869   1,370,357  SH        DEFINED      5     1,370,357
SAP AKTIENGESELLSCHAFT         SPONSORED ADR  803054204    381,698   9,709,945  SH        DEFINED    1,2,3   9,709,945
SAPIENT CORP                        COM       803062108      2,664     442,500  SH        DEFINED      5       442,500
SAPIENT CORP                        COM       803062108      6,260   1,039,900  SH        DEFINED    1,2,3   1,039,900
SCANA CORP NEW                      COM       80589M102        354      10,000  SH        DEFINED   1,2,3,4     10,000
SCHEIN HENRY INC                    COM       806407102      1,607      22,500  SH        DEFINED      5        22,500
SCHEIN HENRY INC                    COM       806407102     27,229     381,300  SH        DEFINED    1,2,3     381,300
SCHLUMBERGER LTD                    COM       806857108     10,381     162,588  SH        DEFINED      5       162,588
SCHLUMBERGER LTD                    COM       806857108        752      11,770  SH        DEFINED   1,2,3,4     11,770
SCHLUMBERGER LTD                    COM       806857108    131,474   2,059,109  SH        DEFINED    1,2,3   2,059,109
SCHWAB CHARLES CORP NEW             COM       808513105      1,533     132,050  SH        DEFINED      5       132,050
SCHWAB CHARLES CORP NEW             COM       808513105     31,849   2,743,200  SH        DEFINED    1,2,3   2,743,200
SEALED AIR CORP NEW                 COM       81211K100     28,936     581,861  SH        DEFINED   1,2,3,4    581,861
SEALED AIR CORP NEW                 COM       81211K100     10,244     206,000  SH        DEFINED    1,2,3     206,000
SEMTECH CORP                        COM       816850101        458      20,000  SH        DEFINED      5        20,000
SEMTECH CORP                        COM       816850101      5,859     256,000  SH        DEFINED    1,2,3     256,000
SEMPRA ENERGY                       COM       816851109        270       8,500  SH        DEFINED   1,2,3,4      8,500
SHIRE PHARMACEUTICALS GRP PLC  SPONSORED ADR  82481R106        970      33,000  SH        DEFINED      5        33,000
SHIRE PHARMACEUTICALS GRP PLC  SPONSORED ADR  82481R106     10,968     373,300  SH        DEFINED    1,2,3     373,300
SIEBEL SYS INC                      COM       826170102        912      79,200  SH        DEFINED      5        79,200
SIEBEL SYS INC                      COM       826170102     14,759   1,281,200  SH        DEFINED    1,2,3   1,281,200
SIGMATEL INC                        COM       82661W107     26,217   1,171,987  SH        DEFINED    1,2,3   1,171,987
SIMON PPTY GROUP INC NEW            COM       828806109        406       6,950  SH        DEFINED      5         6,950
SIMON PPTY GROUP INC NEW            COM       828806109      1,730      29,608  SH        DEFINED    1,2,3      29,608
SMITH INTL INC                      COM       832110100     39,795     743,690  SH        DEFINED      5       743,690
SMITH INTL INC                      COM       832110100    206,413   3,857,464  SH        DEFINED    1,2,3   3,857,464
SMURFIT-STONE CONTAINER CORP        COM       832727101      7,662     435,730  SH        DEFINED   1,2,3,4    435,730
SMURFIT-STONE CONTAINER CORP        COM       832727101         23       1,300  SH        DEFINED    1,2,3       1,300
SOHU COM INC                        COM       83408W103     14,550     586,700  SH        DEFINED      5       586,700
SOHU COM INC                        COM       83408W103     44,343   1,788,040  SH        DEFINED    1,2,3   1,788,040
SONIC CORP                          COM       835451105     11,654     340,150  SH        DEFINED      5       340,150
SONIC CORP                          COM       835451105     26,010     759,200  SH        DEFINED    1,2,3     759,200
SOUTHERN CO                         COM       842587107     10,992     360,392  SH        DEFINED   1,2,3,4    360,392
SOUTHERN CO                         COM       842587107     10,654     349,300  SH        DEFINED    1,2,3     349,300
SOUTHWEST AIRLS CO                  COM       844741108         91       6,400  SH        DEFINED      5         6,400
SOUTHWEST AIRLS CO                  COM       844741108        504      35,478  SH        DEFINED   1,2,3,4     35,478
SOUTHWEST AIRLS CO                  COM       844741108     29,081   2,046,550  SH        DEFINED    1,2,3   2,046,550
SPINNAKER EXPL CO                   COM       84855W109         97       2,700  SH        DEFINED      5         2,700
SPINNAKER EXPL CO                   COM       84855W109      9,878     275,000  SH        DEFINED    1,2,3     275,000
SPRINT CORP                    COM FON GROUP  852061100        850      46,100  SH        DEFINED      5        46,100
SPRINT CORP                    COM FON GROUP  852061100      9,652     523,700  SH        DEFINED    1,2,3     523,700
STAPLES INC                         COM       855030102      4,528     178,635  SH        DEFINED      5       178,635
STAPLES INC                         COM       855030102     44,297   1,747,752  SH        DEFINED    1,2,3   1,747,752
STARBUCKS CORP                      COM       855244109        852      22,550  SH        DEFINED      5        22,550
STARBUCKS CORP                      COM       855244109     14,744     390,200  SH        DEFINED    1,2,3     390,200
STARWOOD HOTELS&RESORTS WRLDWD  PAIRED CTF    85590A203      1,450      35,800  SH        DEFINED      5        35,800
STARWOOD HOTELS&RESORTS WRLDWD  PAIRED CTF    85590A203     16,790     414,566  SH        DEFINED    1,2,3     414,566
STATE STR CORP                      COM       857477103      8,340     159,986  SH        DEFINED   1,2,3,4    159,986
STERICYCLE INC                      COM       858912108      1,405      29,400  SH        DEFINED      5        29,400
STERICYCLE INC                      COM       858912108     22,846     478,210  SH        DEFINED    1,2,3     478,210






              ITEM 1              ITEM 2        ITEM 3   ITEM 4                ITEM 5      ITEM 6    ITEM 7           ITEM 8

                                                                                                                 VOTING AUTHORITY
                                                          FAIR       SHARES/                        MANAGERS         (SHARES)
                                 TITLE OF       CUSIP    MARKET     PRINCIPAL  SH/ PUT/  INVESTMENT   SEE              (B)     (C)
          NAME OF ISSUE            CLASS        NUMBER   VALUE       AMOUNT    PRN CALL  DISCRETION INSTR V  (A) SOLE SHARED  NONE
                                                                                               
STONE ENERGY CORP                   COM       861642106        872      17,639  SH        DEFINED      5        17,639
STONE ENERGY CORP                   COM       861642106      8,181     165,400  SH        DEFINED    1,2,3     165,400
STRYKER CORP                        COM       863667101        434       4,900  SH        DEFINED   1,2,3,4      4,900
SUNRISE SENIOR LIVING INC           COM       86768K106        681      19,000  SH        DEFINED      5        19,000
SUNRISE SENIOR LIVING INC           COM       86768K106     11,595     323,425  SH        DEFINED    1,2,3     323,425
SUNTRUST BKS INC                    COM       867914103     20,913     300,000  SH        DEFINED    1,2,3     300,000
SYMANTEC CORP                       COM       871503108      2,175      47,000  SH        DEFINED      5        47,000
SYMANTEC CORP                       COM       871503108     38,343     828,600  SH        DEFINED    1,2,3     828,600
SYMBOL TECHNOLOGIES INC             COM       871508107      2,930     212,315  SH        DEFINED      5       212,315
SYMBOL TECHNOLOGIES INC             COM       871508107     49,490   3,586,260  SH        DEFINED    1,2,3   3,586,260
SYNOVUS FINL CORP                   COM       87161C105      1,612      65,950  SH        DEFINED      5        65,950
SYNOVUS FINL CORP                   COM       87161C105     27,849   1,139,000  SH        DEFINED    1,2,3   1,139,000
TTM TECHNOLOGIES INC                COM       87305R109        426      34,100  SH        DEFINED    1,2,3      34,100
TAIWAN SEMICONDUCGOR MFG LTD   SPONSORED ADR  874039100     10,338     990,250  SH        DEFINED    1,2,3     990,250
TAKE-TWO INTERACTIVE SOFTWARE       COM       874054109     25,694     699,250  SH        DEFINED      5       699,250
TAKE-TWO INTERACTIVE SOFTWARE       COM       874054109     73,606   2,003,149  SH        DEFINED    1,2,3   2,003,149
TALBOTS INC                         COM       874161102      9,611     268,600  SH        DEFINED      5       268,600
TALBOTS INC                         COM       874161102     22,377     625,400  SH        DEFINED    1,2,3     625,400
TARGET CORP                         COM       87612E106         14         300  SH        DEFINED   1,2,3,4        300
TARGET CORP                         COM       87612E106        799      17,750  SH        DEFINED    1,2,3      17,750
TEKELEC                             COM       879101103      9,153     551,550  SH        DEFINED      5       551,550
TEKELEC                             COM       879101103     42,512   2,561,724  SH        DEFINED    1,2,3   2,561,724
TELEFONOS DE MEXICO S A        SPON ADR ORD   879403780        264       7,570  SH        DEFINED   1,2,3,4      7,570
                                     L
TELEFONOS DE MEXICO S A        SPON ADR ORD   879403780      4,189     120,000  SH        DEFINED    1,2,3     120,000
                                     L
TEMPLE INLAND INC                   COM       879868107        311       4,905  SH        DEFINED   1,2,3,4      4,905
TELESYSTEMS INTL WIRELESS INC     COM NEW     879946606      1,274     112,000  SH        DEFINED      5       112,000
TELESYSTEMS INTL WIRELESS INC     COM NEW     879946606     21,476   1,888,000  SH        DEFINED    1,2,3   1,888,000
TEVA PHARMACEUTICAL INDS LTD        ADR       881624209     11,556     182,350  SH        DEFINED      5       182,350
TEVA PHARMACEUTICAL INDS LTD        ADR       881624209    112,867   1,781,085  SH        DEFINED    1,2,3   1,781,085
TEXAS INSTRS INC                    COM       882508104      9,759     333,985  SH        DEFINED      5       333,985
TEXAS INSTRS INC                    COM       882508104      2,193      75,066  SH        DEFINED   1,2,3,4     75,066
TEXAS INSTRS INC                    COM       882508104    146,368   5,009,178  SH        DEFINED    1,2,3   5,009,178
TEXAS REGL BANCSHARES INC        CL A VTG     882673106        808      19,000  SH        DEFINED   1,2,3,4     19,000
3M CO                               COM       88579Y101      3,212      39,235  SH        DEFINED      5        39,235
3M CO                               COM       88579Y101         33         400  SH        DEFINED   1,2,3,4        400
3M CO                               COM       88579Y101     36,567     446,650  SH        DEFINED    1,2,3     446,650
TIBCO SOFTWARE INC                  COM       88632Q103      1,634     199,100  SH        DEFINED      5       199,100
TIBCO SOFTWARE INC                  COM       88632Q103     27,707   3,376,900  SH        DEFINED    1,2,3   3,376,900
TIFFANY & CO NEW                    COM       886547108      9,495     248,750  SH        DEFINED    1,2,3     248,750
TIME WARNER INC                     COM       887317105      1,107      65,633  SH        DEFINED      5        65,633
TIME WARNER INC                     COM       887317105        171      10,150  SH        DEFINED   1,2,3,4     10,150
TIME WARNER INC                     COM       887317105      9,941     589,600  SH        DEFINED    1,2,3     589,600
TOLL BROTHERS INC                   COM       889478103        227       5,000  SH        DEFINED      5         5,000
TOLL BROTHERS INC                   COM       889478103      1,363      30,000  SH        DEFINED    1,2,3      30,000
TOTAL FINA ELF S A             SPONSORED ADR  89151E109         14         150  SH        DEFINED   1,2,3,4        150
TOTAL FINA ELF S A             SPONSORED ADR  89151E109      1,067      11,600  SH        DEFINED    1,2,3      11,600
TOTAL SYS SVCS INC                  COM       891906109        879      41,700  SH        DEFINED      5        41,700
TOTAL SYS SVCS INC                  COM       891906109     15,305     726,400  SH        DEFINED    1,2,3     726,400
TRAVELERS PPTY CAS CORP NEW        CL B       89420G406        484      28,000  SH        DEFINED      5        28,000
TRAVELERS PPTY CAS CORP NEW        CL B       89420G406          0          26  SH        DEFINED   1,2,3,4         26






              ITEM 1              ITEM 2        ITEM 3   ITEM 4                ITEM 5      ITEM 6    ITEM 7           ITEM 8

                                                                                                                 VOTING AUTHORITY
                                                          FAIR       SHARES/                        MANAGERS         (SHARES)
                                 TITLE OF       CUSIP    MARKET     PRINCIPAL  SH/ PUT/  INVESTMENT   SEE              (B)     (C)
          NAME OF ISSUE            CLASS        NUMBER   VALUE       AMOUNT    PRN CALL  DISCRETION INSTR V  (A) SOLE SHARED  NONE
                                                                                               
TRAVELERS PPTY CAS CORP NEW        CL B       89420G406      5,463     316,300  SH        DEFINED    1,2,3     316,300
TRIBUNE CO NEW                      COM       896047107      6,936     137,500  SH        DEFINED    1,2,3     137,500
TYCO INTL GROUP S A                DBCV       902118BE7        365     250,000  SH        DEFINED      5       250,000
                                 3.125%1/1
TYCO INTL GROUP S A                DBCV       902118BE7      4,018   2,750,000  SH        DEFINED    1,2,3   2,750,000
                                 3.125%1/1
TYCO INTL LTD NEW                   COM       902124106        836      29,175  SH        DEFINED   1,2,3,4     29,175
US BANCORP DEL                    COM NEW     902973304      7,778     281,291  SH        DEFINED      5       281,291
US BANCORP DEL                    COM NEW     902973304        135       4,898  SH        DEFINED   1,2,3,4      4,898
US BANCORP DEL                    COM NEW     902973304     90,833   3,285,094  SH        DEFINED    1,2,3   3,285,094
ULTRA PETE CORP                     COM       903914109      1,002      33,400  SH        DEFINED    1,2,3      33,400
ULTRATECH INC                       COM       904034105      1,134      48,400  SH        DEFINED    1,2,3      48,400
UNION PAC CORP                      COM       907818108      4,560      76,223  SH        DEFINED      5        76,223
UNION PAC CORP                      COM       907818108      1,300      21,726  SH        DEFINED   1,2,3,4     21,726
UNION PAC CORP                      COM       907818108     52,872     883,850  SH        DEFINED    1,2,3     883,850
UNITED MICROELECTRONICS CORP   SPONSORED ADR  910873207      2,821     542,484  SH        DEFINED      5       542,484
UNITED MICROELECTRONICS CORP   SPONSORED ADR  910873207     47,389   9,113,337  SH        DEFINED    1,2,3   9,113,337
UNITED PARCEL SERVICE INC          CL B       911312106     10,921     156,376  SH        DEFINED      5       156,376
UNITED PARCEL SERVICE INC          CL B       911312106    120,464   1,724,861  SH        DEFINED    1,2,3   1,724,861
UNITED STATES STL CORP NEW          COM       912909108     15,966     428,400  SH        DEFINED    1,2,3     428,400
UNITED TECHNOLOGIES CORP            COM       913017109      4,980      57,700  SH        DEFINED      5        57,700
UNITED TECHNOLOGIES CORP            COM       913017109     57,230     663,150  SH        DEFINED    1,2,3     663,150
UNITEDHEALTH GROUP INC              COM       91324P102      3,042      47,200  SH        DEFINED      5        47,200
UNITEDHEALTH GROUP INC              COM       91324P102     51,357     796,975  SH        DEFINED    1,2,3     796,975
UNIVISION COMMUNICATIONS INC       CL A       914906102        107       3,230  SH        DEFINED   1,2,3,4      3,230
UNIVISION COMMUNICATIONS INC       CL A       914906102        901      27,300  SH        DEFINED    1,2,3      27,300
UNOCAL CORP                         COM       915289102         78       2,100  SH        DEFINED   1,2,3,4      2,100
UNOCAL CORP                         COM       915289102     37,280   1,000,000  SH        DEFINED    1,2,3   1,000,000
UTSTARCOM INC                       COM       918076100      1,032      35,870  SH        DEFINED      5        35,870
VAIL RESORTS INC                    COM       91879Q109     38,966   2,472,470  SH        DEFINED    1,2,3   2,472,470
VALERO ENERGY CORP NEW              COM       91913Y100     14,990     250,000  SH        DEFINED    1,2,3     250,000
VERITAS SOFTWARE CO                 COM       923436109     11,516     427,135  SH        DEFINED      5       427,135
VERITAS SOFTWARE CO                 COM       923436109    166,328   6,169,436  SH        DEFINED    1,2,3   6,169,436
VERIZON COMMUNICATIONS              COM       92343V104      1,766      48,321  SH        DEFINED      5        48,321
VERIZON COMMUNICATIONS              COM       92343V104      1,342      36,718  SH        DEFINED   1,2,3,4     36,718
VERIZON COMMUNICATIONS              COM       92343V104     13,805     377,812  SH        DEFINED    1,2,3     377,812
VIACOM INC                         CL B       925524308      9,148     233,299  SH        DEFINED      5       233,299
VIACOM INC                         CL B       925524308     25,214     643,057  SH        DEFINED   1,2,3,4    643,057
VIACOM INC                         CL B       925524308    125,241   3,194,099  SH        DEFINED    1,2,3   3,194,099
VISX INC DEL                        COM       92844S105     10,179     521,450  SH        DEFINED      5       521,450
VISX INC DEL                        COM       92844S105     68,444   3,506,341  SH        DEFINED    1,2,3   3,506,341
VODAFONE GROUP PLC NEW         SPONSORED ADR  92857W100     11,010     460,677  SH        DEFINED      5       460,677
VODAFONE GROUP PLC NEW         SPONSORED ADR  92857W100        259      10,853  SH        DEFINED   1,2,3,4     10,853
VODAFONE GROUP PLC NEW         SPONSORED ADR  92857W100    122,356   5,119,512  SH        DEFINED    1,2,3   5,119,512
WPP GROUP PLC                  SPON ADR NEW   929309300        185       3,627  SH        DEFINED   1,2,3,4      3,627
WPP GROUP PLC                  SPON ADR NEW   929309300     10,199     200,000  SH        DEFINED    1,2,3     200,000
WACHOVIA CORP 2ND NEW               COM       929903102        926      19,700  SH        DEFINED      5        19,700
WACHOVIA CORP 2ND NEW               COM       929903102     10,467     222,700  SH        DEFINED    1,2,3     222,700
WAL MART STORES INC                 COM       931142103     14,765     247,360  SH        DEFINED      5       247,360
WAL MART STORES INC                 COM       931142103     17,196     288,085  SH        DEFINED   1,2,3,4    288,085
WAL MART STORES INC                 COM       931142103    191,354   3,205,800  SH        DEFINED    1,2,3   3,205,800
WALGREEN CO                         COM       931422109        835      25,350  SH        DEFINED    1,2,3      25,350






              ITEM 1              ITEM 2        ITEM 3   ITEM 4                ITEM 5      ITEM 6    ITEM 7           ITEM 8

                                                                                                                 VOTING AUTHORITY
                                                          FAIR       SHARES/                        MANAGERS         (SHARES)
                                 TITLE OF       CUSIP    MARKET     PRINCIPAL  SH/ PUT/  INVESTMENT   SEE              (B)     (C)
          NAME OF ISSUE            CLASS        NUMBER   VALUE       AMOUNT    PRN CALL  DISCRETION INSTR V  (A) SOLE SHARED  NONE
                                                                                               
WASHINGTON MUT INC                  COM       939322103        342       8,000  SH        DEFINED   1,2,3,4      8,000
WASHINGTON MUT INC                  COM       939322103     21,355     500,000  SH        DEFINED    1,2,3     500,000
WELLS FARGO & CO NEW                COM       949746101     12,029     212,271  SH        DEFINED      5       212,271
WELLS FARGO & CO NEW                COM       949746101     29,209     515,423  SH        DEFINED   1,2,3,4    515,423
WELLS FARGO & CO NEW                COM       925524308    150,655   2,658,462  SH        DEFINED    1,2,3   2,658,462
WENDYS INTL INC                     COM       950590109      6,418     157,730  SH        DEFINED      5       157,730
WENDYS INTL INC                     COM       950590109     75,683   1,860,001  SH        DEFINED    1,2,3   1,860,001
WESTAR ENERGY INC                   COM       95709T100        314      15,000  SH        DEFINED      5        15,000
WESTAR ENERGY INC                   COM       95709T100      1,782      85,000  SH        DEFINED    1,2,3      85,000
WESTWOOD ONE INC                    COM       961815107      7,442     252,700  SH        DEFINED    1,2,3     252,700
WHITNEY HLDG CORP                   COM       966612103        869      20,812  SH        DEFINED   1,2,3,4     20,812
WILSON GREATBATCH TECHNOLOGI        COM       972232102     12,955     357,080  SH        DEFINED      5       357,080
WILSON GREATBATCH TECHNOLOGI        COM       972232102     35,375     975,050  SH        DEFINED    1,2,3     975,050
WRIGLEY WM JR CO                    COM       982526105        402       6,800  SH        DEFINED    1,2,3       6,800
WYETH                               COM       983024100     10,833     288,497  SH        DEFINED      5       288,497
WYETH                               COM       983024100     13,356     355,698  SH        DEFINED   1,2,3,4    355,698
WYETH                               COM       983024100    136,867   3,644,915  SH        DEFINED    1,2,3   3,644,915
XTO ENERGY CORP                     COM       98385X106     28,395   1,125,000  SH        DEFINED    1,2,3   1,125,000
XILINX INC                          COM       983919101     12,429     328,340  SH        DEFINED      5       328,340
XILINX INC                          COM       983919101    159,106   4,203,045  SH        DEFINED    1,2,3   4,203,045
XEROX CORP                     PFD CONV SER   984121509        168       1,250  SH        DEFINED      5         1,250
                                     C
XEROX CORP                     PFD CONV SER   984121509      3,518      26,250  SH        DEFINED    1,2,3      26,250
                                     C
YAHOO INC                           COM       984332106      9,710     200,000  SH        DEFINED    1,2,3     200,000
YUM BRANDS INC                      COM       988498101         76       2,000  SH        DEFINED   1,2,3,4      2,000
YUM BRANDS INC                      COM       988498101     18,995     500,000  SH        DEFINED    1,2,3     500,000
ZEBRA TECHNOLOGIES CORP            CL A       989207105      7,938     114,550  SH        DEFINED      5       114,550
ZEBRA TECHNOLOGIES CORP            CL A       989207105     17,788     256,700  SH        DEFINED    1,2,3     256,700
ZIMMER HLDGS INC                    COM       98956P102     18,591     251,980  SH        DEFINED      5       251,980
ZIMMER HLDGS INC                    COM       98956P102         63         860  SH        DEFINED   1,2,3,4        860
ZIMMER HLDGS INC                    COM       98956P102    184,059   2,494,707  SH        DEFINED    1,2,3   2,494,707
AMDOCS LTD                          ORD       G02602103      3,018     108,590  SH        DEFINED      5       108,590
AMDOCS LTD                          ORD       G02602103     45,990   1,654,910  SH        DEFINED    1,2,3   1,654,910
AXIS CAPITAL HOLDINGS               SHS       G0692U109        694      23,500  SH        DEFINED      5        23,500
AXIS CAPITAL HOLDINGS               SHS       G0692U109      9,486     321,000  SH        DEFINED    1,2,3     321,000
ACCENTURE LTD BERMUDA              CL A       G1150G111        241       9,700  SH        DEFINED   1,2,3,4      9,700
BUNGE LIMITED                       COM       G16962105      1,460      36,300  SH        DEFINED      5        36,300
BUNGE LIMITED                       COM       G16962105     16,156     401,700  SH        DEFINED    1,2,3     401,700
GARMIN LTD                          ORD       G37260109      6,042     141,460  SH        DEFINED      5       141,460
GARMIN LTD                          ORD       G37260109     84,289   1,973,530  SH        DEFINED    1,2,3   1,973,530
INGERSOLL-RAND COMPANY LTD         CL A       G4776G101      1,096      16,200  SH        DEFINED      5        16,200
INGERSOLL-RAND COMPANY LTD         CL A       G4776G101        318       4,700  SH        DEFINED   1,2,3,4      4,700
INGERSOLL-RAND COMPANY LTD         CL A       G4776G101     54,634     807,600  SH        DEFINED    1,2,3     807,600
NABORS INDUSTRIES LTD               SHS       G6359F103      5,606     122,531  SH        DEFINED      5       122,531
NABORS INDUSTRIES LTD               SHS       G6359F103      6,527     142,666  SH        DEFINED   1,2,3,4    142,666
NABORS INDUSTRIES LTD               SHS       G6359F103     96,280   2,104,486  SH        DEFINED    1,2,3   2,104,486
SINA CORP                           ORD       G81477104        114       3,000  SH        DEFINED      5         3,000
SINA CORP                           ORD       G81477104     22,760     601,564  SH        DEFINED    1,2,3     601,564
WEATHERFORD INTERNATIONAL LT        COM       G95089101     17,077     406,315  SH        DEFINED   1,2,3,4    406,315
WEATHERFORD INTERNATIONAL LT        COM       G95089101         34         800  SH        DEFINED    1,2,3         800
ALCON INC                         COM SHS     H01301102      4,554      71,950  SH        DEFINED      5        71,950






              ITEM 1              ITEM 2        ITEM 3   ITEM 4                ITEM 5      ITEM 6    ITEM 7           ITEM 8

                                                                                                                 VOTING AUTHORITY
                                                          FAIR       SHARES/                        MANAGERS         (SHARES)
                                 TITLE OF       CUSIP    MARKET     PRINCIPAL  SH/ PUT/  INVESTMENT   SEE              (B)     (C)
          NAME OF ISSUE            CLASS        NUMBER   VALUE       AMOUNT    PRN CALL  DISCRETION INSTR V  (A) SOLE SHARED  NONE
                                                                                               
ALCON INC                         COM SHS     H01301102     77,601   1,225,925  SH        DEFINED    1,2,3   1,225,925
CHECK POINT SOFTWARE TECH LTD       ORD       M22465104      3,718     163,300  SH        DEFINED      5       163,300
CHECK POINT SOFTWARE TECH LTD       ORD       M22465104     82,800   3,637,150  SH        DEFINED    1,2,3   3,637,150
ASM LITHOGRAPHY HLDG N V          N Y SHS     N07059111      1,486      81,000  SH        DEFINED      5        81,000
ASM LITHOGRAPHY HLDG N V          N Y SHS     N07059111     25,898   1,411,700  SH        DEFINED    1,2,3   1,411,700
                                                        ========== ===========
                                                        25,398,103 735,457,256