-----BEGIN PRIVACY-ENHANCED MESSAGE----- Proc-Type: 2001,MIC-CLEAR Originator-Name: webmaster@www.sec.gov Originator-Key-Asymmetric: MFgwCgYEVQgBAQICAf8DSgAwRwJAW2sNKK9AVtBzYZmr6aGjlWyK3XmZv3dTINen TWSM7vrzLADbmYQaionwg5sDW3P6oaM5D3tdezXMm7z1T+B+twIDAQAB MIC-Info: RSA-MD5,RSA, I8UpOW2h/7q2BXybOr8DSso/cHRs+5CFAL1GGTol3UXCcfcQ5XiA1XDHSZ322NOz 7i2lgcQPIiE7p90yYm7o9w== 0000732812-99-000005.txt : 19990517 0000732812-99-000005.hdr.sgml : 19990517 ACCESSION NUMBER: 0000732812-99-000005 CONFORMED SUBMISSION TYPE: 13F-HR PUBLIC DOCUMENT COUNT: 1 CONFORMED PERIOD OF REPORT: 19990331 FILED AS OF DATE: 19990514 FILER: COMPANY DATA: COMPANY CONFORMED NAME: CAPITAL INTERNATIONAL INC /CA/ CENTRAL INDEX KEY: 0000895213 STANDARD INDUSTRIAL CLASSIFICATION: UNKNOWN SIC - 0000 [0000] IRS NUMBER: 954154361 STATE OF INCORPORATION: CA FISCAL YEAR END: 0630 FILING VALUES: FORM TYPE: 13F-HR SEC ACT: SEC FILE NUMBER: 028-04457 FILM NUMBER: 99623023 BUSINESS ADDRESS: STREET 1: 333 SOUTH HOPE ST STREET 2: 55TH FL CITY: LOS ANGELES STATE: CA ZIP: 90071 BUSINESS PHONE: 2134869200 MAIL ADDRESS: STREET 1: 333 SOUTH HOPE ST STREET 2: 55TH FL CITY: LOS ANGELES STATE: CA ZIP: 900711 13F-HR 1 FORM 13F INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) OF THE SECURITIES AND EXCHANGE ACT OF 1934 AND RULES THEREUNDER Securities and Exchange Commission Washington, D.C. 20549 Report for calendar quarter ended: March 31, 1999 If amended report check here: [ ] Name of Institutional Investment Manager: Capital International, Inc. 11100 Santa Monica Boulevard Los Angeles, California 900025-3384 Name, Phone No., and Title of Person Duly Authorized to Submit this Report: David I. Fisher Vice Chairman (310) 966-6331 ATTENTION: Intentional misstatements or omissions of facts constitute Federal Criminal Violations. See 18 U.S.C. 1001 and 15 U.S.C. 78ff(a). The institutional investment manager submitting this Form and its attachments and the person by whom it is signed represent hereby that all information contained therein is true, correct and complete. It is understood that all required items, statements and schedules are considered integral parts of this Form and that the submission of any amendment represents that all unamended items, statements and schedules retain true, correct and complete as previously submitted. Pursuant to the requirements of Securities Exchange Act of 1934, the undersigned institutional investment manager has caused this report to be signed on its behalf in the City of Los Angeles and State of California on the 13th day of May, 1999. Capital International, Inc. (Name of Institutional Investment Manager) David I. Fisher* David I. Fisher, Vice Chairman (Manual Signature of Person Duly Authorized to submit this Report) *By: /s/ Michael J. Downer Michael J. Downer Attorney-in-fact Signed pursuant to a Power of Attorney dated January 29, 1999 included as an Exhibit to Schedule 13G filed with the Securities and Exchange Commission by Capital Guardian Trust Company on February 8, 1999 with respect to Acclaim Entertainment, Inc. Name and 13F file number of All Institutional Investment Managers with respect to which this schedule is filed (other than the one filing this report). (List in alphabetical order) Name: 1. The Capital Group Companies, Inc. 13F File No.: 28-218 2. Capital Group International, Inc. 13F File No. 28-5044 FORM 13F SUMMARY PAGE Report Summary: Number of Other Included Managers: 2 Form 13F Information Table Entry Total: 245 Form 13F Information Table Value Total: $6,956,279.5 Pursuant to regulation section 240.24b-2, certain confidential material has been filed with the Secretary of the Securities and Exchange Commission for non-public treatment. List of Other Included Managers: No. 13F File Number Name 1 28-818 The Capital Group Companies, Inc. 2 28-5044 Capital Group International, Inc. FORM 13F - FILE NO. 28-96 PAGE 1 NAME OF REPORTING MANAGER - CAPITAL INTERNATIONAL, INC# MAR 31, 1999 ITEM 1 AND 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7* ITEM 8 SHARES OF PRINCIPAL INVESTMENT VOTING AUTHORITY NAME OF ISSUER/TITLE OF CLASS FAIR MARKET AMOUNT DISCRETION (SHARES - 000'S) ------------ ---------------------------- (COMMON UNLESS OTHERWISE INDICATED) CUSIP VALUE ($000'S) (000'S) SOLE SHR OTH MGR SOLE SHARED NONE - -------------------------------------- --------- -------------- ------------- ------------ --- ---------------------------- @ ENTERTAINMENT INC 045920105 $ 5,889.1 619.9 X 1,2 619.9 ABB AB B SPON ADR 00256Q103 7,947.6 639.0 X 1,2 639.0 ADVANCED ENERGY INDUSTRIES 007973100 6,185.2 262.5 X 1,2 262.5 ADVANCED MICRO DEVICES INC 007903107 511.5 33.0 X 1,2 33.0 AES CORP (THE) 00130H105 27,796.0 746.2 X 1,2 746.2 AIR PRODS & CHEMICAL 009158106 452.1 13.2 X 1,2 13.2 AIRTOUCH COMM INC 00949T100 50,068.8 518.2 X 1,2 518.2 AMERICAN INTL GROUP 026874107 3,938.4 32.7 X 1,2 32.7 ANHEUSER BUSCH COS 035229103 8,376.4 110.0 X 1,2 110.0 AO TATNEFT SPON ADR 03737P306 1.4 0.5 X 1,2 0.5 APPLIED MATERIALS 038222105 25,261.0 409.5 X 1,2 409.5 ARACRUZ CEL PNB ADR SPON (NEW) 038496204 3,560.5 245.6 X 1,2 245.6 ARCTIC CAT INC 039670104 2,563.9 258.0 X 1,2 258.0 ASCEND COMMUNICATIONS INC 043491109 10,645.1 127.2 X 1,2 127.2 ASE TEST LIMITED 002053908 115,683.7 2,928.7 X 1,2 2,928.7 ASHANTI GOLDFIELDS GDR 043743202 2,994.2 342.2 X 1,2 342.2 ASIA PACIFIC RES INTL HLDGS LTD CL A 044903904 756.3 1,728.7 X 1,2 1,728.7 (APRIL) ASIA PACIFIC RESOURCES LTD C$ 044902104 5,720.7 3,080.0 X 1,2 3,080.0 ASIA PULP & PAPER LTD SPON ADR 04516V100 30,316.7 3,619.9 X 1,2 3,619.9 ASM LITHOGRAPHY NY SHARES 001905918 13,428.0 298.4 X 1,2 298.4 ASSOC 1ST CAPL CL A 046008108 12,402.7 275.6 X 1,2 275.6 ASTRA AB A SPON ADR 046298105 8,185.5 356.9 X 1,2 356.9 AT&T CORP 001957109 12,982.5 162.7 X 1,2 162.7 AT&T CORP LIBERTY MEDIA GROUP CL A 001957208 17,250.4 328.0 X 1,2 328.0 AUTODESK INC 052769106 9,118.7 225.5 X 1,2 225.5 BAKER HUGHES 057224107 21,221.7 872.9 X 1,2 872.9 BANCO DE GALICIA ADR B SPON 059538207 83,040.5 5,169.8 X 1,2 5,169.8 BANCO FRANCES ADR SPON 059591107 22,141.5 1,247.4 X 1,2 1,247.4 BANCO RIO DE LA PLATA B SPON ADR 059644104 73,095.1 7,594.3 X 1,2 7,594.3 BANCO SANTANDER PUERTO RICO 059646109 3,946.0 197.3 X 1,2 197.3 BANCO SANTIAGO SPON ADR 05965L105 1,031.1 58.5 X 1,2 58.5 BANDAG INC 059815100 4,365.2 153.5 X 1,2 153.5 -------------- SUB-TOTAL $ 590,877.0 # PURSUANT TO REG. SEC. 240.24B-2 CERTAIN CONFIDENTIAL MATERIAL HAS BEEN FILED WITH THE SECRETARY OF THE SEC FOR NON-PUBLIC TREATMENT * INVESTMENT DISCRETION IS DISCLAIMED BY THE CAPITAL GROUP COMPANIES, INC AND CAPITAL GROUP INTERNATIONAL, INC FOR ALL PURPOSES OTHER THAN FORM 13F FORM 13F - FILE NO. 28-96 PAGE 2 NAME OF REPORTING MANAGER - CAPITAL INTERNATIONAL, INC# MAR 31, 1999 ITEM 1 AND 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7* ITEM 8 SHARES OF PRINCIPAL INVESTMENT VOTING AUTHORITY NAME OF ISSUER/TITLE OF CLASS FAIR MARKET AMOUNT DISCRETION (SHARES - 000'S) ------------ ---------------------------- (COMMON UNLESS OTHERWISE INDICATED) CUSIP VALUE ($000'S) (000'S) SOLE SHR OTH MGR SOLE SHARED NONE - -------------------------------------- --------- -------------- ------------- ------------ --- ---------------------------- BANK OF AMERICA CORP 060505104 $ 47,232.0 668.8 X 1,2 668.8 BANK OF MONTREAL C$ 063671101 12,663.0 315.3 X 1,2 315.3 BERKSHIRE HATHAWAY CLASS B 084670207 482.0 0.2 X 1,2 0.2 BERKSHIRE HATHAWAY INC CL A 084670108 22,348.2 0.3 X 1,2 0.3 BOEING CO 097023105 17,020.5 500.1 X 1,2 500.1 BROOKS AUTOMATION INC 11434A100 382.6 17.1 X 1,2 17.1 C-CUBE MICROSYSTEMS 125015107 2,080.3 105.0 X 1,2 105.0 CABLEVISION SYSTEMS CORP NEW CL A 12686C109 15,306.8 206.5 X 1,2 206.5 CADENCE DESIGNS SYS 127387108 11,909.4 462.5 X 1,2 462.5 CARAUSTAR INDS INC 140909102 3,036.0 132.0 X 1,2 132.0 CATERPILLAR INC 149123101 17,432.4 379.5 X 1,2 379.5 CENTRAL EUROPEAN MEDIA ENTERPRISES CL A 153445903 1,778.0 138.1 X 1,2 138.1 CHASE MANHATTAN NEW 16161A108 6,664.6 81.9 X 1,2 81.9 CHEVRON CORP 166751107 776.4 8.7 X 1,2 8.7 CHINA EASTERN AIRLINES LTD H SPON ADR 16937R104 1,096.8 182.8 X 1,2 182.8 CINAR CORPORATION CL B SUB VTG US$ 171905300 570.4 24.8 X 1,2 24.8 CINCINNATI FINL CORP 172062101 5,130.4 140.8 X 1,2 140.8 CISCO SYSTEMS INC 17275R102 6,918.9 63.2 X 1,2 63.2 CITIGROUP INC 172967101 39,347.0 616.0 X 1,2 616.0 CO ANONIMA NACIONALTELEF VENEZUEL D ADR 204421101 22,324.2 1,227.5 X 1,2 1,227.5 (CANTV) SPON CO BRASILEIRA DISTRIBUICAO PN SPON ADR 20440T201 2,164.5 148.0 X 1,2 148.0 GRUPO PAO DE ACUCAR CO CERV BRAHMA ON SPON ADR 20440X202 82.1 11.2 X 1,2 11.2 CO CERVECERIAS ADS SPON 204429104 39,591.9 1,815.1 X 1,2 1,815.1 CO CERVEJARIA BRAHMA PN ADR 20440X103 196,796.0 21,132.5 X 1,2 21,132.5 CO DE MINAS BUENAVENTURA SA B SPON ADR 204448104 25,988.1 1,961.4 X 1,2 1,961.4 CO TELCOMN CHILE ADR 204449300 336,415.3 14,277.6 X 1,2 14,277.6 COCA-COLA CO 191216100 10,538.1 171.7 X 1,2 171.7 COCA-COLA FEMSA ADR L SPON 191241108 44,758.2 2,743.8 X 1,2 2,743.8 COMMUNITY SAVINGS BANKSHARES 204037105 3,831.8 306.5 X 1,2 306.5 COMSAT CORP 20564D107 9,785.3 338.2 X 1,2 338.2 COPEL PNB SPON ADR 20441B407 46,468.3 6,195.8 X 1,2 6,195.8 -------------- SUB-TOTAL $ 950,919.3 # PURSUANT TO REG. SEC. 240.24B-2 CERTAIN CONFIDENTIAL MATERIAL HAS BEEN FILED WITH THE SECRETARY OF THE SEC FOR NON-PUBLIC TREATMENT * INVESTMENT DISCRETION IS DISCLAIMED BY THE CAPITAL GROUP COMPANIES, INC AND CAPITAL GROUP INTERNATIONAL, INC FOR ALL PURPOSES OTHER THAN FORM 13F FORM 13F - FILE NO. 28-96 PAGE 3 NAME OF REPORTING MANAGER - CAPITAL INTERNATIONAL, INC# MAR 31, 1999 ITEM 1 AND 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7* ITEM 8 SHARES OF PRINCIPAL INVESTMENT VOTING AUTHORITY NAME OF ISSUER/TITLE OF CLASS FAIR MARKET AMOUNT DISCRETION (SHARES - 000'S) ------------ ---------------------------- (COMMON UNLESS OTHERWISE INDICATED) CUSIP VALUE ($000'S) (000'S) SOLE SHR OTH MGR SOLE SHARED NONE - -------------------------------------- --------- -------------- ------------- ------------ --- ---------------------------- CORN PRODUCTS INTL INC 219023108 $ 2,110.1 88.2 X 1,2 88.2 CREDENCE SYSTEMS 225302108 7,185.9 335.2 X 1,2 335.2 CREDICORP LTD 225305903 92,807.8 9,518.7 X 1,2 9,518.7 CREW DEVELOPMENT CORP C$ 226530103 563.8 1,000.0 X 1,2 1,000.0 DEBEERS CONS MNG ADR 240253302 38,647.7 2,040.8 X 1,2 2,040.8 DELPHI AUTOMOTIVE SYSTEMS 247126105 15,602.3 879.0 X 1,2 879.0 DISCO SA SPON ADR 254609100 16,805.4 990.9 X 1,2 990.9 DISTRIBUCION Y SERVICIO D&S SA SPON ADR 254753106 30,740.6 2,496.7 X 1,2 2,496.7 DOVER CORP 260003108 7,794.7 237.1 X 1,2 237.1 ECI TELECOM LTD 268258100 53,333.0 1,523.8 X 1,2 1,523.8 ECOLAB INC 278865100 1,398.7 39.4 X 1,2 39.4 ELECTROGLAS INC 285324109 1,197.4 93.0 X 1,2 93.0 EMBOTELLA ANDINA PFD A SPON ADR 29081P204 58,156.7 3,829.3 X 1,2 3,829.3 EMBOTELLADORA ANDINA PFD B SPON ADR 29081P303 34,977.1 2,826.4 X 1,2 2,826.4 EMBRATEL PARTICIPACOES PN ADR 29081N100 268,594.4 16,095.5 X 1,2 16,095.5 EMERSON ELEC CO 291011104 1,567.0 29.6 X 1,2 29.6 EMPRESA NAC ELEC ADR (CHILE) 29244T101 169,088.3 12,024.1 X 1,2 12,024.1 ENERSIS SPON ADR 29274F104 31,889.3 1,189.3 X 1,2 1,189.3 ETEC SYSTEMS INC 26922C103 9,946.9 337.9 X 1,2 337.9 EURONET SERVICES INC 298736109 2,310.5 1,026.9 X 1,2 1,026.9 FEDERAL MOGUL CORP 313549107 26,179.7 612.0 X 1,2 612.0 FIRST MIDWEST BANCRP 320867104 659.3 17.4 X 1,2 17.4 FOMENTO ECOMOMICO MEXICANO SPON ADR (EX 344419106 144,216.5 4,661.5 X 1,2 4,661.5 VISA) FOREST LABS INC 345838106 5,310.5 94.2 X 1,2 94.2 FORT JAMES CORP 347471104 11,039.9 348.4 X 1,2 348.4 FOUR SEASONS HOTELS INC C$ LTD VTG 35100E104 2,895.4 68.9 X 1,2 68.9 FOX ENTERTAINMENT GROUP INC CL A 35138T107 952.1 35.1 X 1,2 35.1 FREEPORT-MCMORAN COPPER & GOLD CL A 35671D105 1,314.1 128.2 X 1,2 128.2 GASONICS INTL CORP 367278108 1,155.0 105.0 X 1,2 105.0 GATEWAY 2000 367833100 6,239.2 91.0 X 1,2 91.0 GENER SA SPON ADR 368731105 5,173.8 281.6 X 1,2 281.6 GENERAL ELEC CO 369604103 11,600.5 104.9 X 1,2 104.9 -------------- SUB-TOTAL $ 1,061,453.4 # PURSUANT TO REG. SEC. 240.24B-2 CERTAIN CONFIDENTIAL MATERIAL HAS BEEN FILED WITH THE SECRETARY OF THE SEC FOR NON-PUBLIC TREATMENT * INVESTMENT DISCRETION IS DISCLAIMED BY THE CAPITAL GROUP COMPANIES, INC AND CAPITAL GROUP INTERNATIONAL, INC FOR ALL PURPOSES OTHER THAN FORM 13F FORM 13F - FILE NO. 28-96 PAGE 4 NAME OF REPORTING MANAGER - CAPITAL INTERNATIONAL, INC# MAR 31, 1999 ITEM 1 AND 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7* ITEM 8 SHARES OF PRINCIPAL INVESTMENT VOTING AUTHORITY NAME OF ISSUER/TITLE OF CLASS FAIR MARKET AMOUNT DISCRETION (SHARES - 000'S) ------------ ---------------------------- (COMMON UNLESS OTHERWISE INDICATED) CUSIP VALUE ($000'S) (000'S) SOLE SHR OTH MGR SOLE SHARED NONE - -------------------------------------- --------- -------------- ------------- ------------ --- ---------------------------- GENERAL MILLS INC 370334104 $ 14,492.9 191.8 X 1,2 191.8 GLOBAL TELESYSTEMS GROUP 37936U104 9,229.7 165.0 X 1,2 165.0 GLOBALSTAR TELECOMMUNICATIONS 379364904 1,035.1 74.6 X 1,2 74.6 GLOBO CABO SPON ADR PN SPON 37957X102 2,060.1 1,734.8 X 1,2 1,734.8 GRUPO ELEKTRA SPON GDR 40050A102 1,635.4 251.6 X 1,2 251.6 GRUPO IND MASECA ADR SPON B 400488409 21,703.2 1,762.7 X 1,2 1,762.7 GRUPO RADIO CEN ADR SPON 40049C102 3,221.9 585.8 X 1,2 585.8 GRUPO TELEVISA ADR SPON CPO 40049J206 228,617.0 7,286.6 X 1,2 7,286.6 GUIDANT CORPORATION 401698105 19,644.4 324.7 X 1,2 324.7 GULF INDONESIA RESOURCES 402284103 29,473.3 3,519.2 X 1,2 3,519.2 HARBOR FLORIDA BANCSHARES 411901101 1,848.8 145.0 X 1,2 145.0 HARLEYSVILLE GRP INC 412824104 5,118.9 264.2 X 1,2 264.2 HASBRO INC 418056107 14,892.7 514.7 X 1,2 514.7 HEWLETT PACKARD CO 428236103 12,463.9 183.8 X 1,2 183.8 HOLOPHANE CORP 43645B106 4,224.0 192.0 X 1,2 192.0 HOUSEHOLD INTL 441815107 27,233.6 596.9 X 1,2 596.9 HUANENG POWER INTL N SPON ADR 443304100 13,736.4 1,382.3 X 1,2 1,382.3 ICON PLC SPON ADR 45103T107 320.5 22.1 X 1,2 22.1 INDOSAT SPON ADR PERUSAHAAN PERSEROAN 715680104 33,418.3 2,583.1 X 1,2 2,583.1 INDUS INTL INC 45578L100 745.5 168.0 X 1,2 168.0 INFOSYS TECHNOLOGIES ADR 456788108 4,247.8 98.5 X 1,2 98.5 INTEGRATED PROCESS EQUIPMENT CORP 45812K108 817.2 90.8 X 1,2 90.8 INTEL CORP 458140100 7,287.0 61.3 X 1,2 61.3 INTL DE CERAMICA LTD VTG UNIT SPON ADR 458847506 63.2 15.3 X 1,2 15.3 IRSA SPON GDR 450047204 30,250.1 1,146.9 X 1,2 1,146.9 JACOBS ENGR GROUP 469814107 3,147.1 79.8 X 1,2 79.8 JONES APPAREL GROUP 480074103 6,973.2 249.6 X 1,2 249.6 KELLOGG CO 487836108 15,783.7 466.8 X 1,2 466.8 KEYSPAN ENERGY (NEW) 49337K106 6,532.5 260.0 X 1,2 260.0 KIMBERLY CLARK CORP 494368103 11,471.4 239.3 X 1,2 239.3 KLA TENCOR CORP 482480100 10,712.9 220.6 X 1,2 220.6 KULICKE & SOFFA 501242101 1,161.5 46.0 X 1,2 46.0 LAN CHILE SPON ADS SPON 501723100 6,220.1 1,363.3 X 1,2 1,363.3 -------------- SUB-TOTAL $ 549,783.0 # PURSUANT TO REG. SEC. 240.24B-2 CERTAIN CONFIDENTIAL MATERIAL HAS BEEN FILED WITH THE SECRETARY OF THE SEC FOR NON-PUBLIC TREATMENT * INVESTMENT DISCRETION IS DISCLAIMED BY THE CAPITAL GROUP COMPANIES, INC AND CAPITAL GROUP INTERNATIONAL, INC FOR ALL PURPOSES OTHER THAN FORM 13F FORM 13F - FILE NO. 28-96 PAGE 5 NAME OF REPORTING MANAGER - CAPITAL INTERNATIONAL, INC# MAR 31, 1999 ITEM 1 AND 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7* ITEM 8 SHARES OF PRINCIPAL INVESTMENT VOTING AUTHORITY NAME OF ISSUER/TITLE OF CLASS FAIR MARKET AMOUNT DISCRETION (SHARES - 000'S) ------------ ---------------------------- (COMMON UNLESS OTHERWISE INDICATED) CUSIP VALUE ($000'S) (000'S) SOLE SHR OTH MGR SOLE SHARED NONE - -------------------------------------- --------- -------------- ------------- ------------ --- ---------------------------- LANDSTAR SYSTEM INC 515098101 $ 1,765.6 53.3 X 1,2 53.3 LIBBEY INC 529898108 5,161.5 166.5 X 1,2 166.5 LIMITED INC 532716107 24,052.4 607.0 X 1,2 607.0 LORAL SPACE & COMMUNICATIONS LTD 543880900 20,422.5 1,414.5 X 1,2 1,414.5 LUXOTTICA GRP ADS 55068R202 746.8 58.0 X 1,2 58.0 M S CARRIERS INC 553533100 1,321.9 50.0 X 1,2 50.0 MATAV RT SPON ADR 559776109 32,055.2 1,198.3 X 1,2 1,198.3 MAXIM INTEGRATED PRODUCTS INC 57772K101 7,469.3 138.0 X 1,2 138.0 MC DONALDS CORP 580135101 5,759.2 127.1 X 1,2 127.1 MCI WORLDCOM INC 55268B106 64,297.3 726.0 X 1,2 726.0 MDC COMMUNICATIONS CORP CL A C$ 55267W309 765.7 85.5 X 1,2 85.5 MEDTRONIC INC 585055106 8,912.5 124.0 X 1,2 124.0 MICROCELL TELECOMMUNICATIONS CL B NV US$ 59501T304 1,219.9 149.0 X 1,2 149.0 MOBIL CORP 607059102 616.0 7.0 X 1,2 7.0 MORGAN J P & CO INC 616880100 2,652.6 21.5 X 1,2 21.5 MORGAN STANLEY INDIA INV FUND 61745C105 292.0 32.0 X 1,2 32.0 NABISCO HOLDINGS CORP CL A 629526104 1,039.1 25.0 X 1,2 25.0 NAC RE CORP 628907107 2,684.4 50.0 X 1,2 50.0 NEWCOURT CREDIT GROUP INC C$ 650905102 9,367.1 347.0 X 1,2 347.0 NEWMONT MNG CORP 651639106 964.3 55.1 X 1,2 55.1 NEWS CORP LTD PFD ADR 652487802 47.5 1.7 X 1,2 1.7 NEWS CORP NEW ADR 652487703 4,799.0 162.7 X 1,2 162.7 NOKIA A SPON ADR 654902204 3,239.6 20.8 X 1,2 20.8 NORTEL NETWORKS CORPORATION US$ 656569100 2,353.3 37.9 X 1,2 37.9 NORTEL PFD B ADR (NY) 656567401 25,633.2 1,814.7 X 1,2 1,814.7 NOVELLUS SYSTEMS INC 670008101 3,307.5 60.0 X 1,2 60.0 NU SKIN ENTERPRISES INC CL A 67018T105 766.3 33.5 X 1,2 33.5 NY MAGIC 629484106 117.0 9.0 X 1,2 9.0 ORBOTECH LTD 68389P904 32,368.5 658.9 X 1,2 658.9 PACIFICARE HEALTH SYSTEMS CL B NEW N/V 695112201 7,098.0 104.0 X 1,2 104.0 PACIFICARE HEALTH SYSTEMS INC CL A NEW 695112102 535.7 8.9 X 1,2 8.9 PANAMERICAN BEV A 69829W905 139,625.6 7,950.2 X 1,2 7,950.2 PENTAIR INC 709631105 1,572.8 46.6 X 1,2 46.6 -------------- SUB-TOTAL $ 413,028.8 # PURSUANT TO REG. SEC. 240.24B-2 CERTAIN CONFIDENTIAL MATERIAL HAS BEEN FILED WITH THE SECRETARY OF THE SEC FOR NON-PUBLIC TREATMENT * INVESTMENT DISCRETION IS DISCLAIMED BY THE CAPITAL GROUP COMPANIES, INC AND CAPITAL GROUP INTERNATIONAL, INC FOR ALL PURPOSES OTHER THAN FORM 13F FORM 13F - FILE NO. 28-96 PAGE 6 NAME OF REPORTING MANAGER - CAPITAL INTERNATIONAL, INC# MAR 31, 1999 ITEM 1 AND 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7* ITEM 8 SHARES OF PRINCIPAL INVESTMENT VOTING AUTHORITY NAME OF ISSUER/TITLE OF CLASS FAIR MARKET AMOUNT DISCRETION (SHARES - 000'S) ------------ ---------------------------- (COMMON UNLESS OTHERWISE INDICATED) CUSIP VALUE ($000'S) (000'S) SOLE SHR OTH MGR SOLE SHARED NONE - -------------------------------------- --------- -------------- ------------- ------------ --- ---------------------------- PEOPLESOFT INC 712713106 $ 13,376.0 914.6 X 1,2 914.6 PEP BOYS 713278109 9,575.5 627.9 X 1,2 627.9 PEPSI-GEMEX CPO GDR 713435105 12,558.8 1,385.8 X 1,2 1,385.8 PERKIN ELMER CORP 714041100 15,035.0 154.9 X 1,2 154.9 PETROLEUM GEO-SERVICES SPON ADR 716597109 654.2 42.9 X 1,2 42.9 PFEIFFER VACUUM TECHNOLOGY BEAR SPON ADR 717067102 552.9 13.3 X 1,2 13.3 PFIZER INC 717081103 23,973.2 172.8 X 1,2 172.8 PHILIPPINE LDTEL ADS SPON 718252604 125,977.5 4,868.7 X 1,2 4,868.7 PHILIPPINE LONG DIST TEL SPON GDS CV PF 718252703 7,993.5 168.3 X 1,2 168.3 SER III PMI GROUP INC (THE) 69344M101 9,080.2 195.8 X 1,2 195.8 POHANG IRON & STEEL SPON ADR 730450103 15,039.1 841.4 X 1,2 841.4 POLARIS INDUSTRIES INC 731068102 7,883.5 248.3 X 1,2 248.3 PORTUGAL TELECOM ORD SPON ADR 737273102 32,072.9 732.0 X 1,2 732.0 PRAXAIR INC 74005P104 10,883.7 301.8 X 1,2 301.8 QUILMES INDUSTRIAL N/V PFD SPON ADS 74838Y108 15,039.6 1,593.6 X 1,2 1,593.6 QUINTILES TRANSNATIONAL CORP 748767100 20,728.5 549.1 X 1,2 549.1 ROGERS COMMUNICATIONS INC CL B C$ N/V 775109200 5,852.6 322.0 X 1,2 322.0 ROYAL BANK OF CANADA C$ 780087102 10,343.8 220.4 X 1,2 220.4 ROYAL DUTCH PETE 1.25 GUILDER NY SHR 780257804 6,500.0 125.0 X 1,2 125.0 SANTA ISABEL SPON ADR 802233106 17,186.5 1,964.2 X 1,2 1,964.2 SBS BROADCASTING SA 783939901 305.2 9.5 X 1,2 9.5 SCHLUMBERGER LTD 806857108 18,179.8 302.1 X 1,2 302.1 SCOTTS CO CL A 810186106 1,891.2 50.6 X 1,2 50.6 SERVICE CORP INTL 817565104 6,897.0 484.0 X 1,2 484.0 SHELL TRANS/TRADING (NY SHARES NEW) 822703609 9,892.2 243.5 X 1,2 243.5 SHERWIN WILLIAMS CO 824348106 959.1 34.1 X 1,2 34.1 SILICON VY GROUP INC 827066101 1,408.6 114.4 X 1,2 114.4 SK TELECOM SPON ADR 78440P108 114,600.9 9,403.1 X 1,2 9,403.1 SLM HOLDING CORP VTG 78442A109 22,864.4 547.7 X 1,2 547.7 SOCIEDAD QUIMICA Y MINERA B SPON ADR 833635105 12,289.9 384.1 X 1,2 384.1 (SOQUIMICH) STET HELLAS TELECOMMUNICATIONS ADR 859823106 67,629.8 2,282.9 X 1,2 2,282.9 -------------- SUB-TOTAL $ 617,224.9 # PURSUANT TO REG. SEC. 240.24B-2 CERTAIN CONFIDENTIAL MATERIAL HAS BEEN FILED WITH THE SECRETARY OF THE SEC FOR NON-PUBLIC TREATMENT * INVESTMENT DISCRETION IS DISCLAIMED BY THE CAPITAL GROUP COMPANIES, INC AND CAPITAL GROUP INTERNATIONAL, INC FOR ALL PURPOSES OTHER THAN FORM 13F FORM 13F - FILE NO. 28-96 PAGE 7 NAME OF REPORTING MANAGER - CAPITAL INTERNATIONAL, INC# MAR 31, 1999 ITEM 1 AND 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7* ITEM 8 SHARES OF PRINCIPAL INVESTMENT VOTING AUTHORITY NAME OF ISSUER/TITLE OF CLASS FAIR MARKET AMOUNT DISCRETION (SHARES - 000'S) ------------ ---------------------------- (COMMON UNLESS OTHERWISE INDICATED) CUSIP VALUE ($000'S) (000'S) SOLE SHR OTH MGR SOLE SHARED NONE - -------------------------------------- --------- -------------- ------------- ------------ --- ---------------------------- SUNCOR ENERGY INC C$ 867229106 $ 16,812.3 499.4 X 1,2 499.4 TAIWAN SEMICONDUCTOR MFG CO SPON ADR 874039100 40,116.1 1,698.0 X 1,2 1,698.0 TALISMAN ENERGY INC C$ 87425E103 1,129.7 52.0 X 1,2 52.0 TANDY CORP 875382103 6,732.2 105.5 X 1,2 105.5 TELE CELULAR SUL PARTICIPACOES PN ADR 879238103 32,691.4 1,709.4 X 1,2 1,709.4 TELE CENTRO OESTE CELULAR PARTIC PN ADR 87923P105 23,150.6 6,278.1 X 1,2 6,278.1 TELE CENTRO SUL PARTICIPACOES PN ADR 879239101 27,758.6 601.0 X 1,2 601.0 TELE LESTE CELULAR PARTICIPACOES PN ADR 87943B102 13,314.8 416.1 X 1,2 416.1 TELE NORDESTE CELULAR PARTICIPACO PN ADR 87924W109 14,703.0 660.8 X 1,2 660.8 TELE NORTE CELULAR PARTICIPACOES PN ADR 87924Y105 7,559.1 254.1 X 1,2 254.1 TELE NORTE LESTE PARTICIPACOES PN ADR 879246106 41,264.6 2,683.9 X 1,2 2,683.9 TELE SUDESTE CELULAR PARTICIPACOE PN ADR 879252104 26,288.8 1,298.2 X 1,2 1,298.2 TELEBRAS HOLDRS SPON ADR PFD 879287308 71,627.3 888.4 X 1,2 888.4 TELEBRAS PN ADR 879287100 418.5 2,914.4 X 1,2 2,914.4 TELECOM ARGENTINA B SPON ADS 879273209 237,431.3 8,653.5 X 1,2 8,653.5 TELECOM NEW ZEAL ADS SPON 879278208 2,306.9 59.2 X 1,2 59.2 TELEFONICA ARG B ADS 879378206 297,758.5 9,843.3 X 1,2 9,843.3 TELEFONICA DEL PERU B SPON ADS 879384105 45,560.9 3,573.4 X 1,2 3,573.4 TELEFONOS DE MEXICO A ADR 879403400 230.8 71.0 X 1,2 71.0 TELEFONOS DE MEXICO L ADR 879403780 1,094,879.3 16,689.4 X 1,2 16,689.4 TELEGLOBE INC C$ 87941V100 8,826.8 289.9 X 1,2 289.9 TELEKOMUNIKASI INDONESIA B SPON ADR 715684106 1,679.2 263.4 X 1,2 263.4 PERUSAHAAN PERSEROAN TELEMIG CELULAR PARTICIPACOES PN ADR 87944E105 25,264.4 964.8 X 1,2 964.8 TELESP CELULAR PARTICIPACOES PN ADR 87952L108 63,042.5 3,011.0 X 1,2 3,011.0 TELESP PARTICIPACOES PN ADR 87952K100 87,581.5 4,246.4 X 1,2 4,246.4 TERADYNE 880770102 12,904.0 236.5 X 1,2 236.5 TEXTRON INC 883203101 35,043.1 452.9 X 1,2 452.9 TIME WARNER INC 887315109 48,289.3 681.6 X 1,2 681.6 TOMMY HILFIGER CORP 890121908 7,300.8 106.0 X 1,2 106.0 TOPPS CO 890786106 525.0 120.0 X 1,2 120.0 TOTAL SA SPON ADR B 89151E109 3,525.8 57.8 X 1,2 57.8 TRANSATLANTIC HLDGS INC 893521104 2,970.0 39.6 X 1,2 39.6 -------------- SUB-TOTAL $ 2,298,686.8 # PURSUANT TO REG. SEC. 240.24B-2 CERTAIN CONFIDENTIAL MATERIAL HAS BEEN FILED WITH THE SECRETARY OF THE SEC FOR NON-PUBLIC TREATMENT * INVESTMENT DISCRETION IS DISCLAIMED BY THE CAPITAL GROUP COMPANIES, INC AND CAPITAL GROUP INTERNATIONAL, INC FOR ALL PURPOSES OTHER THAN FORM 13F FORM 13F - FILE NO. 28-96 PAGE 8 NAME OF REPORTING MANAGER - CAPITAL INTERNATIONAL, INC# MAR 31, 1999 ITEM 1 AND 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7* ITEM 8 SHARES OF PRINCIPAL INVESTMENT VOTING AUTHORITY NAME OF ISSUER/TITLE OF CLASS FAIR MARKET AMOUNT DISCRETION (SHARES - 000'S) ------------ ---------------------------- (COMMON UNLESS OTHERWISE INDICATED) CUSIP VALUE ($000'S) (000'S) SOLE SHR OTH MGR SOLE SHARED NONE - -------------------------------------- --------- -------------- ------------- ------------ --- ---------------------------- TRANZ RAIL HLDGS SPON ADR 894116102 $ 232.8 38.0 X 1,2 38.0 TRENWICK GROUP INC 895290104 365.6 13.0 X 1,2 13.0 TV AZTECA SA DE CV SPON ADR 901145102 25,272.5 4,043.6 X 1,2 4,043.6 TYSON FOODS CL A 902494103 1,297.1 62.7 X 1,2 62.7 UNIBANCO UNIT GDS (REP 500 UNITS) UNIT=1 90458E107 135,502.4 7,039.1 X 1,2 7,039.1 UBB4 +1 UBH6 UNITED HEALTHCARE CO 910581107 9,083.1 172.6 X 1,2 172.6 UNITED TECHNOLOGIES 913017109 8,207.5 60.6 X 1,2 60.6 USFREIGHTWAYS CORP 916906100 703.5 21.4 X 1,2 21.4 VF CORP 918204108 4,973.2 105.0 X 1,2 105.0 VIACOM INC CL B N/V 925524308 19,255.3 229.4 X 1,2 229.4 WAL MART STORES INC 931142103 33,549.1 363.9 X 1,2 363.9 WASHINGTON MUTL INC 939322103 28,041.2 686.0 X 1,2 686.0 WEATHERFORD INTL INC 947074100 6,311.8 241.6 X 1,2 241.6 WELLS FARGO & CO (NEW) 949746101 3,155.6 90.0 X 1,2 90.0 WERNER ENTERPRISES 950755108 5,933.8 376.8 X 1,2 376.8 WESTERN DIGITAL CORP 958102105 3,219.3 408.8 X 1,2 408.8 WESTERN DIGITAL CV SUB DEB 0.00% 144A 958102AF2 644.4 $2,864.0 X 1,2 $2,864.0 02/18/18 XEROX CORP 984121103 7,627.3 142.9 X 1,2 142.9 XL CAPITAL LTD 983940909 22,398.5 368.7 X 1,2 368.7 YOUNG & RUBICAM INC 987425105 1,259.2 30.9 X 1,2 30.9 YPF SOC ANONIMA ADR D SPON 984245100 157,273.0 4,982.9 X 1,2 4,982.9 -------------- SUB-TOTAL $ 474,306.2 ----------------- GRAND $ 6,956,279.5 ----------------- # PURSUANT TO REG. SEC. 240.24B-2 CERTAIN CONFIDENTIAL MATERIAL HAS BEEN FILED WITH THE SECRETARY OF THE SEC FOR NON-PUBLIC TREATMENT * INVESTMENT DISCRETION IS DISCLAIMED BY THE CAPITAL GROUP COMPANIES, INC AND CAPITAL GROUP INTERNATIONAL, INC FOR ALL PURPOSES OTHER THAN FORM 13F
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