13F-HR 1 a2029676z13f-hr.txt 13F-HR
PORTVUE-SEC13F.LRP PAGE 1 RUN DATE: 11/03/00 08:25 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) (ITEM 7) (ITEM 8) INVESTMENT VOTING AUTHORITY DISCRETION (SHARES) ----------------- ------------------------------ NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER SOLE SHARED NONE ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) MGR (A) (B) (C) ------------------------------- ------- ---------- -------------- ------------ ----- ----- ----- -- --------- --------- --------- ADC TELECOMMUNICATION INC COMMON 000886101 62,143 2,310,950 X C 303,150 0 1,980,400 ABN AMRO HLDG N V SPONSORED AD COMMON 000937102 5 235 X 235 0 0 ACT MFG INC COMMON 000973107 25,726 487,700 X 365,700 0 122,000 AES TRUST VII PREFERD 00103V305 40,933 497,663 X 473,122 0 24,541 AFLAC INC COMMON 001055102 32,744 510,855 X 500,200 0 10,655 AGL RES INC COMMON 001204106 2,526 125,900 X 85,700 0 40,200 AES CORP COM COMMON 00130H105 171,203 2,499,011 X 54 1,223,797 191,388 411,742 AES CORP 4.500% 08/15/05 CONVERT 00130HAN5 111 43,000 X 0 0 43,000 AK STL HLDG CORP COMMON 001547108 202 21,544 X 21,500 0 44 AMR CORP COMMON 001765106 1 45 X 0 0 45 AT&T CORP COMMON 001957109 1,675 57,007 X 36,896 0 20,111 LIBERTY MEDIA GROUP COMMON 001957208 56,139 3,118,795 X 2,703,548 0 68,347 AT&T CORP AT&T WRLSS GRP COMMON 001957406 13 650 X 650 0 0 ALLIED IRISH BANK O COMMON 0019783 38,332 3,514,400 X 3,090,000 0 424,400 ASM LITHOGRAPHY HOLDING CONVERT 00207EAB6 22,174 19,820,000 X 18,730,000 0 1,090,000 AVT CORP COMMON 002420107 211 37,910 X 37,910 0 0 AVX CORP NEW COMMON 002444107 8,165 313,300 X 286,500 0 26,800 AXA FINL INC COMMON 002451102 942 18,500 X 10,600 0 7,900 ABBOTT LABS COMMON 002824100 10,307 216,700 X 199,500 0 17,200 ABERCROMBIE & FITCH CO CL A COMMON 002896207 23,453 1,230,322 X 1,056,158 0 174,164 ABGENIX INC COM COMMON 00339B107 76,537 947,094 X A 849,130 0 97,964 ABOUT COM INC COMMON 003736105 6,491 200,500 X 176,200 0 24,300 ACACIA RESH CORP COM COMMON 003881109 5,870 168,300 X 130,100 0 38,200 ABITIBI-CONSOLIDATED INC COM COMMON 003924107 45,324 4,834,684 X 60 3,662,700 25,922 542,060 ACCOR S A SPONSORED ADR COMMON 00435F101 12,273 660,947 X 26 343,140 10,994 45,925 ACCREDO HEALTH INC COM COMMON 00437V104 14,093 288,350 X 229,250 0 59,100 SAFEWAY PLC COMMON 0049241 21,688 5,111,400 X 3,998,400 0 1,113,000 ACTEL CORP COMMON 004934105 5,585 155,400 X 148,900 0 6,500 ACTIVE POWER INC COMMON 00504W100 6,287 101,400 X 59,100 0 42,300 ACTUATE CORP COMMON 00508B102 6,046 175,000 X 175,000 0 0 ADAC LABS COMMON 005313200 17,763 853,490 X 610,290 0 243,200 BILLITON PLC COMMON 0056650 31,969 8,944,600 X 8,030,100 0 914,500 ADAPTEC INC CONVERT 00651FAC2 7,594 9,000,000 X 9,000,000 0 0 BAA ORD COMMON 0067340 25,793 3,261,000 X 2,918,100 0 342,900 ADELPHIA COMMUNICATIONS CORPCL COMMON 006848105 7 253 X 253 0 0 ADEPT TECHNOLOGY INC COMMON 006854103 10,633 202,300 X 155,200 0 47,100 ADMINISTAFF INC COMMON 007094105 27,782 367,000 X 221,500 0 145,500 ADOBE SYS INC COM COMMON 00724F101 111,213 716,352 X 21 204,608 642 508,906 ADVANCE PARADIGM INC COMMON 007491103 16,791 398,000 X 398,000 0 0 ADVANCED TECHNICAL PRODS COMMON 007548100 2,013 545,800 X 0 0 545,800 ADVANCED FIBRE COMMUNICA COMMON 00754A105 6,545 172,800 X 153,500 0 19,300 ADVO INC COM COMMON 007585102 15,422 467,300 X 434,300 0 33,000 AEROFLEX INC COMMON 007768104 17,368 357,175 X 275,175 0 82,000 BARCLAYS ORD COMMON 0078201 26,422 954,700 X 838,400 0 116,300
PORTVUE-SEC13F.LRP PAGE 2 RUN DATE: 11/03/00 08:25 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) (ITEM 7) (ITEM 8) INVESTMENT VOTING AUTHORITY DISCRETION (SHARES) ----------------- ------------------------------ NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER SOLE SHARED NONE ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) MGR (A) (B) (C) ------------------------------- ------- ---------- -------------- ------------ ----- ----- ----- -- --------- --------- --------- ADVANCED MICRO DEVICES I COMMON 007903107 5,818 246,200 X 221,400 0 24,800 ADVANCED ENERGY INDS COMMON 007973100 2,904 88,000 X 0 0 88,000 ADVENT SOFTWARE INC COMMON COMMON 007974108 754 10,800 X 2,100 0 8,700 AFFILIATED COMPUTER SERV COMMON 008190100 8,414 168,700 X 168,700 0 0 AFFYMETRIX INC OC-CAP STK COMMON 00826T108 3,551 71,203 X 23 65,368 0 5,812 AGENCY COM LTD COMMON 008447104 335 22,400 X 22,400 0 0 AGILENT TECHNOLOGIES INC COM COMMON 00846U101 8 157 X 134 0 23 AGILE SOFTWARE CORP DEL COMMON 00846X105 77,292 859,400 X A 772,500 0 86,900 AIR PRODS & CHEMS INC COMMON 009158106 242 6,725 X 6,725 0 0 AIRGATE PCS INC COMMON 009367103 6,570 146,400 X 104,000 0 42,400 AIRNET COMMUNICATIONS CORP COM COMMON 00941P106 5,969 267,500 X 180,600 0 86,900 AIRSPAN NETWORKS INC COMMON 00950H102 866 75,300 X 75,300 0 0 AKAMAI TECHNOLOGIES INC COM COMMON 00971T101 34 645 X 0 0 645 AKTIEBOLAGET ELECTROLUX COMMON 010198208 2 80 X 80 0 0 ALAMOSA PCS HOLDINGS COMMON 011593100 7,851 485,000 X 385,200 0 99,800 ALBANY MOLECULAR RESH IN COMMON 012423109 4,495 80,000 X 77,000 0 3,000 ALBEMARLE CORP COMMON 012653101 2,519 124,800 X 99,300 0 25,500 AMVESCAP PLC COMMON 0128269 48,316 2,232,300 X 1,886,000 0 346,300 ALBERTA ENERGY LTD COM COMMON 012873105 9,541 229,224 X 99 116,428 4,264 9,353 ALCOA INC COM COMMON 013817101 1,904 75,236 X 48,476 0 26,760 ALCATEL ALSTHOM SPONSORED ADR COMMON 013904305 21,678 344,759 X 12 191,406 5,347 23,640 BRITISH TELECOM ORD COMMON 0140843 528 50,200 X 50,200 0 0 BRITISH SKY BROADCASTING COMMON 0141192 1,317 85,600 X 85,600 0 0 ALEXION PHARMACEUTICALS COMMON 015351109 31,145 273,200 X 168,100 0 105,100 CABLE & WIRELESS COMMON 0162557 29,415 2,061,770 X 1,815,000 0 246,770 CAMBRIDGE ANTIBODY TECH COMMON 0166225 893 15,000 X 15,000 0 0 SEMA GROUP COMMON 0172857 35,525 2,071,480 X 1,809,300 0 262,180 ALLEGHENY ENERGY INC COMMON 017361106 3,685 96,500 X 80,800 0 15,700 ALLEGIANCE TELECOM INC COMMON 01747T102 6,666 178,950 X 172,250 0 6,700 CELLTECH GROUP PLC. COMMON 0182276 14,461 725,100 X 570,000 0 155,100 ALLERGAN INC COM COMMON 018490102 230,298 2,727,645 X C 1,259,766 109,592 1,030,180 ALLIANT CORP COMMON 018802108 455 15,490 X 15,490 0 0 ALLIANT TECHSYSTEMS INC COMMON 018804104 577 7,030 X 7,030 0 0 ALLIED ZURICH PLC ADR SPONS COMMON 01959Q101 7 330 X 330 0 0 ALLMERICA FINL CORP COMMON 019754100 3,817 59,700 X 59,700 0 0 ALLSTATE CORP COMMON 020002101 2,451 70,543 X 45,443 0 25,100 ALPHA INDS INC COMMON 020753109 14,875 436,700 X 353,700 0 83,000 ALPHARMA INC COMMON 020813101 50,349 823,700 X 713,900 0 109,800 ALPHARMA INC 3.000% 06/01/06 CONVERT 020813AD3 29,965 14,626,000 X 13,545,000 0 1,081,000 ALZA CORP DEL COMMON 022615108 190,392 2,201,071 X A 1,162,884 216,279 202,063 ALZA CORP DEL CONVERT 022615AC2 43,964 38,607,000 X 36,049,000 0 2,558,000 ALZA CORP CONVERT 02261WAA7 4,263 6,200,000 X 6,200,000 0 0 AMAZON COM INC COM COMMON 023135106 19 500 X 0 0 500 AMBAC FINL GROUP INC COMMON 023139108 6,820 93,100 X 74,700 0 18,400
PORTVUE-SEC13F.LRP PAGE 3 RUN DATE: 11/03/00 08:25 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) (ITEM 7) (ITEM 8) INVESTMENT VOTING AUTHORITY DISCRETION (SHARES) ----------------- ------------------------------ NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER SOLE SHARED NONE ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) MGR (A) (B) (C) ------------------------------- ------- ---------- -------------- ------------ ----- ----- ----- -- --------- --------- --------- AMEREN CORP COMMON 023608102 5,787 138,200 X 138,200 0 0 AMERICA ONLINE INC DEL COMMON COMMON 02364J104 33,950 631,618 X 72,700 0 558,918 AMERICA ONLINE INC DEL CONVERT 02364JAB0 7,326 890,000 X 890,000 0 0 AMERICA ONLINE 0% 12/06/2019 CONVERT 02364JAC8 48,848 94,393,000 X 88,969,000 0 5,424,000 DIAGEO PLC COMMON 0237400 3,235 362,000 X 362,000 0 0 AMERICAN CLASSIC VOYAGES COMMON 024928103 2,473 169,100 X 169,100 0 0 AMERICAN CAPITAL STRATEG COMMON 024937104 4,415 186,400 X 171,800 0 14,600 AMERICAN EAGLE OUTFITTERS INC. COMMON 02553E106 18,938 601,196 X 485,596 0 115,600 MATALAN PLC COMMON 0259426 14,119 1,736,400 X 1,358,300 0 378,100 AMERICAN FREIGHTWAYS COR COMMON 02629V108 3,489 219,800 X 150,400 0 69,400 BAE SYSTEMS PLC COMMON 0263494 33,850 6,272,938 X 5,554,066 0 718,872 AMERICAN GREETINGS CORP COMMON 026375105 396 22,640 X 22,640 0 0 AMERICAN HOME PRODS CORP COMMON 026609107 64,922 1,150,062 X 59 468,307 1,779 674,043 AMERICAN INTL GROUP INC COMMON 026874107 155,976 1,630,061 X A 1,552,353 0 23,133 AMERICAN MED SYS HLDGS I COMMON 02744M108 1,550 99,200 X 71,400 0 27,800 ALLIED ZURICH PLC COMMON 0287579 420 36,900 X 36,900 0 0 AMERICAN PWR CONVERSION CORP COMMON 029066107 60 3,082 X 3,076 0 6 AMERICAN STD COS INC DEL COMMON 029712106 1,826 41,100 X 41,100 0 0 AMERICAN TOWER CORP CL A COMMON 029912201 13,461 357,179 X 16 330,586 550 24,396 AMERICAN TOWER CVT BD CONVERT 029912AF9 22,713 23,877,000 X 22,224,000 0 1,653,000 AMERICAN SUPERCONDUCTOR COMMON 030111108 14,924 303,600 X 222,900 0 80,700 AMERICREDIT CORP COMMON 03060R101 10,747 373,000 X 336,500 0 36,500 AMERON INTL INC COMMON 030710107 386 10,510 X 10,510 0 0 AMERISOURCE HEALTH CORP COMMON 03071P102 26,654 567,100 X 495,200 0 71,900 AMGEN INC COMMON 031162100 38,967 558,042 X A 490,850 0 12,492 AMKOR TECHNOLOGY INC CONVERT 031652AH3 9,163 11,599,000 X 10,749,000 0 850,000 ENTERPRISE OIL COMMON 0318866 19,231 2,350,100 X 1,838,900 0 511,200 AMPHENOL CORP NEW CL A COMMON 032095101 56,175 986,600 X 772,100 0 214,500 AMYLIN PHARMACEUTICALS I COMMON 032346108 3,957 368,100 X 313,600 0 54,500 AMVESCAP PLC ADR SPONSORED COMMON 03235E100 20,771 187,333 X 69 101,434 2,949 13,111 ANADARKO PETE CORP COMMON 032511107 86,568 1,302,563 X 43 754,471 1,395 542,377 ANADARKO PETE CORP CONVERT 032511AP2 30,168 36,129,000 X 33,625,000 0 2,504,000 ANALOG DEVICES INC COMMON 032654105 90,127 1,091,600 X C 176,500 0 905,900 ANAREN MICROWAVE INC COMMON 032744104 53,667 395,700 X 320,100 0 75,600 ANCHOR GAMING COMMON 033037102 11,974 150,500 X 146,400 0 4,100 ANDRX CORP COM COMMON 034551101 3 29 X 29 0 0 0 ANDRX GROUP COMMON 034553107 152,856 1,637,002 X A 893,479 141,302 195,746 ANGLO AMERICAN COMMON 03485P102 1 23 X 0 0 23 ANHEUSER BUSCH COS INC COMMON 035229103 5,298 125,208 X 125,200 0 8 ANIXTER INTL INC COMMON 035290105 19,595 672,800 X 528,300 0 144,500 ANNTAYLOR STORES CORP. COMMON 036115103 30,937 804,861 X 559,400 0 245,461 ANSOFT CORP COMMON 036384105 1,787 134,900 X 134,900 0 0 ANTEC CORP COMMON 03664P105 3,891 131,900 X 87,300 0 44,600 GLAXO HLDGS COMMON 0371784 1,344 44,400 X 44,400 0 0
PORTVUE-SEC13F.LRP PAGE 4 RUN DATE: 11/03/00 08:25 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) (ITEM 7) (ITEM 8) INVESTMENT VOTING AUTHORITY DISCRETION (SHARES) ----------------- ------------------------------ NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER SOLE SHARED NONE ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) MGR (A) (B) (C) ------------------------------- ------- ---------- -------------- ------------ ----- ----- ----- -- --------- --------- --------- APACHE CORP COMMON 037411105 2,080 35,175 X 35,140 0 35 APOLLO GROUP INC COMMON 037604105 2,727 68,377 X 65,100 0 3,277 APPLE COMPUTER INC COMMON 037833100 4,366 169,550 X 130,750 0 38,800 APPLICA INC COMMON 03815A106 176 28,510 X 28,510 0 0 APPLIED FILMS CORP COMMON 038197109 7,571 279,100 X 194,500 0 84,600 APPLIED INDL TECHNOLOGIE COMMON 03820C105 1,574 90,900 X 88,600 0 2,300 APPLIED MATLS INC COMMON 038222105 55,111 929,162 X 19 325,100 590 601,488 APPLIED MICRO CIRCUITS CORP CD COMMON 03822W109 360,635 1,741,678 X A 1,081,499 99,780 273,807 APPLIED SCIENCE & TECHNO COMMON 038236105 738 50,000 X 35,200 0 14,800 APPLIED MOLECULAR EVOLUT COMMON 03823E108 5,601 139,600 X 110,800 0 28,800 CMG PLC GBP COMMON 0384737 53,020 2,739,700 X 2,434,100 0 305,600 ARACRUZ CELULOSE S A ADR SP RE COMMON 038496204 8,050 486,037 X 486,000 0 37 ARADIGM CORP COMMON 038505103 7,813 340,600 X 278,500 0 62,100 AREMISSOFT CORP DEL COMMON 040026106 4,901 130,700 X 125,700 0 5,000 ARENA PHARMACEUTICALS IN COMMON 040047102 3,887 90,400 X 90,400 0 0 ARGOSY GAMING CO COMMON 040228108 2,744 151,400 X 116,800 0 34,600 ARIAD PHARMACEUTICALS IN COMMON 04033A100 2,089 166,300 X 160,200 0 6,100 ARIBA INC COM COMMON 04033V104 392,442 2,739,252 X A 1,430,867 160,972 639,672 ARKANSAS BEST CORP DEL COMMON 040790107 6,234 405,440 X 291,940 0 113,500 ARM HLDGS PLC ADR SPONSORED COMMON 042068106 2 70 X 0 0 70 ARQULE INC COMMON 04269E107 7,852 460,200 X 395,000 0 65,200 ARROW ELECTRS INC COMMON 042735100 1,656 48,600 X 25,100 0 23,500 ART TECHNOLOGY GROUP INC OC-CO COMMON 04289L107 186,238 1,965,577 X A 750,993 158,294 597,952 ARTESYN TECHNOLOGIES INC COMMON 043127109 11,939 409,920 X 358,220 0 51,700 ASAHI GLASS ADR COMMON 043393206 10 100 X 100 0 0 BALTIMORE TECHNOLOGIES COMMON 0436122 19,174 1,879,600 X 1,577,900 0 301,700 ASPECT COMMUNICATIONS INC COM COMMON 04523Q102 67 3,255 X 2,299 0 956 ASPEN TECHNOLOGY INC COMMON 045327103 42,043 931,700 X 746,300 0 185,400 ASSOCIATED BANC CORP COMMON 045487105 417 15,900 X 15,900 0 0 AT HOME CORP COM SER A COMMON 045919107 0 23 X 0 0 23 ASTORIA FINL CORP COMMON 046265104 669 17,310 X 17,310 0 0 ASTRA ZENECA PLC ADR COMMON 046353108 198 3,751 X 32 0 3,709 10 AT RD INC COMMON 04648K105 719 100,000 X 71,300 0 28,700 ASYST TECHNOLOGY CORP COMMON 04648X107 6,208 306,550 X 188,000 0 118,550 SPIRENT PLC COMMON 0472609 41,366 4,176,100 X 3,403,200 0 772,900 ATLANTIC COAST AIRLINES COMMON 048396105 7,210 224,000 X 151,300 0 72,700 ATLAS AIR INC COMMON 049164106 10,909 258,200 X 258,200 0 0 ATMEL CORP COMMON 049513104 18,785 1,236,870 X 27,870 0 1,209,000 ATWOOD OCEANICS INC COMMON 050095108 6,032 144,700 X 144,700 0 0 PARTHUS TECHNOLOGIES COMMON 0504427 9,001 2,293,100 X 1,822,100 0 471,000 COOKSON GROUP COMMON 0508407 6,624 2,364,500 X 1,858,700 0 505,800 AURORA BIOSCIENCES CORP COMMON 051920106 18,396 270,530 X 223,230 0 47,300 LOGICA PLC COMMON 0522708 96,056 2,920,090 X 2,604,400 0 315,690 AUTOMATIC DATA PROCESSIN CONVERT 053015AC7 30,300 17,179,000 X 15,776,000 0 1,403,000
PORTVUE-SEC13F.LRP PAGE 5 RUN DATE: 11/03/00 08:25 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) (ITEM 7) (ITEM 8) INVESTMENT VOTING AUTHORITY DISCRETION (SHARES) ----------------- ------------------------------ NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER SOLE SHARED NONE ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) MGR (A) (B) (C) ------------------------------- ------- ---------- -------------- ------------ ----- ----- ----- -- --------- --------- --------- AVANEX CORP COMMON 05348W109 70,804 657,500 X A 607,500 0 50,000 AVAX TECHNOLOGIES INC COMMON 053495305 1,080 138,200 X 131,600 0 6,600 AVANTGO INC COMMON 05349M100 1,200 60,000 X 60,000 0 0 AVENTIS ADR SPONSORED COMMON 053561106 15,418 204,729 X 76 110,299 3,437 14,405 AVERY DENNISON CORP COMMON 053611109 37,838 815,909 X A 485,709 0 321,800 AVICI SYS INC COMMON 05367L109 35,044 368,400 X 324,200 0 44,200 AVID TECHNOLOGY INC COMMON 05367P100 1,541 110,100 X 54,700 0 55,400 AVIRON COMMON 053762100 15,744 270,000 X 243,900 0 26,100 AVOCENT CORP COM COMMON 053893103 12,001 217,700 X 179,575 0 38,125 HSBC HOLDINGS PLC COMMON 0540528 718 50,500 X 16,900 0 33,600 AVON PRODUCTS INC COMMON 054303102 29,839 730,025 X 41 88,964 145,977 76,494 AXA SA SPONSORED ADR COMMON 054536107 151 2,326 X 81 2,223 22 AWARE INC MASS COMMON 05453N100 12,763 331,500 X 246,100 0 85,400 AXENT TECHNOLOGIES INC COMMON 05459C108 4,571 212,000 X 184,800 0 27,200 AXYS PHARMACEUTICALS INC COM COMMON 054635107 443 65,000 X 13,800 0 51,200 AZTAR CORP COMMON 054802103 6,264 407,400 X 370,200 0 37,200 BAA PLC ADR SPONSORED COMMON 05518L206 12,230 1,546,920 X 57 833,124 24,479 114,058 BAE SYS PLC SPONSORED ADR COMMON 05523R107 17,459 809,166 X 30 438,901 9,590 59,048 BEI TECHNOLOGIES INC COMMON 05538P104 17,076 409,000 X 317,800 0 91,200 BG PLC ADR FNL INSTLLM COMMON 055434203 16,208 504,513 X 18 277,419 7,709 35,570 BJ SVCS CO COMMON COMMON 055482103 90,511 1,480,769 X A 1,182,469 0 298,300 BJS WHOLESALE CLUB INC COMMON 05548J106 16,592 486,200 X 481,200 0 5,000 BP AMOCO ADS COMMON 055622104 880 16,624 X 16,598 0 26 BMC SOFTWARE INC COMMON 055921100 31 1,626 X 283 0 1,343 BAKER HUGHES INC COMMON 057224107 118,012 3,178,820 X 10 1,494,259 359,517 295,398 CENTRICA PLC COMMON 0573438 53,761 16,738,330 X 14,694,400 0 2,043,930 BALLARD PWR SYS INC COM COMMON 05858H104 36,970 338,343 X 36 258,257 1,538 42,273 BALTIMORE TECHNOLOGIES PLC ADR COMMON 059284109 6,271 317,498 X 11 175,618 5,205 16,857 BANCO BRADESCO S A ADR SPONS P COMMON 059460105 31,737 3,836,220 X 54 2,811,228 22,756 457,466 BSCH BANCO SANTANDER COMMON 05964H105 11,094 1,014,222 X 43 500,958 18,226 58,923 BANK NEW YORK INC COMMON 064057102 1 25 X 25 0 0 BANK ONE CORP COMMON 06423A103 1,097 28,400 X 28,400 0 0 BANK TOKYO-MITSUBISHI LTD SPON COMMON 065379109 4 287 X 102 0 185 BANKNORTH GROUP INC NEW COMMON 06646R107 610 34,110 X 34,110 0 0 ROYAL BANK OF SCOTLAND COMMON 0676401 168 139,300 X 124,700 0 14,600 BARNES & NOBLE INC COMMON 067774109 207 10,500 X 10,500 0 0 BARR LABS INC COMMON 068306109 18,667 281,500 X 215,200 0 66,300 BARRA INC COMMON 068313105 7,323 118,000 X 102,700 0 15,300 BARRETT RES CORP COMMON 068480201 414 11,000 X 1,900 0 9,100 BASIN EXPL INC COMMON 070107107 6,800 348,700 X 261,700 0 87,000 PSION ORD COMMON 0709545 11,898 1,087,500 X 848,900 0 238,600 BAXTER INTL INC COMMON 071813109 16,777 210,200 X 202,800 0 7,400 RIO TINTO PLC COMMON 0718875 33,107 2,282,700 X 2,004,500 0 278,200 VODAFONE AIRTOUCH PLC COMMON 0719210 47,342 12,681,907 X 11,454,607 0 1,227,300
PORTVUE-SEC13F.LRP PAGE 6 RUN DATE: 11/03/00 08:25 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) (ITEM 7) (ITEM 8) INVESTMENT VOTING AUTHORITY DISCRETION (SHARES) ----------------- ------------------------------ NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER SOLE SHARED NONE ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) MGR (A) (B) (C) ------------------------------- ------- ---------- -------------- ------------ ----- ----- ----- -- --------- --------- --------- FUTURE NETWORK PLC COMMON 0723998 6,390 738,800 X 589,300 0 149,500 BAYCORP HLDGS CORP COMMON 072728108 2,062 239,100 X 161,400 0 77,700 BEA SYS INC COM COMMON 073325102 235,203 3,020,272 X C 995,480 236,996 1,097,587 BEA SYSTEMS INC CONVERT 073325AC6 32,011 13,338,000 X 12,423,000 0 915,000 BEA SYSTEMS INC 4.000% 02/15/0 CONVERT 073325AD4 9,667 4,028,000 X 3,635,000 0 393,000 BEAR STEARNS COS INC COMMON 073902108 49 782 X 0 0 782 ROYAL BK SCOT GRP COMMON 0754783 65,965 3,124,570 X 2,754,300 0 370,270 BEAZER HOMES USA INC COMMON 07556Q105 524 19,240 X 19,240 0 0 BED BATH & BEYOND INC COM COMMON 075896100 49,089 2,012,640 X 11 229,110 407,240 215,201 BELDEN INC COMMON 077459105 2,202 93,200 X 90,000 0 3,200 BELL MICROPRODUCTS INC COMMON 078137106 6,767 216,550 X 187,750 0 28,800 BP AMOCO PLC COMMON 0798059 2,117 237,900 X 237,900 0 0 BELLSOUTH CORP COMMON 079860102 70,373 1,748,367 X A 1,416,267 0 319,100 SHELL TRNSPT&TRDG COMMON 0803414 51,790 6,357,703 X 5,693,848 0 663,855 INVENSYS COMMON 0807041 32 14,500 X 0 0 14,500 BENCHMARK ELECTRS INC COMMON 08160H101 7,904 152,000 X 91,800 0 60,200 DIMENSION DATA HLDGS COMMON 0843540 4,071 439,200 X 439,200 0 0 BEST BUY INC COMMON 086516101 79,653 1,251,913 X A 906,529 0 342,084 BG GROUP PLC COMMON 0876289 66,492 10,465,460 X 9,277,600 0 1,187,860 ENERGIS PLC COMMON 0889782 27,924 3,951,460 X 3,512,900 0 438,560 BILLITON PLC ADR COMMON 090171109 10,283 2,878,134 X 10 1,569,742 5,093 214,267 BINDLEY WESTN INDS INC COM COMMON 090324104 797 24,900 X 6,300 0 18,600 BINDVIEW DEV CORP COMMON 090327107 5,126 677,800 X 643,700 0 34,100 BIOCRYST PHARMACEUTICALS INCCO COMMON 09058V103 3,459 166,200 X 117,000 0 49,200 BIOGEN N V COMMON 090597105 35,073 574,973 X 33 63,292 117,526 58,340 BIOSOURCE INTL INC COMMON 09066H104 3,100 100,000 X 71,300 0 28,700 BIOVAIL CORP COMMON 09067J109 106,687 1,310,041 X 13 1,036,590 6,005 130,476 BIOVAIL CORP PREFERD 09067J208 24,319 324,250 X 294,939 0 29,311 BIOVAIL CORP INTL NEW COMMON COMMON 09067K106 9 170 X 128 0 42 BIOSITE DIAGNOSTICS INC COMMON 090945106 6,232 156,300 X 149,800 0 6,500 BATM ADVANCED COMM COMMON 0911146 20,050 2,127,380 X 1,527,380 0 600,000 BLACK BOX CORP DEL COMMON 091826107 9,372 201,000 X 178,400 0 22,600 PHARMAGENE PLC COMMON 0923163 4,217 851,400 X 735,400 0 116,000 EIDOS PLC COMMON 0934897 13,922 2,777,900 X 2,169,000 0 608,900 BLUE WAVE SYS INC COMMON 096081104 2,072 411,800 X 288,300 0 123,500 IQE INTL QUANTUM EPITAXY COMMON 0961992 4,989 622,000 X 536,000 0 86,000 BOEING CO COMMON 097023105 62,761 996,215 X 530,200 0 466,015 BOISE CASCADE CORP COMMON 097383103 10 381 X 381 0 0 BOMBARDIER INC COMMON 097751200 38,012 2,199,730 X 1,947,400 0 252,330 BOOKHAM TECHNOLOGY PLC ADR SPO COMMON 09856Q108 36,974 862,342 X 44 182,386 154,592 79,649 ASTRAZENECA GROUP PLC COMMON 0989529 1,222 23,320 X 16,600 0 6,720 BORON LEPORE & ASSOCS IN COMMON 10001P102 335 32,710 X 32,710 0 0 BOSTON COMMUNICATIONS GR COMMON 100582105 6,065 315,090 X 303,290 0 11,800 BOSTON PRIVATE FINL HLDG COMMON 101119105 1,480 89,700 X 89,700 0 0
PORTVUE-SEC13F.LRP PAGE 7 RUN DATE: 11/03/00 08:25 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) (ITEM 7) (ITEM 8) INVESTMENT VOTING AUTHORITY DISCRETION (SHARES) ----------------- ------------------------------ NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER SOLE SHARED NONE ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) MGR (A) (B) (C) ------------------------------- ------- ---------- -------------- ------------ ----- ----- ----- -- --------- --------- --------- BRAUN CONSULTING INC COMMON 105651103 268 13,550 X 13,550 0 0 BRIGHT HORIZON FAMILY SO COMMON 109195107 414 16,200 X 16,200 0 0 BRINKER INTL INC COMMON 109641100 10,107 335,500 X 327,700 0 7,800 BRISTOL MYERS SQUIBB CO COMMON 110122108 7,078 123,901 X 123,901 0 0 BRITISH AWYS PLC ADR 2ND INST COMMON 110419306 22 514 X 64 284 0 166 BRITISH TELECOMM P L C ADR FIN COMMON 111021408 11 96 X 70 0 26 BROADBASE SOFTWARE COMMON 11130R100 3,290 242,600 X 215,700 0 26,900 BROADCOM CORP COM COMMON 111320107 10,654 43,705 X 42,745 0 960 BROADVISION INC COM COMMON 111412102 83,445 3,248,523 X 37 1,939,708 131,962 799,058 BROCADE COMMUNICATIONS SYS ICO COMMON 111621108 321,991 1,364,363 X A 788,470 113,621 136,540 BROOKS AUTOMATION INC COMMON 11434A100 5,239 158,147 X 108,747 0 49,400 BROOKTROUT INC COMMON 114580103 10,504 318,900 X 283,800 0 35,100 BRUKER DALTONICS INC COMMON 116795105 6,190 139,500 X 105,600 0 33,900 BRUSH ENGINEERED MATLS I COMMON 117421107 2,163 100,000 X 70,600 0 29,400 BUCKEYE TECHNOLOGIES INC COMMON 118255108 2,785 134,200 X 0 0 134,200 BURLINGTON NORTHN SANTA FE COM COMMON 12189T104 1 50 X 0 0 50 BURLINGTON RES INC COMMON 122014103 817 22,200 X 22,200 0 0 BUSINESS OBJECTS ADR COMMON 12328X107 55,242 488,600 X 397,300 0 91,300 C&D TECHNOLOGIES INC COMMON 124661109 22,558 397,500 X 348,800 0 48,700 C BRIDGE INTERNET SOL IN COMMON 12500B105 894 47,700 X 33,300 0 14,400 C COR NET CORP COMMON 125010108 4,039 263,800 X 230,000 0 33,800 C-CUBE MICROSYSTEMS INC COMMON 12501N108 7,964 388,500 X 330,300 0 58,200 CDW COMPUTER CTRS INC COMMON 125129106 19,306 279,800 X 209,400 0 70,400 C H ROBINSON WORLDWIDE I COMMON 12541W100 231 4,100 X 4,100 0 0 CIGNA CORP COMMON 125509109 1,295 12,400 X 12,400 0 0 CMGI INC COM COMMON 125750109 715 25,576 X 24,140 0 1,436 CMS ENERGY CORP COMMON 125896100 0 14 X 0 0 14 C-MAC INDS INC COM COMMON 125920108 22,272 387,341 X 67 271,756 2,757 45,211 CNET INC COMMON 12613R104 2,477 101,700 X 101,700 0 0 CSG SYS INTL INC COM COMMON 126349109 12,076 416,400 X 265,300 0 151,100 CTS CORP COMMON 126501105 19,389 383,000 X 273,700 0 109,300 CVS CORP COM COMMON 126650100 7 143 X 93 0 50 CV THERAPEUTICS INC COMMON 126667104 5,204 66,900 X 54,700 0 12,200 CABLE&WIRELESS SP/ADR COMMON 126830207 2 50 X 17 11 0 22 CABLEVISION SYS CORP CL A COMMON 12686C109 2,219 33,450 X 22,250 0 11,200 CABLE DESIGN TECHNOLOGIE COMMON 126924109 15,210 625,600 X 426,900 0 198,700 CACHEFLOW INC COM COMMON 126946102 107,962 754,972 X A 624,181 0 130,791 CADBURY SCHWEPPES P L C ADR 10 COMMON 127209302 6 255 X 255 0 0 CAL DIVE INTL INC COMMON 127914109 17,425 304,700 X 252,900 0 51,800 CALIFORNIA PIZZA KITCHEN COMMON 13054D109 4,768 170,300 X 122,100 0 48,200 CALIPER TECHNOLOGIES COR COMMON 130876105 5,834 100,700 X 100,700 0 0 CALLAWAY GOLF CO COMMON 131193104 409 26,600 X 5,600 0 21,000 CALPINE CAP TRUST 5.75% 11/01/ CONVERT 131346207 127 690 X 0 0 690 CALPINE CORP COM COMMON 131347106 383,320 3,672,360 X C 1,597,086 204,816 1,279,719
PORTVUE-SEC13F.LRP PAGE 8 RUN DATE: 11/03/00 08:25 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) (ITEM 7) (ITEM 8) INVESTMENT VOTING AUTHORITY DISCRETION (SHARES) ----------------- ------------------------------ NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER SOLE SHARED NONE ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) MGR (A) (B) (C) ------------------------------- ------- ---------- -------------- ------------ ----- ----- ----- -- --------- --------- --------- CALPINE CAP TRUST II PREFERD 13134E309 51,143 485,342 X 457,049 0 28,293 CANADIAN PAC LTD NEW COM COMMON 135923100 4 135 X 0 0 135 CANON INC ADR COMMON 138006309 190 4,313 X 850 3,265 198 CAPITAL ONE FINL CORP COMMON 14040H105 67,638 965,389 X 55 112,945 193,673 102,532 CAREER EDUCATION CORP COMMON 141665109 3,502 78,700 X 50,300 0 28,400 CAREMARK RX INC COMMON 141705103 4,463 396,700 X 377,800 0 18,900 CARRAMERICA RLTY CORP COMMON 144418100 428 14,160 X 14,160 0 0 CARREKER CORP COMMON 144433109 7,190 368,700 X 297,700 0 71,000 CATHAY PAC AWYS LTD ADR SPONSO COMMON 148906308 2 169 X 0 0 169 CATERPILLAR INC COMMON 149123101 337 10,879 X 10,800 0 79 CATO CORP NEW COMMON 149205106 447 35,770 X 35,770 0 0 CELERITEK INC COMMON 150926103 22,741 603,400 X 594,700 0 8,700 CELL THERAPEUTICS INC COMMON 150934107 35,491 532,200 X 455,800 0 76,400 CELESTICA INC SUB VTG SHS COMMON 15101Q108 27,074 390,949 X 14 211,297 6,189 27,541 CELESTICA INC CONVERT 15101QAA6 19,823 39,645,000 X 36,185,000 0 3,460,000 CELGENE CORP COM COMMON 151020104 18,528 311,400 X 255,800 0 55,600 CELLTECH GROUP PLC ADR SPONSOR COMMON 151158102 14,232 363,745 X 15 183,654 6,601 15,243 CEMEX S A COMMON 151290889 1,938 96,598 X 96,598 0 0 CENDANT CORP COMMON 151313103 1,396 128,400 X 83,900 0 44,500 CENTERPOINT PPTYS TR COMMON 151895109 362 7,850 X 7,850 0 0 CENTEX CORPORATION COMMON 152312104 46 1,434 X 1,434 0 0 CENTRAL GARDEN & PET CO COMMON 153527106 344 49,520 X 49,520 0 0 CENTURYTEL INC COMMON 156700106 1,060 38,900 X 38,900 0 0 CEPHALON INC COMMON 156708109 679 14,000 X 3,400 0 10,600 CERNER CORP COMMON 156782104 15,817 340,600 X 195,400 0 145,200 CERPROBE CORP COMMON 156787103 1,192 80,800 X 80,800 0 0 CERUS CORP COMMON 157085101 3,929 70,800 X 68,200 0 2,600 CESKE RADIOKOMUNICACE A COMMON 157139106 7,399 196,780 X 196,780 0 0 CESKE RADIOKOMNIKCE REG COMMON 157139205 4,244 112,860 X 112,860 0 0 CHAMPIONSHIP AUTO RACING TEACO COMMON 158711101 527 21,600 X 5,200 0 16,400 CHARLES RIV LABS INTL IN COMMON 159864107 15,487 455,500 X 337,700 0 117,800 CHARTERED SEMICONDUCTOR MFG AD COMMON 16133R106 7,564 124,625 X 124,417 0 208 THE CHASE MANHATTEN CORPORATIO COMMON 16161A108 37 803 X 344 0 459 CHASE RESOURCE CORP NEW COM COMMON 161908108 0 2,000 X 2,000 0 0 CHECKPOINT SYS INC COMMON 162825103 1 115 X 49 0 66 CHEESECAKE FACTORY INC COM COMMON 163072101 10,868 251,275 X 205,025 0 46,250 CHEUNG KONG HLDGS LTD ADR COMMON 166744201 23,268 1,924,659 X 72 1,035,394 29,996 136,860 CHEVRON CORPORATION COMMON 166751107 4,621 54,200 X 51,600 0 2,600 CHICOS FAS INC COMMON 168615102 18,394 541,000 X 521,400 0 19,600 CHIEFTAIN INTL INC COMMON 16867C101 999 48,300 X 24,700 0 23,600 CHILDRENS PL RETAIL STOR COMMON 168905107 5,910 229,500 X 181,200 0 48,300 CHINA UNICOM LTD COMMON 16945R104 11,260 516,200 X 516,200 0 0 CHIRON CORP COMMON 170040109 6,417 142,600 X 64,900 0 77,700 CHRISTOPHER & BANKS CORP COMMON 171046105 11,797 303,450 X 270,050 0 33,400
PORTVUE-SEC13F.LRP PAGE 9 RUN DATE: 11/03/00 08:25 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) (ITEM 7) (ITEM 8) INVESTMENT VOTING AUTHORITY DISCRETION (SHARES) ----------------- ------------------------------ NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER SOLE SHARED NONE ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) MGR (A) (B) (C) ------------------------------- ------- ---------- -------------- ------------ ----- ----- ----- -- --------- --------- --------- CHROMAVISION MED SYS INC COM COMMON 17111P104 311 32,700 X 9,900 0 22,800 CHURCH & DWIGHT INC COMMON 171340102 414 22,520 X 22,520 0 0 CIENA CORP COM COMMON 171779101 493,894 4,021,528 X A 2,611,836 205,630 534,339 CINCINNATI FINL CORP COM COMMON 172062101 678 19,097 X 19,097 0 0 CIPHERGEN BIOSYSTEMS INC COMMON 17252Y104 1,680 52,500 X 42,700 0 9,800 CIRCUIT CITY STORES INC COMMON 172737108 3 139 X 84 0 55 CIRRUS LOGIC INC COMMON 172755100 62,737 1,556,264 X 73 402,049 258,245 157,291 CIRRUS LOGIC CORP CONVERT 172755AC4 26,702 15,150,000 X 13,840,000 0 1,310,000 CISCO SYS INC COMMON 17275R102 415,612 7,522,430 X C 3,929,743 2,813 3,362,396 CINTAS CORP COMMON 172908105 1,124 25,800 X 25,800 0 0 CITIGROUP INC. COMMON 172967101 352,937 6,528,305 X C 3,995,038 1,431 2,317,747 CITRIX SYS INC COM COMMON 177376100 219 10,892 X 5,454 0 5,438 CITY NATL CORP COMMON 178566105 10,437 270,200 X 255,200 0 15,000 CLARENT CORP DEL COM COMMON 180461105 2,085 52,961 X 46,334 0 6,627 CLARUS CORP COMMON 182707109 11,614 509,100 X 418,400 0 90,700 CLEAR CHANNEL COMMUNICATIONSCO COMMON 184502102 43 772 X 741 0 31 CLEAR CHANNEL COMMUNICAT CONVERT 184502AB8 10,187 9,282,000 X 8,838,000 0 444,000 CLEAR CHANNEL CONVERT 184502AE2 31,002 33,113,000 X 32,079,000 0 1,034,000 CLICK COMMERCE INC COMMON 18681D109 6,934 162,200 X 116,700 0 45,500 CLICKACTION INC COMMON 18681E107 1,478 162,000 X 125,300 0 36,700 CLICK2LEARN COM INC COMMON 18681S106 6,745 459,200 X 332,200 0 127,000 CLOROX CO DEL COMMON 189054109 1,899 48,000 X 31,700 0 16,300 CLP HLDGS LTD ADR SPONSORED COMMON 18946Q101 2 335 X 335 0 0 COASTAL CORP COMMON 190441105 14 188 X 188 0 0 COASTAL CORP .25% PFD PREFERD 190441857 1,160 32,229 X 32,229 0 0 COASTAL CORP CV PFD 6.625% INC PREFERD 190441865 28,008 672,868 X 624,286 0 48,582 COCA-COLA FEMSA S A DE C COMMON 191241108 22,198 1,109,900 X 1,109,900 0 0 COFLEXIP SPONSORED ADR COMMON 192384105 1 21 X 21 0 0 COGNEX CORP COMMON 192422103 6,870 174,200 X 173,100 0 1,100 COGNIZANT TECHNOLOGY SOL COMMON 192446102 4,077 104,550 X 82,600 0 21,950 COGNOS INC COMMON COMMON 19244C109 52,008 1,276,294 X 12 861,854 5,286 285,074 COHERENT INC COMMON 192479103 1,693 24,900 X 23,700 0 1,200 COLDWATER CREEK INC COMMON 193068103 5,878 217,700 X 156,400 0 61,300 COLE KENNETH PRODTNS INC CL A COMMON 193294105 15,022 425,400 X 302,500 0 122,900 COLGATE PALMOLIVE CO COMMON 194162103 30,577 647,810 X 172,640 0 475,170 COLONIAL BANCGROUP INC COMMON 195493309 299 28,840 X 28,840 0 0 COLONIAL PPTYS TR COMMON 195872106 314 12,230 X 12,230 0 0 COLT TELECOM GROUP PLC SPONSOR COMMON 196877104 2 16 X 2 0 14 COLUMBIA SPORTSWEAR CO COMMON 198516106 10,744 234,200 X 180,400 0 53,800 ATS AUTOMATION TOOLING COMMON 2002587 7,837 382,200 X 316,200 0 66,000 COMCAST CORPORATION CLASS A COMMON 200300101 41 1,000 X 0 0 1,000 COMCAST CORP CL A SPL COMMON 200300200 59 1,461 X 117 0 1,344 COMDISCO INC COMMON 200336105 14,730 772,700 X 715,800 0 56,900 COMERICA INC COMMON 200340107 23,106 395,400 X 381,100 0 14,300
PORTVUE-SEC13F.LRP PAGE 10 RUN DATE: 11/03/00 08:25 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) (ITEM 7) (ITEM 8) INVESTMENT VOTING AUTHORITY DISCRETION (SHARES) ----------------- ------------------------------ NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER SOLE SHARED NONE ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) MGR (A) (B) (C) ------------------------------- ------- ---------- -------------- ------------ ----- ----- ----- -- --------- --------- --------- COMMERCE BANCSHARES INC COMMON 200525103 2,687 73,000 X 73,000 0 0 COMMERCE ONE INC DEL COM COMMON 200693109 2,416 30,778 X 30,752 0 26 AIMGLOBAL TECHNOLOGIES COMMON 2011077 1,917 257,500 X 257,500 0 0 ALBERTA ENERGY CO LTD COMMON 2012456 34,633 834,400 X 716,000 0 118,400 ANDERSON EXPLORATION LTD COMMON 2032421 64,498 2,949,660 X 2,366,600 0 583,060 COMMSCOPE INC COM COMMON 203372107 10,712 437,219 X 430,101 0 7,118 COMMUNITY BK SYS INC COMMON 203607106 436 16,810 X 16,810 0 0 COMPANHIA BRASILEIRA DE COMMON 20440T201 20,951 563,400 X 563,400 0 0 COMPANHIA VALE DO RIO DO COMMON 204412100 1,663 66,700 X 66,700 0 0 COMPAQ COMPUTER CORP COMMON 204493100 1 25 X 0 0 25 COMPUTER ASSOC INTL INC COMMON 204912109 2 75 X 0 0 75 COMPUTER NETWORK TECH CORP COM COMMON 204925101 402 11,700 X 2,500 0 9,200 COMPUTER LEARNING CTRS INC COM COMMON 205199102 0 224 X 224 0 0 COMPUTER SCIENCES CORP COMMON 205363104 14 183 X 183 0 0 COMPUWARE CORP COMMON 205638109 42 5,020 X 1,750 0 3,270 COMSTOCK RES INC COMMON 205768203 6,390 561,800 X 403,600 0 158,200 COMVERSE TECHNOLOGY INC COMMON 205862402 215,788 1,998,040 X A 1,254,223 138,915 203,976 COMVERSE TECHNOLOGY INC 4.500% CONVERT 205862AG0 41,902 8,214,000 X 7,578,000 0 636,000 CONCORD CAMERA CORP COMMON 206156101 34,822 1,358,900 X 1,164,300 0 194,600 CONCORD EFS INC COMMON 206197105 781 22,003 X 14,091 0 7,912 CONCURRENT COMPUTER CORP COMMON 206710204 8,518 448,300 X 370,200 0 78,100 TALISMAN ENERGY INC(CAD) COMMON 2068299 403 11,500 X 11,500 0 0 CONEXANT SYSTEMS INC COMMON 207142100 67,594 1,614,169 X A 1,482,959 0 131,210 BANCO BRADESCO S.A. PREF COMMON 2074520 22,687 2,742,900 X 2,684,930 057,970,000 CONNETICS CORP COMMON 208192104 8,451 350,300 X 288,100 0 62,200 CONOCO INC CL A COMMON 208251306 5 184 X 0 0 184 CONOCO INC CL B COMMON 208251405 2,957 109,784 X 71,384 0 38,400 CONSOL ENERGY INC COMMON 20854P109 4,745 295,400 X 285,000 0 10,400 TV AZTECA SA DE CV COMMON 2096911 3,407 4,267,000 X 4,267,000 0 0 CONSTELLATION BRANDS INC COMMON 21036P108 13,154 242,200 X 219,700 0 22,500 CONSTELLATION ENERGY COR COMMON 210371100 4,592 92,300 X 92,300 0 0 CONVERGYS CORP COM COMMON 212485106 4,246 109,219 X 86,637 0 22,582 WALMART DE MEXICO V COMMON 2135212 8,686 4,185,000 X 4,185,000 0 0 DESCARTES SYS GROUP INC COMMON 2141941 8,361 168,300 X 131,500 0 36,800 C MAC INDUSTRIES INC COMMON 2158877 18,365 321,300 X 279,900 0 41,400 COOKSON GROUP PLC - SPON ADR COMMON 216379107 10,229 730,492 X 30 368,869 12,419 44,444 COOPER CAMERON CORP COM COMMON 216640102 1,521 20,650 X 20,650 0 0 COOPER COS INC COMMON 216648402 4,524 127,900 X 0 0 127,900 COORS ADOLPH COMPANY COMMON 217016104 3,381 53,497 X 37,951 0 15,546 COPPER MTN NETWORKS INC COM COMMON 217510106 4,267 113,790 X 48,990 0 64,800 COR THERAPEUTICS INC COMMON 217753102 95,880 1,538,700 X A 1,418,300 0 120,400 CARSO TELECOM COMMON 2178336 698 288,000 X 288,000 0 0 CERTICOM CORP COMMON 2188476 29,776 751,700 X 616,200 0 135,500 CORNING INC COM COMMON 219350105 276,507 1,041,821 X C 473,260 315 542,972
PORTVUE-SEC13F.LRP PAGE 11 RUN DATE: 11/03/00 08:25 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) (ITEM 7) (ITEM 8) INVESTMENT VOTING AUTHORITY DISCRETION (SHARES) ----------------- ------------------------------ NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER SOLE SHARED NONE ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) MGR (A) (B) (C) ------------------------------- ------- ---------- -------------- ------------ ----- ----- ----- -- --------- --------- --------- CORPORATE EXECUTIVE BRD COMMON 21988R102 11,101 275,800 X 207,600 0 68,200 CORSAIR COMMUNICATIONS I COMMON 220406102 5,476 700,900 X 493,300 0 207,600 CORUS GROUP COMMON 22087M101 2 251 X 91 0 160 CORVIS CORP COM COMMON 221009103 95,550 1,565,248 X 17 1,254,603 488 237,018 COSINE COMMUNICATIONS IN COMMON 221222102 24,092 433,600 X 378,850 0 54,750 COSTCO WHOLESALE CORP COMMON 22160K105 38 1,092 X 761 0 331 COUNTRYWIDE CREDIT INDS COMMON 222372104 1,885 49,930 X 49,900 0 30 CORP INTER AM ENTERTAIN COMMON 2224347 60,058 12,397,584 X 11,804,038 0 593,546 COVAD COMMUNICATIONS GROUP ICO COMMON 222814204 65 4,856 X 4,080 0 776 COVENTRY HEALTH CARE INC COMMON 222862104 6,200 409,900 X 200,650 0 209,250 COX COMMUNICATIONS INC NEW CL COMMON 224044107 4 115 X 115 0 0 FOMENTO ECON MEXIC UNITS COMMON 2242059 723 186,000 X 186,000 0 0 CREDENCE SYS CORP COM COMMON 225302108 8,937 297,900 X 275,000 0 22,900 CREO PRODS INC COMMON 225606102 1,846 54,300 X 38,900 0 15,400 CIA VALE DO RIO DOCE COMMON 2257127 19,105 761,300 X 761,300 0 0 CELESTICA INC COMMON 2263362 64,418 935,100 X 823,200 0 111,900 CRITICAL PATH INC COMMON 22674V100 18,547 305,300 X 299,300 0 6,000 CROSS TIMBERS OIL CO COMMON 227573102 3,552 185,100 X 176,400 0 8,700 CROWN CASTLE INTL CORP COMMON 228227104 79,126 2,547,300 X A 2,250,400 0 296,900 CROWN CASTLE INTL PREFERD 228227401 2,229 43,590 X 43,590 0 0 CUBIST PHARMACEUTICALS I COMMON 229678107 14,328 275,200 X 209,900 0 65,300 CUMMINS ENGINE INC COMMON 231021106 1 47 X 47 0 0 CURAGEN CORP COM COMMON 23126R101 27,056 507,800 X 389,600 0 118,200 CURON MED INC COMMON 231292103 1,150 100,000 X 79,900 0 20,100 CUTTER & BUCK INC COMMON 232217109 4,221 339,350 X 283,250 0 56,100 CYBEAR GROUP NEW COMMON 23243C102 72 54,319 X 15 52,993 0 1,310 CANADIAN HUNTER EXP LTD COMMON 2324418 9,386 386,900 X 285,300 0 101,600 CYBEROPTICS CORP COMMON 232517102 5,332 291,150 X 235,750 0 55,400 CYMER INC COMMON 232572107 27,858 907,800 X 784,500 0 123,300 CYMER INC CONVERT 232572AC1 17,323 17,928,000 X 16,856,000 0 1,072,000 CYPRESS SEMICONDUCTOR CORP COMMON 232806109 27,757 667,837 X 667,284 0 553 CYPRESS SEMICONDUCTOR CORP 4.0 CONVERT 232806AE9 20,413 17,945,000 X 16,636,000 0 1,309,000 DDI CORP COM COMMON 233162106 17,146 387,500 X 294,100 0 93,400 DMC STRATEX NETWORKS INC COM COMMON 23322L106 12,819 798,100 X 690,600 0 107,500 DSP GROUP INC COMMON 23332B106 35,418 947,650 X 788,800 0 158,850 DAIWA HOUSE IND LTD ADR COMMON 234062206 6 93 X 35 0 58 DANAHER CORP SHS BEN INT COMMON 235851102 1 23 X 0 0 23 DANKA BUSINESS SYS PLC SPONSOR COMMON 236277109 1 479 X 479 0 0 DANSKE BK A/S ADR COMMON 236363107 1 5 X 5 0 0 DARDEN RESTAURANTS INC. COMMON 237194105 3,965 190,507 X 175,800 0 14,707 DATUM INC COMMON 238208102 1,027 39,500 X 39,500 0 0 GRUPO FINANCIERO BANAMEX COMMON 2401300 18,615 4,046,000 X 4,046,000 0 0 DE BEERS CONS MINES LTD ADR COMMON 240253302 12 420 X 360 0 60 EMPRESA BRAS DE AERONAUT COMMON 2428569 1,452 190,000 X 190,000 0 0
PORTVUE-SEC13F.LRP PAGE 12 RUN DATE: 11/03/00 08:25 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) (ITEM 7) (ITEM 8) INVESTMENT VOTING AUTHORITY DISCRETION (SHARES) ----------------- ------------------------------ NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER SOLE SHARED NONE ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) MGR (A) (B) (C) ------------------------------- ------- ---------- -------------- ------------ ----- ----- ----- -- --------- --------- --------- CROWN CASTLE DECS TR V PREFERD 24366F203 24,308 829,265 X 763,795 0 65,470 METROMEDIA DEC TRST VI 6.25% 1 PREFERD 24366Q209 14,383 319,614 X 297,142 0 22,472 BANCO ITAU S.A. COMMON 2459581 9,298 104,600,000 X 1 4,600,000 0 0 DELL COMPUTER CORP COMMON 247025109 20,715 672,337 X 31 274,349 1,182 393,622 DELPHI AUTOMOTIVE SYS CO COMMON 247126105 495 32,700 X 32,700 0 0 DELPHI FINL GROUP INC COMMON 247131105 924 22,818 X 22,818 0 0 DELTA & PINE LD CO COMMON 247357106 508 19,770 X 19,770 0 0 DELTA AIRLINES INC COMMON 247361108 3,826 86,220 X 64,020 0 22,200 DELTAGEN INC COMMON 24783R103 8,328 269,200 X 240,000 0 29,200 DELTEK SYS INC COMMON 24785A108 243 31,690 X 31,690 0 0 KOOKMIN BK GDR REG S COMMON 2496373 804 65,900 X 65,900 0 0 DESCARTES SYS GROUP INC COM COMMON 249906108 33,941 685,672 X 14 454,879 4,531 85,387 DEUTSCHE BK A G SPON ADR COMMON 251525309 8 92 X 48 0 44 LUFTHANSA-SPONS ADR COMMON 251561304 9,290 451,555 X 19 223,289 7,927 27,904 DEUTSCHE TELEKOM AG SPONSORED COMMON 251566105 17 514 X 441 0 73 DEVON ENERGY CORP NEW CONVERT 25179MAA1 13,884 14,350,000 X 13,293,000 0 1,057,000 DIAGEO PLC SPONSORED ADR COMMON 25243Q205 46 1,309 X 1,113 0 196 DIAGNOSTIC PRODS CORP COMMON 252450101 3,185 59,400 X 59,400 0 0 DIAL CORP NEW COM COMMON 25247D101 2 159 X 0 0 159 DIAMOND OFFSHORE DRILLIN COMMON 25271C102 42,353 1,033,000 X 936,700 0 96,300 DIAMOND OFFSHORE DRILLIN CONVERT 25271CAA0 29,429 25,957,000 X 24,026,000 0 1,931,000 DIAMOND TECHNOLOGY PARTN COMMON 252762109 12,422 167,300 X 167,300 0 0 DIGENE CORP COMMON 253752109 5,281 146,700 X 121,300 0 25,400 DIGEX INC DEL CL A COMMON 253756100 564 12,031 X 10,975 0 1,056 DIGIMARC CORP COMMON 253807101 1,244 66,800 X 46,100 0 20,700 DIGITAL LIGHTWAVE INC COM COMMON 253855100 38,007 523,330 X 25 456,481 324 66,266 DISNEY WALT PRODTNS COMMON 254687106 165,545 4,327,985 X C 2,253,185 0 2,066,900 DIRECT FOCUS INC COMMON 254931108 6,014 151,300 X 107,700 0 43,600 DITECH COMMUNICATIONS CO COMMON 25500M103 11,517 280,900 X 206,000 0 74,900 DIVERSINET CORP COMMON 25536K204 488 83,100 X 79,600 0 3,500 MAGNA INTL CL A COMMON 2554475 744 17,100 X 17,100 0 0 DOCENT INC COMMON 25608L106 3,663 200,000 X 75,000 0 125,000 DOCUMENTUM INC COMMON 256159104 59,129 728,300 X 639,200 0 89,100 DOLLAR GEN CORP COMMON 256669102 487 29,102 X 29,102 0 0 DOLLAR TREE STORES INC COMMON 256747106 33,282 820,500 X 714,900 0 105,600 DONCASTERS PLC ADR SPONSORED COMMON 257692103 2,963 146,307 X 54 138,799 418 6,546 NORTEL NETWORKS CORP COMMON 2583877 408 6,800 X 6,800 0 0 DOUBLECLICK INC COM COMMON 258609304 15 489 X 453 0 36 DOVER CORP COMMON 260003108 85,576 1,823,200 X C 682,100 0 1,124,400 DOW CHEMICAL CORP COMMON 260543103 25,771 1,033,450 X 1,001,400 0 32,050 DOW JONES & CO INC COM COMMON 260561105 4,478 74,000 X A 66,500 0 3,800 DOWNEY FINL CORP COMMON 261018105 4,385 111,000 X 109,700 0 1,300 DRESDNER BK A G ADR SPONSORED COMMON 261561302 18,397 421,346 X 15 225,984 6,682 29,535 DRESS BARN INC COMMON 261570105 1,067 50,800 X 25,300 0 25,500
PORTVUE-SEC13F.LRP PAGE 13 RUN DATE: 11/03/00 08:25 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) (ITEM 7) (ITEM 8) INVESTMENT VOTING AUTHORITY DISCRETION (SHARES) ----------------- ------------------------------ NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER SOLE SHARED NONE ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) MGR (A) (B) (C) ------------------------------- ------- ---------- -------------- ------------ ----- ----- ----- -- --------- --------- --------- PIVOTAL CORP COMMON 2622899 7,300 137,300 X 106,900 0 30,400 DSET CORP COMMON 262504103 1,547 75,000 X 72,300 0 2,700 DU PONT E I DE NEMOURS CO COMMON 263534109 3 65 X 0 0 65 DURA PHARMACEUTICALS INC COMMON 26632S109 24,027 679,200 X 574,800 0 104,400 DURECT CORP COMMON 266605104 1,575 105,000 X 105,000 0 0 DYAX CORP COMMON 26746E103 5,779 132,100 X 103,300 0 28,800 DYCOM INDS INC COM COMMON 267475101 53,865 1,294,040 X 1,081,890 0 212,150 DYNEGY INC NEW CL A COMMON 26816Q101 245,903 4,313,713 X A 3,452,743 1,629 843,190 PETRO CANADA COMMON 2684316 22,272 1,000,300 X 780,800 0 219,500 E M C CORP MASS COMMON 268648102 322,223 3,248,037 X C 1,144,906 1,168 2,009,576 ENSCO INTL INC COM COMMON 26874Q100 116,356 3,041,987 X A 2,162,941 1,872 870,925 ENI S P A SPONSORED ADR COMMON 26874R108 42 781 X 29 458 0 27 EOG RESOURCES INC. COMMON 26875P101 66,735 1,716,679 X 98 212,142 345,589 169,969 EOP OPER LTD PARTNERSHIP CONVERT 268766BP6 16,232 15,759,000 X 14,955,000 0 804,000 EPIX MEDICAL INC COMMON 26881Q101 1,022 73,000 X 73,000 0 0 E PIPHANY INC COM COMMON 26881V100 3,067 39,800 X 32,200 0 7,600 EVI INC SUB DBCV 5% PREFERD 268939402 17,967 375,301 X 352,174 0 23,127 E TRADE GROUP INC COM COMMON 269246104 0 1 X 1 0 0 RELIANCE INDS GDR REG S COMMON 2730598 7,563 484,000 X 484,000 0 0 RIO ALTO EXPLORATION LTD COMMON 2740241 6,066 285,200 X 221,500 0 63,700 ROCTEST LTD COMMON 2746108 806 73,500 X 73,500 0 0 EAST WEST BANCORP INC COMMON 27579R104 855 43,700 X 43,700 0 0 EATON VANCE CORP COMMON 278265103 6,594 129,300 X 129,300 0 0 ECHOSTAR COMMUNICATIONS COMMON 278762109 32,028 607,173 X 14,376 0 592,797 ECHOSTAR COMMUNICATIONS CONVERT 278762AD1 27,759 20,891,000 X 19,301,000 0 1,590,000 EDEN BIOSCIENCE CORP COMMON 279445100 1,726 52,300 X 37,200 0 15,100 EDISON INTL COMMON 281020107 402 20,800 X 20,800 0 0 EDWARDS AG INC COMMON 281760108 1,041 19,900 X 13,100 0 6,800 EFFICIENT NETWORKS INC COM COMMON 282056100 12,109 324,538 X 302,080 0 22,458 EFFICIENT NETWORKS INC CONVERT 282056AB6 11,258 17,591,000 X 16,635,000 0 956,000 EIDOS PLC ADR SPONSORED COMMON 282485101 1 275 X 0 0 275 EL PASO ELEC CO COMMON 283677854 2,945 213,900 X 173,400 0 40,500 ELAN FINANCE CONVERT 284129AC7 23,829 29,601,000 X 27,542,000 0 2,059,000 ELAN PLC ADR COMMON 284131208 59,816 1,092,480 X 80 906,112 489 105,636 ELANTEC SEMICONDUCTOR INC COM COMMON 284155108 17,185 172,500 X 138,300 0 34,200 ELBIT COMPUTERS LTD COMMON 284275104 2,614 286,500 X 244,600 0 41,900 ELECTRIC LIGHTWAVE INC COMMON 284895109 677 79,700 X 77,500 0 2,200 ELECTRO SCIENTIFIC INDS COMMON 285229100 24,092 685,900 X 489,000 0 196,900 ELECTRONICS FOR IMAGING INC CO COMMON 286082102 7 272 X 211 0 61 TESCO CORP COMMON 2884310 7,357 718,800 X 562,000 0 156,800 ELOYALTY CORP COMMON 290151109 2,487 195,030 X 137,330 0 57,700 EMBRAER-EMPRESA BRASILEI COMMON 29081M102 27,761 895,500 X 764,000 0 131,500 EMBRATEL PARTICIPACOES S COMMON 29081N100 28,618 1,546,900 X 1,546,900 0 0 EMCORE CORP COMMON 290846104 26,818 645,000 X 520,000 0 125,000
PORTVUE-SEC13F.LRP PAGE 14 RUN DATE: 11/03/00 08:25 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) (ITEM 7) (ITEM 8) INVESTMENT VOTING AUTHORITY DISCRETION (SHARES) ----------------- ------------------------------ NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER SOLE SHARED NONE ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) MGR (A) (B) (C) ------------------------------- ------- ---------- -------------- ------------ ----- ----- ----- -- --------- --------- --------- EMCOR GROUP INC COMMON 29084Q100 2,871 110,420 X 107,820 0 2,600 EMERSON ELEC CO COMMON 291011104 4 65 X 20 0 45 EMISPHERE TECHNOLOGIES I COMMON 291345106 925 30,900 X 15,400 0 15,500 EMULEX CORP COMMON 292475209 68,604 560,035 X A 445,691 0 114,344 COMMON 29250D107 3 482 X 0 0 482 ENDESA S A SPONSORED ADR COMMON 29258N107 12 677 X 347 0 330 ENDOCARE INC COMMON 29264P104 2,554 129,300 X 67,000 0 62,300 ENERGEN CORP COMMON 29265N108 2,504 84,180 X 84,180 0 0 ENERGY EAST CORP COMMON 29266M109 1,695 74,900 X 49,500 0 25,400 ENGELHARD CORP COMMON 292845104 2,215 136,290 X 136,290 0 0 ENGINEERED SUPPORT SYS I COMMON 292866100 3,161 165,300 X 119,400 0 45,900 ENHANCE FINL SVCS GROUP COMMON 293310108 252 19,360 X 19,360 0 0 ENRON CORP COMMON 293561106 99,630 1,136,998 X 1,001,337 76 22,185 ENTRAVISION COMMUNICATIO COMMON 29382R107 18,744 1,078,800 X 934,200 0 144,600 ENTRUST TECHNOLOGIES INC COMMON 293848107 8,814 319,069 X 264,469 0 54,600 ENZON INC COM COMMON 293904108 76,824 1,164,000 X 1,011,900 0 152,100 EPCOS AG ADR COMMON 29410P107 29 365 X 281 0 84 EQUANT N V SHS-N Y REGISTR COMMON 294409107 19 510 X 408 0 102 EQUITABLE RES INC COMMON 294549100 19,855 313,300 X 294,400 0 18,900 EQUITY OFFICE PROPERTIES PREFERD 294741509 9,200 200,000 X 185,633 0 14,367 ERICSSON L M TEL CO ADR CL B S COMMON 294821400 75,682 5,109,364 X 42 4,128,437 18,626 534,240 ESCO TECHNOLOGIES INC COMMON 296315104 1,239 71,300 X 65,400 0 5,900 ESPEED INC CL A COMMON 296643109 492 17,297 X 3,629 0 13,668 ESTERLINE TECHNOLOGIES C COMMON 297425100 3,239 164,530 X 164,530 0 0 ETHAN ALLEN INTERIORS INC COMMON 297602104 20,222 714,250 X 561,700 0 152,550 EVERGREEN RES INC COMMON 299900308 6,102 175,600 X 125,800 0 49,800 EVERGREEN TAX STRATEGIC FNDTCL MUTUAL 299921106 1 84 X 84 0 0 EXAR CORP COMMON 300645108 74,324 614,250 X 497,350 0 116,900 EXCALIBUR TECHNOLOGIES C COMMON 300651205 12,410 184,700 X 123,200 0 61,500 EXCEL TECHNOLOGY INC COMMON 30067T103 1,308 40,800 X 40,800 0 0 EXCELON CORP COMMON 300691102 1,583 127,900 X 63,500 0 64,400 EXCHANGE APPLICATIONS COMMON 300867108 2,530 558,300 X 501,200 0 57,100 EXE TECHNOLOGIES INC COMMON 301504106 3,392 226,100 X 156,400 0 69,700 EXELIXIS INC COM COMMON 30161Q104 364 11,600 X 3,200 0 8,400 EXTENDED SYSTEMS INC COMMON 301973103 6,853 127,500 X 124,900 0 2,600 EXODUS COMMUNICATIONS INC COM COMMON 302088109 40,394 818,100 X 35 414,950 1,176 398,382 EXODUS COMMUNICATIONS IN CONVERT 302088AJ8 27,392 17,630,000 X 16,562,000 0 1,068,000 EXPEDITORS INTL WASH INC COMMON 302130109 12,973 287,900 X 205,200 0 82,700 EXTREME NETWORKS INC COM COMMON 30226D106 100,058 873,879 X A 410,217 97,138 89,203 EXXON MOBIL CORP COMMON 30231G102 67,656 759,109 X 725,109 0 34,000 F M C CORP COMMON 302491303 2,045 30,500 X 30,500 0 0 FNB CORP PA COMMON 302520101 428 20,036 X 20,036 0 0 FSI INTL INC COMMON 302633102 4,097 287,500 X 108,900 0 178,600 F Y I INC COMMON 302712104 4,414 118,100 X 25,600 0 92,500
PORTVUE-SEC13F.LRP PAGE 15 RUN DATE: 11/03/00 08:25 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) (ITEM 7) (ITEM 8) INVESTMENT VOTING AUTHORITY DISCRETION (SHARES) ----------------- ------------------------------ NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER SOLE SHARED NONE ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) MGR (A) (B) (C) ------------------------------- ------- ---------- -------------- ------------ ----- ----- ----- -- --------- --------- --------- FACTORY 2-U INC COMMON 303072102 13,759 450,200 X 358,800 0 91,400 FAIRCHILD SEMICONDUCTOR COMMON 303726103 3,954 140,600 X 112,800 0 27,800 FAIRFIELD CMNTYS INC COMMON 304231301 505 49,900 X 49,900 0 0 FAMILY DLR STORES INC COMMON 307000109 777 40,408 X 24,436 0 15,972 FEDERAL HOME LN MTG CORP COMMON 313400301 2,354 43,541 X 30,251 0 13,290 FEDERAL NATL MTG ASSN COMMON 313586109 3,327 46,521 X 30,321 0 16,200 FEDERATED DEPT STORES IN COMMON 31410H101 1,954 74,800 X 48,800 0 26,000 FINISAR COMMON 31787A101 60,856 1,258,000 X A 1,109,700 0 148,300 FIRST FIN DATA CORP COMMON 319963104 19,266 493,200 X 11,100 0 482,100 FIRST ESSEX BANCORP INC COMMON 320103104 282 13,340 X 13,340 0 0 FIRST HORIZON PHARMACEUT COMMON 32051K106 3,785 208,800 X 145,400 0 63,400 FIRST HEALTH GROUP CORP COMMON 320960107 967 29,976 X 29,763 0 213 FIRST UNION CORP COMMON 337358105 946 29,400 X 29,400 0 0 FISERV INC COMMON COMMON 337738108 14,831 247,700 X A 203,600 0 38,700 FIRSTMERIT CORP COMMON 337915102 456 19,880 X 19,880 0 0 FLAMEL TECHNOLOGIES SA SPONSOR COMMON 338488109 523 73,300 X 20,500 0 52,800 FLEETBOSTON FINL CORP COMMON 339030108 26,274 673,692 X 629,480 0 44,212 FOCAL COMMUNICATIONS COR COMMON 344155106 3,558 230,500 X 143,100 0 87,400 FOMENTO ECONOMICO MEXICA COMMON 344419106 1,681 43,100 X 43,100 0 0 FORD MOTOR COMMON 345370100 3 54 X 54 0 0 FORD MTR CO DEL COMMON 345370860 3,074 121,460 X 74,434 0 47,025 FOREST LABS INC COM COMMON 345838106 141,436 1,233,231 X A 614,897 69,422 349,224 FOREST OIL CORP COMMON 346091606 6,925 427,800 X 394,800 0 33,000 FORRESTER RESH INC COMMON 346563109 19,794 310,500 X 163,400 0 147,100 FORTIS NL ADR SPONSORED COMMON 34956J101 46 1,513 X 10 330 0 135 FORTUNE BRANDS INC COM COMMON 349631101 1 25 X 25 0 0 FORWARD AIR CORP COMMON 349853101 20,120 571,800 X 452,400 0 119,400 FOX ENTMT GROUP INC CL A COMMON 35138T107 1,102 41,586 X 41,500 0 86 FRANCO NEV MNG LTD COM COMMON 351860101 3 177 X 177 0 0 FRESENIUS MED CARE AG SPONSORE COMMON 358029106 13 439 X 335 0 104 FRONTIER AIRLINES INC NE COMMON 359065109 497 25,560 X 25,560 0 0 FUELCELL ENERGY INC COMMON 35952H106 1,444 15,000 X 15,000 0 0 FUJITSU LTD ADR 5 COM COMMON 359590304 7,982 68,684 X 26 37,440 1,129 3,727 FURUKAWA ELEC LTD ADR COMMON 361118102 14,297 51,720 X 18 28,232 924 3,807 GBC BANCORP CALIF COMMON 361475106 3,774 110,800 X 95,300 0 15,500 GKN PUB LTD CO ADR COMMON 361755606 2 202 X 73 0 129 GABELLI ASSET MGMT INC COMMON 36239Y102 2,088 69,600 X 66,900 0 2,700 GADZOOKS INC COMMON 362553109 1,848 103,400 X 71,400 0 32,000 GANNETT INC DEL COMMON 364730101 36,830 694,900 X 694,900 0 0 GASONICS INTL CORP COMMON 367278108 8,537 696,900 X 498,500 0 198,400 GATEWAY INC. COMMON 367626108 5 92 X 92 0 0 GEMSTAR TV GUIDE INTERNATIONAL COMMON 36866W106 106,867 1,225,718 X 31 329,503 108,147 475,416 GENENCOR INTL INC COMMON 368709101 4,450 150,200 X 114,300 0 35,900 GENENTECH INC COM NEW COMMON 368710406 140,591 757,142 X 15 527,496 539 182,209
PORTVUE-SEC13F.LRP PAGE 16 RUN DATE: 11/03/00 08:25 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) (ITEM 7) (ITEM 8) INVESTMENT VOTING AUTHORITY DISCRETION (SHARES) ----------------- ------------------------------ NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER SOLE SHARED NONE ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) MGR (A) (B) (C) ------------------------------- ------- ---------- -------------- ------------ ----- ----- ----- -- --------- --------- --------- GENERAL DYNAMICS CORP COMMON 369550108 5,484 87,300 X 77,500 0 9,800 GENERAL ELEC CO COMMON 369604103 426,536 7,390,556 X C 3,790,802 2,681 3,578,479 GENERAL MLS INC COMMON 370334104 1,523 42,900 X 34,000 0 8,900 GENERAL MTRS CORP COMMON 370442105 30,877 475,034 X 474,358 0 676 GENERAL MTRS CORP COMMON 370442832 1,304 35,101 X 34,930 0 171 GENESCO INC COMMON 371532102 14,475 854,600 X 492,700 0 361,900 GENTEX CORP COM COMMON 371901109 2 80 X 6 0 74 GENOMICA CORP COMMON 37243Q101 3,110 160,000 X 130,800 0 29,200 GENOMIC SOLUTIONS INC COMMON 37243R109 5,613 326,600 X 267,900 0 58,700 GENSET SA SPONSORED ADR COMMON 37244T104 2 84 X 60 0 24 GENZYME TRANSGENICS CORP COMMON 37246E105 19,529 554,000 X 522,000 0 32,000 GENZYME CORP COMMON 372917104 37,592 551,300 X 413,200 0 138,100 GEORGIA GULF CORP COMMON 373200203 5,481 479,200 X 405,700 0 73,500 GEORGIA PAC CORP COMMON 373298108 19 796 X 758 0 38 GETTY IMAGES INC COMMON 374276103 8,483 278,700 X 226,700 0 52,000 GILEAD SCIENCES INC COMMON 375558103 44,145 402,459 X 358,350 0 44,109 GILDAN ACTIVEWEAR INC COMMON 375916103 3,267 97,900 X 81,800 0 16,100 GLATFELTER P H CO COMMON 377316104 509 42,000 X 42,000 0 0 GLENAYRE TECHNOLOGIES IN COMMON 377899109 5,010 460,700 X 404,900 0 55,800 GLIMCHER RLTY TR COMMON 379302102 309 20,680 X 20,680 0 0 GLOBAL CROSSING 144A PREFERD 37932J202 9,699 111,969 X 104,704 0 7,265 GLOBAL INDS LTD COMMON 379336100 13,942 1,115,300 X 804,100 0 311,200 GLOBAL MARINE INC COMMON 379352404 38,708 1,253,700 X A 1,086,400 0 167,300 GLOBECOMM SYSTEMS INC COMMON 37956X103 3,166 245,900 X 139,100 0 106,800 GLOBESPAN INC COM COMMON 379571102 98,384 806,436 X A 674,788 1,533 130,115 GLOBIX CORP COM COMMON 37957F101 8,976 385,000 X 337,900 0 47,100 GLOBO CABO S A COMMON 37957X102 9,742 728,400 X 728,400 0 0 GOLDEN TELECOM INC COMMON 38122G107 641 36,900 X 36,900 0 0 GOLDEN WEST FINL CORP DE COMMON 381317106 27,499 512,800 X 511,700 0 1,100 GOLDMAN SACHS GROUP INC COM COMMON 38141G104 33,661 295,293 X 15 129,137 503 164,133 GOLF TR AMER INC COMMON 38168B103 168 12,430 X 12,430 0 0 GO2NET INC COM COMMON 383486107 428 7,900 X 1,600 0 6,300 GREAT PLAINS SOFTWARE COMMON 39119E105 591 21,000 X 21,000 0 0 GREATER BAY BANCORP COMMON 391648102 15,212 219,080 X 153,080 0 66,000 GROUPE DANONE COMMON 399449107 20,986 752,212 X 28 402,929 11,851 52,242 GRUPO TELEVISA SA DE CV COMMON 40049J206 9,443 163,700 X 163,700 0 0 GRUPO IUSACELL SA DE CV COMMON 40050B100 5,973 503,000 X 503,000 0 0 AUTONOMY CORP PLC COMMON 4012001 22,174 395,962 X 303,400 0 92,562 ALLEANZA ASSICURAZ COMMON 4015970 57,681 4,357,580 X 3,849,700 0 507,880 GUIDANT CORP COMMON 401698105 87 1,223 X 1,175 0 48 GUILFORD PHARMACEUTICALS COMMON 401829106 6,206 269,100 X 258,100 0 11,000 ALTRAN TECHNOLOGIES COMMON 4021869 15,392 72,950 X 57,350 0 15,600 GULF ISLAND FABRICATION COMMON 402307102 472 26,760 X 26,760 0 0 AXA COMMON 4026927 538 4,120 X 0 0 4,120
PORTVUE-SEC13F.LRP PAGE 17 RUN DATE: 11/03/00 08:25 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) (ITEM 7) (ITEM 8) INVESTMENT VOTING AUTHORITY DISCRETION (SHARES) ----------------- ------------------------------ NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER SOLE SHARED NONE ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) MGR (A) (B) (C) ------------------------------- ------- ---------- -------------- ------------ ----- ----- ----- -- --------- --------- --------- VIVENDI ENVIRONNEMENT COMMON 4031879 38,305 1,033,500 X 911,900 0 121,600 EGIS COMMON 4040499 9,997 223,600 X 223,600 0 0 HCA-HEALTHCARE CO COMMON 404119109 10,833 291,800 X 291,800 0 0 HNC SOFTWARE INC COMMON 40425P107 17,573 214,800 X 205,000 0 9,800 HSBC HOLDINGS PLC COMMON 404280406 21,262 297,800 X 11 160,492 4,776 20,992 HS RES INC COMMON 404297103 4,731 140,700 X 136,400 0 4,300 ASCOM HLDG AG BEARER COMMON 4052740 10,712 3,195 X 2,455 0 740 HALL KINION ASSOCIATES I COMMON 406069104 16,684 586,700 X 474,900 0 111,800 HALLIBURTON COMPANY COMMON 406216101 4 83 X 0 0 83 LEICA GEOSYSTEMS AG COMMON 4064693 876 2,800 X 2,800 0 0 LOGITECH INTERNATIONAL COMMON 4066848 14,585 46,340 X 35,910 0 10,430 UNITED MEDICAL SYSTEMS COMMON 4074818 1,119 59,000 X 59,000 0 0 ARNOLDO MONDADORI EDITOR COMMON 4084895 15,349 1,290,300 X 1,017,500 0 272,800 UNILABS COMMON 4088187 2,253 2,900 X 2,900 0 0 LION BIOSCIENCE AG COMMON 4095444 2,224 22,500 X 1,400 0 21,100 HANCOCK JOHN FINL SVCS INC COM COMMON 41014S106 2 90 X 0 0 90 HANDLEMAN CO DEL COMMON 410252100 1,647 133,130 X 133,130 0 0 HANSON PLC ADR SPONSORED COMMON 411352404 24 877 X 23 815 0 39 BAER HLDGS AG COMMON 4116958 24,275 4,680 X 3,720 0 960 HARLEY DAVIDSON INC COMMON 412822108 99,248 2,073,089 X A 866,945 248,014 246,338 HARMAN INTL INDS INC COMMON 413086109 4,324 110,600 X 110,600 0 0 JM AB B SHS COMMON 4155508 3,896 166,800 X 113,100 0 53,700 CAP GEMINI SA COMMON 4163437 338 1,800 X 1,800 0 0 HARTFORD FINANCIAL SERVICES COMMON 416515104 2 23 X 23 0 0 HASBRO BRADLEY INC COMMON 418056107 1 123 X 123 0 0 COFLEXIP SA COMMON 4181741 15,203 120,900 X 94,900 0 26,000 CENTROS COMERCIALES PRYC COMMON 4184267 5,291 387,097 X 306,197 0 80,900 HEALTHSOUTH CORP COMMON 421924101 2,259 278,000 X 180,700 0 97,300 HEALTH MGMT ASSOC INC NEW CL A COMMON 421933102 65 3,147 X 2,772 0 375 HEARTLAND EXPRESS INC COMMON 422347104 391 22,500 X 22,500 0 0 HEIDRICK & STRUGGLES INT COMMON 422819102 20,596 400,900 X 313,200 0 87,700 HEINEKEN N V ADR COMMON 423012202 10,490 188,573 X 79 94,743 3,382 11,377 HELIX TECHNOLOGY CORP COMMON 423319102 14,631 489,750 X 388,850 0 100,900 HELLER FINL INC CL A COMMON 423328103 6,564 229,800 X 145,800 0 84,000 HELMERICH & PAYNE INC COMMON 423452101 15,935 441,100 X 259,400 0 181,700 ALPHA CREDIT BANK COMMON 4235864 63,345 1,603,300 X 1,508,200 0 95,100 CUKUROVA ELEKTRIK AS COMMON 4239800 0 85,000 X 85,000 0 0 CREDIT SUISSE GRP COMMON 4245614 953 5,100 X 5,100 0 0 HENRY JACK & ASSOC INC COMMON 426281101 17,176 396,000 X 361,400 0 34,600 METRO INTERNATIONAL SA B COMMON 4280240 715 57,435 X 44,625 0 12,810 HERTZ CORP CL A COMMON 428040109 1 18 X 0 0 18 HEWLETT PACKARD CO COMMON 428236103 19,347 199,450 X 17,500 0 181,950 HEWLETT PACKARD CO 0.000% 10/1 CONVERT 428236AC7 31,923 43,432,000 X 41,140,000 0 2,292,000 HEXCEL CORP NEW CONVERT 428291AA6 1,517 1,500,000 X 1,500,000 0 0
PORTVUE-SEC13F.LRP PAGE 18 RUN DATE: 11/03/00 08:25 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) (ITEM 7) (ITEM 8) INVESTMENT VOTING AUTHORITY DISCRETION (SHARES) ----------------- ------------------------------ NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER SOLE SHARED NONE ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) MGR (A) (B) (C) ------------------------------- ------- ---------- -------------- ------------ ----- ----- ----- -- --------- --------- --------- KUDELSKI SA BEARER COMMON 4329422 21,807 14,250 X 11,430 0 2,820 FUGRO MCCLELLAND COMMON 4332895 12,323 215,000 X 166,800 0 48,200 HISPANIC BROADCASTING CO COMMON 43357B104 5,444 195,300 X 185,600 0 9,700 DEPFA DEUTSCHE PFANDBFBK COMMON 4355063 14,112 176,700 X 136,300 0 40,400 HOME DEPOT INC COMMON 437076102 45,513 857,719 X A 64,631 0 786,738 HON HAI PREC GDR 144A COMMON 438090102 7,611 590,034 X 590,034 0 0 HONEYWELL INTL INC COMMON 438516106 1,657 46,500 X 30,300 0 16,200 HOT TOPIC INC COMMON 441339108 4,884 162,800 X 142,600 0 20,200 HOTJOBS COM INC COMMON 441474103 9,896 580,000 X 369,800 0 210,200 HOUSEHOLD INTL CORP COMMON 441815107 5 85 X 0 0 85 INTL QUANTUM EPITAXY PLC COMMON 4419839 120 15,000 X 15,000 0 0 HOUSTON EXPL CO COMMON 442120101 2,326 92,100 X 88,700 0 3,400 ENI SPA COMMON 4436399 35,477 6,700,490 X 5,912,400 0 788,090 HURRIYET GAZETECILIK COMMON 4445276 7,670 810,226,400 X 8 10,226,400 0 0 HUMAN GENOME SCIENCES INC COM COMMON 444903108 176,785 1,044,033 X A 614,490 77,139 132,492 INDRA SISTEMAS SA COMMON 4476210 10,866 502,600 X 395,100 0 107,500 HUTCHISON WHAMPOA LTD ADR COMMON 448415208 10,381 156,379 X 59 85,729 2,483 8,607 ICN PHARMACEUTICALS INC COMMON 448924100 1,017 30,597 X 20,233 0 10,364 ICOS CORP COMMON 449295104 3,946 72,900 X 72,900 0 0 IDEC PHARMACEUTICALS CORCOMMON COMMON 449370105 65,047 370,934 X A 322,816 0 48,118 IASIAWORKS INC COMMON 45072L101 2,500 250,000 X 178,800 0 71,200 IBASIS INC COMMON 450732102 4,747 299,000 X 287,400 0 11,600 IDACORP INC COMMON 451107106 2,718 58,770 X 9,170 0 49,600 ILEX ONCOLOGY INC COMMON 451923106 7,845 260,400 X 210,800 0 49,600 ILLUMINA INC COMMON 452327109 3,394 74,800 X 74,800 0 0 ILLUMINET HLDGS INC CDT-COM COMMON 452334105 3 100 X 0 0 100 IMMERSION CORP COMMON 452521107 2,968 191,500 X 135,600 0 55,900 IMMUNEX CORP NEW COM COMMON 452528102 87,342 2,007,882 X A 883,771 230,042 234,794 IMMUNOGEN INC COMMON 45253H101 9,658 282,500 X 227,600 0 54,900 IMPERIAL BANCORP COMMON 452556103 313 16,379 X 16,379 0 0 IMMUNOMEDICS INC COMMON 452907108 5,588 266,900 X 232,300 0 34,600 INCYTE PHARMACEUTICALS INC COM COMMON 45337C102 5,337 129,788 X 121,552 0 8,236 INDEPENDENT ENERGY HLDGS PLCAD COMMON 45384X108 12 1,641 X 33 1,409 0 199 LEGRAND SA COMMON 4558583 345 2,100 X 500 0 1,600 INFINEON TECHNOLOGIES AG ADR S COMMON 45662N103 2 58 X 36 0 22 INFINITY BROADCASTING CORP NCL COMMON 45662S102 19 580 X 192 0 388 INET TECHNOLOGIES INC COM COMMON 45662V105 7,312 250,000 X 186,700 0 63,300 INFOCUS CORP COMMON 45665B106 42,954 810,450 X 558,150 0 252,300 INFORMATION HLDGS INC COMMON 456727106 4,061 114,600 X 85,600 0 29,000 INFOSYS TECHNOLOGIES LTD ADR S COMMON 456788108 7 50 X 26 0 24 ING GROEP N.V. ADR COMMON 456837103 15,260 231,640 X 87 124,561 3,868 15,879 INGERSOLL-RAND COMPANY COMMON 456866102 135 3,953 X 3,011 0 942 INKTOMI CORP COM COMMON 457277101 20,656 181,188 X 6,288 0 174,900 INNERDYNE INC COMMON 45764D102 2,958 422,500 X 302,100 0 120,400
PORTVUE-SEC13F.LRP PAGE 19 RUN DATE: 11/03/00 08:25 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) (ITEM 7) (ITEM 8) INVESTMENT VOTING AUTHORITY DISCRETION (SHARES) ----------------- ------------------------------ NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER SOLE SHARED NONE ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) MGR (A) (B) (C) ------------------------------- ------- ---------- -------------- ------------ ----- ----- ----- -- --------- --------- --------- INSIGHT ENTERPRISES INC COM COMMON 45765U103 25,947 952,165 X 694,598 0 257,567 INSITUFORM TECHNOLOGIES CL A COMMON 457667103 8,252 245,400 X 204,600 0 40,800 INSILICON CORP COMMON 45769H108 3,555 245,200 X 152,200 0 93,000 INRANGE TECHNOLOGIES COR COMMON 45769V206 7,950 150,000 X 150,000 0 0 INNKEEPERS USA TR COMMON 4576J0104 324 31,590 X 31,590 0 0 INSPIRE PHARMACEUTICALS COMMON 457733103 2,973 99,100 X 71,500 0 27,600 INTEGRATED MEASUREMENT S COMMON 457923100 1,284 95,100 X 95,100 0 0 INTEGRATED DEVICE TECHNO COMMON 458118106 129,245 1,428,099 X 48 533,799 170,733 234,448 INTEGRATED SILICON SOLUT COMMON 45812P107 11,217 790,600 X 670,900 0 119,700 INTEL CORP COMMON 458140100 197,785 4,758,765 X C 1,866,291 2,405 2,703,118 INTEGRATED TELECOM EXPRE COMMON 45817U101 1,079 52,000 X 52,000 0 0 INTER TEL INC COMMON 458372109 2 145 X 133 0 12 INTERCEPT GROUP INC COMMON 45845L107 4,893 209,900 X 147,700 0 62,200 INTEREP NATL RADIO SALES COMMON 45866V109 316 101,100 X 70,000 0 31,100 INTERLINK ELECTRS COMMON 458751104 5,828 300,800 X 225,900 0 74,900 INTERMAGNETICS GEN CORP COMMON 458771102 7,541 283,218 X 223,532 0 59,686 INTERNAP NETWORK SVCS CO COMMON 45885A102 336 10,400 X 7,900 0 2,500 NOBEL BIOCARE AB COMMON 4590585 1,607 64,500 X 64,500 0 0 INTERNATIONAL BUSINESS M COMMON 459200101 34,957 310,408 X 17 113,727 520 194,399 INTERNATIONAL FIBERCOM I COMMON 45950T101 9,440 645,500 X 449,000 0 196,500 INTERNATIONAL GAME TECHN COMMON 459902102 6,617 196,800 X 189,800 0 7,000 INTL RECTIFIER CORP COMMON 460254105 59,822 1,184,600 X 770,000 0 414,600 INTL RECTIFIER CORP 144A CONVERT 460254AD7 15,959 17,207,000 X 16,292,000 0 915,000 INTL SPECIALTY PRODS INC COMMON 460337108 206 38,310 X 38,310 0 0 INTERNET CAPITAL GROUP INC COM COMMON 46059C106 19 1,086 X 829 0 257 INTERNET PICTURES CORP COMMON 46059S101 1,450 266,603 X 191,135 0 75,468 INTERNET INITIATIVE JAPAN INAD COMMON 46059T109 7 157 X 92 0 65 INTERNET SEC SYS INC COM COMMON 46060X107 34,498 459,200 X 361,200 0 98,000 INTERPUBLIC GROUP COS IN COMMON 460690100 1,032 30,300 X 30,300 0 0 INTERPUBLIC GROUP COS IN CONVERT 460690AJ9 4,721 5,155,000 X 5,059,000 0 96,000 INTERSPEED INC COMMON 46070W107 1,859 270,400 X 192,400 0 78,000 INTRANET SOLUTIONS INC COMMON 460939309 7,480 149,600 X 132,500 0 17,100 INTERNET COM CORP COMMON 460967102 5,417 175,100 X 156,300 0 18,800 INTERTAN INC COMMON 461120107 6,584 456,050 X 435,200 0 20,850 INTERWOVEN INC COM COMMON 46114T102 165,099 1,460,246 X A 787,120 123,245 195,872 INTIMATE BRANDS INC CL A COMMON 461156101 2,185 116,854 X 113,284 0 3,570 INTRABIOTICS PHARMACEUTI COMMON 46116T100 813 50,000 X 35,600 0 14,400 INTUIT INC COMMON 461202103 59,973 1,052,180 X 61 115,009 215,734 102,308 INVENSYS PLC ADR SPONSORED COMMON 461204109 8 1,835 X 1,186 0 649 INVERNESS MED TECHNOLOGY COMMON 461268104 2,272 118,000 X 118,000 0 0 UNAXIS HOLDING AG R COMMON 4612757 18,154 65,100 X 52,100 0 13,000 INVESTMENT TECHNOLOGY GR COMMON 46145F105 511 12,800 X 9,700 0 3,100 NESTLE SA COMMON 4616696 47,793 22,946 X 20,230 0 2,716 INVITROGEN CORP COMMON 46185R100 51,807 728,400 X 618,900 0 109,500
PORTVUE-SEC13F.LRP PAGE 20 RUN DATE: 11/03/00 08:25 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) (ITEM 7) (ITEM 8) INVESTMENT VOTING AUTHORITY DISCRETION (SHARES) ----------------- ------------------------------ NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER SOLE SHARED NONE ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) MGR (A) (B) (C) ------------------------------- ------- ---------- -------------- ------------ ----- ----- ----- -- --------- --------- --------- IONA TECHNOLOGIES PLC COMMON 46206P109 21,198 305,000 X 233,500 0 71,500 NATIONAL BANK OF GREECE COMMON 4625959 22,815 554,290 X 554,290 0 0 ISLE OF CAPRI CASINOS IN COMMON 464592104 1,479 95,400 X 95,400 0 0 I2 TECHNOLOGIES INC COM COMMON 465754109 96,558 516,179 X A 470,127 0 43,752 I2 TECHNOLOGIES INC CONVERT 465754AF6 40,834 15,344,000 X 14,211,000 0 1,133,000 IVAX CORP COMMON 465823102 67,137 1,459,485 X 69 388,267 244,581 127,895 IXOS SOFTWARE AG ADR SPON REP COMMON 46600V108 0 26 X 11 0 15 JDS UNIPHASE CORP COMMON 46612J101 164,478 1,737,060 X C 880,433 0 813,827 JDA SOFTWARE GROUP INC COMMON 46612K108 9,936 779,300 X 744,700 0 34,600 JNI CORP COM COMMON 46622G105 561 6,300 X 1,200 0 5,100 JACK IN THE BOX INC COMMON 466367109 14,301 667,100 X 315,600 0 351,500 JACO ELECTRS INC COMMON 469783104 162 10,800 X 10,800 0 0 JAPAN AIR LINES LTD ADR COMMON 471034306 49 6,175 X 5,258 0 917 JAPAN TELECOM SPON ADR COMMON 471104109 10,077 348,787 X 13 188,430 5,671 19,426 PARMALAT FINANZ COMMON 4714404 12,151 8,320,100 X 6,523,200 0 1,796,900 RAS SPA COMMON 4718246 53,845 4,095,100 X 3,585,400 0 509,700 AVENTIS SA EUR3.82 COMMON 4736817 47,309 630,713 X 568,000 0 62,713 MERCK KGAA COMMON 4741844 6,086 179,100 X 140,700 0 38,400 JEFFERSON PILOT CORP COM COMMON 475070108 18,855 277,800 X 260,500 0 17,300 THE SWATCH GROUP AG B COMMON 4762403 24,241 16,759 X 14,400 0 2,359 EDISON SPA COMMON 4764465 48,929 4,972,800 X 4,363,500 0 609,300 SAIPEM ITL1000 COMMON 4768768 16,003 2,878,500 X 2,251,500 0 627,000 JOHNSON & JOHNSON COMMON 478160104 78,459 835,229 X A 384,154 0 445,875 JOHNSON CTLS INC COMMON 478366107 2,819 53,000 X 39,800 0 13,200 SCHIBSTED ASA COMMON 4790534 16,257 925,300 X 717,900 0 207,400 JONES APPAREL GROUP INC COMMON 480074103 7 252 X 111 0 141 SGL CARBON AG COMMON 4818351 14,950 233,800 X 184,600 0 49,200 JUNIPER NETWORKS INC COM COMMON 48203R104 240,353 1,097,816 X A 680,279 509 384,176 JUNIPER NETWORKS CONVERT 48203RAA2 38,164 24,762,000 X 23,112,000 0 1,650,000 KLA INSTRS CORP COMMON 482480100 34 820 X 607 0 213 SCHNEIDER ELECTRIC SA COMMON 4834108 32,172 510,600 X 452,400 0 58,200 KAMAN CORP COMMON 483548103 559 44,290 X 44,290 0 0 KANA COMMUNICATIONS COMMON 483600102 3,474 156,133 X 123,864 0 32,269 SCHERING AG COMMON 4845757 2,805 42,900 X 42,900 0 0 SAP COMMON 4846288 4,665 23,800 X 23,800 0 0 SAP AG PREF SHS COMMON 4846868 56,742 229,600 X 202,500 0 27,100 STOREBRAND ASA COMMON 4852832 14,955 2,104,900 X 1,671,800 0 433,100 KEEBLER FOODS CO COM COMMON 487256109 653 15,537 X 15,500 0 37 KEITHLEY INSTRS INC COMMON 487584104 40,362 576,600 X A 496,300 0 80,300 TELECOM ITALIA MOBILE COMMON 4876746 1,093 135,200 X 135,200 0 0 KEMET CORP COMMON 488360108 24,899 901,300 X 849,000 0 52,300 TOTAL FINA ELF SA COMMON 4905413 49,713 339,777 X 307,526 0 32,251 KENT ELECTRS CORP COMMON 490553104 18,386 770,100 X 529,500 0 240,600 CIE NATIONAL AIR FRANCE COMMON 4916039 10,687 605,800 X 476,100 0 129,700
PORTVUE-SEC13F.LRP PAGE 21 RUN DATE: 11/03/00 08:25 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) (ITEM 7) (ITEM 8) INVESTMENT VOTING AUTHORITY DISCRETION (SHARES) ----------------- ------------------------------ NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER SOLE SHARED NONE ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) MGR (A) (B) (C) ------------------------------- ------- ---------- -------------- ------------ ----- ----- ----- -- --------- --------- --------- KERR MCGEE CORP COMMON 492386107 749 11,300 X 11,300 0 0 KERR MCGEE CORP CONVERT 492386AP2 23,255 18,641,000 X 17,351,000 0 1,290,000 KEY ENERGY SVCS INC COMMON 492914106 2,192 223,400 X 143,100 0 80,300 KEYNOTE SYS INC COMMON 493308100 2,702 101,000 X 88,500 0 12,500 SAMSUNG ELCR II REG S COMMON 4942818 2,498 26,900 X 26,900 0 0 E.ON AG COMMON 4942904 46,714 908,000 X 804,800 0 103,200 KIMBERLY CLARK CORP COMMON 494368103 51,939 930,600 X 915,800 0 14,800 PECHINEY SA COMMON 4943792 9,898 247,600 X 191,900 0 55,700 KING PHARMACEUTICALS INC COM COMMON 495582108 87,082 2,603,243 X 2,227,953 0 375,289 VNU NV COMMON 4970950 1,342 26,670 X 20,800 0 5,870 KNIGHT TRADING GROUP INC COM COMMON 499063105 71 1,968 X 1,288 0 680 KOHLS CORP COMMON 500255104 161,312 2,796,286 X A 1,467,135 108,264 910,061 KOHL'S CORPORATION 144A CONVERT 500255AG9 18,655 31,753,000 X 30,102,000 0 1,651,000 KOHLS CORP CONVERT 500255AJ3 397 675,000 X 70,000 0 605,000 KOMATSU LTD ADR NEW COMMON 500458401 21,985 903,319 X 34 480,223 15,167 65,456 KONINKLIJKE AHOLD NV ADR SPONS COMMON 500467303 20,232 717,788 X 26 388,870 8,314 50,609 KONINKLIJKE PHILIPS ELECTRS SP COMMON 500472303 56,985 1,340,834 X 83 1,112,945 3,367 140,725 KOREA ELECTRIC PWR ADR COMMON 500631106 3,031 232,083 X 11 230,428 0 516 KOREA TELECOM ADR SPONSORED COMMON 50063P103 3,870 115,113 X 115,113 0 0 KORN FERRY INTL COMMON 500643200 11,839 313,100 X 291,600 0 21,500 KROGER CO COMMON 501044101 1,141 50,590 X 50,400 0 190 KUBOTA LTD CORP COMMON 501173207 2 37 X 13 0 24 KULICKE & SOFFA INDS INC COMMON 501242101 174 13,060 X 13,060 0 0 KYOCERA CORP COMMON 501556203 36 238 X 11 81 0 40 LSI LOGIC CORP COMMON 502161102 1 50 X 50 0 0 LSI LOGIC 4.000% 02/15/05 CONVERT 502161AE2 66 82,000 X 0 0 82,000 LTX CORP COMMON 502392103 14,532 767,350 X 658,500 0 108,850 LABORATORY CORP AMER HLD COMMON 50540R409 42,703 356,600 X 266,000 0 90,600 ING GROEP NV COMMON 5058877 2,085 31,300 X 31,300 0 0 LAGARDERE GROUPE S C A ADR SPO COMMON 507069102 66 1,095 X 779 0 316 HENKEL KGAA COMMON 5076705 14,612 242,400 X 190,500 0 51,900 MEDIASET SPA COMMON 5077946 42,120 2,827,600 X 2,532,300 0 295,300 SMEDVIG ASA B COMMON 5120066 5,523 309,500 X 212,900 0 96,600 LAM RESEARCH CORP COMMON 512807108 84 4,018 X 3,318 0 700 LAM RESEARCH 5.00% 9/01/2002 CONVERT 512807AC2 94 90,000 X 0 0 90,000 LAMAR ADVERTISING CO CONVERT 512815AF8 12,452 12,421,000 X 11,460,000 0 961,000 NOVO NORDISK AS SER B COMMON 5154656 51,653 232,900 X 204,300 0 28,600 LARGE SCALE BIOLOGY CORP COMMON 517053104 16,273 496,900 X 474,200 0 22,700 FRANCE TELECOM S.A. COMMON 5176177 48,648 454,100 X 401,000 0 53,100 LAUDER ESTEE COS INC CL A COMMON 518439104 3,032 82,782 X 77,237 0 5,545 UNIQUE INTL COMMON 5184716 6,154 303,183 X 236,383 0 66,800 LEARNING TREE INTL INC COMMON COMMON 522015106 28,941 607,700 X 470,000 0 137,700 SAMPO INSURANCE CO LTD A COMMON 5226038 16,192 331,200 X 261,000 0 70,200 LEGATO SYS INC COMMON COMMON 524651106 54 4,000 X 0 0 4,000
PORTVUE-SEC13F.LRP PAGE 22 RUN DATE: 11/03/00 08:25 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) (ITEM 7) (ITEM 8) INVESTMENT VOTING AUTHORITY DISCRETION (SHARES) ----------------- ------------------------------ NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER SOLE SHARED NONE ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) MGR (A) (B) (C) ------------------------------- ------- ---------- -------------- ------------ ----- ----- ----- -- --------- --------- --------- LEGG MASON INC COMMON 524901105 3,854 66,300 X 66,300 0 0 LEHMAN BROS HLDGS INC COMMON 524908100 1,040 7,000 X 7,000 0 0 AHOLD (KON) NV COMMON 5252602 23,056 813,150 X 713,800 0 99,350 PROSIEBEN MEDIA AG COMMON 5252884 15,165 132,700 X 104,700 0 28,000 AUTOGRILL SPA COMMON 5256206 22,944 1,963,750 X 1,551,250 0 412,500 LENNAR CORP COMMON 526057104 610 20,500 X 4,300 0 16,200 LENNAR CORP CONVERT 526057AA2 16,135 33,354,000 X 30,391,000 0 2,963,000 ENDESA COMMON 5271782 42,748 2,274,250 X 2,035,300 0 238,950 LEVEL 3 COMMUNICATIONS I CONVERT 52729NAG5 9,424 7,000,000 X 7,000,000 0 0 ALTANA AG COMMON 5273131 11,207 97,700 X 82,100 0 15,600 LEXMARK INTL GROUP INC CL A COMMON 529771107 7 165 X 78 0 87 LIBERTY MEDIA CORP CONVERT 530715AG6 24,523 26,123,000 X 25,105,000 0 1,018,000 SWISSLOG HOLDING CHF20 COMMON 5310715 21,812 35,300 X 28,800 0 6,500 LIBERTY SATELLITE & TECH COMMON 531182103 1,658 156,000 X 156,000 0 0 TGS NOPEC GEOPHYSICAL COMMON 5321676 6,885 504,100 X 403,900 0 100,200 LIFEPOINT HOSPS INC COM COMMON 53219L109 16,507 465,000 X 339,100 0 125,900 LIGHTBRIDGE INC COMMON 532226107 2,194 188,700 X 0 0 188,700 GN STORE NORD COMMON 5323274 37,288 262,700 X 217,100 0 45,600 LILLY ELI AND COMPANY COMMON 532457108 4,675 57,620 X 52,420 0 5,200 LIMITED INC COMMON 532716107 542 24,600 X 7,400 0 17,200 LINCOLN NATL CORP IND COMMON 534187109 23,702 492,500 X 70,700 0 421,800 LINEAR TECHNOLOGY CORP COMMON 535678106 86 1,333 X 1,147 0 186 LION BIOSCIENCE AKTIENGESELLAD COMMON 536191109 15,799 160,583 X 64 85,217 291 10,190 LITHIA MTRS INC COMMON 536797103 958 79,000 X 55,600 0 23,400 LITTELFUSE INC COMMON 537008104 3,096 104,300 X 104,300 0 0 PROKOM SOFTWARE COMMON 5372878 8,383 188,100 X 188,100 0 0 ERGO VERSICHERUNGS GRP COMMON 5377947 16,777 111,900 X 96,900 0 15,000 NORDIC BALTIC HLDG AB COMMON 5380031 38,442 5,366,870 X 4,713,600 0 653,270 LIZ CLAIBORNE INC COMMON 539320101 7,559 196,324 X 182,024 0 14,300 KONINKLIJKE NUMICO NV COMMON 5402601 46,648 909,060 X 814,300 0 94,760 LOEWS CORP CONVERT 540424AL2 9,315 10,540,000 X 10,540,000 0 0 LOGITECH INTL S A SPONSORED AD COMMON 541419107 18,402 598,473 X 23 314,787 9,887 37,738 LONDON PAC GROUP LTD COMMON 542073101 8,049 405,000 X 278,800 0 126,200 LONE STAR TECHNOLOGIES I COMMON 542312103 6,613 143,300 X 141,600 0 1,700 ALTADIS SA COMMON 5444012 35,036 2,428,340 X 2,156,200 0 272,140 AKZO NOBEL NLG5 COMMON 5458314 29,358 696,000 X 626,100 0 69,900 LOUIS DREYFUS NAT GAS CO COMMON 546011107 20,383 514,400 X 366,300 0 148,100 SKANDIA FORSAKRINGS AB COMMON 5461572 1,953 98,500 X 98,500 0 0 STRAUMANN HOLDINGS AG COMMON 5464355 28,066 12,600 X 9,900 0 2,700 CE CONSUMER ELECTRONIC COMMON 5465972 6,213 205,200 X 163,200 0 42,000 AIXTRON ORD COMMON 5468346 33,959 271,770 X 217,470 0 54,300 ALSTOM COMMON 5474978 291 12,620 X 0 0 12,620 GRETAG IMAGING GRP COMMON 5476305 22,783 100,200 X 81,700 0 18,500 CESKE RADIOKOMUNIKACE COMMON 5479207 736 19,420 X 19,420 0 0
PORTVUE-SEC13F.LRP PAGE 23 RUN DATE: 11/03/00 08:25 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) (ITEM 7) (ITEM 8) INVESTMENT VOTING AUTHORITY DISCRETION (SHARES) ----------------- ------------------------------ NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER SOLE SHARED NONE ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) MGR (A) (B) (C) ------------------------------- ------- ---------- -------------- ------------ ----- ----- ----- -- --------- --------- --------- INTRACOM COMMON 5482023 15,355 451,165 X 451,165 0 0 LOWES CO COMMON 548661107 4 80 X 80 0 0 ZURICH ALLIED AG COMMON 5486779 41,133 88,980 X 77,930 0 11,050 SEZ HOLDING AG COMMON 5493995 22,768 29,700 X 21,900 0 7,800 LUCENT TECHNOLOGIES INC COM COMMON 549463107 5 157 X 110 0 47 REXEL COMMON 5499335 7,468 99,800 X 77,700 0 22,100 INTERSHOP COMM COMMON 5499551 31,906 486,945 X 413,000 0 73,945 LYNX THERAPEUTICS INC COM NEW COMMON 551812308 711 22,700 X 4,800 0 17,900 M & T BK CORP COMMON 55261F104 2,040 4,000 X 2,500 0 1,500 MBNA CORP COMMON 55262L100 31,049 806,475 X A 79,025 0 714,650 MCSI INC COMMON 55270M108 3,816 113,500 X 83,700 0 29,800 MEMC ELECTR MATLS INC COMMON 552715104 2,717 211,000 X 130,300 0 80,700 MGIC INVT CORP WIS COMMON 552848103 4 58 X 58 0 0 MGI PHARMA INC COMMON 552880106 6,609 220,300 X 158,400 0 61,900 MGM MIRAGE COMMON 552953101 103,437 2,708,660 X 2,369,734 0 34,826 MKS INSTRUMENT INC COMMON 55306N104 266 9,700 X 7,300 0 2,400 MMC NETWORKS INC COM COMMON 55308N102 51,068 403,700 X 271,000 0 132,700 MRV COMMUNICATIONS INC COM COMMON 553477100 24,451 539,600 X 430,900 0 108,700 MSC INDL DIRECT INC COMMON 553530106 1,450 95,100 X 90,800 0 4,300 MACERICH CO COMMON 554382101 301 14,160 X 14,160 0 0 MACROVISION CORP COM COMMON 555904101 62,986 777,600 X 637,700 0 139,900 MACROMEDIA INC COMMON COMMON 556100105 13,108 162,214 X 146,652 0 15,562 MACRONIX INTL LTD ADR SPONSORE COMMON 556103109 4 290 X 30 103 0 157 FRONTLINE LTD COMMON 5561052 15,042 965,075 X 756,113 0 208,962 MADDEN STEVEN LTD COMMON 556269108 288 33,420 X 33,420 0 0 CLASS EDITORI COMMON 5574878 20,758 1,292,453 X 1,066,153 0 226,300 TECIS HOLDING AG COMMON 5575268 3,307 45,700 X 37,000 0 8,700 GRUPO ACCIONA SA COMMON 5579107 12,905 390,400 X 313,700 0 76,700 MAGNA INTL INC CL A COMMON 559222401 533 12,326 X 984 0 11,342 FORTIS (B) EUR COMMON 5596593 316 10,280 X 0 0 10,280 MAGYAR TAVKOZLESI RT ADR SPONS COMMON 559776109 6 294 X 8 164 0 122 SENATOR FILM AG COMMON 5602713 20,565 1,090,000 X 859,000 0 231,000 MAIL-WELL INC CONVERT 560321AD3 7,121 9,000,000 X 9,000,000 0 0 MAINSPRING INC COMMON 56062U100 565 75,900 X 54,100 0 21,800 MANAGEMENT NETWORK GROUP COMMON 561693102 2,818 135,000 X 125,600 0 9,400 INTERTAINMENT AG COMMON 5617029 4,684 91,520 X 68,600 0 22,920 MANHATTAN ASSOCS INC COM COMMON 562750109 45,634 745,050 X 576,050 0 169,000 MANNESMANN A G SPONS COMMON 563775303 3 22 X 22 0 0 MANPOWER INC COMMON 56418H100 12,680 397,000 X 366,900 0 30,100 MANUFACTURED HOME CMNTYS COMMON 564682102 336 13,450 X 13,450 0 0 MANUGISTICS GROUP INC COMMON 565011103 45,353 462,200 X 403,000 0 59,200 MANULIFE FINL CORP COM COMMON 56501R106 17,544 845,479 X 30 473,301 13,239 50,791 MAPINFO CORP COMMON 565105103 4,382 139,950 X 136,350 0 3,600 ADVA AG OPTICAL NETWORK COMMON 5653487 34,274 361,300 X 295,900 0 65,400
PORTVUE-SEC13F.LRP PAGE 24 RUN DATE: 11/03/00 08:25 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) (ITEM 7) (ITEM 8) INVESTMENT VOTING AUTHORITY DISCRETION (SHARES) ----------------- ------------------------------ NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER SOLE SHARED NONE ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) MGR (A) (B) (C) ------------------------------- ------- ---------- -------------- ------------ ----- ----- ----- -- --------- --------- --------- ABB LTD COMMON 5661190 2,994 30,800 X 30,800 0 0 SYNTHES STRATEC COMMON 5661480 23,094 34,000 X 27,980 0 6,020 MARCHFIRST INC COM COMMON 566244109 33 2,044 X 1,081 0 963 MARCONI PLC ADR COMMON 566306106 0 8 X 8 0 0 MARCONI PLC ADR SPONSORED COMMON 566306205 603 22,054 X 79 2,494 0 11,583 TELEGATE AG COMMON 5665750 11,235 106,100 X 80,400 0 25,700 D LOGISTICS AG COMMON 5669279 9,055 135,200 X 106,500 0 28,700 SANOFI SYNTHELABO COMMON 5671735 75,281 1,400,800 X 1,228,800 0 172,000 MARIMBA INC COMMON 56781Q109 826 67,600 X 33,500 0 34,100 SUESS MICROTEC AG COMMON 5679137 8,123 254,700 X 199,500 0 55,200 MARINE DRILLING COS INC COM PA COMMON 568240204 36,457 1,276,400 X 889,500 0 386,900 GRUPO DRAGADOS SA COMMON 5687000 13,304 1,673,200 X 1,313,900 0 359,300 VIVENDI EX GEN DES EAUX COMMON 5687237 475 6,390 X 0 0 6,390 TECAN AG COMMON 5696200 13,903 13,060 X 10,260 0 2,800 ELISA COMMUNICATIONS OYJ COMMON 5701513 22,334 625,064 X 555,633 0 69,430 PERLOS OYJ COMMON 5703133 12,129 459,700 X 361,700 0 98,000 SVENSKA HANDELSBANKEN AB COMMON 5703661 67,250 4,179,500 X 3,705,700 0 473,800 GALERIES LAFAYETTE COMMON 5704556 20,250 116,600 X 95,100 0 21,500 NEG MICON A/S COMMON 5705593 15,777 296,400 X 232,900 0 63,500 BANCO SANTANDER CENTRAL COMMON 5705946 57,217 5,212,100 X 4,665,200 0 546,900 SINGULUS TECHNOLOGIES COMMON 5718665 16,255 345,600 X 271,700 0 73,900 MARSCHOLLEK LAUT UND PRT COMMON 5720284 20,732 138,200 X 108,900 0 29,300 AUSTRIA TECHNOLOGIE & SY COMMON 5724112 8,427 276,800 X 216,600 0 60,200 VERSATEL TELECOM INTL NV COMMON 5731532 11,175 485,200 X 380,400 0 104,800 QIAGEN NV COMMON 5732825 27,059 568,900 X 507,800 0 61,100 MARUBENI CORP ADR COMMON 573810207 11 417 X 249 0 168 MARUI LTD ADR NEW COMMON 573814308 48 1,526 X 86 427 0 230 SOL MELIA SA COMMON 5738298 10,874 1,113,100 X 873,500 0 239,600 BAYER MOTOREN WERK COMMON 5756029 60,159 1,759,280 X 1,563,100 0 196,180 HON HAI PREC GDR REG S COMMON 5758218 3,882 300,907 X 300,907 0 0 MASTEC INC COM COMMON 576323109 24,623 787,973 X 619,024 0 168,949 MATRIX PHARMACEUTICAL IN COMMON 576844104 3,458 222,200 X 163,500 0 58,700 HYUNDAI MTRS REG S COMMON 5772661 1,197 169,800 X 169,800 0 0 MAXTOR CORP COMMON 577729205 10,518 1,001,700 X 1,001,700 0 0 MAXIM INTEGRATED PRODS INC COMMON 57772K101 132,288 1,644,610 X A 893,334 146,478 186,218 MAY DEPT STORES CO COMMON 577778103 1 40 X 0 0 40 MAVERICK TUBE CORP COMMON 577914104 9,907 367,788 X 280,388 0 87,400 MAYTAG CORP COM COMMON 578592107 3 118 X 82 0 36 MCAFEE COM CORP COMMON 579062100 1,596 107,300 X 107,300 0 0 PERBIO SCIENCE AB COMMON 5797556 2,956 302,900 X 249,100 0 53,800 MCCORMICK & CO INC COMMON 579780206 5,260 176,800 X 176,800 0 0 MCDATA CORP COMMON 580031102 1,364 11,100 X 11,100 0 0 MCDONALDS CORP COMMON 580135101 704 23,320 X 23,200 0 120 DRESDNER BANK AG COMMON 5801628 51,376 1,169,540 X 1,028,100 0 141,440
PORTVUE-SEC13F.LRP PAGE 25 RUN DATE: 11/03/00 08:25 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) (ITEM 7) (ITEM 8) INVESTMENT VOTING AUTHORITY DISCRETION (SHARES) ----------------- ------------------------------ NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER SOLE SHARED NONE ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) MGR (A) (B) (C) ------------------------------- ------- ---------- -------------- ------------ ----- ----- ----- -- --------- --------- --------- MCGRAW HILL INC COMMON 580645109 9,725 153,000 X 143,500 0 9,500 F SECURE OYJ COMMON 5806850 8,555 1,303,100 X 1,011,800 0 291,300 DIREKT ANLAGE BANK AG COMMON 5811928 8,258 167,100 X 161,900 0 5,200 MCK COMMUNICATIONS INC COMMON 581243102 1,738 76,800 X 54,600 0 22,200 MCKESSON HBOC INC COMMON 58155Q103 10,486 343,100 X 343,100 0 0 MCLEODUSA INC COM COMMON 582266102 22,634 1,581,420 X 31 1,359,115 1,210 217,901 MCLEODUSA INC PREFERD 582266201 19,140 46,272 X 42,886 0 3,386 SCHNEIDER RUNDFUNKWERKE COMMON 5824272 6,768 123,700 X 83,700 0 40,000 MEADE INSTRUMENTS CORP COMMON 583062104 7,033 348,400 X 208,400 0 140,000 MECHANICAL TECHNOLOGY IN COMMON 583538103 4,889 452,200 X 368,600 0 83,600 TOMRA SYSTEMS ASA COMMON 5837010 25,146 764,790 X 600,990 0 163,800 MEDAREX INC COM COMMON 583916101 76,047 648,235 X 16 288,062 56,324 139,691 MEDICINES CO COMMON 584688105 3,077 90,000 X 90,000 0 0 MEDICIS PHARMACEUTICAL C COMMON 584690309 40,058 651,348 X 529,862 0 121,486 MEDIMMUNE INC COMMON COMMON 584699102 377,373 4,885,091 X C 2,406,714 215,215 1,637,771 MEDTRONIC INC COMMON 585055106 2,179 42,050 X 42,050 0 0 ACCOR SA COMMON 5852842 30,603 824,520 X 724,100 0 100,420 MELLON FINL CORP COMMON 58551A108 3,668 79,100 X 61,700 0 17,400 MELTRONIX INC COM COMMON 585730104 0 66 X 66 0 0 0 FINMECCANICA SPA COMMON 5859951 42,962 36,277,580 X 31,882,700 0 4,394,880 MENS WEARHOUSE INC COMMON 587118100 17,155 605,900 X 426,650 0 179,250 MENTOR GRAPHICS CORP COMMON 587200106 13,571 576,000 X 477,600 0 98,400 MERCANTILE BANKSHARES CO COMMON 587405101 639 17,600 X 11,100 0 6,500 MERCK & CO INC COMMON 589331107 136,530 1,834,150 X C 734,500 0 1,095,350 MERCURY INTERACTIVE CORPCOMMON COMMON 589405109 386,257 2,464,157 X A 1,567,676 142,795 342,318 MERCURY INTERACT 144A CONVERT 589405AA7 29,611 19,135,000 X 18,181,000 0 954,000 MEREDITH CORP COM COMMON 589433101 13 442 X 0 0 442 MERIX CORP COMMON 590049102 56,432 870,700 X 658,700 0 212,000 MERRILL LYNCH & CO INC COMMON 590188108 983 14,900 X 9,900 0 5,000 METASOLV SOFTWARE INC COM COMMON 591393103 2 50 X 50 0 0 METHODE ELECTRS INC COMMON 591520200 21,155 477,400 X 415,400 0 62,000 METLIFE INC EQTY SEC UNIT CONVERT 59156R207 132 1,550 X 0 0 1,550 METRIS COS INC COMMON 591598107 51,341 1,299,777 X 1,056,777 0 243,000 METRO GOLDWYN MAYER INC COMMON 591610100 1,269 52,892 X 52,892 0 0 METROMEDIA FIBER NETWORK INCCL COMMON 591689104 72,304 2,974,000 X 10 1,302,991 365,691 260,576 TELESENS AG COMMON 5922994 7,554 148,100 X 116,400 0 31,700 METTLER-TOLEDO INTL INC COM COMMON 592688105 10,525 239,200 X 209,000 0 30,200 AEGON NLG 0.50 COMMON 5927375 2,071 54,900 X 54,900 0 0 THIEL LOGISTIK AG COMMON 5928776 22,894 155,800 X 122,500 0 33,300 SSI LTD GDR REG S COMMON 5932205 1,312 226,200 X 226,200 0 0 MICHAEL FOOD INC NEW COMMON 594079105 1,636 70,000 X 70,000 0 0 MICHAELS STORES INC COMMON 594087108 17,592 439,800 X 394,300 0 45,500 MICREL INC COMMON 594793101 75,362 1,124,800 X 938,300 0 186,500 MICROSOFT CORP COMMON 594918104 53,975 894,928 X 40 370,974 1,493 518,428
PORTVUE-SEC13F.LRP PAGE 26 RUN DATE: 11/03/00 08:25 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) (ITEM 7) (ITEM 8) INVESTMENT VOTING AUTHORITY DISCRETION (SHARES) ----------------- ------------------------------ NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER SOLE SHARED NONE ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) MGR (A) (B) (C) ------------------------------- ------- ---------- -------------- ------------ ----- ----- ----- -- --------- --------- --------- ASM LITHOGRAPHY HOLDING COMMON 5949368 409 12,326 X 5,000 0 7,326 MICROCHIP TECHNOLOGY INC COMMON 595017104 9,154 276,875 X 218,100 0 58,775 MICROMUSE INC COM COMMON 595094103 145,940 726,302 X A 359,973 74,107 80,531 TELELOGIC AB COMMON 5951266 10,765 1,346,700 X 1,033,000 0 313,700 MICROSEMI CORP COMMON 595137100 22,463 589,200 X 393,900 0 195,300 MICROTUNE INC DEL COMMON 59514P109 1,077 20,100 X 1,400 0 18,700 MID ATLANTIC MED SVCS IN COMMON 59523C107 11,710 774,200 X 601,000 0 173,200 ISS DC COMMON 5952816 17,754 285,900 X 223,900 0 62,000 ERICSSON LM TEL COMMON 5959378 1,072 70,481 X 19,200 0 51,281 UBS AG COMMON 5962354 41,696 313,340 X 279,200 0 34,140 VESTAS WIND SYSTEMS A/S COMMON 5964651 38,166 746,900 X 580,800 0 166,100 HIQ INTERNATIONAL AB COMMON 5972494 6,501 797,700 X 625,600 0 172,100 ALCATEL COMMON 5975006 46,470 726,346 X 649,400 0 76,946 SERONO SA B COMMON 5981070 34,304 28,100 X 24,800 0 3,300 DANONE COMMON 5981810 19,512 142,102 X 126,512 0 15,590 ENEA DATA AB COMMON 5985191 15,359 2,665,800 X 2,101,200 0 564,600 KONINKLIJKE PHILIPS ELEC COMMON 5986622 229 5,331 X 0 0 5,331 M6 METROPOLE TELEVISION COMMON 5993901 5,916 118,339 X 93,039 0 25,300 TELEVISION FRANCAISE COMMON 5997118 45,305 789,840 X 702,780 0 87,060 PYROSEQUENCING AB COMMON 5997141 7,364 492,600 X 411,200 0 81,400 MILLENNIUM PHARMACTCLS INC COM COMMON 599902103 152,959 1,077,391 X A 540,231 101,631 149,976 MILLENNIUM PHARMACEUTICA CONVERT 599902AB9 30,911 16,157,000 X 14,948,000 0 1,209,000 MILLIPORE CORP COMMON 601073109 6,981 144,117 X 13 37,371 0 106,733 CHINA SOUTHERN AIRLINES COMMON 6013693 6,109 19,642,000 X 19,642,000 0 0 ALL NIPPON AIRWAYS CO COMMON 6014908 11,447 3,436,000 X 2,694,000 0 742,000 ALPS ELECTRIC CO COMMON 6021500 30,073 1,377,000 X 1,081,000 0 296,000 AMANO COMMON 6027304 924 90,000 X 0 0 90,000 CRESCO LIMITED 4674JP COMMON 6036009 753 11,000 X 1,000 0 10,000 NET ONE SYSTEMS CO7518JP COMMON 6036548 938 33 X 3 0 30 MINIMED INC COMMON COMMON 60365K108 119,103 1,332,621 X A 913,231 83,498 94,874 MINNESOTA MNG & MFG CO COMMON 604059105 42,528 466,700 X 28,500 0 438,200 MIPS TECHNOLOGIES INC COMMON 604567107 3,910 85,000 X 72,500 0 12,500 PT BANK UNIVERSAL TBK COMMON 6052469 105 13,218,500 X 0 013,218,500 ASATSU INC. COMMON 6056052 205 6,000 X 6,000 0 0 MITSUBISHI ELEC CORP ADR COMMON 606776201 16,782 202,476 X 72 110,770 3,117 15,593 CHINA MOBILE (HONG KONG) COMMON 6073556 34,465 5,192,600 X 5,192,600 0 0 NATSTEEL ELECTRONICS LTD COMMON 6073750 9,245 3,575,500 X 3,575,500 0 0 BANK HAPOALIM LTD COMMON 6075808 20,175 6,578,800 X 6,578,800 0 0 MODERN TIMES GROUP MTG AB ADR COMMON 607698107 86 665 X 99 519 47 MOLECULAR DEVICES CORP COMMON 60851C107 2,515 25,600 X 24,640 0 960 JIT HOLDINGS COMMON 6085409 60 24,000 X 24,000 0 0 MORITEX CORPORATION 7714 COMMON 6086769 1,185 10,000 X 1,000 0 9,000 MONACO COACH CORP COMMON 60886R103 7,249 439,310 X 322,411 0 116,899 RELIANCE INDUSTRY DEMAT COMMON 6099626 10,242 1,376,200 X 1,376,200 0 0
PORTVUE-SEC13F.LRP PAGE 27 RUN DATE: 11/03/00 08:25 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) (ITEM 7) (ITEM 8) INVESTMENT VOTING AUTHORITY DISCRETION (SHARES) ----------------- ------------------------------ NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER SOLE SHARED NONE ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) MGR (A) (B) (C) ------------------------------- ------- ---------- -------------- ------------ ----- ----- ----- -- --------- --------- --------- EGYPTIAN MOBILE PHONE COMMON 6103925 2,754 122,800 X 122,800 0 0 STANDARD BANK COMMON 6108005 85 22,160 X 21,900 0 260 POWERCHIP SEMICONDUCTOR COMMON 6108997 215 195,000 X 195,000 0 0 COMPUTER & TECHNOLOGIES COMMON 6115113 3,040 4,052,000 X 4,052,000 0 0 MONTANA PWR CO COM COMMON 612085100 10 303 X 206 0 97 TREND MICRO COMMON 6125286 31,219 232,500 X 205,000 0 27,500 FUJITSU SUPPORT &SERVICE COMMON 6127130 441 3,700 X 0 0 3,700 NTT DOMOCO INC. COMMON 6129277 36,175 1,261 X 1,066 0 195 BRIDGESTONE 5108JP COMMON 6132101 638 53,000 X 4,000 0 49,000 HANARO TELECOM INC COMMON 6134817 276 59,913 X 59,913 0 0 SHANDONG INTL PWR H COMMON 6142780 180 1,124,000 X 1,124,000 0 0 VIA TECHNOLOGIES INC COMMON 6146823 1,442 136,500 X 136,500 0 0 SIAM COMMERCIAL BK CONV PREFERD 6153726 10,342 26,855,300 X 26,855,300 0 0 HSBC HOLDINGS PLC COMMON 6158163 57,021 4,078,795 X 3,675,995 0 402,800 CKD CORP COMMON 6160050 495 54,000 X 4,000 0 50,000 PAC CENTURY CYBERWORKS COMMON 6164007 157 139,000 X 0 0 139,000 PROTEL INTERNATIONAL LTD COMMON 6167697 1,099 402,000 X 277,500 0 124,500 MORGAN J P & CO INC COMMON 616880100 4,035 24,700 X 16,400 0 8,300 MORGAN STANLEY DEAN WITTER DIS COMMON 617446448 13,465 147,260 X 60 142,900 0 4,300 MORGAN STANLEY (CISCO) CONVERT 617446CY3 14,175 5,000,000 X 4,591,000 0 409,000 OBIC BUSINESS CONSULT LT COMMON 6174620 2,648 28,900 X 20,900 0 8,000 HONDA TSUSHIN KOGYO CO COMMON 6174631 1,064 25,000 X 1,250 0 23,750 DBS HOLDINGS COMMON 6175203 1,396 126,578 X 126,578 0 0 CHEUNG KONG (HOLDINGS) COMMON 6190273 62,846 5,199,000 X 4,676,000 0 523,000 CITIC PACIFIC COMMON 6196152 10,153 2,356,000 X 2,140,000 0 216,000 CITIZEN WATCH CO COMMON 6197304 35,778 3,330,000 X 2,521,000 0 809,000 MOTIENT CORP COMMON 619908106 5,694 403,100 X 376,200 0 26,900 ITOCHU TECHNO SCIENCE COMMON 6200194 44,837 244,700 X 211,400 0 33,300 MOTOROLA INC COMMON 620076109 1,056 35,809 X 32,824 0 2,985 KOREA TELECOM FREETEL COMMON 6201421 6,825 155,960 X 155,960 0 0 INFOSYS TECH DEMAT COMMON 6205122 12,328 77,280 X 77,280 0 0 TANAKA CHAEMICAL CORP COMMON 6214203 219 11,000 X 0 0 11,000 COMMONWEALTH BK OF AUST COMMON 6215035 420 28,100 X 28,100 0 0 LEGEND HOLDINGS LTD COMMON 6218089 7,805 8,224,000 X 8,224,000 0 0 HONGKONG.COM CORP COMMON 6219305 19 249,200 X 249,200 0 0 LIVIN' ON THE EDGE CO COMMON 6223135 316 18 X 3 0 15 SK TELECOM CO LTD COMMON 6224871 27,101 111,110 X 111,110 0 0 PETROCHINA CO LTD COMMON 6226576 76,967 377,425,600 X 3 60,488,600 016,937,000 OPEN TELECOMMUNICATIONS COMMON 6239477 2,079 2,000,000 X 2,000,000 0 0 SATYAM COMPUTER SVCS DMT COMMON 6241858 4,771 450,800 X 450,800 0 0 DATACRAFT ASIA COMMON 6246831 64,374 7,755,884 X 7,755,884 0 0 MUELLER INDS INC COMMON 624756102 329 14,660 X 14,660 0 0 DAIICHI PHARM CO COMMON 6250218 15,038 592,000 X 446,000 0 146,000 DAIKIN KOGYO CO COMMON 6250724 31,142 1,614,000 X 1,405,000 0 209,000
PORTVUE-SEC13F.LRP PAGE 28 RUN DATE: 11/03/00 08:25 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) (ITEM 7) (ITEM 8) INVESTMENT VOTING AUTHORITY DISCRETION (SHARES) ----------------- ------------------------------ NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER SOLE SHARED NONE ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) MGR (A) (B) (C) ------------------------------- ------- ---------- -------------- ------------ ----- ----- ----- -- --------- --------- --------- DATAPULSE TECH COMMON 6253206 324 1,139,000 X 1,139,000 0 0 MULTEX COM INC COMMON 625367107 1,188 69,400 X 34,500 0 34,900 DIMENSION DATA HLDGS PLC COMMON 6264639 45,412 4,908,986 X 4,908,986 0 0 MURPHY OIL CORP COMMON 626717102 4,064 62,700 X 8,000 0 54,700 SEIKOH GIKEN CO LTD COMMON 6277552 449 1,000 X 0 0 1,000 JOHNSON ELECTRIC HLDGS COMMON 6281939 47 22,000 X 22,000 0 0 GIORDANO INTL LIMITED COMMON 6282040 12,435 21,426,000 X 18,560,000 0 2,866,000 MYLAN LABS INC COMMON 628530107 3,055 113,400 X 113,400 0 0 MYRIAD GENETICS INC COMMON 62855J104 30,706 355,500 X 324,100 0 31,400 LI & FUNG LTD COMMON 6286257 3,747 1,776,000 X 1,776,000 0 0 MIZUHO HOLDINGS INC. COMMON 6286280 404 49 X 49 0 0 NBTY INC COMMON 628782104 2,409 368,800 X 314,400 0 54,400 NCI BUILDING SYS INC COMMON 628852105 286 19,550 X 19,550 0 0 NCO GROUP INC COMMON 628858102 186 15,690 X 15,690 0 0 FUJITSU BROAD SOLUTION COMMON 6289751 398 8,600 X 3,800 0 4,800 NEC CORP ADR ORD COMMON 629050204 16,429 147,511 X 56 78,856 2,408 10,161 NL INDS INC COMMON 629156407 994 46,900 X 46,900 0 0 NPS PHARMACEUTICALS INC COMMON 62936P103 20,357 359,900 X 357,300 0 2,600 NRG ENERGY INC COMMON 629377102 27,211 745,500 X 644,400 0 101,100 NTL INC COM COMMON 629407107 10 233 X 184 0 49 NTL INC 7.00% 12/15/2008 CONVERT 629407AL1 62 47,000 X 0 0 47,000 NTL INC 144A CONVERT 629407AN7 14,986 21,486,000 X 20,219,000 0 1,267,000 NTL DEL INC / NTL INC CONVERT 62940TAA7 1,248 1,776,000 X 1,776,000 0 0 NTT DOCOMO INC COMMON 62942M201 90 627 X 88 417 0 122 NUI CORP COMMON 629430109 314 10,390 X 10,390 0 0 NVR INC COMMON 62944T105 543 6,700 X 3,100 0 3,600 NABORS INDS INC COMMON 629568106 62,851 1,199,453 X 1,007,199 0 192,254 NACCO INDS INC COMMON 629579103 423 10,080 X 10,080 0 0 EAST JPN RAILWAY COMMON 6298542 545 98 X 98 0 0 NANOMETRICS INC COMMON 630077105 25,933 485,300 X 331,300 0 154,000 ELEC & ELTEK COMMON 6308032 41 335,000 X 335,000 0 0 FAST RETAILING CO 9983 COMMON 6332439 204 1,000 X 1,000 0 0 NATIONAL BK GREECE S A ADR SPO COMMON 633643408 7,387 875,425 X 28 520,536 21,988 47,509 COSCO PACIFIC COMMON 6354251 25,940 34,280,000 X 29,070,000 0 5,210,000 NATIONAL COMM BANCORP COMMON 635449101 1,256 63,000 X 63,000 0 0 NATIONAL DISC BROKERS GR COMMON 635646102 984 31,800 X 31,800 0 0 FUJIKURA COMMON 6356707 21,801 2,647,000 X 2,017,000 0 630,000 FUJISAWA PHARMACEUTICAL COMMON 6356804 516 14,000 X 14,000 0 0 FANUC LTD COMMON 6356934 69,559 629,000 X 561,700 0 67,300 FUJITSU LTD COMMON 6356945 41,648 1,793,000 X 1,562,000 0 231,000 FURUKAWA ELECTRIC COMMON 6357562 46,794 1,694,000 X 1,510,000 0 184,000 NATIONAL INSTRS CORP COMMON 636518102 11,894 269,550 X 237,650 0 31,900 NATIONAL-OILWELL INC COMMON 637071101 43,828 1,402,500 X 1,186,800 0 215,700 NATIONAL PWR PLC ADR SPONSORED COMMON 637194705 20,466 296,609 X 10 157,518 18,370 16,891
PORTVUE-SEC13F.LRP PAGE 29 RUN DATE: 11/03/00 08:25 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) (ITEM 7) (ITEM 8) INVESTMENT VOTING AUTHORITY DISCRETION (SHARES) ----------------- ------------------------------ NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER SOLE SHARED NONE ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) MGR (A) (B) (C) ------------------------------- ------- ---------- -------------- ------------ ----- ----- ----- -- --------- --------- --------- NATIONAL R V HLDGS INC COMMON 637277104 261 25,960 X 25,960 0 0 LG CABLE LTD COMMON 6375780 6,339 415,800 X 415,800 0 0 NATURAL MICROSYSTEMS CORP COM COMMON 638882100 57,891 1,076,100 X 963,500 0 112,600 NAVIDEC INC COMMON 63934Q101 2,170 280,000 X 197,400 0 82,600 NAVISITE INC COMMON 63935M109 6,899 256,100 X 212,500 0 43,600 NAVIGANT CONSULTING INC COM COMMON 63935N107 0 151 X 151 0 0 NEIMAN MARCUS GROUP INC COMMON 640204202 671 20,700 X 20,700 0 0 HALLA CLIMATE CONTROL COMMON 6404316 480 15,820 X 15,820 0 0 NEON COMMUNICATIONS INC COMMON 640506101 7,809 223,900 X 162,600 0 61,300 NEORX CORP COMMON 640520300 8,568 349,700 X 228,800 0 120,900 NEOSE TECHNOLOGIES INC COMMON 640522108 585 12,100 X 12,100 0 0 HANKUK ELECTRIC GLASS CO COMMON 6409162 5,177 91,640 X 91,640 0 0 NEOPHARM INC COMMON 640919106 15,772 399,300 X 371,300 0 28,000 NESTLE S A SPON ADR REG COMMON 641069406 17,986 172,715 X 64 92,859 2,763 12,252 NETEGRITY INC COMMON 64110P107 30,433 434,750 X 346,850 0 87,900 NETOPIA INC COMMON 64114K104 7,182 652,900 X 506,100 0 146,800 NETRO CORP COMMON 64114R109 50,475 851,900 X 744,700 0 107,200 NETSPEAK CORP COMMON 64115D109 2,405 212,600 X 205,000 0 7,600 NETIQ CORP COM COMMON 64115P102 13,066 198,906 X 162,974 0 35,932 NETWORK APPLIANCE INC COMMON COMMON 64120L104 425,837 3,343,163 X A 2,388,171 96,474 533,509 CHINA MERCHANTS (HLDGS) COMMON 6416139 4,509 5,908,000 X 5,908,000 0 0 HIKARI TSUSHIN INC COMMON 6416322 4,524 117,800 X 93,200 0 24,600 HIROSE ELECTRIC6806JP COMMON 6428725 457 3,500 X 0 0 3,500 HITACHI COMMON 6429104 27,004 2,327,000 X 2,064,000 0 263,000 HITACHI CABLE 5812JP COMMON 6429148 16,140 1,418,000 X 1,081,000 0 337,000 HON HAI PRECISION COMMON 6438564 5,378 817,880 X 817,880 0 0 HOYA CORP COMMON 6441506 10,370 132,300 X 116,300 0 16,000 HUTCHISON WHAMPOA COMMON 6448068 75,562 5,692,284 X 5,191,684 0 500,600 HYUNDAI ELECTRONICS IND COMMON 6450267 28,216 1,972,710 X 1,972,710 0 0 HYUNDAI MOTOR CO LTD COMMON 6451055 14,978 1,151,890 X 1,151,890 0 0 IMPALA PLATINUM HOLDINGS COMMON 6457804 26,659 616,600 X 616,600 0 0 JAPAN ASSOC FIN COMMON 6471439 292 2,000 X 0 0 2,000 PT JAYA REAL PROPERTY COMMON 6478106 30 480,000 X 500 0 479,500 KEYENCE CORP 6861JP COMMON 6490995 1,589 4,590 X 4,480 0 110 NEW WORLD DEV LTD ADR SPONSORE COMMON 649274305 10,384 3,645,950 X 13 1,991,905 6,434 261,893 KIRIN BREWERY COMMON 6493745 4,838 471,000 X 471,000 0 0 KOREA ELEC POWER CORP COMMON 6495730 43,757 1,676,830 X 1,676,830 0 0 KOMATSU (6301) COMMON 6496584 32,771 5,390,000 X 4,122,000 0 1,268,000 KONAMI CO LTD COMMON 6496681 55,884 677,000 X 594,000 0 83,000 KYOCERA CORP COMMON 6499260 260 1,700 X 1,700 0 0 NEW YORK TIMES CO CL A COMMON 650111107 17,337 441,000 X 134,100 0 306,900 KOREA TELECOM CORP COMMON 6505316 24,278 405,300 X 405,300 0 0 NEWFIELD EXPL CO COMMON 651290108 686 14,700 X 9,100 0 5,600 NEWPARK RES INC COMMON 651718504 453 48,990 X 48,990 0 0
PORTVUE-SEC13F.LRP PAGE 30 RUN DATE: 11/03/00 08:25 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) (ITEM 7) (ITEM 8) INVESTMENT VOTING AUTHORITY DISCRETION (SHARES) ----------------- ------------------------------ NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER SOLE SHARED NONE ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) MGR (A) (B) (C) ------------------------------- ------- ---------- -------------- ------------ ----- ----- ----- -- --------- --------- --------- NEWPORT CORP COM COMMON 651824104 261,808 1,643,838 X A 669,505 116,439 520,610 QQQ DEC91 PUTS COMMON 651990210 793 104,000 X 104,000 0 0 NEWPORT NEWS SHIPBLDG COMMON 652228107 482 11,120 X 11,120 0 0 NEWS AMER HLDGS INC CONVERT 652478AS7 28,350 25,033,000 X 23,199,000 0 1,834,000 NEWS COPR LTD ADR COMMON 652487703 17 308 X 221 0 87 NEXTEL COMMUNICATIONS INC CL A COMMON 65332V103 55,276 1,182,361 X 1,061,597 0 11,864 NEXTEL COMMUNICATIONS IN CONVERT 65332VAY9 49,040 52,032,000 X 49,611,000 0 2,421,000 NEXTEL PARTNERS INC COMMON 65333F107 29,399 1,009,400 X 874,900 0 134,500 NEXTLINK COMMUNICATIONS INC CL COMMON 65333H707 42,535 1,208,800 X 1,075,900 0 132,900 NEXTLINK COMMUNICATIONS PREFERD 65333H863 15,243 92,103 X 84,038 0 8,065 NEXT LEVEL COMMUNICATIONS INCO COMMON 65333U104 28 422 X 390 0 32 NICE SYS LTD ADR COMMON 653656108 12,830 178,200 X 135,600 0 42,600 NIKE INC CLASS B COMMON 654106103 5 129 X 129 0 0 NINTENDO LTD ADR NEW COMMON 654445303 28 1,174 X 68 279 0 208 NIPPON TELEG & TEL CORP SPONSO COMMON 654624105 22 437 X 366 0 71 NOBLE AFFILIATES INC COMMON 654894104 1,767 47,590 X 47,590 0 0 NOKIA CORP COMMON 654902204 34,315 861,875 X 11 744,044 3,139 114,573 NOBLE DRILLING CORP COMMON 655042109 129,655 2,571,363 X A 896,584 360,040 284,530 NOMURA SECS LTD JAPAN ADR 10 C COMMON 655361301 20 91 X 50 0 41 MALAYAN BANKING COMMON 6556325 17,647 4,593,000 X 4,593,000 0 0 NORTEK INC COMMON 656559101 362 20,670 X 20,670 0 0 NORTEL NETWORKS CORP NEW COM COMMON 656568102 202,514 3,400,820 X A 2,623,304 7,498 508,310 MATSUSHITA COMM COMMON 6572666 1,893 14,000 X 14,000 0 0 MEITEC 9744JP COMMON 6576356 29,150 630,000 X 472,800 0 157,200 CREDIT SAISON 8253JP COMMON 6591809 10,678 491,000 X 377,000 0 114,000 NORTH FORK BANCORP INC N Y COMMON 659424105 68 3,150 X 0 0 3,150 MITSUBISHI CHEMICAL CORP COMMON 6597001 590 170,000 X 170,000 0 0 MITSUBISHI ELECTRIC COMMON 6597045 54,821 6,619,000 X 5,781,000 0 838,000 MITSUI FUDOSAN 8801JP COMMON 6597603 37,503 2,993,000 X 2,639,000 0 354,000 SAKURA BANK COMMON 6598714 940 126,000 X 126,000 0 0 MURATA MANUFACTNG6981JP COMMON 6610403 2,068 15,000 X 15,000 0 0 NGK INSULATORS COMMON 6619507 33,679 2,348,000 X 1,833,000 0 515,000 NEW WORLD DEVEL COMMON 6633767 15,742 11,057,466 X 8,658,466 0 2,399,000 NIPPON SYS DEV COMMON 6639602 16,224 142,420 X 107,300 0 35,120 NEC CORP COMMON 6640400 43,211 1,902,000 X 1,657,000 0 245,000 NIPPON TEL & TEL COMMON 6641373 19,393 1,977 X 1,717 0 260 NIPPON SHEET GLASS COMMON 6641447 50,897 3,170,000 X 2,776,000 0 394,000 NITTO DENKO CORPORATION COMMON 6641801 15,014 400,600 X 310,600 0 90,000 NIKON CORP JPY50 COMMON 6642321 303 15,000 X 15,000 0 0 NIPPON STEEL COMMON 6642569 565 318,000 X 318,000 0 0 NIPPON ELEC GLASS COMMON 6642666 23,436 1,013,000 X 773,000 0 240,000 NISSAN MOTORS COMMON 6642860 384 67,000 X 67,000 0 0 NOMURA SECURITIES COMMON 6643108 41,907 1,927,000 X 1,714,000 0 213,000 OKI ELECTRIC IND JPY50 COMMON 6657682 25,439 3,675,000 X 2,992,000 0 683,000
PORTVUE-SEC13F.LRP PAGE 31 RUN DATE: 11/03/00 08:25 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) (ITEM 7) (ITEM 8) INVESTMENT VOTING AUTHORITY DISCRETION (SHARES) ----------------- ------------------------------ NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER SOLE SHARED NONE ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) MGR (A) (B) (C) ------------------------------- ------- ---------- -------------- ------------ ----- ----- ----- -- --------- --------- --------- NORTHERN TR CORP COM COMMON 665859104 101,513 1,142,206 X 38 525,875 133,192 101,545 OMRON CORP COMMON 6659428 632 24,000 X 24,000 0 0 ONO PHARMACEUTICAL COMMON 6660107 10,601 258,000 X 200,000 0 58,000 O U B OVERSEAS UN BK COMMON 6663838 10,714 2,302,000 X 1,811,000 0 491,000 PIONEER ELEC CORP COMMON 6688745 65,515 1,609,000 X 1,396,000 0 213,000 NOVA CORP GA COMMON 669784100 3,600 210,195 X 147,855 0 62,340 NOVARTIS AG - ADR COMMON 66987V109 2 60 X 60 0 0 NU HORIZONS ELECTRS CORP COMMON 669908105 5,563 200,000 X 142,900 0 57,100 NOVADIGM INC COMMON COMMON 669937104 4,318 278,900 X 179,400 0 99,500 NUANCE COMMUNICATIONS IN COMMON 669967101 39,269 322,700 X 284,700 0 38,000 NOVELL INC COMMON 670006105 29 2,922 X 359 0 2,563 NOVELLUS SYSTEMS INC COMMON 670008101 14,974 321,581 X 7,100 0 314,481 NOVEN PHARMACEUTICALS IN COMMON 670009109 40,394 944,900 X 692,600 0 252,300 PROMISE CO (8574) COMMON 6703295 572 7,400 X 7,400 0 0 NUMERICAL TECHNOLOGIES I COMMON 67053T101 1,740 60,400 X 60,400 0 0 NVIDIA CORP COMMON 67066G104 4,470 54,600 X 48,900 0 5,700 NYCOMED AMERSHAM PLC ADR SPONS COMMON 67066H102 1 15 X 0 0 15 OM GROUP INC COMMON 670872100 458 10,500 X 10,500 0 0 OSI PHARMACEUTICALS INC COMMON 671040103 50,351 719,300 X 625,100 0 94,200 OYO GEOSPACE CORP COMMON 671074102 3,955 158,200 X 111,600 0 46,600 OAK INDUSTRIES 4.875% 3/01/200 CONVERT 671400AL3 34,498 5,335,000 X 4,924,000 0 411,000 OAK TECHNOLOGY INC COMMON 671802106 3,624 132,400 X 98,300 0 34,100 OAKLEY INC COMMON 673662102 4,075 232,000 X 220,000 0 12,000 OBJECTIVE SYS INTEGRATOR COMMON 674424106 2,926 336,800 X 323,900 0 12,900 OCCIDENTAL PETE CORP DEL COMMON 674599105 29,929 1,372,100 X 1,337,100 0 35,000 OCEAN ENERGY INC. COMMON 67481E106 8,679 562,200 X 503,850 0 58,350 OCEANFIRST FINL CORP COMMON 675234108 496 23,900 X 23,900 0 0 SOFTBANK CORP COMMON 6770620 4,991 53,400 X 48,700 0 4,700 SAMSUNG ELECTRONICS COMMON 6771720 59,884 330,594 X 330,594 0 0 SANYO ELECTRIC CO COMMON 6776769 53,417 6,076,000 X 5,337,000 0 739,000 LUKOIL SPONSD ADR COMMON 677862104 89,209 1,550,886 X 73 1,410,229 3,176 64,059 OJI PAPER CO ADR COMMON 678123100 12 204 X 70 0 134 SEVEN ELEVEN JAPAN8183JP COMMON 6797179 401 6,900 X 6,900 0 0 SHIN ETSU CHEM CO4063JP COMMON 6804585 295 7,000 X 7,000 0 0 SHANGHAI INDUSTRIAL HLDG COMMON 6810010 14,174 7,319,000 X 7,319,000 0 0 SINGAPORE AIRLINES LTD COMMON 6811734 23,599 2,489,000 X 2,267,000 0 222,000 SODICK CO LTD COMMON 6818832 428 66,000 X 0 0 66,000 OMNICOM GROUP COMMON 681919106 208 2,851 X 10 1,403 0 1,438 OMNICOM GROUP INC CONVERT 681919AG1 21,577 14,045,000 X 13,012,000 0 1,033,000 1-800 CONTACTS INC COMMON 681977104 230 4,800 X 0 0 4,800 OMNIVISION TECHNOLOGIES COMMON 682128103 3,014 83,300 X 59,800 0 23,500 OMNISKY CORP COMMON 68213L103 3,047 150,000 X 150,000 0 0 SONY CORP 6758JP COMMON 6821506 60,358 595,100 X 529,300 0 65,800 ON ASSIGNMENT INC COMMON 682159108 7,063 225,100 X 105,600 0 119,500
PORTVUE-SEC13F.LRP PAGE 32 RUN DATE: 11/03/00 08:25 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) (ITEM 7) (ITEM 8) INVESTMENT VOTING AUTHORITY DISCRETION (SHARES) ----------------- ------------------------------ NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER SOLE SHARED NONE ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) MGR (A) (B) (C) ------------------------------- ------- ---------- -------------- ------------ ----- ----- ----- -- --------- --------- --------- ONI SYSTEMS CORP COMMON 68273F103 31,979 370,500 X 320,250 0 50,250 OPTICAL CABLE CORP COM COMMON 683827109 435 17,850 X 3,750 0 14,100 OPTIMAL ROBOTICS CORP COMMON 68388R208 14,442 358,800 X 256,600 0 102,200 ORACLE SYS CORP COMMON 68389X105 361,618 4,591,964 X C 2,103,486 1,212 2,365,025 ORAPHARMA INC COMMON 68554E106 1,341 99,800 X 71,400 0 28,400 SUMITOMO OSAKA CEMENT CO COMMON 6858548 19,739 4,627,000 X 3,729,000 0 898,000 SUMITOMO CHEMICAL CO COMMON 6858560 2,086 419,000 X 419,000 0 0 ORIX CORP ADR SPONSORED COMMON 686330101 11,116 190,837 X 74 102,714 3,143 10,235 TAKEDA CHEMICAL IND4502J COMMON 6870445 1,189 18,000 X 18,000 0 0 ORTHODONTIC CTRS AMER IN COMMON 68750P103 5,587 167,700 X 161,200 0 6,500 TAISHIN INTL BANK COMMON 6876001 351 578,900 X 578,900 0 0 OSCA INC COMMON 687836106 1,594 95,900 X 67,900 0 28,000 OSHKOSH TRUCK CORP COMMON 688239201 7,316 188,800 X 188,800 0 0 OSICOM TECHNOLOGIES INC COMMON 688271501 3,024 122,200 X 119,900 0 2,300 KOOKMIN BANK COMMON 6885881 16,619 1,393,420 X 1,393,420 0 0 THAI FARMERS BK FOREIGN COMMON 6888794 8,780 17,230,400 X 17,230,400 0 0 TAIWAN SEMICONDUCTOR COMMON 6889106 22,034 6,637,755 X 6,637,755 0 0 TOKYO ELEC PWR COMMON 6895404 1,597 67,800 X 67,800 0 0 TOKYU CORP COMMON 6896548 1,306 253,000 X 253,000 0 0 TOSHIBA CORP COMMON 6897217 65,248 8,095,000 X 7,192,000 0 903,000 OUTBACK STEAKHOUSE INC COMMON 689899102 267 9,880 X 9,701 0 179 TOYOTA MOTOR COMMON 6900643 277 7,000 X 0 0 7,000 TINGY(CAYMAN)HOLDING COR COMMON 6903556 245 2,326,000 X 2,326,000 0 0 OVERSEAS SHIPHOLDING GRO COMMON 690368105 4,317 157,700 X 136,700 0 21,000 TENAGA NASIONAL BHD COMMON 6904612 38,167 12,835,000 X 12,835,000 0 0 OWENS & MINOR INC NEW COM COMMON 690732102 4,794 304,370 X 283,970 0 20,400 OXFORD HEALTH PLANS INC COMMON 691471106 16,000 520,578 X 295,478 0 225,100 UNITED MICROELECTRONICS COMMON 6916628 22,722 10,625,000 X 10,625,000 0 0 USHIO INC COMMON 6918981 15,568 722,000 X 565,000 0 157,000 VENTURE MANUFACTURING COMMON 6927374 22,560 2,337,000 X 1,830,000 0 507,000 PC-TEL INC COMMON 69325Q105 2,497 107,400 X 95,200 0 12,200 PECO ENERGY CO COMMON 693304107 2,459 40,600 X 25,900 0 14,700 PE CORP PE BIOSYS GROUP COMMON 69332S102 239,896 2,059,068 X A 1,201,341 170,186 198,614 PE CORP COM CLRA GENOMC COMMON 69332S201 82,462 827,721 X 646,098 0 181,623 P F CHANGS CHINA BISTRO COMMON 69333Y108 3,653 105,700 X 102,700 0 3,000 PMC-SIERRA INC COM COMMON 69344F106 203,208 944,053 X C 595,082 0 344,971 PMI GROUP INC COMMON 69344M101 33,380 492,700 X 386,100 0 106,600 PACKARD BIOSCIENCE INC COMMON 695172205 6,755 346,400 X 334,700 0 11,700 PAIN THERATEUTICS INC COMMON 69562K100 3,267 164,900 X 117,900 0 47,000 PALM INC COM COMMON 696642107 192,301 3,632,601 X A 1,704,388 393,147 406,986 WING TAI HLDGS COMMON 6972385 244 274,000 X 274,000 0 0 CHINA RESOURCES COMMON 6972459 17,319 14,520,000 X 11,365,000 0 3,155,000 PANERA BREAD CO COMMON 69840W108 4,567 218,800 X 172,700 0 46,100 YAMATAKE CORP COMMON 6985543 937 83,000 X 0 0 83,000
PORTVUE-SEC13F.LRP PAGE 33 RUN DATE: 11/03/00 08:25 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) (ITEM 7) (ITEM 8) INVESTMENT VOTING AUTHORITY DISCRETION (SHARES) ----------------- ------------------------------ NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER SOLE SHARED NONE ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) MGR (A) (B) (C) ------------------------------- ------- ---------- -------------- ------------ ----- ----- ----- -- --------- --------- --------- YAMATO TRANSPORT COMMON 6985565 929 42,000 X 42,000 0 0 ZHEJIANG EXPRESS-H SHS COMMON 6990763 814 4,806,000 X 4,806,000 0 0 PARADYNE NETWORKS INC COMMON 69911G107 71 13,200 X 0 0 13,200 PARK PL ENTMT CORP COM COMMON 700690100 1,461 96,543 X 96,543 0 0 PARKVALE FINL CORP COMMON 701492100 228 12,640 X 12,640 0 0 PATINA OIL & GAS CORP COMMON 703224105 12,422 621,100 X 530,100 0 91,000 PATTERSON DENTAL CO COMMON 703412106 6,453 286,800 X 282,600 0 4,200 PATTERSON ENERGY INC COM COMMON 703414102 40,280 1,171,800 X 852,900 0 318,900 PAXAR CORP COMMON 704227107 517 57,840 X 57,840 0 0 PAYCHEX INC COMMON 704326107 137,259 2,614,496 X C 233,233 287,051 1,266,599 PEARSON PLC SPONSORED ADR COMMON 705015105 21 785 X 41 390 0 354 PECHINEY ADR SPONSORED COMMON 705151207 10,852 539,253 X 20 289,909 8,489 38,836 PECO II INC COMMON 705221109 9,030 192,900 X 152,800 0 40,100 PECOM ENERGIA S A ADR SPONS COMMON 70570522M 3 350 X 350 0 0 PEGASUS COMMUNICATIONS C COMMON 705904100 12,334 255,300 X 223,900 0 31,400 PENTON MEDIA INC COMMON 709668107 13,302 483,700 X 285,600 0 198,100 PEPSI BOTTLING GROUP INC COMMON 713409100 3,698 123,000 X 123,000 0 0 PEPSICO INC COMMON 713448108 103,468 2,249,300 X C 598,100 0 1,636,700 PERICOM SEMICONDUCTOR CO COMMON 713831105 41,837 1,113,800 X 804,800 0 309,000 PERKINELMER INC COM COMMON 714046109 72,966 699,075 X 38 110,829 134,728 69,114 PERKINELMER INC CONVERT 714046AA7 14,795 21,520,000 X 19,348,000 0 2,172,000 P T TELEKOMUNIKASI INDONESIASP COMMON 715684106 0 29 X 29 0 0 PETROCHINA CO LTD SPONSORED AD COMMON 71646E100 8,623 436,684 X 15 248,018 6,563 31,799 PETROLEO BRASILEIRO SA P COMMON 71654V408 132,960 4,422,819 X 17 4,098,689 6,452 145,205 PFIZER INC COMMON 717081103 331,737 7,382,591 X C 3,358,071 1,742 3,788,450 PHARMACOPEIA INC COM COMMON 71713B104 6,542 256,500 X 182,600 0 73,900 PHARMACIA CORP COMMON 71713U102 9 154 X 37 0 117 PHILIP MORRIS COS INC COMMON 718154107 1,654 56,200 X 35,500 0 20,700 PHILLIPS PETROLEUM COMPANY COMMON 718507106 4,982 79,400 X 70,800 0 8,600 PHILLIPS VAN HEUSEN CORP COMMON 718592108 121 11,700 X 11,700 0 0 PHYSIOMETRIX INC COMMON 718928104 2,166 97,900 X 73,800 0 24,100 PHOENIX TECHNOLOGY LTD COMMON 719153108 6,904 433,200 X 433,200 0 0 PHONE COM INC COM COMMON 71920Q100 10 87 X 87 0 0 PHOTON DYNAMICS INC COM COMMON 719364101 25,595 678,000 X 564,400 0 113,600 PHOTRONICS INC COMMON 719405102 5,782 265,100 X 210,700 0 54,400 PIER 1 IMPORTS INC COMMON COMMON 720279108 28,191 2,078,600 X 1,884,900 0 193,700 PILOT NETWORK SVCS INC COMMON 721596104 4,024 387,900 X 249,100 0 138,800 PINNACLE HLDGS INC COMMON 72346N101 13,715 515,100 X 476,300 0 38,800 PIONEER CORP JAPAN ADR SPONSOR COMMON 723646105 24,933 604,407 X 22 323,675 9,754 43,474 PIONEER STD ELECTRS INC COMMON 723877106 441 32,500 X 32,500 0 0 PITNEY BOWES INC COMMON 724479100 1 20 X 20 0 0 PIXELWORKS INC COM COMMON 72581M107 16,061 336,800 X 326,000 0 10,800 PIVOTAL CORP COMMON 72581R106 13,676 260,500 X 232,900 0 27,600 PLANAR SYS INC COMMON 726900103 2,509 134,700 X 119,500 0 15,200
PORTVUE-SEC13F.LRP PAGE 34 RUN DATE: 11/03/00 08:25 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) (ITEM 7) (ITEM 8) INVESTMENT VOTING AUTHORITY DISCRETION (SHARES) ----------------- ------------------------------ NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER SOLE SHARED NONE ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) MGR (A) (B) (C) ------------------------------- ------- ---------- -------------- ------------ ----- ----- ----- -- --------- --------- --------- PLANTRONICS INC NEW COMMON COMMON 727493108 6,035 158,800 X 138,700 0 20,100 PLATO LEARNING INC COMMON 72764Y100 740 35,900 X 35,900 0 0 PLAYBOY ENTERPRISES INC COMMON 728117300 3,468 232,200 X 216,900 0 15,300 PLEXUS CORP COMMON 729132100 7,149 101,400 X 89,200 0 12,200 POGO PRODUCING CO COMMON 730448107 3,480 137,150 X 27,550 0 109,600 POLYCOM INC COM COMMON 73172K104 28,991 432,900 X 336,400 0 96,500 POLYMEDICA CORP COMMON 731738100 28,915 674,400 X 629,900 0 44,500 POMEROY COMPUTER RES COMMON 731822102 1,977 104,400 X 51,800 0 52,600 PORTAL SOFTWARE INC COM COMMON 736126103 4,445 111,115 X 76,756 0 34,359 PORTUGAL TELECOM S A SPONSORED COMMON 737273102 25 2,504 X 1,749 0 755 POWER INTEGRATIONS INC COMMON 739276103 5,365 384,900 X 208,000 0 176,900 POWER-ONE INC COM COMMON 739308104 33,787 558,319 X 32 64,690 112,585 57,063 POWERWAVE TECHNOLOGIES I COMMON 739363109 18,597 489,800 X 292,400 0 197,400 POWERTEL INC COMMON 73936C109 26,683 350,800 X 327,300 0 23,500 PRAECIS PHARMACEUTICALS INC CO COMMON 739421105 15,670 368,700 X 276,700 0 92,000 PRE PAID LEGAL SVCS INC COMMON 740065107 1,906 59,000 X 39,000 0 20,000 PRECISION DRILLING CORP CL A S COMMON 74022D100 31,242 876,938 X 16 764,476 0 112,302 PRECISION OPTICS INC MAS COMMON 740294103 1,795 227,900 X 162,700 0 65,200 PRICE COMMUNICATIONS CORP COM COMMON 741437305 16,857 861,710 X 797,692 0 64,018 PRIMACOM AG ADR SPONSORED COMMON 74154N108 7 523 X 141 0 382 PRIMA ENERGY CORP COMMON 741901201 8,792 165,100 X 145,100 0 20,000 PRIDE INTL INC COMMON 741932107 10,894 411,100 X 352,300 0 58,800 PRIORITY HEALTHCARE CORP CL B COMMON 74264T102 44,789 587,400 X 421,800 0 165,600 PROCTER & GAMBLE COMPANY COMMON 742718109 2,252 33,615 X 21,915 0 11,700 PROSOFT TRAINING COM COM COMMON 743477101 499 35,000 X 10,000 0 25,000 PROTEIN DESIGN LABS INC COMMON 74369L103 74,975 622,200 X A 579,900 0 42,300 PROTON ENERGY SYS INC COMMON 74371K101 2,176 76,000 X 60,000 0 16,000 PROVIDENT FINL GROUP INC COMMON 743866105 392 13,350 X 13,350 0 0 PROVIDIAN FINL CORP COM COMMON 74406A102 64,766 509,970 X A 278,725 50,026 31,776 PROXIM INC COMMON 744284100 2,652 59,600 X 59,600 0 0 PSINET INC COM COMMON 74437C101 3 318 X 318 0 0 PSINET INC PREFERD 74437C309 699 18,160 X 18,160 0 0 PSINET INC PREFERD 74437C507 827 31,487 X 31,487 0 0 PSI TECHNOLOGIES HLDGS I COMMON 74438Q109 2,778 217,900 X 202,400 0 15,500 PUBLIC SVC ENTERPRISE GR COMMON 744573106 818 18,300 X 18,300 0 0 PUBLIC STORAGE INC DEP SH 1/10 COMMON 74460D729 0 1 X 1 0 0 PUBLICIS GROUPE S A NEW ADR SP COMMON 74463M106 8 283 X 216 0 67 PULTE CORP COMMON 745867101 9,415 285,300 X 160,200 0 125,100 PUMA TECHNOLOGY INC COMMON 745887109 13,004 640,200 X 594,600 0 45,600 PURCHASEPRO COM COMMON 746144104 30,686 349,200 X 279,000 0 70,200 QLT PHOTOTHERAPEUTICS INC COM COMMON 746927102 581 8,207 X 282 0 7,925 QLOGIC CORP COM COMMON 747277101 22,584 256,640 X 192,240 0 64,400 QUAKER OATS CO COM COMMON 747402105 40,552 512,500 X 502,000 0 10,500 QUALCOMM INC COMMON 747525103 4,692 65,857 X 65,773 0 84
PORTVUE-SEC13F.LRP PAGE 35 RUN DATE: 11/03/00 08:25 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) (ITEM 7) (ITEM 8) INVESTMENT VOTING AUTHORITY DISCRETION (SHARES) ----------------- ------------------------------ NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER SOLE SHARED NONE ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) MGR (A) (B) (C) ------------------------------- ------- ---------- -------------- ------------ ----- ----- ----- -- --------- --------- --------- QUANEX CORP COMMON 747620102 246 12,930 X 12,930 0 0 QUANTA SVCS INC COM COMMON 74762E102 21,736 766,697 X 36 194,219 128,929 74,997 QUANTUM CORP COMMON 747906204 529 35,130 X 35,130 0 0 QUEST DIAGNOSTICS INC COM COMMON 74834L100 7,435 64,800 X 51,500 0 13,300 QUEST SOFTWARE INC COMMON 74834T103 37,117 597,600 X 538,900 0 58,700 QWEST COMMUNICATIONS INTL INCO COMMON 749121109 69,233 1,440,471 X 1,248,913 0 20,558 QWEST COMM TRENDS 144A PREFERD 74912L105 23,045 288,514 X 272,930 0 15,584 RSA SEC INC COMMON 749719100 14,188 329,000 X 307,100 0 21,900 RMH TELESERVICES INC COMMON 749938106 3,539 220,300 X 158,500 0 61,800 RF MICRO DEVICES INC COM COMMON 749941100 2,527 78,954 X 78,908 0 46 RADIO ONE INC COMMON 75040P405 3,326 470,900 X 457,200 0 13,700 RADIOSHACK CORP COMMON 750438103 155 2,400 X 0 0 2,400 RADISYS CORP COMMON COMMON 750459109 652 12,900 X 2,850 0 10,050 RADYNE COMSTREAM INC COMMON 750611402 2,628 336,400 X 205,700 0 130,700 RAINBOW TECHNOLOGIES INC COMMON 750862104 2,798 79,100 X 63,400 0 15,700 RALCORP HLDGS INC NEW COMMON 751028101 655 46,400 X 46,400 0 0 RATIONAL SOFTWARE CORP COM NEW COMMON 75409P202 7,863 113,336 X 75,736 0 37,600 RATIONAL SOFTWARE 144A CONVERT 75409PAA1 29,696 14,294,000 X 13,447,000 0 847,000 RATIONAL SOFTWARE CORP CONVERT 75409PAC7 4,467 2,150,000 X 1,845,000 0 305,000 READ-RITE CORP COMMON 755246105 4,493 399,400 X 285,200 0 114,200 READERS DIGEST ASSN INC CL A N COMMON 755267101 6 158 X 158 0 0 REALNETWORKS INC COM COMMON 75605L104 55 1,396 X 1,143 0 253 REDBACK NETWORKS INC COM COMMON 757209101 183,368 1,118,093 X A 620,202 99,770 112,309 REDBACK NETWORKS INC CONVERT 757209AB7 25,369 22,651,000 X 20,861,000 0 1,790,000 REEBOK INTERNATIONAL LTD COMMON 758110100 480 25,500 X 6,900 0 18,600 REED INTL PLC ADR SPONS NEW COMMON 758212872 0 4 X 4 0 0 REGENT COMMUNICATIONS IN COMMON 758865109 1,761 316,500 X 224,700 0 91,800 REGENERON PHARMACEUTICAL COMMON 75886F107 10,417 319,300 X 275,900 0 43,400 REHABCARE GROUP INC COMMON 759148109 11,628 273,600 X 238,700 0 34,900 REINSURANCE GROUP AMER I COMMON 759351109 587 17,140 X 17,140 0 0 RELIANCE IND GDR 144A COMMON 759470107 8,491 543,400 X 543,400 0 0 RELIANT ENERGY INC COMMON 75952J108 33,294 716,000 X 705,300 0 10,700 REMEC INC COMMON 759543101 21,486 729,900 X 610,050 0 119,850 REMEDY CORP COMMON 759548100 1,955 103,600 X 92,000 0 11,600 RENT A CTR INC NEW COMMON 76009N100 10,413 300,200 X 233,800 0 66,400 REPSOL ADS SPONSORED ADR COMMON 76026T205 7 338 X 338 0 0 RESONATE INC COMMON 76115Q104 2,026 51,300 X 6,300 0 45,000 RETEK INC COMMON 76128Q109 4,049 76,400 X 17,300 0 59,100 REUTERS GROUP PLC-SPONS ADR COMMON 76132M102 36,406 323,981 X 16 284,307 0 39,510 REYNOLDS & REYNOLDS CO COMMON 761695105 5,704 287,000 X 248,700 0 38,300 RHODIA ADR SPONSORED COMMON 762397107 16 1,425 X 934 69 422 RICHARDSON ELECTRS LTD COMMON 763165107 526 31,400 X 26,400 0 5,000 RIO TINTO PLC ADR SPONSORED COMMON 767204100 95 1,600 X 1,600 0 0 ROBERT HALF INTL INC COMMON 770323103 56,009 1,614,700 X 930,800 0 683,900
PORTVUE-SEC13F.LRP PAGE 36 RUN DATE: 11/03/00 08:25 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) (ITEM 7) (ITEM 8) INVESTMENT VOTING AUTHORITY DISCRETION (SHARES) ----------------- ------------------------------ NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER SOLE SHARED NONE ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) MGR (A) (B) (C) ------------------------------- ------- ---------- -------------- ------------ ----- ----- ----- -- --------- --------- --------- ROBINSON NUGENT INC COM COMMON 770810109 17 1,000 X 1,000 0 0 ROCHE HLDGS/ GENENTECH CONVERT 771196AG7 32,543 34,076,000 X 32,231,000 0 1,845,000 ROCKWELL INTL CORP NEW COM COMMON 773903109 10 335 X 305 0 30 ROGERS CORP COMMON 775133101 1,916 60,600 X 0 0 60,600 ROLLS-ROYCE PLC SPONSORED ADR COMMON 775781206 22 1,803 X 80 548 0 452 ROSETTA INPHARMATICS INC COMMON 777777103 2,532 90,800 X 64,800 0 26,000 ROSS STORES INC COMMON 778296103 18 1,260 X 1,260 0 0 ROWAN COS INC COM COMMON 779382100 140,696 4,851,564 X A 2,536,703 477,862 472,555 ROYAL PTT NEDERLAND N V SPONSO COMMON 780641205 15 718 X 500 0 218 RURAL CELLULAR CORP CL A COMMON 781904107 1,152 16,900 X 3,500 0 13,400 SBC COMMUNICATIONS INC COMMON COMMON 78387G103 27,923 558,469 X 531,518 0 26,951 SBA COMMUNICATIONS CORP CL A COMMON 78388J106 302 7,200 X 1,500 0 5,700 SCP POOL CORP COMMON 784028102 11,224 378,875 X 302,575 0 76,300 SDL INC COMMON COMMON 784076101 329,060 1,063,848 X C 597,896 44,121 292,154 SEI INVESTMENTS CO COMMON 784117103 19,633 277,500 X 274,800 0 2,700 SOUTHERN ENERGY PREFERD 78411Y104 23,940 360,000 X 326,985 0 33,015 SK TELECOM LTD COMMON 78440P108 3,234 126,190 X 126,190 0 0 SPS TECHNOLOGIES INC COMMON 784626103 613 12,630 X 12,630 0 0 S1 CORPORATION COMMON 78463B101 3,900 326,700 X 232,800 0 93,900 SSI LTD GDR 144A COMMON 784663106 522 90,000 X 90,000 0 0 S3 INC COMMON 784849101 4,791 464,600 X 332,200 0 132,400 SABA SOFTWARE INC COMMON 784932105 4,057 144,900 X 140,900 0 4,000 SABRE HLDGS CORP CL A COMMON 785905100 1 32 X 0 0 32 SAFEGUARD SCIENTIFICS INC. COMMON 786449108 18 887 X 702 0 185 SAFEWAY INC NEW COMMON 786514208 853 18,272 X 18,183 0 89 SAN PAOLO-MII S P A COMMON 799175104 18,809 577,654 X 21 322,702 9,274 34,275 SANDISK CORP COMMON 80004C101 1,836 27,500 X 19,900 0 7,600 SANGAMO BIOSCIENCES INC COMMON 800677106 5,840 150,700 X 110,700 0 40,000 SANMINA CORP COMMON COMMON 800907107 143,493 1,532,626 X A 826,835 145,232 142,333 SANMINA CORP 4.250% 05/01/04 CONVERT 800907AB3 27,605 12,235,000 X 11,197,000 0 1,038,000 SANWA BK LTD JAPAN ADR COMMON 803030204 4 48 X 18 0 30 SAP AKTIENGESELLSCHAFT COMMON 803054204 2,417 39,317 X 38,873 0 444 SAPIENT CORP COM COMMON 803062108 54 1,324 X 1,208 0 116 SATCON TECHNOLOGY CORP COMMON 803893106 5,731 160,300 X 136,300 0 24,000 SATYAM INFOWAY LTD ADR SPONSOR COMMON 804099109 2 156 X 156 0 0 SCANSOURCE INC COMMON 806037107 10,515 197,000 X 156,300 0 40,700 SCHERING PLOUGH CORP COMMON 806605101 3,433 73,815 X 73,815 0 0 SCHLUMBERGER LTD COMMON 806857108 10,867 132,012 X 53 68,614 2,172 7,320 SCHOLASTIC CORP COMMON 807066105 3,190 40,100 X 28,100 0 12,000 SCHOOL SPECIALTY INC COMMON 807863105 3,557 166,900 X 127,500 0 39,400 SCHWAB CHARLES CORP NEW COMMON 808513105 7 204 X 0 0 204 SCIENTIFIC ATLANTA INC COMMON 808655104 93,023 1,462,061 X 28 664,867 98,844 416,396 SCIENTIFIC LEARNING CORP COMMON 808760102 463 85,200 X 59,500 0 25,700 SCOTT TECHNOLOGIES INC COMMON 810022301 307 17,300 X 13,800 0 3,500
PORTVUE-SEC13F.LRP PAGE 37 RUN DATE: 11/03/00 08:25 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) (ITEM 7) (ITEM 8) INVESTMENT VOTING AUTHORITY DISCRETION (SHARES) ----------------- ------------------------------ NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER SOLE SHARED NONE ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) MGR (A) (B) (C) ------------------------------- ------- ---------- -------------- ------------ ----- ----- ----- -- --------- --------- --------- SEACHANGE INTL INC COMMON 811699107 9,253 277,250 X 234,600 0 42,650 SEALED AIR CORP NEW COM COMMON 81211K100 4 95 X 95 0 0 SEALED AIR CORP NEW PFD CONV A PREFERD 81211K209 19,860 441,326 X 409,938 0 31,388 SEARS ROEBUCK & CO COMMON 812387108 2,762 85,200 X 55,000 0 30,200 SECURE COMPUTING CORP COMMON 813705100 18,017 691,300 X 613,400 0 77,900 SEITEL INC COMMON 816074306 2,498 173,800 X 154,600 0 19,200 SEMTECH CORP COM COMMON 816850101 99,557 2,406,200 X 1,961,200 0 445,000 SEMITOOL INC COMMON 816909105 5,272 411,500 X 228,000 0 183,500 SEPRACOR INC COMMON COMMON 817315104 151,939 1,238,422 X A 768,437 75,573 175,506 SERENA SOFTWARE INC COMMON 817492101 42,622 925,300 X 747,300 0 178,000 SERONO S A SPONSORED ADR COMMON 81752M101 81,794 2,703,924 X 23 2,173,632 10,111 134,661 SEVEN ELEVEN JAPAN CO ADR COMMON 817828205 17 302 X 234 0 68 SHARPER IMAGE CORP COMMON 820013100 2,490 141,300 X 106,400 0 34,900 SHAW GROUP INC COM COMMON 820280105 846 12,000 X 3,500 0 8,500 SHAW INDS INC COMMON 820286102 1 68 X 0 0 68 SHELL TRANS & TRADING LTD COMMON 822703609 6 126 X 49 0 77 SHIRE PHARMACEUTICALS GROUP AD COMMON 82481R106 10,067 195,014 X 167,507 0 27,507 SHURGARD STORAGE CTRS IN COMMON 82567D104 267 11,820 X 11,820 0 0 SIEBEL SYSTEMS INC COMMON 826170102 277,029 2,488,757 X 43 1,875,849 1,489 504,043 SIEBEL SYSTEMS 5.500% 09/15/06 CONVERT 826170AC6 41,189 8,521,000 X 7,883,000 0 638,000 SIEMENS A G ADR NEW COMMON 826197402 8 62 X 45 0 17 SIERRA PAC RES NEW COMMON 826428104 564 31,360 X 31,360 0 0 SIERRA WIRELESS INC COMMON 826516106 6,501 105,700 X 105,700 0 0 SIGNALSOFT CORP COMMON 82668M102 4,412 108,600 X 85,500 0 23,100 SILICON STORAGE TECHNOLO COMMON 827057100 8,420 309,700 X 118,900 0 190,800 SILICON VY BANCSHARES COMMON 827064106 63,176 1,084,850 X 929,900 0 154,950 SILVERSTREAM SOFTWARE IN COMMON 827907106 2,157 71,600 X 49,600 0 22,000 SIME DARBY BERHAD ADR COMMON 828617209 4 3,707 X 2,489 0 1,218 SIMPSON MANUFACTURING CO COMMON 829073105 4,268 95,500 X 73,200 0 22,300 SIRIUS SATELLITE RADIO I COMMON 82966U103 15,069 285,000 X 274,700 0 10,300 SKECHERS U S A INC COMMON 830566105 3,194 211,200 X 211,200 0 0 SKILLSOFT CORP COMMON 83066P101 1,211 65,900 X 47,400 0 18,500 SKYWEST INC COMMON 830879102 32,942 642,767 X 431,300 0 211,467 SMARTDISK CORP COMMON 83169Q105 1,486 103,400 X 73,200 0 30,200 SMARTFORCE PUB LTD CO COMMON 83170A206 9,099 192,064 X 123,764 0 68,300 SMITH INTL INC COMMON 832110100 94,474 1,158,300 X A 1,046,100 0 112,200 SMITHFIELD FOODS COMMON 832248108 25 937 X 0 0 937 SMTC CORP COMMON 832682108 1,825 84,900 X 48,400 0 36,500 SMURFIT-STONE CONTAINER CORPCO COMMON 832727101 20 1,691 X 1,564 0 127 SOFTWARE COM INC COMMON 83402P104 17,908 98,700 X 98,000 0 700 SOLECTRON CORP COMMON COMMON 834182107 95 2,070 X 1,836 0 234 SOLECTRON CORP CONVERT 834182AJ6 3,338 5,000,000 X 5,000,000 0 0 SOLECTRON CONVERT 834182AK3 50,453 75,023,000 X 71,618,000 0 3,405,000 SONERA CORP - SPON ADR COMMON 835433202 6 268 X 197 0 71
PORTVUE-SEC13F.LRP PAGE 38 RUN DATE: 11/03/00 08:25 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) (ITEM 7) (ITEM 8) INVESTMENT VOTING AUTHORITY DISCRETION (SHARES) ----------------- ------------------------------ NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER SOLE SHARED NONE ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) MGR (A) (B) (C) ------------------------------- ------- ---------- -------------- ------------ ----- ----- ----- -- --------- --------- --------- SONIC CORP COMMON 835451105 318 10,100 X 2,400 0 7,700 SONIC AUTOMOTIVE INC COMMON 83545G102 3,598 432,900 X 286,800 0 146,100 SONICWALL INC COMMON 835470105 12,016 421,600 X 364,600 0 57,000 SONY CORP 6758JP COMMON 835699307 30,735 304,476 X 64 201,127 2,625 36,378 SOTHEBYS HLDGS INC COMMON 835898107 1,545 62,100 X 36,300 0 25,800 SOUTHDOWN INC COMMON 841297104 31 434 X 0 0 434 SOUTHERN ENERGY INC DEL COMMON 842816100 41,352 1,318,000 X A 1,155,700 0 162,300 SOUTHWEST BANCORPORATION TEXCO COMMON 84476R109 458 14,000 X 2,700 0 11,300 SPECTRALINK CORP COMMON 847580107 2,918 309,219 X 207,619 0 101,600 SPEECHWORKS INTL INC COMMON 84764M101 2,492 40,200 X 40,200 0 0 SPLASH TECHNOLOGY HLDGS COMMON 848623104 413 44,600 X 44,600 0 0 SPORTSLINE COM INC COMMON 848934105 2,064 149,400 X 118,100 0 31,300 SPRINT CORP COMMON 852061100 877 29,945 X 19,300 0 10,645 SPRINT CORP PCS COM SER 1 COMMON 852061506 9,107 259,731 X 5,913 0 253,818 STANCORP FINL GROUP INC COMMON 852891100 4,690 109,700 X 81,800 0 27,900 STANDARD MICROSYSTEMS CO COMMON 853626109 2,929 134,300 X 98,400 0 35,900 STANDARD PAC CORP NEW COMMON 85375C101 3,514 195,200 X 188,600 0 6,600 STANFORD MICRODEVICES IN COMMON 854399102 10,326 193,000 X 131,400 0 61,600 STARBUCKS CORP COMMON 855244109 46,132 1,151,500 X 1,057,000 0 94,500 STARTEK INC COMMON 85569C107 1,418 48,900 X 48,900 0 0 STATE STR CORP COMMON 857477103 14,625 112,500 X 112,100 0 400 STEWART & STEVENSON SVCS COMMON 860342104 333 19,100 X 19,100 0 0 STILWELL FINL INC COM COMMON 860831106 48,246 1,109,065 X 63 148,066 223,324 99,510 STMICROELECTRONICS N V SHS-N Y COMMON 861012102 59,331 1,245,465 X 45 1,052,201 1,909 145,366 STMICROELECTRONICS N V 0.000% CONVERT 861012AB8 4,497 3,319,000 X 3,135,000 0 184,000 STONE ENERGY CORP COMMON 861642106 20,757 377,400 X 307,100 0 70,300 STORAGENETWORKS INC OC-COM COMMON 86211E103 73,918 723,362 X 20 367,045 72,040 78,929 SUIZA FOODS CORP COMMON 865077101 9,610 189,600 X 159,700 0 29,900 SUMITOMO BK LTD JAPAN ADR COMMON 865601207 7 59 X 0 0 59 SUMMIT PPTYS INC COMMON 866239106 395 16,410 X 16,410 0 0 SUN MICROSYSTEMS INC COMMON 866810104 332,235 2,845,697 X C 1,493,179 1,020 1,268,367 SUNGARD DATA SYS INC COMMON 867363103 0 6 X 0 0 6 SUNGLASS HUT INTL INC COMMON 86736F106 1,666 255,040 X 208,640 0 46,400 SUPERCONDUCTOR TECHNOLOG COMMON 867931107 1,550 85,800 X 61,800 0 24,000 SUPPORT COM INC COMMON 868587106 5,399 176,300 X 126,400 0 49,900 SURGUTNEFTEGAS JSC COMMON 868861204 26,324 1,799,900 X 1,799,900 0 0 SURMODICS INC COMMON 868873100 2,239 40,900 X 27,800 0 13,100 SWIFT ENERGY CO COMMON 870738101 19,967 480,410 X 367,610 0 112,800 SWIFT TRANSN CO COMMON 870756103 1,509 115,525 X 36,250 0 79,275 SYBASE INC COMMON 871130100 20,491 890,900 X 815,000 0 75,900 SYCAMORE NETWORKS INC COMMON 871206108 7,096 65,700 X 64,853 0 847 SYMANTEC CORP COMMON 871503108 44,125 1,002,836 X 736,332 0 266,504 SYMIX SYS INC COMMON 871535100 432 78,100 X 44,600 0 33,500 SYMMETRICOM INC COMMON 871543104 6,355 406,750 X 392,350 0 14,400
PORTVUE-SEC13F.LRP PAGE 39 RUN DATE: 11/03/00 08:25 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) (ITEM 7) (ITEM 8) INVESTMENT VOTING AUTHORITY DISCRETION (SHARES) ----------------- ------------------------------ NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER SOLE SHARED NONE ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) MGR (A) (B) (C) ------------------------------- ------- ---------- -------------- ------------ ----- ----- ----- -- --------- --------- --------- SYNCOR INTL CORP DEL COMMON 87157J106 773 21,000 X 21,000 0 0 SYNOPSYS INC COMMON 871607107 15 390 X 390 0 0 SYNTELLECT INC COMMON 87161L105 1,433 159,800 X 159,800 0 0 SYSCO CORPORATION COMMON 871829107 52,625 1,136,299 X A 1,103,377 0 20,522 TCF FINL CORP COMMON 872275102 2,999 79,700 X 79,700 0 0 TDK CORP COMMON 872351408 134 1,040 X 41 960 39 TJX COMPANIES INC (NEW) COMMON 872540109 192 8,531 X 0 4,630 124 3,777 T / R SYS INC COMMON 87263U102 1,034 116,500 X 83,700 0 32,800 TRW INC COMMON 872649108 1,361 33,500 X 21,300 0 12,200 TMP WORLDWIDE INC COM COMMON 872941109 78,609 976,500 X 493,200 0 483,300 TTM TECHNOLOGIES INC COMMON 87305R109 4,113 175,000 X 133,500 0 41,500 TVIA INC COMMON 87307P101 5,015 279,600 X 229,800 0 49,800 TAIWAN SEMICONDUCTOR MFG CO AD COMMON 874039100 33,115 1,625,280 X 1,625,050 0 230 TAIYO YUDEN LTD ADR COMMON 874047202 11 54 X 33 0 21 TALARIAN CORP COMMON 874090103 1,053 54,900 X 39,200 0 15,700 TALBOTS INC COM COMMON 874161102 12,475 188,300 X 54,600 0 133,700 TARGET CORP COMMON 87612E106 5 176 X 176 0 0 TAUBMAN CTRS INC COMMON 876664103 319 27,610 X 27,610 0 0 TECH SQUARED INC ESCROW COMMON 878302991 0 293,500 X 213,900 0 79,600 TECHNE CORP COMMON 878377100 19,678 175,700 X 148,800 0 26,900 TECHNITROL INC COM COMMON 878555101 41,794 413,800 X 320,900 0 92,900 TEKTRONIX INC COMMON 879131100 55,697 725,097 X 42 81,430 148,073 72,714 TELE CELULAR SUL PART S COMMON 879238103 6,585 219,500 X 219,500 0 0 TELE CENTRO OESTE CELULA COMMON 87923P105 937 88,200 X 88,200 0 0 TELE DANMARK A/S SPONS ADR CL COMMON 879242105 22 770 X 598 0 172 TELE NORTE LESTE PARTICIPACOAD COMMON 879246106 37,491 1,638,963 X 1,544,038 0 94,925 TELE SUDESTE CELULAR PARTICIAD COMMON 879252104 0 8 X 8 0 0 TELECOM ITALIA SPA-SP ADR COMMON 87927W106 16 153 X 113 0 40 TELECOMUNICACOES BRASILE COMMON 879287308 6,979 88,200 X 81,430 0 6,770 TELECOMMUNICATION SYS IN COMMON 87929J103 1,920 100,400 X 7,000 0 93,400 TELEDYNE TECHNOLOGIES IN COMMON 879360105 8,440 289,800 X 164,300 0 125,500 TELEFONICA DE ESPANA SA ADR COMMON 879382208 26 440 X 276 0 164 TELEFONOS DE MEXICO S A COMMON 879403780 79,403 1,492,884 X 36 1,467,707 1,670 23,471 TELESP CELULAR PARTICIPACOESAD COMMON 87952L108 4,222 128,204 X 128,095 0 109 TELESP CELULAR PARTICIPACOESRT WARRANT 87952L116 0 1 X 0 0 1 TELLABS INC COMMON 879664100 311 6,496 X 6,442 0 54 TELETECH HOLDINGS INC COMMON 879939106 14,758 596,300 X 449,300 0 147,000 TEMPLETON GLOBAL INCOME FD COMMON 880198106 2 300 X 300 0 0 TEMPLETON GROWTH FD INC CL I MUTUAL 880199104 0 3 X 0 0 3 TENET HEALTHCARE CORP COMMON 88033G100 58,230 1,598,614 X 73 452,058 256,868 155,416 TERADYNE INC COMMON 880770102 724 20,663 X 17,359 0 3,304 TERAYON COMMUN 144A CONVERT 880775AA9 1,847 2,331,000 X 2,331,000 0 0 TESCO PLC ADR SPONSORED COMMON 881575302 16,304 1,479,504 X 53 828,111 24,771 92,207 TEVA PHARMACEUTICAL INDS ADR COMMON 881624209 165,386 2,259,761 X 12 1,969,128 4,882 162,356
PORTVUE-SEC13F.LRP PAGE 40 RUN DATE: 11/03/00 08:25 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) (ITEM 7) (ITEM 8) INVESTMENT VOTING AUTHORITY DISCRETION (SHARES) ----------------- ------------------------------ NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER SOLE SHARED NONE ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) MGR (A) (B) (C) ------------------------------- ------- ---------- -------------- ------------ ----- ----- ----- -- --------- --------- --------- TETRA TECHNOLOGIES INC D COMMON 88162F105 478 31,500 X 31,500 0 0 TEXACO INC COMMON 881694103 1 20 X 0 0 20 TEXAS BIOTECHNOLOGY CORP COMMON 88221T104 1,920 120,000 X 61,400 0 58,600 TEXAS INSTRUMENTS INC COMMON 882508104 158 3,347 X 3,121 0 226 TEXTRON INC COMMON 883203101 1,220 26,438 X 16,918 0 9,520 THERMA-WAVE INC COMMON 88343A108 3,470 120,700 X 120,700 0 0 THERMO ELECTRON CORP COMMON 883556102 1,724 66,300 X 66,300 0 0 3-D SYS CORP DEL COMMON 88554D205 1,314 70,100 X 70,100 0 0 THREE FIVE SYS INC COMMON 88554L108 1,169 39,949 X 13,249 0 26,700 TIBCO SOFTWARE INC COM COMMON 88632Q103 123,733 1,465,392 X A 811,309 134,515 132,778 TIDEWATER INC COMMON 886423102 196 4,299 X 2,569 0 1,730 TIFFANY & CO NEW COM COMMON 886547108 55,301 1,434,091 X 64 406,256 223,773 162,397 TIMBERLAND CO CL A COMMON 887100105 48,678 1,187,260 X 853,560 0 333,700 TIME WARNER INC COMMON 887315109 11 141 X 26 0 115 TIME WARNER TELECOM INC CL A COMMON 887319101 33,203 687,250 X 494,850 0 192,400 TITAN PHARMACEUTICALS IN COMMON 888314101 53,684 825,900 X 683,800 0 142,100 TNT POST GROEP N V ADR SPONSOR COMMON 888742103 5 175 X 50 0 125 TOLL BROTHERS INC COMMON 889478103 2,069 60,200 X 57,400 0 2,800 TOLLGRADE COMMUNICATIONS INCCO COMMON 889542106 80,387 579,100 X 457,500 0 121,600 TOMRA SYS A/S ADR COMMON 889905204 21,056 640,414 X 24 342,763 10,256 45,028 TOO INC COM COMMON 890333107 7,521 316,700 X 232,100 0 84,600 TOPPS INC COMMON 890786106 3,500 381,000 X 381,000 0 0 TORO CO COMMON 891092108 398 12,630 X 12,630 0 0 TOSCO CORP COM NEW COMMON 891490302 82 2,622 X 623 0 1,999 TOTAL S A SPONSORED ADR COMMON 89151E109 12,398 168,820 X 63 90,338 2,728 11,814 TOYOTA MTR LTD ADR NEW COMMON 892331307 7 89 X 82 0 7 TRANSACTION SYS ARCHITEC COMMON 893416107 2,615 160,900 X 117,300 0 43,600 TRANSGENOMIC INC COMMON 89365K206 2,192 96,600 X 69,700 0 26,900 TRANSOCEAN SEDCO CONVERT 893830AA7 18,652 29,547,000 X 27,198,000 0 2,349,000 TRANSWITCH CORP COMMON COMMON 894065101 99,080 1,554,194 X A 1,372,294 0 181,900 TRANSWITCH CORP 144A CONVERT 894065AA9 13,585 11,000,000 X 10,285,000 0 715,000 TRIAD HOSPITALS INC COMMON 89579K109 16,453 560,100 X 388,600 0 171,500 TRIARC CONS/BEVERAGE CONVERT 89589TAC2 11,003 9,890,000 X 9,340,000 0 550,000 TRIAD GTY INC COMMON 895925105 812 27,300 X 27,300 0 0 TRIBUNE CO COMMON 896047107 86 1,967 X 1,818 0 149 TRICO MARINE SERVICES IN COMMON 896106101 4,272 269,100 X 259,100 0 10,000 TRICORD SYSTEMS INC COMMON 896121100 3,412 228,400 X 163,300 0 65,100 TRICOM SA COMMON 89612A100 17,112 1,122,100 X 1,122,100 0 0 TRIKON TECHNOLOGIES INC COMMON 896187408 5,249 371,600 X 284,800 0 86,800 TRIGON HEALTHCARE INC COMMON 89618L100 13,761 261,800 X 187,200 0 74,600 TRIMBLE NAVIGATION LTD COMMON 896239100 6,167 275,600 X 266,700 0 8,900 TRIMERIS INC COMMON 896263100 19,645 280,900 X 214,400 0 66,500 TRIQUINT SEMICONDUCTOR I COMMON 89674K103 5,888 161,600 X 161,600 0 0 TRITON NETWORK SYS INC COMMON 896775103 921 70,200 X 70,200 0 0
PORTVUE-SEC13F.LRP PAGE 41 RUN DATE: 11/03/00 08:25 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) (ITEM 7) (ITEM 8) INVESTMENT VOTING AUTHORITY DISCRETION (SHARES) ----------------- ------------------------------ NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER SOLE SHARED NONE ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) MGR (A) (B) (C) ------------------------------- ------- ---------- -------------- ------------ ----- ----- ----- -- --------- --------- --------- TUBOS DE ACERO DE MEXICO COMMON 898592506 704 42,000 X 42,000 0 0 TULARIK INC COMMON 899165104 404 12,248 X 12,248 0 0 TURNSTONE SYSTEMS INC COMMON 900423104 42,980 926,800 X 796,900 0 129,900 TUT SYSTEMS COMMON 901103101 44,891 520,100 X 403,500 0 116,600 TV AZTECA S A DE C V COMMON 901145102 41,973 3,260,000 X 3,260,000 0 0 TWEETER HOME ENT COMMON 901167106 16,657 458,700 X 342,600 0 116,100 II VI INC COMMON 902104108 7,678 411,200 X 282,000 0 129,200 TYCO INTL LTD NEW COM COMMON 902124106 14 274 X 11 130 0 33 UGI CORP NEW COMMON 902681105 546 22,500 X 22,500 0 0 USX MARATHON GROUP COMMON 902905827 3,121 110,000 X 71,300 0 38,700 US BANCORP DEL COMMON 902973106 1,836 80,700 X 52,500 0 28,200 UTI ENERGY CORP COM COMMON 903387108 55,730 1,248,850 X 1,080,850 0 168,000 ULTICOM INC COMMON 903844108 4,161 88,300 X 88,300 0 0 ULTIMATE ELECTRS INC COMMON 903849107 2,986 72,600 X 66,900 0 5,700 USA ED INC COM COMMON 90390U102 59 1,225 X 0 0 1,225 ULTRAMAR DIAMOND SHAMROC COMMON 904000106 3,352 132,100 X 132,100 0 0 ULTRAPAR PARTICIPACOES S A ADR COMMON 90400P101 2 200 X 0 0 200 UNIBANCO-UNIAO DE BANCOS COMMON 90458E107 19,526 591,700 X 591,700 0 0 UNILEVER PLC ADR SPON NEW COMMON 904767704 2 50 X 50 0 0 UNILEVER N V NEW YORK SHS N COMMON 904784709 1 15 X 15 0 0 UNICOM CORP COMMON 904911104 2,557 45,500 X 29,700 0 15,800 UNION CARBIDE CORP COMMON 905581104 8 221 X 219 0 2 UNION PAC CORP COMMON 907818108 1,582 40,700 X 26,500 0 14,200 UNION PLANTERS CORP COMMON 908068109 853 25,800 X 16,800 0 9,000 UNISYS CORP COM COMMON 909214108 29 2,559 X 379 0 2,180 UNIT CORP COMMON 909218109 7,477 506,900 X 366,500 0 140,400 UNITED MICROELECTRONICS COMMON 910873207 24,408 2,055,400 X 2,055,400 0 0 UNITED PAN-EUROPE COMMUNICATAD COMMON 911300200 20 987 X 710 0 277 UNITED STATES CELLULAR C COMMON 911684108 1,946 27,800 X 27,800 0 0 UNITED STATIONERS INC COMMON 913004107 14,386 535,300 X 411,000 0 124,300 UNITED TECHNOLOGIES CORP COMMON 913017109 29,050 419,446 X 99,200 0 320,246 UNITED THERAPEUTICS CORP COMMON 91307C102 9,943 113,800 X 113,800 0 0 UNITEDGLOBALCOM PFD CV 1/20 DS PREFERD 913247201 2,282 53,621 X 45,784 0 7,837 UNITEDGLOBALCOM PREFERD 913247805 14,384 435,885 X 418,733 0 17,152 UNITEDHEALTH GROUP INC COMMON 91324P102 7,644 77,400 X 67,200 0 10,200 UNIVERSAL COMPRESSION HL COMMON 913431102 2,852 92,200 X 92,200 0 0 UNIVERSAL CORP VA COMMON 913456109 535 18,200 X 18,200 0 0 UNIVERSAL ELECTRS INC COMMON 913483103 13,238 547,300 X 395,600 0 151,700 UNIVERSAL HLTH SVCS INC COMMON 913903100 4,101 47,900 X 46,000 0 1,900 UNIVERSAL HEALTH SV 144A CONVERT 913903AJ9 27,968 49,282,000 X 46,479,000 0 2,803,000 UNIVISION COMMUNICATIONS INCCL COMMON 914906102 4,891 130,858 X A 112,028 0 13,030 UNOCAL CORP COMMON 915289102 1 30 X 0 0 30 UPM-KYMMENE CORP ADR SPONSORED COMMON 915436109 3 142 X 40 0 102 VYYO INC COMMON 918458100 9,579 319,300 X 284,300 0 35,000
PORTVUE-SEC13F.LRP PAGE 42 RUN DATE: 11/03/00 08:25 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) (ITEM 7) (ITEM 8) INVESTMENT VOTING AUTHORITY DISCRETION (SHARES) ----------------- ------------------------------ NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER SOLE SHARED NONE ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) MGR (A) (B) (C) ------------------------------- ------- ---------- -------------- ------------ ----- ----- ----- -- --------- --------- --------- VALASSIS COMMUNICATIONS INC CO COMMON 918866104 469 21,055 X 20,954 0 101 VALENCE TECHNOLOGY INC COMMON 918914102 7,537 436,900 X 330,900 0 106,000 VALERO ENERGY CORP NEW COMMON 91913Y100 34,502 980,510 X 790,910 0 189,600 VARCO INTL INC DEL COMMON 922122106 14,842 713,126 X 590,268 0 122,858 VARIAGENICS INC COMMON 922196100 1,884 84,200 X 60,400 0 23,800 VARIAN INC COM COMMON 922206107 24,636 572,100 X 467,000 0 105,100 VARIAN SEMICONDUCTOR EQU COMMON 922207105 34,416 919,300 X 727,800 0 191,500 VASCULAR SOLUTIONS INC COMMON 92231M109 2,871 153,000 X 110,200 0 42,800 VASTERA INC COMMON 92239N109 1,133 51,500 X 51,500 0 0 VEECO INSTRS INC DEL COMMON 922417100 28,883 271,800 X 184,700 0 87,100 VENATOR GROUP INC COMMON 922944103 452 36,500 X 36,500 0 0 VERITAS SOFTWARE CO COMMON COMMON 923436109 394,227 2,776,230 X C 1,466,143 885 1,225,097 VERITAS SOFTWARE CO CONVERT 923436AB5 39,844 2,581,000 X 2,382,000 0 199,000 VERITY INC COMMON 92343C106 26,427 740,500 X 559,500 0 181,000 VERISIGN INC COM COMMON 92343E102 217,494 1,073,710 X A 658,808 418 376,331 VERITAS SOFTWARE CORP / CONVERT 92343RAA1 20,201 4,915,000 X 4,729,000 0 186,000 VERIZON COMMUNICATIONS COMMON 92343V104 4,676 96,548 X 70,740 0 25,808 VERSATA INC COMMON 925298101 5,952 224,600 X 136,800 0 87,800 VERSATEL TELECOM B V ADR SPONS COMMON 925301103 63 2,668 X 481 2,124 63 VERTEX PHARMACEUTICALS I COMMON 92532F100 76,101 900,600 X A 826,100 0 74,500 VERTEX PHARM 144A CONVERT 92532FAC4 20,995 19,000,000 X 17,753,000 0 1,247,000 VIACOM INC COM COMMON 925524100 67,729 1,157,752 X 1,004,753 0 16,299 VIACOM INC COM NON VTG COMMON 925524308 977 16,713 X 16,593 0 120 VIATEL INC COMMON 925529208 4,980 485,900 X 393,600 0 92,300 VIASAT INC COMMON 92552V100 12,785 571,400 X 417,600 0 153,800 VIANT CORP COMMON 92553N107 131 22,300 X 22,300 0 0 VIGNETTE CORP COM COMMON 926734104 25,645 858,426 X 744,326 0 114,100 VINTAGE PETE INC COMMON 927460105 14,719 647,000 X 642,300 0 4,700 VIRATA CORP COMMON 927646109 34,573 522,838 X 431,138 0 91,700 VIROLOGIC INC OC-COM COMMON 92823R201 717 42,500 X 9,100 0 33,400 VISHAY INTERTECHNOLOGY I COMMON 928298108 7,300 237,392 X 197,702 0 39,690 VISIBLE GENETICS INC COMMON 92829S104 3,601 89,200 X 76,700 0 12,500 VISTEON CORP COM COMMON 92839U107 0 7 X 7 0 0 VISX INC DEL COMMON COMMON 92844S105 423 15,697 X 4,176 0 11,521 VITESSE SEMICONDUCTOR COCOMMON COMMON 928497106 166,277 1,869,602 X A 991,024 179,602 183,789 VITRIA TECHNOLOGY INC COM COMMON 92849Q104 83,919 1,799,878 X 41 1,148,372 1,382 645,926 VIVENDI ADR SPONSORED COMMON 92851S105 99 6,737 X 69 6,229 0 439 VODAFONE GROUP PLC COMMON 92857W100 81 2,162 X 98 1,394 0 670 VOICESTREAM WIRELESS COMMON 928615103 198 1,701 X 1,406 0 295 VORNADO RLTY TR PREFERD 929042208 3,137 59,957 X 54,293 0 5,664 WJ COMMUNICATIONS INC COMMON 929284107 1,887 51,000 X 51,000 0 0 WMS INDS INC COMMON 929297109 8,816 391,800 X 327,000 0 64,800 WADDELL & REED FINL INC COMMON 930059100 17,469 563,500 X 531,100 0 32,400 WAL MART STORES INC COMMON 931142103 116,605 2,422,941 X A 2,237,840 0 28,801
PORTVUE-SEC13F.LRP PAGE 43 RUN DATE: 11/03/00 08:25 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) (ITEM 7) (ITEM 8) INVESTMENT VOTING AUTHORITY DISCRETION (SHARES) ----------------- ------------------------------ NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER SOLE SHARED NONE ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) MGR (A) (B) (C) ------------------------------- ------- ---------- -------------- ------------ ----- ----- ----- -- --------- --------- --------- WASHINGTON MUT INC COMMON 939322103 2,110 53,000 X 35,100 0 17,900 WASTE CONNECTIONS INC COMMON 941053100 8,956 349,500 X 249,400 0 100,100 WASTE MGMT INC DEL COMMON 94106L109 1,430 82,043 X 81,900 0 143 WATCHGUARD TECHNOLOGIES COMMON 941105108 22,320 372,000 X 346,700 0 25,300 WATERS CORP COM COMMON 941848103 290,663 3,265,872 X A 2,149,169 1,508 1,110,040 WAVECOM S A COMMON 943531103 21,889 180,900 X 140,500 0 40,400 WEATHERFORD INTL INC COMMON 947074100 28,492 662,600 X 576,700 0 9,000 WEBMETHODS INC COMMON 94768C108 11,764 102,183 X 101,182 0 1,001 WEBTRENDS CORP COMMON 94844D104 12,304 329,200 X 281,700 0 47,500 WELLPOINT HEALTH NTWRKS NEW CO COMMON 94973H108 1,736 18,075 X 18,059 0 16 WELLS FARGO NEW COMMON 949746101 7 144 X 39 0 105 WEST COAST BANCORP ORE N COMMON 952145100 226 18,950 X 18,950 0 0 WESTELL TECHNOLOGIES INC COMMON 957541105 5,065 393,400 X 388,400 0 5,000 WESTERN GAS RES INC COMMON 958259103 10,544 420,700 X 288,600 0 132,100 WESTERN WIRELESS CORP CL A COMMON 95988E204 5,310 149,045 X 149,000 0 45 WESTWOOD ONE INC COMMON 961815107 12,177 568,000 X 550,700 0 17,300 WILLIAMS CO COMMON 969457100 3 65 X 0 0 65 WILLIAMS CLAYTON ENERGY COMMON 969490101 7,306 180,400 X 118,400 0 62,000 WILLIAMS SONOMA INC COMMON 969904101 14,560 418,994 X 370,700 0 48,294 WILSON GREATBATCH TECHNO COMMON 972232102 2,949 128,900 X 105,600 0 23,300 WINNEBAGO INDS INC COMMON 974637100 4,115 329,200 X 287,800 0 41,400 WINSTAR COMMUNICATIONS CV PFD PREFERD 975515602 721 27,667 X 23,106 0 4,561 WINSTAR COMM PFD 7% PREFERD 975515875 6,619 219,725 X 204,363 0 15,362 WITNESS SYS INC COMMON 977424100 2,852 157,900 X 131,200 0 26,700 WOLVERINE WORLD WIDE INC COMMON 978097103 165 17,700 X 17,700 0 0 WOODHEAD INDS INC COMMON 979438108 949 45,600 X 45,600 0 0 WORLD COLOR PRESS INC DE CONVERT 981443AA2 11,761 11,474,000 X 10,639,000 0 835,000 WORLDCOM INC GA NEW COM COMMON 98157D106 34,337 1,130,438 X 1,096,253 0 34,185 XM SATELLITE RADIO HLDGS COMMON 983759101 14,150 328,600 X 310,300 0 18,300 XILINX INC COMMON 983919101 6,620 77,304 X 79 77,058 0 167 XIRCOM INC COM COMMON 983922105 26 1,016 X 811 0 205 YAHOO INC COM COMMON 984332106 12,362 135,834 X 44,731 0 91,103 YOUNG & RUBICAM INC COMMON 987425105 520 10,500 X 8,000 0 2,500 Z TEL TECHNOLOGIES INC COMMON 988792107 634 87,500 X 72,400 0 15,100 ZALE CORP NEW COM COMMON 988858106 15,203 468,690 X 403,790 0 64,900 ZORAN CORP COMMON 98975F101 6,908 141,700 X 106,700 0 35,000 ZURICH ALLIED AG ADR SPONSORED COMMON 98981P101 9,856 106,402 X 40 58,160 1,774 5,777 ZYGO CORP COMMON 989855101 24,238 278,600 X 246,700 0 31,900 LERNOUT & HAUSPIE SPEECH PRDOR COMMON B5628B104 8 621 X 513 0 108 ACE LTD COMMON G0070K103 2 40 X 0 0 40 AMDOCS LTD ORD COMMON G02602103 32,670 523,757 X 456,258 0 67,499 CORECOMM LTD COM COMMON G2422R109 239 30,075 X 6,975 0 23,100 GLOBAL CROSSING CV PFD PREFERD G3921A126 2,906 33,546 X 33,546 0 0 KNIGHTSBRIDGE TANKERS LT COMMON G5299G106 2,227 101,800 X 95,200 0 6,600
PORTVUE-SEC13F.LRP PAGE 44 RUN DATE: 11/03/00 08:25 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) (ITEM 7) (ITEM 8) INVESTMENT VOTING AUTHORITY DISCRETION (SHARES) ----------------- ------------------------------ NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER SOLE SHARED NONE ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) MGR (A) (B) (C) ------------------------------- ------- ---------- -------------- ------------ ----- ----- ----- -- --------- --------- --------- OPENTV CORP COMMON G67543101 26,909 809,307 X 634,956 0 174,351 ORIENT-EXPRESS HOTELS LT COMMON G67743107 6,745 350,400 X 283,800 0 66,600 O2MICRO INTERNATIONAL LI COMMON G6797E106 1,898 110,300 X 105,800 0 4,500 RSL COMMUNICATIONS LTD / PLCOR COMMON G7702U102 0 60 X 0 0 60 SANTA FE INTL CORP ORD COMMON G7805C108 115,084 2,554,839 X 12 2,113,788 5,146 143,789 TRANSOCEAN SEDCO FOREX INC COMMON G90078109 57,337 978,030 X 15 729,830 6,256 88,275 TRITON ENERGY LTD COMMON G90751101 10,113 259,300 X 249,200 0 10,100 TYCOM LTD COMMON G9144B106 47,044 1,225,900 X 1,047,600 0 18,700 VODAFONE AIRTOUCH PLC ORD COMMON G9387S105 556 149,070 X 17 122,866 85 24,410 XOMA LTD COMMON G9825R107 3,296 228,300 X 14,600 0 213,700 UBS AG ADR SHS COMMON H8920G155 1 10 X 10 0 0 METRO INTL S A CLASS A COMMON L63631102 88 8,164 X 65 748 765 70 METRO INTL S A CLASS B COMMON L63631110 231 19,314 X 15 1,748 1,803 164 SBS BROADCASTING SA COMMON L8137F102 9,607 241,300 X 224,700 0 16,600 AUDIOCODES LTD ORD COMMON M15342104 31,548 370,600 X 343,200 0 27,400 BACKWEB TECHNOLOGIES LTD COMMON M15633106 1,473 145,300 X 57,300 0 88,000 BREEZECOM LTD COMMON M20385106 8,050 244,400 X 222,500 0 21,900 CERAGON NETWORKS LTD COMMON M22013102 1,424 53,000 X 53,000 0 0 CHECK POINT SOFTWARE TECH LTOR COMMON M22465104 199,469 1,266,471 X A 705,834 125,345 71,882 COMMTOUCH SOFTWARE LTD COMMON M25596103 11,262 594,700 X 442,400 0 152,300 PRECISE SOFTWARE SOLUTIONS LCO COMMON M41450103 2,864 66,400 X 40,300 0 26,100 M SYS FLASH DISK PIONEER COMMON M7061C100 49,361 1,292,600 X 1,174,400 0 118,200 OPTIBASE LTD COMMON M7524R108 4,640 264,200 X 217,600 0 46,600 ORBOTECH LTD COMMON M75253100 8,589 157,050 X 157,050 0 0 RADWARE LTD COMMON M81873107 7,857 261,900 X 240,900 0 21,000 ASM INTL N V COMMON N07045102 18,237 1,042,100 X 886,300 0 155,800 ASM LITHOGRAPHY HOLDING N V OR COMMON N07059111 64,099 1,983,731 X 13 1,613,164 5,851 225,757 CNH GLOBAL NV COM COMMON N20935107 2 196 X 196 0 0 QIAGEN NV ORD COMMON N72482107 327 6,957 X 165 0 6,792 PANAMERICAN BEVERAGES IN COMMON P74823108 8,585 505,000 X 505,000 0 0 ROYAL CARIBBEAN CRUISES LTD COMMON V7780T103 41 1,600 X 0 0 1,600 ASE TEST LTD COMMON Y02516105 11,223 534,444 X 534,444 0 0 FLEXTRONICS INTL LTD ORD COMMON Y2573F102 144,330 1,757,453 X 52 897,412 157,421 174,467 TEEKAY SHIPPING MARSHALL COMMON Y8564W103 6,510 138,700 X 136,900 0 1,800 TOTAL 40,825,297
PORTVUE-SEC13F.LRP PAGE 1 RUN DATE: 11/03/00 08:26 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) INVESTMENT DISCRETION --------------------------------------------- NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) ---------------------- ------ ---------- -------------- ------------ ---------- ---------- ---------- ADC TELECOMMUNICATION COMMON 000886101 62,143 2,310,950 2,310,950 ABN AMRO HLDG N V SPON COMMON 000937102 5 235 235 ACT MFG INC COMMON 000973107 25,726 487,700 487,700 AES TRUST VII PREFERD 00103V305 40,933 497,663 497,663 AFLAC INC COMMON 001055102 32,744 510,855 510,855 AGL RES INC COMMON 001204106 2,526 125,900 125,900 AES CORP COM COMMON 00130H105 171,203 2,499,011 2,499,011 AES CORP 4.500% 08/15/ CONVERT 00130HAN5 111 43,000 43,000 AK STL HLDG CORP COMMON 001547108 202 21,544 21,544 AMR CORP COMMON 001765106 1 45 45 AT&T CORP COMMON 001957109 1,675 57,007 57,007 LIBERTY MEDIA GROUP COMMON 001957208 56,139 3,118,795 3,118,795 AT&T CORP AT&T WRLSS G COMMON 001957406 13 650 650 ALLIED IRISH BANK O COMMON 0019783 38,332 3,514,400 3,514,400 ASM LITHOGRAPHY HOLDIN CONVERT 00207EAB6 22,174 19,820,000 19,820,000 AVT CORP COMMON 002420107 211 37,910 37,910 AVX CORP NEW COMMON 002444107 8,165 313,300 313,300 AXA FINL INC COMMON 002451102 942 18,500 18,500 ABBOTT LABS COMMON 002824100 10,307 216,700 216,700 ABERCROMBIE & FITCH CO COMMON 002896207 23,453 1,230,322 1,230,322 ABGENIX INC COM COMMON 00339B107 76,537 947,094 944,194 ABOUT COM INC COMMON 003736105 6,491 200,500 200,500 ACACIA RESH CORP COM COMMON 003881109 5,870 168,300 168,300 ABITIBI-CONSOLIDATED I COMMON 003924107 45,324 4,834,684 4,834,684 ACCOR S A SPONSORED AD COMMON 00435F101 12,273 660,947 660,947 ACCREDO HEALTH INC COM COMMON 00437V104 14,093 288,350 288,350 SAFEWAY PLC COMMON 0049241 21,688 5,111,400 5,111,400 ACTEL CORP COMMON 004934105 5,585 155,400 155,400 ACTIVE POWER INC COMMON 00504W100 6,287 101,400 101,400 ACTUATE CORP COMMON 00508B102 6,046 175,000 175,000 ADAC LABS COMMON 005313200 17,763 853,490 853,490 BILLITON PLC COMMON 0056650 31,969 8,944,600 8,944,600 ADAPTEC INC CONVERT 00651FAC2 7,594 9,000,000 9,000,000 BAA ORD COMMON 0067340 25,793 3,261,000 3,261,000 ADELPHIA COMMUNICATION COMMON 006848105 7 253 253 ADEPT TECHNOLOGY INC COMMON 006854103 10,633 202,300 202,300 ADMINISTAFF INC COMMON 007094105 27,782 367,000 367,000 ADOBE SYS INC COM COMMON 00724F101 111,213 716,352 716,352 ADVANCE PARADIGM INC COMMON 007491103 16,791 398,000 398,000 ADVANCED TECHNICAL PRO COMMON 007548100 2,013 545,800 545,800 ADVANCED FIBRE COMMUNI COMMON 00754A105 6,545 172,800 172,800 ADVO INC COM COMMON 007585102 15,422 467,300 467,300 AEROFLEX INC COMMON 007768104 17,368 357,175 357,175 BARCLAYS ORD COMMON 0078201 26,422 954,700 954,700
PORTVUE-SEC13F.LRP PAGE 2 RUN DATE: 11/03/00 08:26 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) INVESTMENT DISCRETION --------------------------------------------- NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) ---------------------- ------ ---------- -------------- ------------ ---------- ---------- ---------- ADVANCED MICRO DEVICES COMMON 007903107 5,818 246,200 246,200 ADVANCED ENERGY INDS COMMON 007973100 2,904 88,000 88,000 ADVENT SOFTWARE INC CO COMMON 007974108 754 10,800 10,800 AFFILIATED COMPUTER SE COMMON 008190100 8,414 168,700 168,700 AFFYMETRIX INC OC-CAP COMMON 00826T108 3,551 71,203 71,203 AGENCY COM LTD COMMON 008447104 335 22,400 22,400 AGILENT TECHNOLOGIES I COMMON 00846U101 8 157 157 AGILE SOFTWARE CORP DE COMMON 00846X105 77,292 859,400 856,500 AIR PRODS & CHEMS INC COMMON 009158106 242 6,725 6,725 AIRGATE PCS INC COMMON 009367103 6,570 146,400 146,400 AIRNET COMMUNICATIONS COMMON 00941P106 5,969 267,500 267,500 AIRSPAN NETWORKS INC COMMON 00950H102 866 75,300 75,300 AKAMAI TECHNOLOGIES IN COMMON 00971T101 34 645 645 AKTIEBOLAGET ELECTROLU COMMON 010198208 2 80 80 ALAMOSA PCS HOLDINGS COMMON 011593100 7,851 485,000 485,000 ALBANY MOLECULAR RESH COMMON 012423109 4,495 80,000 80,000 ALBEMARLE CORP COMMON 012653101 2,519 124,800 124,800 AMVESCAP PLC COMMON 0128269 48,316 2,232,300 2,232,300 ALBERTA ENERGY LTD COM COMMON 012873105 9,541 229,224 229,224 ALCOA INC COM COMMON 013817101 1,904 75,236 75,236 ALCATEL ALSTHOM SPONSO COMMON 013904305 21,678 344,759 344,759 BRITISH TELECOM ORD COMMON 0140843 528 50,200 50,200 BRITISH SKY BROADCASTI COMMON 0141192 1,317 85,600 85,600 ALEXION PHARMACEUTICAL COMMON 015351109 31,145 273,200 273,200 CABLE & WIRELESS COMMON 0162557 29,415 2,061,770 2,061,770 CAMBRIDGE ANTIBODY TEC COMMON 0166225 893 15,000 15,000 SEMA GROUP COMMON 0172857 35,525 2,071,480 2,071,480 ALLEGHENY ENERGY INC COMMON 017361106 3,685 96,500 96,500 ALLEGIANCE TELECOM INC COMMON 01747T102 6,666 178,950 178,950 CELLTECH GROUP PLC. COMMON 0182276 14,461 725,100 725,100 ALLERGAN INC COM COMMON 018490102 230,298 2,727,645 2,724,245 ALLIANT CORP COMMON 018802108 455 15,490 15,490 ALLIANT TECHSYSTEMS IN COMMON 018804104 577 7,030 7,030 ALLIED ZURICH PLC ADR COMMON 01959Q101 7 330 330 ALLMERICA FINL CORP COMMON 019754100 3,817 59,700 59,700 ALLSTATE CORP COMMON 020002101 2,451 70,543 70,543 ALPHA INDS INC COMMON 020753109 14,875 436,700 436,700 ALPHARMA INC COMMON 020813101 50,349 823,700 823,700 ALPHARMA INC 3.000% 06 CONVERT 020813AD3 29,965 14,626,000 14,626,000 ALZA CORP DEL COMMON 022615108 190,392 2,201,071 2,197,171 ALZA CORP DEL CONVERT 022615AC2 43,964 38,607,000 38,607,000 ALZA CORP CONVERT 02261WAA7 4,263 6,200,000 6,200,000 AMAZON COM INC COM COMMON 023135106 19 500 500 AMBAC FINL GROUP INC COMMON 023139108 6,820 93,100 93,100
PORTVUE-SEC13F.LRP PAGE 3 RUN DATE: 11/03/00 08:26 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) INVESTMENT DISCRETION --------------------------------------------- NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) ---------------------- ------ ---------- -------------- ------------ ---------- ---------- ---------- AMEREN CORP COMMON 023608102 5,787 138,200 138,200 AMERICA ONLINE INC DEL COMMON 02364J104 33,950 631,618 631,618 AMERICA ONLINE INC DEL CONVERT 02364JAB0 7,326 890,000 890,000 AMERICA ONLINE 0% 12/0 CONVERT 02364JAC8 48,848 94,393,000 94,393,000 DIAGEO PLC COMMON 0237400 3,235 362,000 362,000 AMERICAN CLASSIC VOYAG COMMON 024928103 2,473 169,100 169,100 AMERICAN CAPITAL STRAT COMMON 024937104 4,415 186,400 186,400 AMERICAN EAGLE OUTFITT COMMON 02553E106 18,938 601,196 601,196 MATALAN PLC COMMON 0259426 14,119 1,736,400 1,736,400 AMERICAN FREIGHTWAYS C COMMON 02629V108 3,489 219,800 219,800 BAE SYSTEMS PLC COMMON 0263494 33,850 6,272,938 6,272,938 AMERICAN GREETINGS COR COMMON 026375105 396 22,640 22,640 AMERICAN HOME PRODS CO COMMON 026609107 64,922 1,150,062 1,150,062 AMERICAN INTL GROUP IN COMMON 026874107 155,976 1,630,061 1,630,061 AMERICAN MED SYS HLDGS COMMON 02744M108 1,550 99,200 99,200 ALLIED ZURICH PLC COMMON 0287579 420 36,900 36,900 AMERICAN PWR CONVERSIO COMMON 029066107 60 3,082 3,082 AMERICAN STD COS INC D COMMON 029712106 1,826 41,100 41,100 AMERICAN TOWER CORP CL COMMON 029912201 13,461 357,179 357,179 AMERICAN TOWER CVT CONVERT 029912AF9 22,713 23,877,000 23,877,000 AMERICAN SUPERCONDUCTO COMMON 030111108 14,924 303,600 303,600 AMERICREDIT CORP COMMON 03060R101 10,747 373,000 373,000 AMERON INTL INC COMMON 030710107 386 10,510 10,510 AMERISOURCE HEALTH COR COMMON 03071P102 26,654 567,100 567,100 AMGEN INC COMMON 031162100 38,967 558,042 558,042 AMKOR TECHNOLOGY INC CONVERT 031652AH3 9,163 11,599,000 11,599,000 ENTERPRISE OIL COMMON 0318866 19,231 2,350,100 2,350,100 AMPHENOL CORP NEW CL A COMMON 032095101 56,175 986,600 986,600 AMYLIN PHARMACEUTICALS COMMON 032346108 3,957 368,100 368,100 AMVESCAP PLC ADR SPONS COMMON 03235E100 20,771 187,333 187,333 ANADARKO PETE CORP COMMON 032511107 86,568 1,302,563 1,302,563 ANADARKO PETE CORP CONVERT 032511AP2 30,168 36,129,000 36,129,000 ANALOG DEVICES INC COMMON 032654105 90,127 1,091,600 1,091,600 ANAREN MICROWAVE INC COMMON 032744104 53,667 395,700 395,700 ANCHOR GAMING COMMON 033037102 11,974 150,500 150,500 ANDRX CORP COM COMMON 034551101 3 29 29 ANDRX GROUP COMMON 034553107 152,856 1,637,002 1,634,502 ANGLO AMERICAN COMMON 03485P102 1 23 23 ANHEUSER BUSCH COS INC COMMON 035229103 5,298 125,208 125,208 ANIXTER INTL INC COMMON 035290105 19,595 672,800 672,800 ANNTAYLOR STORES CORP. COMMON 036115103 30,937 804,861 804,861 ANSOFT CORP COMMON 036384105 1,787 134,900 134,900 ANTEC CORP COMMON 03664P105 3,891 131,900 131,900 GLAXO HLDGS COMMON 0371784 1,344 44,400 44,400
PORTVUE-SEC13F.LRP PAGE 4 RUN DATE: 11/03/00 08:26 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) INVESTMENT DISCRETION --------------------------------------------- NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) ---------------------- ------ ---------- -------------- ------------ ---------- ---------- ---------- APACHE CORP COMMON 037411105 2,080 35,175 35,175 APOLLO GROUP INC COMMON 037604105 2,727 68,377 68,377 APPLE COMPUTER INC COMMON 037833100 4,366 169,550 169,550 APPLICA INC COMMON 03815A106 176 28,510 28,510 APPLIED FILMS CORP COMMON 038197109 7,571 279,100 279,100 APPLIED INDL TECHNOLOG COMMON 03820C105 1,574 90,900 90,900 APPLIED MATLS INC COMMON 038222105 55,111 929,162 929,162 APPLIED MICRO CIRCUITS COMMON 03822W109 360,635 1,741,678 1,738,278 APPLIED SCIENCE & TECH COMMON 038236105 738 50,000 50,000 APPLIED MOLECULAR EVOL COMMON 03823E108 5,601 139,600 139,600 CMG PLC GBP COMMON 0384737 53,020 2,739,700 2,739,700 ARACRUZ CELULOSE S A A COMMON 038496204 8,050 486,037 486,037 ARADIGM CORP COMMON 038505103 7,813 340,600 340,600 AREMISSOFT CORP DEL COMMON 040026106 4,901 130,700 130,700 ARENA PHARMACEUTICALS COMMON 040047102 3,887 90,400 90,400 ARGOSY GAMING CO COMMON 040228108 2,744 151,400 151,400 ARIAD PHARMACEUTICALS COMMON 04033A100 2,089 166,300 166,300 ARIBA INC COM COMMON 04033V104 392,442 2,739,252 2,735,652 ARKANSAS BEST CORP DEL COMMON 040790107 6,234 405,440 405,440 ARM HLDGS PLC ADR SPON COMMON 042068106 2 70 70 ARQULE INC COMMON 04269E107 7,852 460,200 460,200 ARROW ELECTRS INC COMMON 042735100 1,656 48,600 48,600 ART TECHNOLOGY GROUP I COMMON 04289L107 186,238 1,965,577 1,963,677 ARTESYN TECHNOLOGIES I COMMON 043127109 11,939 409,920 409,920 ASAHI GLASS ADR COMMON 043393206 10 100 100 BALTIMORE TECHNOLOGIES COMMON 0436122 19,174 1,879,600 1,879,600 ASPECT COMMUNICATIONS COMMON 04523Q102 67 3,255 3,255 ASPEN TECHNOLOGY INC COMMON 045327103 42,043 931,700 931,700 ASSOCIATED BANC CORP COMMON 045487105 417 15,900 15,900 AT HOME CORP COM SER A COMMON 045919107 0 23 23 ASTORIA FINL CORP COMMON 046265104 669 17,310 17,310 ASTRA ZENECA PLC ADR COMMON 046353108 198 3,751 3,751 AT RD INC COMMON 04648K105 719 100,000 100,000 ASYST TECHNOLOGY CORP COMMON 04648X107 6,208 306,550 306,550 SPIRENT PLC COMMON 0472609 41,366 4,176,100 4,176,100 ATLANTIC COAST AIRLINE COMMON 048396105 7,210 224,000 224,000 ATLAS AIR INC COMMON 049164106 10,909 258,200 258,200 ATMEL CORP COMMON 049513104 18,785 1,236,870 1,236,870 ATWOOD OCEANICS INC COMMON 050095108 6,032 144,700 144,700 PARTHUS TECHNOLOGIES COMMON 0504427 9,001 2,293,100 2,293,100 COOKSON GROUP COMMON 0508407 6,624 2,364,500 2,364,500 AURORA BIOSCIENCES COR COMMON 051920106 18,396 270,530 270,530 LOGICA PLC COMMON 0522708 96,056 2,920,090 2,920,090 AUTOMATIC DATA PROCESS CONVERT 053015AC7 30,300 17,179,000 17,179,000
PORTVUE-SEC13F.LRP PAGE 5 RUN DATE: 11/03/00 08:26 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) INVESTMENT DISCRETION --------------------------------------------- NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) ---------------------- ------ ---------- -------------- ------------ ---------- ---------- ---------- AVANEX CORP COMMON 05348W109 70,804 657,500 655,500 AVAX TECHNOLOGIES INC COMMON 053495305 1,080 138,200 138,200 AVANTGO INC COMMON 05349M100 1,200 60,000 60,000 AVENTIS ADR SPONSORED COMMON 053561106 15,418 204,729 204,729 AVERY DENNISON CORP COMMON 053611109 37,838 815,909 815,909 AVICI SYS INC COMMON 05367L109 35,044 368,400 368,400 AVID TECHNOLOGY INC COMMON 05367P100 1,541 110,100 110,100 AVIRON COMMON 053762100 15,744 270,000 270,000 AVOCENT CORP COM COMMON 053893103 12,001 217,700 217,700 HSBC HOLDINGS PLC COMMON 0540528 718 50,500 50,500 AVON PRODUCTS INC COMMON 054303102 29,839 730,025 730,025 AXA SA SPONSORED ADR COMMON 054536107 151 2,326 2,326 AWARE INC MASS COMMON 05453N100 12,763 331,500 331,500 AXENT TECHNOLOGIES INC COMMON 05459C108 4,571 212,000 212,000 AXYS PHARMACEUTICALS I COMMON 054635107 443 65,000 65,000 AZTAR CORP COMMON 054802103 6,264 407,400 407,400 BAA PLC ADR SPONSORED COMMON 05518L206 12,230 1,546,920 1,546,920 BAE SYS PLC SPONSORED COMMON 05523R107 17,459 809,166 809,166 BEI TECHNOLOGIES INC COMMON 05538P104 17,076 409,000 409,000 BG PLC ADR FNL INSTLLM COMMON 055434203 16,208 504,513 504,513 BJ SVCS CO COMMON COMMON 055482103 90,511 1,480,769 1,475,969 BJS WHOLESALE CLUB INC COMMON 05548J106 16,592 486,200 486,200 BP AMOCO ADS COMMON 055622104 880 16,624 16,624 BMC SOFTWARE INC COMMON 055921100 31 1,626 1,626 BAKER HUGHES INC COMMON 057224107 118,012 3,178,820 3,178,820 CENTRICA PLC COMMON 0573438 53,761 16,738,330 16,738,330 BALLARD PWR SYS INC CO COMMON 05858H104 36,970 338,343 338,343 BALTIMORE TECHNOLOGIES COMMON 059284109 6,271 317,498 317,498 BANCO BRADESCO S A ADR COMMON 059460105 31,737 3,836,220 3,836,220 BSCH BANCO SANTANDER COMMON 05964H105 11,094 1,014,222 1,014,222 BANK NEW YORK INC COMMON 064057102 1 25 25 BANK ONE CORP COMMON 06423A103 1,097 28,400 28,400 BANK TOKYO-MITSUBISHI COMMON 065379109 4 287 287 BANKNORTH GROUP INC NE COMMON 06646R107 610 34,110 34,110 ROYAL BANK OF SCOTLAND COMMON 0676401 168 139,300 139,300 BARNES & NOBLE INC COMMON 067774109 207 10,500 10,500 BARR LABS INC COMMON 068306109 18,667 281,500 281,500 BARRA INC COMMON 068313105 7,323 118,000 118,000 BARRETT RES CORP COMMON 068480201 414 11,000 11,000 BASIN EXPL INC COMMON 070107107 6,800 348,700 348,700 PSION ORD COMMON 0709545 11,898 1,087,500 1,087,500 BAXTER INTL INC COMMON 071813109 16,777 210,200 210,200 RIO TINTO PLC COMMON 0718875 33,107 2,282,700 2,282,700 VODAFONE AIRTOUCH PLC COMMON 0719210 47,342 12,681,907 12,681,907
PORTVUE-SEC13F.LRP PAGE 6 RUN DATE: 11/03/00 08:26 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) INVESTMENT DISCRETION --------------------------------------------- NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) ---------------------- ------ ---------- -------------- ------------ ---------- ---------- ---------- FUTURE NETWORK PLC COMMON 0723998 6,390 738,800 738,800 BAYCORP HLDGS CORP COMMON 072728108 2,062 239,100 239,100 BEA SYS INC COM COMMON 073325102 235,203 3,020,272 3,020,272 BEA SYSTEMS INC CONVERT 073325AC6 32,011 13,338,000 13,338,000 BEA SYSTEMS INC 4.000% CONVERT 073325AD4 9,667 4,028,000 4,028,000 BEAR STEARNS COS INC COMMON 073902108 49 782 782 ROYAL BK SCOT GRP COMMON 0754783 65,965 3,124,570 3,124,570 BEAZER HOMES USA INC COMMON 07556Q105 524 19,240 19,240 BED BATH & BEYOND INC COMMON 075896100 49,089 2,012,640 2,012,640 BELDEN INC COMMON 077459105 2,202 93,200 93,200 BELL MICROPRODUCTS INC COMMON 078137106 6,767 216,550 216,550 BP AMOCO PLC COMMON 0798059 2,117 237,900 237,900 BELLSOUTH CORP COMMON 079860102 70,373 1,748,367 1,748,367 SHELL TRNSPT&TRDG COMMON 0803414 51,790 6,357,703 6,357,703 INVENSYS COMMON 0807041 32 14,500 14,500 BENCHMARK ELECTRS INC COMMON 08160H101 7,904 152,000 152,000 DIMENSION DATA HLDGS COMMON 0843540 4,071 439,200 439,200 BEST BUY INC COMMON 086516101 79,653 1,251,913 1,251,913 BG GROUP PLC COMMON 0876289 66,492 10,465,460 10,465,460 ENERGIS PLC COMMON 0889782 27,924 3,951,460 3,951,460 BILLITON PLC ADR COMMON 090171109 10,283 2,878,134 2,878,134 BINDLEY WESTN INDS INC COMMON 090324104 797 24,900 24,900 BINDVIEW DEV CORP COMMON 090327107 5,126 677,800 677,800 BIOCRYST PHARMACEUTICA COMMON 09058V103 3,459 166,200 166,200 BIOGEN N V COMMON 090597105 35,073 574,973 574,973 BIOSOURCE INTL INC COMMON 09066H104 3,100 100,000 100,000 BIOVAIL CORP COMMON 09067J109 106,687 1,310,041 1,310,041 BIOVAIL CORP PREFERD 09067J208 24,319 324,250 324,250 BIOVAIL CORP INTL NEW COMMON 09067K106 9 170 170 BIOSITE DIAGNOSTICS IN COMMON 090945106 6,232 156,300 156,300 BATM ADVANCED COMM COMMON 0911146 20,050 2,127,380 2,127,380 BLACK BOX CORP DEL COMMON 091826107 9,372 201,000 201,000 PHARMAGENE PLC COMMON 0923163 4,217 851,400 851,400 EIDOS PLC COMMON 0934897 13,922 2,777,900 2,777,900 BLUE WAVE SYS INC COMMON 096081104 2,072 411,800 411,800 IQE INTL QUANTUM EPITA COMMON 0961992 4,989 622,000 622,000 BOEING CO COMMON 097023105 62,761 996,215 996,215 BOISE CASCADE CORP COMMON 097383103 10 381 381 BOMBARDIER INC COMMON 097751200 38,012 2,199,730 2,199,730 BOOKHAM TECHNOLOGY PLC COMMON 09856Q108 36,974 862,342 862,342 ASTRAZENECA GROUP PLC COMMON 0989529 1,222 23,320 23,320 BORON LEPORE & ASSOCS COMMON 10001P102 335 32,710 32,710 BOSTON COMMUNICATIONS COMMON 100582105 6,065 315,090 315,090 BOSTON PRIVATE FINL HL COMMON 101119105 1,480 89,700 89,700
PORTVUE-SEC13F.LRP PAGE 7 RUN DATE: 11/03/00 08:26 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) INVESTMENT DISCRETION --------------------------------------------- NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) ---------------------- ------ ---------- -------------- ------------ ---------- ---------- ---------- BRAUN CONSULTING INC COMMON 105651103 268 13,550 13,550 BRIGHT HORIZON FAMILY COMMON 109195107 414 16,200 16,200 BRINKER INTL INC COMMON 109641100 10,107 335,500 335,500 BRISTOL MYERS SQUIBB C COMMON 110122108 7,078 123,901 123,901 BRITISH AWYS PLC ADR 2 COMMON 110419306 22 514 514 BRITISH TELECOMM P L C COMMON 111021408 11 96 96 BROADBASE SOFTWARE COMMON 11130R100 3,290 242,600 242,600 BROADCOM CORP COM COMMON 111320107 10,654 43,705 43,705 BROADVISION INC COM COMMON 111412102 83,445 3,248,523 3,248,523 BROCADE COMMUNICATIONS COMMON 111621108 321,991 1,364,363 1,361,563 BROOKS AUTOMATION INC COMMON 11434A100 5,239 158,147 158,147 BROOKTROUT INC COMMON 114580103 10,504 318,900 318,900 BRUKER DALTONICS INC COMMON 116795105 6,190 139,500 139,500 BRUSH ENGINEERED MATLS COMMON 117421107 2,163 100,000 100,000 BUCKEYE TECHNOLOGIES I COMMON 118255108 2,785 134,200 134,200 BURLINGTON NORTHN SANT COMMON 12189T104 1 50 50 BURLINGTON RES INC COMMON 122014103 817 22,200 22,200 BUSINESS OBJECTS ADR COMMON 12328X107 55,242 488,600 488,600 C&D TECHNOLOGIES INC COMMON 124661109 22,558 397,500 397,500 C BRIDGE INTERNET SOL COMMON 12500B105 894 47,700 47,700 C COR NET CORP COMMON 125010108 4,039 263,800 263,800 C-CUBE MICROSYSTEMS IN COMMON 12501N108 7,964 388,500 388,500 CDW COMPUTER CTRS INC COMMON 125129106 19,306 279,800 279,800 C H ROBINSON WORLDWIDE COMMON 12541W100 231 4,100 4,100 CIGNA CORP COMMON 125509109 1,295 12,400 12,400 CMGI INC COM COMMON 125750109 715 25,576 25,576 CMS ENERGY CORP COMMON 125896100 0 14 14 C-MAC INDS INC COM COMMON 125920108 22,272 387,341 387,341 CNET INC COMMON 12613R104 2,477 101,700 101,700 CSG SYS INTL INC COM COMMON 126349109 12,076 416,400 416,400 CTS CORP COMMON 126501105 19,389 383,000 383,000 CVS CORP COM COMMON 126650100 7 143 143 CV THERAPEUTICS INC COMMON 126667104 5,204 66,900 66,900 CABLE&WIRELESS SP/ADR COMMON 126830207 2 50 50 CABLEVISION SYS CORP C COMMON 12686C109 2,219 33,450 33,450 CABLE DESIGN TECHNOLOG COMMON 126924109 15,210 625,600 625,600 CACHEFLOW INC COM COMMON 126946102 107,962 754,972 752,872 CADBURY SCHWEPPES P L COMMON 127209302 6 255 255 CAL DIVE INTL INC COMMON 127914109 17,425 304,700 304,700 CALIFORNIA PIZZA KITCH COMMON 13054D109 4,768 170,300 170,300 CALIPER TECHNOLOGIES C COMMON 130876105 5,834 100,700 100,700 CALLAWAY GOLF CO COMMON 131193104 409 26,600 26,600 CALPINE CAP TRUST 5.75 CONVERT 131346207 127 690 690 CALPINE CORP COM COMMON 131347106 383,320 3,672,360 3,666,360
PORTVUE-SEC13F.LRP PAGE 8 RUN DATE: 11/03/00 08:26 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) INVESTMENT DISCRETION --------------------------------------------- NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) ---------------------- ------ ---------- -------------- ------------ ---------- ---------- ---------- CALPINE CAP TRUST II PREFERD 13134E309 51,143 485,342 485,342 CANADIAN PAC LTD NEW C COMMON 135923100 4 135 135 CANON INC ADR COMMON 138006309 190 4,313 4,313 CAPITAL ONE FINL CORP COMMON 14040H105 67,638 965,389 965,389 CAREER EDUCATION CORP COMMON 141665109 3,502 78,700 78,700 CAREMARK RX INC COMMON 141705103 4,463 396,700 396,700 CARRAMERICA RLTY CORP COMMON 144418100 428 14,160 14,160 CARREKER CORP COMMON 144433109 7,190 368,700 368,700 CATHAY PAC AWYS LTD AD COMMON 148906308 2 169 169 CATERPILLAR INC COMMON 149123101 337 10,879 10,879 CATO CORP NEW COMMON 149205106 447 35,770 35,770 CELERITEK INC COMMON 150926103 22,741 603,400 603,400 CELL THERAPEUTICS INC COMMON 150934107 35,491 532,200 532,200 CELESTICA INC SUB VTG COMMON 15101Q108 27,074 390,949 390,949 CELESTICA INC CONVERT 15101QAA6 19,823 39,645,000 39,645,000 CELGENE CORP COM COMMON 151020104 18,528 311,400 311,400 CELLTECH GROUP PLC ADR COMMON 151158102 14,232 363,745 363,745 CEMEX S A COMMON 151290889 1,938 96,598 96,598 CENDANT CORP COMMON 151313103 1,396 128,400 128,400 CENTERPOINT PPTYS TR COMMON 151895109 362 7,850 7,850 CENTEX CORPORATION COMMON 152312104 46 1,434 1,434 CENTRAL GARDEN & PET C COMMON 153527106 344 49,520 49,520 CENTURYTEL INC COMMON 156700106 1,060 38,900 38,900 CEPHALON INC COMMON 156708109 679 14,000 14,000 CERNER CORP COMMON 156782104 15,817 340,600 340,600 CERPROBE CORP COMMON 156787103 1,192 80,800 80,800 CERUS CORP COMMON 157085101 3,929 70,800 70,800 CESKE RADIOKOMUNICACE COMMON 157139106 7,399 196,780 196,780 CESKE RADIOKOMNIKCE RE COMMON 157139205 4,244 112,860 112,860 CHAMPIONSHIP AUTO RACI COMMON 158711101 527 21,600 21,600 CHARLES RIV LABS INTL COMMON 159864107 15,487 455,500 455,500 CHARTERED SEMICONDUCTO COMMON 16133R106 7,564 124,625 124,625 THE CHASE MANHATTEN CO COMMON 16161A108 37 803 803 CHASE RESOURCE CORP NE COMMON 161908108 0 2,000 2,000 CHECKPOINT SYS INC COMMON 162825103 1 115 115 CHEESECAKE FACTORY INC COMMON 163072101 10,868 251,275 251,275 CHEUNG KONG HLDGS LTD COMMON 166744201 23,268 1,924,659 1,924,659 CHEVRON CORPORATION COMMON 166751107 4,621 54,200 54,200 CHICOS FAS INC COMMON 168615102 18,394 541,000 541,000 CHIEFTAIN INTL INC COMMON 16867C101 999 48,300 48,300 CHILDRENS PL RETAIL ST COMMON 168905107 5,910 229,500 229,500 CHINA UNICOM LTD COMMON 16945R104 11,260 516,200 516,200 CHIRON CORP COMMON 170040109 6,417 142,600 142,600 CHRISTOPHER & BANKS CO COMMON 171046105 11,797 303,450 303,450
PORTVUE-SEC13F.LRP PAGE 9 RUN DATE: 11/03/00 08:26 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) INVESTMENT DISCRETION --------------------------------------------- NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) ---------------------- ------ ---------- -------------- ------------ ---------- ---------- ---------- CHROMAVISION MED SYS I COMMON 17111P104 311 32,700 32,700 CHURCH & DWIGHT INC COMMON 171340102 414 22,520 22,520 CIENA CORP COM COMMON 171779101 493,894 4,021,528 4,013,628 CINCINNATI FINL CORP C COMMON 172062101 678 19,097 19,097 CIPHERGEN BIOSYSTEMS I COMMON 17252Y104 1,680 52,500 52,500 CIRCUIT CITY STORES IN COMMON 172737108 3 139 139 CIRRUS LOGIC INC COMMON 172755100 62,737 1,556,264 1,556,264 CIRRUS LOGIC CORP CONVERT 172755AC4 26,702 15,150,000 15,150,000 CISCO SYS INC COMMON 17275R102 415,612 7,522,430 7,522,430 CINTAS CORP COMMON 172908105 1,124 25,800 25,800 CITIGROUP INC. COMMON 172967101 352,937 6,528,305 6,528,305 CITRIX SYS INC COM COMMON 177376100 219 10,892 10,892 CITY NATL CORP COMMON 178566105 10,437 270,200 270,200 CLARENT CORP DEL COM COMMON 180461105 2,085 52,961 52,961 CLARUS CORP COMMON 182707109 11,614 509,100 509,100 CLEAR CHANNEL COMMUNIC COMMON 184502102 43 772 772 CLEAR CHANNEL COMMUNIC CONVERT 184502AB8 10,187 9,282,000 9,282,000 CLEAR CHANNEL CONVERT 184502AE2 31,002 33,113,000 33,113,000 CLICK COMMERCE INC COMMON 18681D109 6,934 162,200 162,200 CLICKACTION INC COMMON 18681E107 1,478 162,000 162,000 CLICK2LEARN COM INC COMMON 18681S106 6,745 459,200 459,200 CLOROX CO DEL COMMON 189054109 1,899 48,000 48,000 CLP HLDGS LTD ADR SPON COMMON 18946Q101 2 335 335 COASTAL CORP COMMON 190441105 14 188 188 COASTAL CORP .25% PFD PREFERD 190441857 1,160 32,229 32,229 COASTAL CORP CV PFD 6. PREFERD 190441865 28,008 672,868 672,868 COCA-COLA FEMSA S A DE COMMON 191241108 22,198 1,109,900 1,109,900 COFLEXIP SPONSORED ADR COMMON 192384105 1 21 21 COGNEX CORP COMMON 192422103 6,870 174,200 174,200 COGNIZANT TECHNOLOGY S COMMON 192446102 4,077 104,550 104,550 COGNOS INC COMMON COMMON 19244C109 52,008 1,276,294 1,276,294 COHERENT INC COMMON 192479103 1,693 24,900 24,900 COLDWATER CREEK INC COMMON 193068103 5,878 217,700 217,700 COLE KENNETH PRODTNS I COMMON 193294105 15,022 425,400 425,400 COLGATE PALMOLIVE CO COMMON 194162103 30,577 647,810 647,810 COLONIAL BANCGROUP INC COMMON 195493309 299 28,840 28,840 COLONIAL PPTYS TR COMMON 195872106 314 12,230 12,230 COLT TELECOM GROUP PLC COMMON 196877104 2 16 16 COLUMBIA SPORTSWEAR CO COMMON 198516106 10,744 234,200 234,200 ATS AUTOMATION TOOLING COMMON 2002587 7,837 382,200 382,200 COMCAST CORPORATION CL COMMON 200300101 41 1,000 1,000 COMCAST CORP CL A SPL COMMON 200300200 59 1,461 1,461 COMDISCO INC COMMON 200336105 14,730 772,700 772,700 COMERICA INC COMMON 200340107 23,106 395,400 395,400
PORTVUE-SEC13F.LRP PAGE 10 RUN DATE: 11/03/00 08:26 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) INVESTMENT DISCRETION --------------------------------------------- NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) ---------------------- ------ ---------- -------------- ------------ ---------- ---------- ---------- COMMERCE BANCSHARES IN COMMON 200525103 2,687 73,000 73,000 COMMERCE ONE INC DEL C COMMON 200693109 2,416 30,778 30,778 AIMGLOBAL TECHNOLOGIES COMMON 2011077 1,917 257,500 257,500 ALBERTA ENERGY CO LTD COMMON 2012456 34,633 834,400 834,400 ANDERSON EXPLORATION L COMMON 2032421 64,498 2,949,660 2,949,660 COMMSCOPE INC COM COMMON 203372107 10,712 437,219 437,219 COMMUNITY BK SYS INC COMMON 203607106 436 16,810 16,810 COMPANHIA BRASILEIRA D COMMON 20440T201 20,951 563,400 563,400 COMPANHIA VALE DO RIO COMMON 204412100 1,663 66,700 66,700 COMPAQ COMPUTER CORP COMMON 204493100 1 25 25 COMPUTER ASSOC INTL IN COMMON 204912109 2 75 75 COMPUTER NETWORK TECH COMMON 204925101 402 11,700 11,700 COMPUTER LEARNING CTRS COMMON 205199102 0 224 224 COMPUTER SCIENCES CORP COMMON 205363104 14 183 183 COMPUWARE CORP COMMON 205638109 42 5,020 5,020 COMSTOCK RES INC COMMON 205768203 6,390 561,800 561,800 COMVERSE TECHNOLOGY IN COMMON 205862402 215,788 1,998,040 1,994,240 COMVERSE TECHNOLOGY IN CONVERT 205862AG0 41,902 8,214,000 8,214,000 CONCORD CAMERA CORP COMMON 206156101 34,822 1,358,900 1,358,900 CONCORD EFS INC COMMON 206197105 781 22,003 22,003 CONCURRENT COMPUTER CO COMMON 206710204 8,518 448,300 448,300 TALISMAN ENERGY INC(CA COMMON 2068299 403 11,500 11,500 CONEXANT SYSTEMS INC COMMON 207142100 67,594 1,614,169 1,608,769 BANCO BRADESCO S.A. PR COMMON 2074520 22,687 2,742,900 2,742,900 CONNETICS CORP COMMON 208192104 8,451 350,300 350,300 CONOCO INC CL A COMMON 208251306 5 184 184 CONOCO INC CL B COMMON 208251405 2,957 109,784 109,784 CONSOL ENERGY INC COMMON 20854P109 4,745 295,400 295,400 TV AZTECA SA DE CV COMMON 2096911 3,407 4,267,000 4,267,000 CONSTELLATION BRANDS I COMMON 21036P108 13,154 242,200 242,200 CONSTELLATION ENERGY C COMMON 210371100 4,592 92,300 92,300 CONVERGYS CORP COM COMMON 212485106 4,246 109,219 109,219 WALMART DE MEXICO V COMMON 2135212 8,686 4,185,000 4,185,000 DESCARTES SYS GROUP IN COMMON 2141941 8,361 168,300 168,300 C MAC INDUSTRIES INC COMMON 2158877 18,365 321,300 321,300 COOKSON GROUP PLC - SP COMMON 216379107 10,229 730,492 730,492 COOPER CAMERON CORP CO COMMON 216640102 1,521 20,650 20,650 COOPER COS INC COMMON 216648402 4,524 127,900 127,900 COORS ADOLPH COMPANY COMMON 217016104 3,381 53,497 53,497 COPPER MTN NETWORKS IN COMMON 217510106 4,267 113,790 113,790 COR THERAPEUTICS INC COMMON 217753102 95,880 1,538,700 1,534,900 CARSO TELECOM COMMON 2178336 698 288,000 288,000 CERTICOM CORP COMMON 2188476 29,776 751,700 751,700 CORNING INC COM COMMON 219350105 276,507 1,041,821 1,041,821
PORTVUE-SEC13F.LRP PAGE 11 RUN DATE: 11/03/00 08:26 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) INVESTMENT DISCRETION --------------------------------------------- NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) ---------------------- ------ ---------- -------------- ------------ ---------- ---------- ---------- CORPORATE EXECUTIVE BR COMMON 21988R102 11,101 275,800 275,800 CORSAIR COMMUNICATIONS COMMON 220406102 5,476 700,900 700,900 CORUS GROUP COMMON 22087M101 2 251 251 CORVIS CORP COM COMMON 221009103 95,550 1,565,248 1,565,248 COSINE COMMUNICATIONS COMMON 221222102 24,092 433,600 433,600 COSTCO WHOLESALE CORP COMMON 22160K105 38 1,092 1,092 COUNTRYWIDE CREDIT IND COMMON 222372104 1,885 49,930 49,930 CORP INTER AM ENTERTAI COMMON 2224347 60,058 12,397,584 12,397,584 COVAD COMMUNICATIONS G COMMON 222814204 65 4,856 4,856 COVENTRY HEALTH CARE I COMMON 222862104 6,200 409,900 409,900 COX COMMUNICATIONS INC COMMON 224044107 4 115 115 FOMENTO ECON MEXIC UNI COMMON 2242059 723 186,000 186,000 CREDENCE SYS CORP COM COMMON 225302108 8,937 297,900 297,900 CREO PRODS INC COMMON 225606102 1,846 54,300 54,300 CIA VALE DO RIO DOCE COMMON 2257127 19,105 761,300 761,300 CELESTICA INC COMMON 2263362 64,418 935,100 935,100 CRITICAL PATH INC COMMON 22674V100 18,547 305,300 305,300 CROSS TIMBERS OIL CO COMMON 227573102 3,552 185,100 185,100 CROWN CASTLE INTL CORP COMMON 228227104 79,126 2,547,300 2,539,000 CROWN CASTLE INTL PREFERD 228227401 2,229 43,590 43,590 CUBIST PHARMACEUTICALS COMMON 229678107 14,328 275,200 275,200 CUMMINS ENGINE INC COMMON 231021106 1 47 47 CURAGEN CORP COM COMMON 23126R101 27,056 507,800 507,800 CURON MED INC COMMON 231292103 1,150 100,000 100,000 CUTTER & BUCK INC COMMON 232217109 4,221 339,350 339,350 CYBEAR GROUP NEW COMMON 23243C102 72 54,319 54,319 CANADIAN HUNTER EXP LT COMMON 2324418 9,386 386,900 386,900 CYBEROPTICS CORP COMMON 232517102 5,332 291,150 291,150 CYMER INC COMMON 232572107 27,858 907,800 907,800 CYMER INC CONVERT 232572AC1 17,323 17,928,000 17,928,000 CYPRESS SEMICONDUCTOR COMMON 232806109 27,757 667,837 667,837 CYPRESS SEMICONDUCTOR CONVERT 232806AE9 20,413 17,945,000 17,945,000 DDI CORP COM COMMON 233162106 17,146 387,500 387,500 DMC STRATEX NETWORKS I COMMON 23322L106 12,819 798,100 798,100 DSP GROUP INC COMMON 23332B106 35,418 947,650 947,650 DAIWA HOUSE IND LTD AD COMMON 234062206 6 93 93 DANAHER CORP SHS BEN I COMMON 235851102 1 23 23 DANKA BUSINESS SYS PLC COMMON 236277109 1 479 479 DANSKE BK A/S ADR COMMON 236363107 1 5 5 DARDEN RESTAURANTS INC COMMON 237194105 3,965 190,507 190,507 DATUM INC COMMON 238208102 1,027 39,500 39,500 GRUPO FINANCIERO BANAM COMMON 2401300 18,615 4,046,000 4,046,000 DE BEERS CONS MINES LT COMMON 240253302 12 420 420 EMPRESA BRAS DE AERONA COMMON 2428569 1,452 190,000 190,000
PORTVUE-SEC13F.LRP PAGE 12 RUN DATE: 11/03/00 08:26 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) INVESTMENT DISCRETION --------------------------------------------- NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) ---------------------- ------ ---------- -------------- ------------ ---------- ---------- ---------- CROWN CASTLE DECS TR V PREFERD 24366F203 24,308 829,265 829,265 METROMEDIA DEC TRST VI PREFERD 24366Q209 14,383 319,614 319,614 BANCO ITAU S.A. COMMON 2459581 9,298 104,600,000 104,600,000 DELL COMPUTER CORP COMMON 247025109 20,715 672,337 672,337 DELPHI AUTOMOTIVE SYS COMMON 247126105 495 32,700 32,700 DELPHI FINL GROUP INC COMMON 247131105 924 22,818 22,818 DELTA & PINE LD CO COMMON 247357106 508 19,770 19,770 DELTA AIRLINES INC COMMON 247361108 3,826 86,220 86,220 DELTAGEN INC COMMON 24783R103 8,328 269,200 269,200 DELTEK SYS INC COMMON 24785A108 243 31,690 31,690 KOOKMIN BK GDR REG S COMMON 2496373 804 65,900 65,900 DESCARTES SYS GROUP IN COMMON 249906108 33,941 685,672 685,672 DEUTSCHE BK A G SPON A COMMON 251525309 8 92 92 LUFTHANSA-SPONS ADR COMMON 251561304 9,290 451,555 451,555 DEUTSCHE TELEKOM AG SP COMMON 251566105 17 514 514 DEVON ENERGY CORP NEW CONVERT 25179MAA1 13,884 14,350,000 14,350,000 DIAGEO PLC SPONSORED A COMMON 25243Q205 46 1,309 1,309 DIAGNOSTIC PRODS CORP COMMON 252450101 3,185 59,400 59,400 DIAL CORP NEW COM COMMON 25247D101 2 159 159 DIAMOND OFFSHORE DRILL COMMON 25271C102 42,353 1,033,000 1,033,000 DIAMOND OFFSHORE DRILL CONVERT 25271CAA0 29,429 25,957,000 25,957,000 DIAMOND TECHNOLOGY PAR COMMON 252762109 12,422 167,300 167,300 DIGENE CORP COMMON 253752109 5,281 146,700 146,700 DIGEX INC DEL CL A COMMON 253756100 564 12,031 12,031 DIGIMARC CORP COMMON 253807101 1,244 66,800 66,800 DIGITAL LIGHTWAVE INC COMMON 253855100 38,007 523,330 523,330 DISNEY WALT PRODTNS COMMON 254687106 165,545 4,327,985 4,327,985 DIRECT FOCUS INC COMMON 254931108 6,014 151,300 151,300 DITECH COMMUNICATIONS COMMON 25500M103 11,517 280,900 280,900 DIVERSINET CORP COMMON 25536K204 488 83,100 83,100 MAGNA INTL CL A COMMON 2554475 744 17,100 17,100 DOCENT INC COMMON 25608L106 3,663 200,000 200,000 DOCUMENTUM INC COMMON 256159104 59,129 728,300 728,300 DOLLAR GEN CORP COMMON 256669102 487 29,102 29,102 DOLLAR TREE STORES INC COMMON 256747106 33,282 820,500 820,500 DONCASTERS PLC ADR SPO COMMON 257692103 2,963 146,307 146,307 NORTEL NETWORKS CORP COMMON 2583877 408 6,800 6,800 DOUBLECLICK INC COM COMMON 258609304 15 489 489 DOVER CORP COMMON 260003108 85,576 1,823,200 1,823,200 DOW CHEMICAL CORP COMMON 260543103 25,771 1,033,450 1,033,450 DOW JONES & CO INC COM COMMON 260561105 4,478 74,000 74,000 DOWNEY FINL CORP COMMON 261018105 4,385 111,000 111,000 DRESDNER BK A G ADR SP COMMON 261561302 18,397 421,346 421,346 DRESS BARN INC COMMON 261570105 1,067 50,800 50,800
PORTVUE-SEC13F.LRP PAGE 13 RUN DATE: 11/03/00 08:26 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) INVESTMENT DISCRETION --------------------------------------------- NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) ---------------------- ------ ---------- -------------- ------------ ---------- ---------- ---------- PIVOTAL CORP COMMON 2622899 7,300 137,300 137,300 DSET CORP COMMON 262504103 1,547 75,000 75,000 DU PONT E I DE NEMOURS COMMON 263534109 3 65 65 DURA PHARMACEUTICALS I COMMON 26632S109 24,027 679,200 679,200 DURECT CORP COMMON 266605104 1,575 105,000 105,000 DYAX CORP COMMON 26746E103 5,779 132,100 132,100 DYCOM INDS INC COM COMMON 267475101 53,865 1,294,040 1,294,040 DYNEGY INC NEW CL A COMMON 26816Q101 245,903 4,313,713 4,309,313 PETRO CANADA COMMON 2684316 22,272 1,000,300 1,000,300 E M C CORP MASS COMMON 268648102 322,223 3,248,037 3,248,037 ENSCO INTL INC COM COMMON 26874Q100 116,356 3,041,987 3,035,287 ENI S P A SPONSORED AD COMMON 26874R108 42 781 781 EOG RESOURCES INC. COMMON 26875P101 66,735 1,716,679 1,716,679 EOP OPER LTD PARTNERSH CONVERT 268766BP6 16,232 15,759,000 15,759,000 EPIX MEDICAL INC COMMON 26881Q101 1,022 73,000 73,000 E PIPHANY INC COM COMMON 26881V100 3,067 39,800 39,800 EVI INC SUB DBCV 5% PREFERD 268939402 17,967 375,301 375,301 E TRADE GROUP INC COM COMMON 269246104 0 1 1 RELIANCE INDS GDR REG COMMON 2730598 7,563 484,000 484,000 RIO ALTO EXPLORATION L COMMON 2740241 6,066 285,200 285,200 ROCTEST LTD COMMON 2746108 806 73,500 73,500 EAST WEST BANCORP INC COMMON 27579R104 855 43,700 43,700 EATON VANCE CORP COMMON 278265103 6,594 129,300 129,300 ECHOSTAR COMMUNICATION COMMON 278762109 32,028 607,173 607,173 ECHOSTAR COMMUNICATION CONVERT 278762AD1 27,759 20,891,000 20,891,000 EDEN BIOSCIENCE CORP COMMON 279445100 1,726 52,300 52,300 EDISON INTL COMMON 281020107 402 20,800 20,800 EDWARDS AG INC COMMON 281760108 1,041 19,900 19,900 EFFICIENT NETWORKS INC COMMON 282056100 12,109 324,538 324,538 EFFICIENT NETWORKS INC CONVERT 282056AB6 11,258 17,591,000 17,591,000 EIDOS PLC ADR SPONSORE COMMON 282485101 1 275 275 EL PASO ELEC CO COMMON 283677854 2,945 213,900 213,900 ELAN FINANCE CONVERT 284129AC7 23,829 29,601,000 29,601,000 ELAN PLC ADR COMMON 284131208 59,816 1,092,480 1,092,480 ELANTEC SEMICONDUCTOR COMMON 284155108 17,185 172,500 172,500 ELBIT COMPUTERS LTD COMMON 284275104 2,614 286,500 286,500 ELECTRIC LIGHTWAVE INC COMMON 284895109 677 79,700 79,700 ELECTRO SCIENTIFIC IND COMMON 285229100 24,092 685,900 685,900 ELECTRONICS FOR IMAGIN COMMON 286082102 7 272 272 TESCO CORP COMMON 2884310 7,357 718,800 718,800 ELOYALTY CORP COMMON 290151109 2,487 195,030 195,030 EMBRAER-EMPRESA BRASIL COMMON 29081M102 27,761 895,500 895,500 EMBRATEL PARTICIPACOES COMMON 29081N100 28,618 1,546,900 1,546,900 EMCORE CORP COMMON 290846104 26,818 645,000 645,000
PORTVUE-SEC13F.LRP PAGE 14 RUN DATE: 11/03/00 08:26 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) INVESTMENT DISCRETION --------------------------------------------- NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) ---------------------- ------ ---------- -------------- ------------ ---------- ---------- ---------- EMCOR GROUP INC COMMON 29084Q100 2,871 110,420 110,420 EMERSON ELEC CO COMMON 291011104 4 65 65 EMISPHERE TECHNOLOGIES COMMON 291345106 925 30,900 30,900 EMULEX CORP COMMON 292475209 68,604 560,035 557,935 COMMON 29250D107 3 482 482 ENDESA S A SPONSORED A COMMON 29258N107 12 677 677 ENDOCARE INC COMMON 29264P104 2,554 129,300 129,300 ENERGEN CORP COMMON 29265N108 2,504 84,180 84,180 ENERGY EAST CORP COMMON 29266M109 1,695 74,900 74,900 ENGELHARD CORP COMMON 292845104 2,215 136,290 136,290 ENGINEERED SUPPORT SYS COMMON 292866100 3,161 165,300 165,300 ENHANCE FINL SVCS GROU COMMON 293310108 252 19,360 19,360 ENRON CORP COMMON 293561106 99,630 1,136,998 1,136,998 ENTRAVISION COMMUNICAT COMMON 29382R107 18,744 1,078,800 1,078,800 ENTRUST TECHNOLOGIES I COMMON 293848107 8,814 319,069 319,069 ENZON INC COM COMMON 293904108 76,824 1,164,000 1,164,000 EPCOS AG ADR COMMON 29410P107 29 365 365 EQUANT N V SHS-N Y REG COMMON 294409107 19 510 510 EQUITABLE RES INC COMMON 294549100 19,855 313,300 313,300 EQUITY OFFICE PROPERTI PREFERD 294741509 9,200 200,000 200,000 ERICSSON L M TEL CO AD COMMON 294821400 75,682 5,109,364 5,109,364 ESCO TECHNOLOGIES INC COMMON 296315104 1,239 71,300 71,300 ESPEED INC CL A COMMON 296643109 492 17,297 17,297 ESTERLINE TECHNOLOGIES COMMON 297425100 3,239 164,530 164,530 ETHAN ALLEN INTERIORS COMMON 297602104 20,222 714,250 714,250 EVERGREEN RES INC COMMON 299900308 6,102 175,600 175,600 EVERGREEN TAX STRATEGI MUTUAL 299921106 1 84 84 EXAR CORP COMMON 300645108 74,324 614,250 614,250 EXCALIBUR TECHNOLOGIES COMMON 300651205 12,410 184,700 184,700 EXCEL TECHNOLOGY INC COMMON 30067T103 1,308 40,800 40,800 EXCELON CORP COMMON 300691102 1,583 127,900 127,900 EXCHANGE APPLICATIONS COMMON 300867108 2,530 558,300 558,300 EXE TECHNOLOGIES INC COMMON 301504106 3,392 226,100 226,100 EXELIXIS INC COM COMMON 30161Q104 364 11,600 11,600 EXTENDED SYSTEMS INC COMMON 301973103 6,853 127,500 127,500 EXODUS COMMUNICATIONS COMMON 302088109 40,394 818,100 818,100 EXODUS COMMUNICATIONS CONVERT 302088AJ8 27,392 17,630,000 17,630,000 EXPEDITORS INTL WASH I COMMON 302130109 12,973 287,900 287,900 EXTREME NETWORKS INC C COMMON 30226D106 100,058 873,879 871,979 EXXON MOBIL CORP COMMON 30231G102 67,656 759,109 759,109 F M C CORP COMMON 302491303 2,045 30,500 30,500 FNB CORP PA COMMON 302520101 428 20,036 20,036 FSI INTL INC COMMON 302633102 4,097 287,500 287,500 F Y I INC COMMON 302712104 4,414 118,100 118,100
PORTVUE-SEC13F.LRP PAGE 15 RUN DATE: 11/03/00 08:26 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) INVESTMENT DISCRETION --------------------------------------------- NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) ---------------------- ------ ---------- -------------- ------------ ---------- ---------- ---------- FACTORY 2-U INC COMMON 303072102 13,759 450,200 450,200 FAIRCHILD SEMICONDUCTO COMMON 303726103 3,954 140,600 140,600 FAIRFIELD CMNTYS INC COMMON 304231301 505 49,900 49,900 FAMILY DLR STORES INC COMMON 307000109 777 40,408 40,408 FEDERAL HOME LN MTG CO COMMON 313400301 2,354 43,541 43,541 FEDERAL NATL MTG ASSN COMMON 313586109 3,327 46,521 46,521 FEDERATED DEPT STORES COMMON 31410H101 1,954 74,800 74,800 FINISAR COMMON 31787A101 60,856 1,258,000 1,251,900 FIRST FIN DATA CORP COMMON 319963104 19,266 493,200 493,200 FIRST ESSEX BANCORP IN COMMON 320103104 282 13,340 13,340 FIRST HORIZON PHARMACE COMMON 32051K106 3,785 208,800 208,800 FIRST HEALTH GROUP COR COMMON 320960107 967 29,976 29,976 FIRST UNION CORP COMMON 337358105 946 29,400 29,400 FISERV INC COMMON COMMON 337738108 14,831 247,700 247,700 FIRSTMERIT CORP COMMON 337915102 456 19,880 19,880 FLAMEL TECHNOLOGIES SA COMMON 338488109 523 73,300 73,300 FLEETBOSTON FINL CORP COMMON 339030108 26,274 673,692 673,692 FOCAL COMMUNICATIONS C COMMON 344155106 3,558 230,500 230,500 FOMENTO ECONOMICO MEXI COMMON 344419106 1,681 43,100 43,100 FORD MOTOR COMMON 345370100 3 54 54 FORD MTR CO DEL COMMON 345370860 3,074 121,460 121,460 FOREST LABS INC COM COMMON 345838106 141,436 1,233,231 1,231,031 FOREST OIL CORP COMMON 346091606 6,925 427,800 427,800 FORRESTER RESH INC COMMON 346563109 19,794 310,500 310,500 FORTIS NL ADR SPONSORE COMMON 34956J101 46 1,513 1,513 FORTUNE BRANDS INC COM COMMON 349631101 1 25 25 FORWARD AIR CORP COMMON 349853101 20,120 571,800 571,800 FOX ENTMT GROUP INC CL COMMON 35138T107 1,102 41,586 41,586 FRANCO NEV MNG LTD COM COMMON 351860101 3 177 177 FRESENIUS MED CARE AG COMMON 358029106 13 439 439 FRONTIER AIRLINES INC COMMON 359065109 497 25,560 25,560 FUELCELL ENERGY INC COMMON 35952H106 1,444 15,000 15,000 FUJITSU LTD ADR 5 COM COMMON 359590304 7,982 68,684 68,684 FURUKAWA ELEC LTD ADR COMMON 361118102 14,297 51,720 51,720 GBC BANCORP CALIF COMMON 361475106 3,774 110,800 110,800 GKN PUB LTD CO ADR COMMON 361755606 2 202 202 GABELLI ASSET MGMT INC COMMON 36239Y102 2,088 69,600 69,600 GADZOOKS INC COMMON 362553109 1,848 103,400 103,400 GANNETT INC DEL COMMON 364730101 36,830 694,900 694,900 GASONICS INTL CORP COMMON 367278108 8,537 696,900 696,900 GATEWAY INC. COMMON 367626108 5 92 92 GEMSTAR TV GUIDE INTER COMMON 36866W106 106,867 1,225,718 1,225,718 GENENCOR INTL INC COMMON 368709101 4,450 150,200 150,200 GENENTECH INC COM NEW COMMON 368710406 140,591 757,142 757,142
PORTVUE-SEC13F.LRP PAGE 16 RUN DATE: 11/03/00 08:26 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) INVESTMENT DISCRETION --------------------------------------------- NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) ---------------------- ------ ---------- -------------- ------------ ---------- ---------- ---------- GENERAL DYNAMICS CORP COMMON 369550108 5,484 87,300 87,300 GENERAL ELEC CO COMMON 369604103 426,536 7,390,556 7,390,556 GENERAL MLS INC COMMON 370334104 1,523 42,900 42,900 GENERAL MTRS CORP COMMON 370442105 30,877 475,034 475,034 GENERAL MTRS CORP COMMON 370442832 1,304 35,101 35,101 GENESCO INC COMMON 371532102 14,475 854,600 854,600 GENTEX CORP COM COMMON 371901109 2 80 80 GENOMICA CORP COMMON 37243Q101 3,110 160,000 160,000 GENOMIC SOLUTIONS INC COMMON 37243R109 5,613 326,600 326,600 GENSET SA SPONSORED AD COMMON 37244T104 2 84 84 GENZYME TRANSGENICS CO COMMON 37246E105 19,529 554,000 554,000 GENZYME CORP COMMON 372917104 37,592 551,300 551,300 GEORGIA GULF CORP COMMON 373200203 5,481 479,200 479,200 GEORGIA PAC CORP COMMON 373298108 19 796 796 GETTY IMAGES INC COMMON 374276103 8,483 278,700 278,700 GILEAD SCIENCES INC COMMON 375558103 44,145 402,459 402,459 GILDAN ACTIVEWEAR INC COMMON 375916103 3,267 97,900 97,900 GLATFELTER P H CO COMMON 377316104 509 42,000 42,000 GLENAYRE TECHNOLOGIES COMMON 377899109 5,010 460,700 460,700 GLIMCHER RLTY TR COMMON 379302102 309 20,680 20,680 GLOBAL CROSSING 144A PREFERD 37932J202 9,699 111,969 111,969 GLOBAL INDS LTD COMMON 379336100 13,942 1,115,300 1,115,300 GLOBAL MARINE INC COMMON 379352404 38,708 1,253,700 1,246,800 GLOBECOMM SYSTEMS INC COMMON 37956X103 3,166 245,900 245,900 GLOBESPAN INC COM COMMON 379571102 98,384 806,436 804,736 GLOBIX CORP COM COMMON 37957F101 8,976 385,000 385,000 GLOBO CABO S A COMMON 37957X102 9,742 728,400 728,400 GOLDEN TELECOM INC COMMON 38122G107 641 36,900 36,900 GOLDEN WEST FINL CORP COMMON 381317106 27,499 512,800 512,800 GOLDMAN SACHS GROUP IN COMMON 38141G104 33,661 295,293 295,293 GOLF TR AMER INC COMMON 38168B103 168 12,430 12,430 GO2NET INC COM COMMON 383486107 428 7,900 7,900 GREAT PLAINS SOFTWARE COMMON 39119E105 591 21,000 21,000 GREATER BAY BANCORP COMMON 391648102 15,212 219,080 219,080 GROUPE DANONE COMMON 399449107 20,986 752,212 752,212 GRUPO TELEVISA SA DE C COMMON 40049J206 9,443 163,700 163,700 GRUPO IUSACELL SA DE C COMMON 40050B100 5,973 503,000 503,000 AUTONOMY CORP PLC COMMON 4012001 22,174 395,962 395,962 ALLEANZA ASSICURAZ COMMON 4015970 57,681 4,357,580 4,357,580 GUIDANT CORP COMMON 401698105 87 1,223 1,223 GUILFORD PHARMACEUTICA COMMON 401829106 6,206 269,100 269,100 ALTRAN TECHNOLOGIES COMMON 4021869 15,392 72,950 72,950 GULF ISLAND FABRICATIO COMMON 402307102 472 26,760 26,760 AXA COMMON 4026927 538 4,120 4,120
PORTVUE-SEC13F.LRP PAGE 17 RUN DATE: 11/03/00 08:26 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) INVESTMENT DISCRETION --------------------------------------------- NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) ---------------------- ------ ---------- -------------- ------------ ---------- ---------- ---------- VIVENDI ENVIRONNEMENT COMMON 4031879 38,305 1,033,500 1,033,500 EGIS COMMON 4040499 9,997 223,600 223,600 HCA-HEALTHCARE CO COMMON 404119109 10,833 291,800 291,800 HNC SOFTWARE INC COMMON 40425P107 17,573 214,800 214,800 HSBC HOLDINGS PLC COMMON 404280406 21,262 297,800 297,800 HS RES INC COMMON 404297103 4,731 140,700 140,700 ASCOM HLDG AG BEARER COMMON 4052740 10,712 3,195 3,195 HALL KINION ASSOCIATES COMMON 406069104 16,684 586,700 586,700 HALLIBURTON COMPANY COMMON 406216101 4 83 83 LEICA GEOSYSTEMS AG COMMON 4064693 876 2,800 2,800 LOGITECH INTERNATIONAL COMMON 4066848 14,585 46,340 46,340 UNITED MEDICAL SYSTEMS COMMON 4074818 1,119 59,000 59,000 ARNOLDO MONDADORI EDIT COMMON 4084895 15,349 1,290,300 1,290,300 UNILABS COMMON 4088187 2,253 2,900 2,900 LION BIOSCIENCE AG COMMON 4095444 2,224 22,500 22,500 HANCOCK JOHN FINL SVCS COMMON 41014S106 2 90 90 HANDLEMAN CO DEL COMMON 410252100 1,647 133,130 133,130 HANSON PLC ADR SPONSOR COMMON 411352404 24 877 877 BAER HLDGS AG COMMON 4116958 24,275 4,680 4,680 HARLEY DAVIDSON INC COMMON 412822108 99,248 2,073,089 2,068,489 HARMAN INTL INDS INC COMMON 413086109 4,324 110,600 110,600 JM AB B SHS COMMON 4155508 3,896 166,800 166,800 CAP GEMINI SA COMMON 4163437 338 1,800 1,800 HARTFORD FINANCIAL SER COMMON 416515104 2 23 23 HASBRO BRADLEY INC COMMON 418056107 1 123 123 COFLEXIP SA COMMON 4181741 15,203 120,900 120,900 CENTROS COMERCIALES PR COMMON 4184267 5,291 387,097 387,097 HEALTHSOUTH CORP COMMON 421924101 2,259 278,000 278,000 HEALTH MGMT ASSOC INC COMMON 421933102 65 3,147 3,147 HEARTLAND EXPRESS INC COMMON 422347104 391 22,500 22,500 HEIDRICK & STRUGGLES I COMMON 422819102 20,596 400,900 400,900 HEINEKEN N V ADR COMMON 423012202 10,490 188,573 188,573 HELIX TECHNOLOGY CORP COMMON 423319102 14,631 489,750 489,750 HELLER FINL INC CL A COMMON 423328103 6,564 229,800 229,800 HELMERICH & PAYNE INC COMMON 423452101 15,935 441,100 441,100 ALPHA CREDIT BANK COMMON 4235864 63,345 1,603,300 1,603,300 CUKUROVA ELEKTRIK AS COMMON 4239800 0 85,000 85,000 CREDIT SUISSE GRP COMMON 4245614 953 5,100 5,100 HENRY JACK & ASSOC INC COMMON 426281101 17,176 396,000 396,000 METRO INTERNATIONAL SA COMMON 4280240 715 57,435 57,435 HERTZ CORP CL A COMMON 428040109 1 18 18 HEWLETT PACKARD CO COMMON 428236103 19,347 199,450 199,450 HEWLETT PACKARD CO 0.0 CONVERT 428236AC7 31,923 43,432,000 43,432,000 HEXCEL CORP NEW CONVERT 428291AA6 1,517 1,500,000 1,500,000
PORTVUE-SEC13F.LRP PAGE 18 RUN DATE: 11/03/00 08:26 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) INVESTMENT DISCRETION --------------------------------------------- NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) ---------------------- ------ ---------- -------------- ------------ ---------- ---------- ---------- KUDELSKI SA BEARER COMMON 4329422 21,807 14,250 14,250 FUGRO MCCLELLAND COMMON 4332895 12,323 215,000 215,000 HISPANIC BROADCASTING COMMON 43357B104 5,444 195,300 195,300 DEPFA DEUTSCHE PFANDBF COMMON 4355063 14,112 176,700 176,700 HOME DEPOT INC COMMON 437076102 45,513 857,719 857,719 HON HAI PREC GDR 144A COMMON 438090102 7,611 590,034 590,034 HONEYWELL INTL INC COMMON 438516106 1,657 46,500 46,500 HOT TOPIC INC COMMON 441339108 4,884 162,800 162,800 HOTJOBS COM INC COMMON 441474103 9,896 580,000 580,000 HOUSEHOLD INTL CORP COMMON 441815107 5 85 85 INTL QUANTUM EPITAXY P COMMON 4419839 120 15,000 15,000 HOUSTON EXPL CO COMMON 442120101 2,326 92,100 92,100 ENI SPA COMMON 4436399 35,477 6,700,490 6,700,490 HURRIYET GAZETECILIK COMMON 4445276 7,670 810,226,400 810,226,400 HUMAN GENOME SCIENCES COMMON 444903108 176,785 1,044,033 1,042,233 INDRA SISTEMAS SA COMMON 4476210 10,866 502,600 502,600 HUTCHISON WHAMPOA LTD COMMON 448415208 10,381 156,379 156,379 ICN PHARMACEUTICALS IN COMMON 448924100 1,017 30,597 30,597 ICOS CORP COMMON 449295104 3,946 72,900 72,900 IDEC PHARMACEUTICALS C COMMON 449370105 65,047 370,934 369,134 IASIAWORKS INC COMMON 45072L101 2,500 250,000 250,000 IBASIS INC COMMON 450732102 4,747 299,000 299,000 IDACORP INC COMMON 451107106 2,718 58,770 58,770 ILEX ONCOLOGY INC COMMON 451923106 7,845 260,400 260,400 ILLUMINA INC COMMON 452327109 3,394 74,800 74,800 ILLUMINET HLDGS INC CD COMMON 452334105 3 100 100 IMMERSION CORP COMMON 452521107 2,968 191,500 191,500 IMMUNEX CORP NEW COM COMMON 452528102 87,342 2,007,882 2,003,182 IMMUNOGEN INC COMMON 45253H101 9,658 282,500 282,500 IMPERIAL BANCORP COMMON 452556103 313 16,379 16,379 IMMUNOMEDICS INC COMMON 452907108 5,588 266,900 266,900 INCYTE PHARMACEUTICALS COMMON 45337C102 5,337 129,788 129,788 INDEPENDENT ENERGY HLD COMMON 45384X108 12 1,641 1,641 LEGRAND SA COMMON 4558583 345 2,100 2,100 INFINEON TECHNOLOGIES COMMON 45662N103 2 58 58 INFINITY BROADCASTING COMMON 45662S102 19 580 580 INET TECHNOLOGIES INC COMMON 45662V105 7,312 250,000 250,000 INFOCUS CORP COMMON 45665B106 42,954 810,450 810,450 INFORMATION HLDGS INC COMMON 456727106 4,061 114,600 114,600 INFOSYS TECHNOLOGIES L COMMON 456788108 7 50 50 ING GROEP N.V. ADR COMMON 456837103 15,260 231,640 231,640 INGERSOLL-RAND COMPANY COMMON 456866102 135 3,953 3,953 INKTOMI CORP COM COMMON 457277101 20,656 181,188 181,188 INNERDYNE INC COMMON 45764D102 2,958 422,500 422,500
PORTVUE-SEC13F.LRP PAGE 19 RUN DATE: 11/03/00 08:26 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) INVESTMENT DISCRETION --------------------------------------------- NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) ---------------------- ------ ---------- -------------- ------------ ---------- ---------- ---------- INSIGHT ENTERPRISES IN COMMON 45765U103 25,947 952,165 952,165 INSITUFORM TECHNOLOGIE COMMON 457667103 8,252 245,400 245,400 INSILICON CORP COMMON 45769H108 3,555 245,200 245,200 INRANGE TECHNOLOGIES C COMMON 45769V206 7,950 150,000 150,000 INNKEEPERS USA TR COMMON 4576J0104 324 31,590 31,590 INSPIRE PHARMACEUTICAL COMMON 457733103 2,973 99,100 99,100 INTEGRATED MEASUREMENT COMMON 457923100 1,284 95,100 95,100 INTEGRATED DEVICE TECH COMMON 458118106 129,245 1,428,099 1,428,099 INTEGRATED SILICON SOL COMMON 45812P107 11,217 790,600 790,600 INTEL CORP COMMON 458140100 197,785 4,758,765 4,758,765 INTEGRATED TELECOM EXP COMMON 45817U101 1,079 52,000 52,000 INTER TEL INC COMMON 458372109 2 145 145 INTERCEPT GROUP INC COMMON 45845L107 4,893 209,900 209,900 INTEREP NATL RADIO SAL COMMON 45866V109 316 101,100 101,100 INTERLINK ELECTRS COMMON 458751104 5,828 300,800 300,800 INTERMAGNETICS GEN COR COMMON 458771102 7,541 283,218 283,218 INTERNAP NETWORK SVCS COMMON 45885A102 336 10,400 10,400 NOBEL BIOCARE AB COMMON 4590585 1,607 64,500 64,500 INTERNATIONAL BUSINESS COMMON 459200101 34,957 310,408 310,408 INTERNATIONAL FIBERCOM COMMON 45950T101 9,440 645,500 645,500 INTERNATIONAL GAME TEC COMMON 459902102 6,617 196,800 196,800 INTL RECTIFIER CORP COMMON 460254105 59,822 1,184,600 1,184,600 INTL RECTIFIER CORP 14 CONVERT 460254AD7 15,959 17,207,000 17,207,000 INTL SPECIALTY PRODS I COMMON 460337108 206 38,310 38,310 INTERNET CAPITAL GROUP COMMON 46059C106 19 1,086 1,086 INTERNET PICTURES CORP COMMON 46059S101 1,450 266,603 266,603 INTERNET INITIATIVE JA COMMON 46059T109 7 157 157 INTERNET SEC SYS INC C COMMON 46060X107 34,498 459,200 459,200 INTERPUBLIC GROUP COS COMMON 460690100 1,032 30,300 30,300 INTERPUBLIC GROUP COS CONVERT 460690AJ9 4,721 5,155,000 5,155,000 INTERSPEED INC COMMON 46070W107 1,859 270,400 270,400 INTRANET SOLUTIONS INC COMMON 460939309 7,480 149,600 149,600 INTERNET COM CORP COMMON 460967102 5,417 175,100 175,100 INTERTAN INC COMMON 461120107 6,584 456,050 456,050 INTERWOVEN INC COM COMMON 46114T102 165,099 1,460,246 1,458,246 INTIMATE BRANDS INC CL COMMON 461156101 2,185 116,854 116,854 INTRABIOTICS PHARMACEU COMMON 46116T100 813 50,000 50,000 INTUIT INC COMMON 461202103 59,973 1,052,180 1,052,180 INVENSYS PLC ADR SPONS COMMON 461204109 8 1,835 1,835 INVERNESS MED TECHNOLO COMMON 461268104 2,272 118,000 118,000 UNAXIS HOLDING AG R COMMON 4612757 18,154 65,100 65,100 INVESTMENT TECHNOLOGY COMMON 46145F105 511 12,800 12,800 NESTLE SA COMMON 4616696 47,793 22,946 22,946 INVITROGEN CORP COMMON 46185R100 51,807 728,400 728,400
PORTVUE-SEC13F.LRP PAGE 20 RUN DATE: 11/03/00 08:26 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) INVESTMENT DISCRETION --------------------------------------------- NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) ---------------------- ------ ---------- -------------- ------------ ---------- ---------- ---------- IONA TECHNOLOGIES PLC COMMON 46206P109 21,198 305,000 305,000 NATIONAL BANK OF GREEC COMMON 4625959 22,815 554,290 554,290 ISLE OF CAPRI CASINOS COMMON 464592104 1,479 95,400 95,400 I2 TECHNOLOGIES INC CO COMMON 465754109 96,558 516,179 514,379 I2 TECHNOLOGIES INC CONVERT 465754AF6 40,834 15,344,000 15,344,000 IVAX CORP COMMON 465823102 67,137 1,459,485 1,459,485 IXOS SOFTWARE AG ADR S COMMON 46600V108 0 26 26 JDS UNIPHASE CORP COMMON 46612J101 164,478 1,737,060 1,737,060 JDA SOFTWARE GROUP INC COMMON 46612K108 9,936 779,300 779,300 JNI CORP COM COMMON 46622G105 561 6,300 6,300 JACK IN THE BOX INC COMMON 466367109 14,301 667,100 667,100 JACO ELECTRS INC COMMON 469783104 162 10,800 10,800 JAPAN AIR LINES LTD AD COMMON 471034306 49 6,175 6,175 JAPAN TELECOM SPON ADR COMMON 471104109 10,077 348,787 348,787 PARMALAT FINANZ COMMON 4714404 12,151 8,320,100 8,320,100 RAS SPA COMMON 4718246 53,845 4,095,100 4,095,100 AVENTIS SA EUR3.82 COMMON 4736817 47,309 630,713 630,713 MERCK KGAA COMMON 4741844 6,086 179,100 179,100 JEFFERSON PILOT CORP C COMMON 475070108 18,855 277,800 277,800 THE SWATCH GROUP AG B COMMON 4762403 24,241 16,759 16,759 EDISON SPA COMMON 4764465 48,929 4,972,800 4,972,800 SAIPEM ITL1000 COMMON 4768768 16,003 2,878,500 2,878,500 JOHNSON & JOHNSON COMMON 478160104 78,459 835,229 835,229 JOHNSON CTLS INC COMMON 478366107 2,819 53,000 53,000 SCHIBSTED ASA COMMON 4790534 16,257 925,300 925,300 JONES APPAREL GROUP IN COMMON 480074103 7 252 252 SGL CARBON AG COMMON 4818351 14,950 233,800 233,800 JUNIPER NETWORKS INC C COMMON 48203R104 240,353 1,097,816 1,097,816 JUNIPER NETWORKS CONVERT 48203RAA2 38,164 24,762,000 24,762,000 KLA INSTRS CORP COMMON 482480100 34 820 820 SCHNEIDER ELECTRIC SA COMMON 4834108 32,172 510,600 510,600 KAMAN CORP COMMON 483548103 559 44,290 44,290 KANA COMMUNICATIONS COMMON 483600102 3,474 156,133 156,133 SCHERING AG COMMON 4845757 2,805 42,900 42,900 SAP COMMON 4846288 4,665 23,800 23,800 SAP AG PREF SHS COMMON 4846868 56,742 229,600 229,600 STOREBRAND ASA COMMON 4852832 14,955 2,104,900 2,104,900 KEEBLER FOODS CO COM COMMON 487256109 653 15,537 15,537 KEITHLEY INSTRS INC COMMON 487584104 40,362 576,600 573,700 TELECOM ITALIA MOBILE COMMON 4876746 1,093 135,200 135,200 KEMET CORP COMMON 488360108 24,899 901,300 901,300 TOTAL FINA ELF SA COMMON 4905413 49,713 339,777 339,777 KENT ELECTRS CORP COMMON 490553104 18,386 770,100 770,100 CIE NATIONAL AIR FRANC COMMON 4916039 10,687 605,800 605,800
PORTVUE-SEC13F.LRP PAGE 21 RUN DATE: 11/03/00 08:26 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) INVESTMENT DISCRETION --------------------------------------------- NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) ---------------------- ------ ---------- -------------- ------------ ---------- ---------- ---------- KERR MCGEE CORP COMMON 492386107 749 11,300 11,300 KERR MCGEE CORP CONVERT 492386AP2 23,255 18,641,000 18,641,000 KEY ENERGY SVCS INC COMMON 492914106 2,192 223,400 223,400 KEYNOTE SYS INC COMMON 493308100 2,702 101,000 101,000 SAMSUNG ELCR II REG S COMMON 4942818 2,498 26,900 26,900 E.ON AG COMMON 4942904 46,714 908,000 908,000 KIMBERLY CLARK CORP COMMON 494368103 51,939 930,600 930,600 PECHINEY SA COMMON 4943792 9,898 247,600 247,600 KING PHARMACEUTICALS I COMMON 495582108 87,082 2,603,243 2,603,243 VNU NV COMMON 4970950 1,342 26,670 26,670 KNIGHT TRADING GROUP I COMMON 499063105 71 1,968 1,968 KOHLS CORP COMMON 500255104 161,312 2,796,286 2,791,486 KOHL'S CORPORATION 144 CONVERT 500255AG9 18,655 31,753,000 31,753,000 KOHLS CORP CONVERT 500255AJ3 397 675,000 675,000 KOMATSU LTD ADR NEW COMMON 500458401 21,985 903,319 903,319 KONINKLIJKE AHOLD NV A COMMON 500467303 20,232 717,788 717,788 KONINKLIJKE PHILIPS EL COMMON 500472303 56,985 1,340,834 1,340,834 KOREA ELECTRIC PWR ADR COMMON 500631106 3,031 232,083 232,083 KOREA TELECOM ADR SPON COMMON 50063P103 3,870 115,113 115,113 KORN FERRY INTL COMMON 500643200 11,839 313,100 313,100 KROGER CO COMMON 501044101 1,141 50,590 50,590 KUBOTA LTD CORP COMMON 501173207 2 37 37 KULICKE & SOFFA INDS I COMMON 501242101 174 13,060 13,060 KYOCERA CORP COMMON 501556203 36 238 238 LSI LOGIC CORP COMMON 502161102 1 50 50 LSI LOGIC 4.000% 02/15 CONVERT 502161AE2 66 82,000 82,000 LTX CORP COMMON 502392103 14,532 767,350 767,350 LABORATORY CORP AMER H COMMON 50540R409 42,703 356,600 356,600 ING GROEP NV COMMON 5058877 2,085 31,300 31,300 LAGARDERE GROUPE S C A COMMON 507069102 66 1,095 1,095 HENKEL KGAA COMMON 5076705 14,612 242,400 242,400 MEDIASET SPA COMMON 5077946 42,120 2,827,600 2,827,600 SMEDVIG ASA B COMMON 5120066 5,523 309,500 309,500 LAM RESEARCH CORP COMMON 512807108 84 4,018 4,018 LAM RESEARCH 5.00% 9/0 CONVERT 512807AC2 94 90,000 90,000 LAMAR ADVERTISING CO CONVERT 512815AF8 12,452 12,421,000 12,421,000 NOVO NORDISK AS SER B COMMON 5154656 51,653 232,900 232,900 LARGE SCALE BIOLOGY CO COMMON 517053104 16,273 496,900 496,900 FRANCE TELECOM S.A. COMMON 5176177 48,648 454,100 454,100 LAUDER ESTEE COS INC C COMMON 518439104 3,032 82,782 82,782 UNIQUE INTL COMMON 5184716 6,154 303,183 303,183 LEARNING TREE INTL INC COMMON 522015106 28,941 607,700 607,700 SAMPO INSURANCE CO LTD COMMON 5226038 16,192 331,200 331,200 LEGATO SYS INC COMMON COMMON 524651106 54 4,000 4,000
PORTVUE-SEC13F.LRP PAGE 22 RUN DATE: 11/03/00 08:26 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) INVESTMENT DISCRETION --------------------------------------------- NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) ---------------------- ------ ---------- -------------- ------------ ---------- ---------- ---------- LEGG MASON INC COMMON 524901105 3,854 66,300 66,300 LEHMAN BROS HLDGS INC COMMON 524908100 1,040 7,000 7,000 AHOLD (KON) NV COMMON 5252602 23,056 813,150 813,150 PROSIEBEN MEDIA AG COMMON 5252884 15,165 132,700 132,700 AUTOGRILL SPA COMMON 5256206 22,944 1,963,750 1,963,750 LENNAR CORP COMMON 526057104 610 20,500 20,500 LENNAR CORP CONVERT 526057AA2 16,135 33,354,000 33,354,000 ENDESA COMMON 5271782 42,748 2,274,250 2,274,250 LEVEL 3 COMMUNICATIONS CONVERT 52729NAG5 9,424 7,000,000 7,000,000 ALTANA AG COMMON 5273131 11,207 97,700 97,700 LEXMARK INTL GROUP INC COMMON 529771107 7 165 165 LIBERTY MEDIA CORP CONVERT 530715AG6 24,523 26,123,000 26,123,000 SWISSLOG HOLDING CHF20 COMMON 5310715 21,812 35,300 35,300 LIBERTY SATELLITE & TE COMMON 531182103 1,658 156,000 156,000 TGS NOPEC GEOPHYSICAL COMMON 5321676 6,885 504,100 504,100 LIFEPOINT HOSPS INC CO COMMON 53219L109 16,507 465,000 465,000 LIGHTBRIDGE INC COMMON 532226107 2,194 188,700 188,700 GN STORE NORD COMMON 5323274 37,288 262,700 262,700 LILLY ELI AND COMPANY COMMON 532457108 4,675 57,620 57,620 LIMITED INC COMMON 532716107 542 24,600 24,600 LINCOLN NATL CORP IND COMMON 534187109 23,702 492,500 492,500 LINEAR TECHNOLOGY CORP COMMON 535678106 86 1,333 1,333 LION BIOSCIENCE AKTIEN COMMON 536191109 15,799 160,583 160,583 LITHIA MTRS INC COMMON 536797103 958 79,000 79,000 LITTELFUSE INC COMMON 537008104 3,096 104,300 104,300 PROKOM SOFTWARE COMMON 5372878 8,383 188,100 188,100 ERGO VERSICHERUNGS GRP COMMON 5377947 16,777 111,900 111,900 NORDIC BALTIC HLDG AB COMMON 5380031 38,442 5,366,870 5,366,870 LIZ CLAIBORNE INC COMMON 539320101 7,559 196,324 196,324 KONINKLIJKE NUMICO NV COMMON 5402601 46,648 909,060 909,060 LOEWS CORP CONVERT 540424AL2 9,315 10,540,000 10,540,000 LOGITECH INTL S A SPON COMMON 541419107 18,402 598,473 598,473 LONDON PAC GROUP LTD COMMON 542073101 8,049 405,000 405,000 LONE STAR TECHNOLOGIES COMMON 542312103 6,613 143,300 143,300 ALTADIS SA COMMON 5444012 35,036 2,428,340 2,428,340 AKZO NOBEL NLG5 COMMON 5458314 29,358 696,000 696,000 LOUIS DREYFUS NAT GAS COMMON 546011107 20,383 514,400 514,400 SKANDIA FORSAKRINGS AB COMMON 5461572 1,953 98,500 98,500 STRAUMANN HOLDINGS AG COMMON 5464355 28,066 12,600 12,600 CE CONSUMER ELECTRONIC COMMON 5465972 6,213 205,200 205,200 AIXTRON ORD COMMON 5468346 33,959 271,770 271,770 ALSTOM COMMON 5474978 291 12,620 12,620 GRETAG IMAGING GRP COMMON 5476305 22,783 100,200 100,200 CESKE RADIOKOMUNIKACE COMMON 5479207 736 19,420 19,420
PORTVUE-SEC13F.LRP PAGE 23 RUN DATE: 11/03/00 08:26 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) INVESTMENT DISCRETION --------------------------------------------- NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) ---------------------- ------ ---------- -------------- ------------ ---------- ---------- ---------- INTRACOM COMMON 5482023 15,355 451,165 451,165 LOWES CO COMMON 548661107 4 80 80 ZURICH ALLIED AG COMMON 5486779 41,133 88,980 88,980 SEZ HOLDING AG COMMON 5493995 22,768 29,700 29,700 LUCENT TECHNOLOGIES IN COMMON 549463107 5 157 157 REXEL COMMON 5499335 7,468 99,800 99,800 INTERSHOP COMM COMMON 5499551 31,906 486,945 486,945 LYNX THERAPEUTICS INC COMMON 551812308 711 22,700 22,700 M & T BK CORP COMMON 55261F104 2,040 4,000 4,000 MBNA CORP COMMON 55262L100 31,049 806,475 806,475 MCSI INC COMMON 55270M108 3,816 113,500 113,500 MEMC ELECTR MATLS INC COMMON 552715104 2,717 211,000 211,000 MGIC INVT CORP WIS COMMON 552848103 4 58 58 MGI PHARMA INC COMMON 552880106 6,609 220,300 220,300 MGM MIRAGE COMMON 552953101 103,437 2,708,660 2,708,660 MKS INSTRUMENT INC COMMON 55306N104 266 9,700 9,700 MMC NETWORKS INC COM COMMON 55308N102 51,068 403,700 403,700 MRV COMMUNICATIONS INC COMMON 553477100 24,451 539,600 539,600 MSC INDL DIRECT INC COMMON 553530106 1,450 95,100 95,100 MACERICH CO COMMON 554382101 301 14,160 14,160 MACROVISION CORP COM COMMON 555904101 62,986 777,600 777,600 MACROMEDIA INC COMMON COMMON 556100105 13,108 162,214 162,214 MACRONIX INTL LTD ADR COMMON 556103109 4 290 290 FRONTLINE LTD COMMON 5561052 15,042 965,075 965,075 MADDEN STEVEN LTD COMMON 556269108 288 33,420 33,420 CLASS EDITORI COMMON 5574878 20,758 1,292,453 1,292,453 TECIS HOLDING AG COMMON 5575268 3,307 45,700 45,700 GRUPO ACCIONA SA COMMON 5579107 12,905 390,400 390,400 MAGNA INTL INC CL A COMMON 559222401 533 12,326 12,326 FORTIS (B) EUR COMMON 5596593 316 10,280 10,280 MAGYAR TAVKOZLESI RT A COMMON 559776109 6 294 294 SENATOR FILM AG COMMON 5602713 20,565 1,090,000 1,090,000 MAIL-WELL INC CONVERT 560321AD3 7,121 9,000,000 9,000,000 MAINSPRING INC COMMON 56062U100 565 75,900 75,900 MANAGEMENT NETWORK GRO COMMON 561693102 2,818 135,000 135,000 INTERTAINMENT AG COMMON 5617029 4,684 91,520 91,520 MANHATTAN ASSOCS INC C COMMON 562750109 45,634 745,050 745,050 MANNESMANN A G SPONS COMMON 563775303 3 22 22 MANPOWER INC COMMON 56418H100 12,680 397,000 397,000 MANUFACTURED HOME CMNT COMMON 564682102 336 13,450 13,450 MANUGISTICS GROUP INC COMMON 565011103 45,353 462,200 462,200 MANULIFE FINL CORP COM COMMON 56501R106 17,544 845,479 845,479 MAPINFO CORP COMMON 565105103 4,382 139,950 139,950 ADVA AG OPTICAL NETWOR COMMON 5653487 34,274 361,300 361,300
PORTVUE-SEC13F.LRP PAGE 24 RUN DATE: 11/03/00 08:26 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) INVESTMENT DISCRETION --------------------------------------------- NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) ---------------------- ------ ---------- -------------- ------------ ---------- ---------- ---------- ABB LTD COMMON 5661190 2,994 30,800 30,800 SYNTHES STRATEC COMMON 5661480 23,094 34,000 34,000 MARCHFIRST INC COM COMMON 566244109 33 2,044 2,044 MARCONI PLC ADR COMMON 566306106 0 8 8 MARCONI PLC ADR SPONSO COMMON 566306205 603 22,054 22,054 TELEGATE AG COMMON 5665750 11,235 106,100 106,100 D LOGISTICS AG COMMON 5669279 9,055 135,200 135,200 SANOFI SYNTHELABO COMMON 5671735 75,281 1,400,800 1,400,800 MARIMBA INC COMMON 56781Q109 826 67,600 67,600 SUESS MICROTEC AG COMMON 5679137 8,123 254,700 254,700 MARINE DRILLING COS IN COMMON 568240204 36,457 1,276,400 1,276,400 GRUPO DRAGADOS SA COMMON 5687000 13,304 1,673,200 1,673,200 VIVENDI EX GEN DES EAU COMMON 5687237 475 6,390 6,390 TECAN AG COMMON 5696200 13,903 13,060 13,060 ELISA COMMUNICATIONS O COMMON 5701513 22,334 625,064 625,064 PERLOS OYJ COMMON 5703133 12,129 459,700 459,700 SVENSKA HANDELSBANKEN COMMON 5703661 67,250 4,179,500 4,179,500 GALERIES LAFAYETTE COMMON 5704556 20,250 116,600 116,600 NEG MICON A/S COMMON 5705593 15,777 296,400 296,400 BANCO SANTANDER CENTRA COMMON 5705946 57,217 5,212,100 5,212,100 SINGULUS TECHNOLOGIES COMMON 5718665 16,255 345,600 345,600 MARSCHOLLEK LAUT UND P COMMON 5720284 20,732 138,200 138,200 AUSTRIA TECHNOLOGIE & COMMON 5724112 8,427 276,800 276,800 VERSATEL TELECOM INTL COMMON 5731532 11,175 485,200 485,200 QIAGEN NV COMMON 5732825 27,059 568,900 568,900 MARUBENI CORP ADR COMMON 573810207 11 417 417 MARUI LTD ADR NEW COMMON 573814308 48 1,526 1,526 SOL MELIA SA COMMON 5738298 10,874 1,113,100 1,113,100 BAYER MOTOREN WERK COMMON 5756029 60,159 1,759,280 1,759,280 HON HAI PREC GDR REG S COMMON 5758218 3,882 300,907 300,907 MASTEC INC COM COMMON 576323109 24,623 787,973 787,973 MATRIX PHARMACEUTICAL COMMON 576844104 3,458 222,200 222,200 HYUNDAI MTRS REG S COMMON 5772661 1,197 169,800 169,800 MAXTOR CORP COMMON 577729205 10,518 1,001,700 1,001,700 MAXIM INTEGRATED PRODS COMMON 57772K101 132,288 1,644,610 1,639,910 MAY DEPT STORES CO COMMON 577778103 1 40 40 MAVERICK TUBE CORP COMMON 577914104 9,907 367,788 367,788 MAYTAG CORP COM COMMON 578592107 3 118 118 MCAFEE COM CORP COMMON 579062100 1,596 107,300 107,300 PERBIO SCIENCE AB COMMON 5797556 2,956 302,900 302,900 MCCORMICK & CO INC COMMON 579780206 5,260 176,800 176,800 MCDATA CORP COMMON 580031102 1,364 11,100 11,100 MCDONALDS CORP COMMON 580135101 704 23,320 23,320 DRESDNER BANK AG COMMON 5801628 51,376 1,169,540 1,169,540
PORTVUE-SEC13F.LRP PAGE 25 RUN DATE: 11/03/00 08:26 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) INVESTMENT DISCRETION --------------------------------------------- NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) ---------------------- ------ ---------- -------------- ------------ ---------- ---------- ---------- MCGRAW HILL INC COMMON 580645109 9,725 153,000 153,000 F SECURE OYJ COMMON 5806850 8,555 1,303,100 1,303,100 DIREKT ANLAGE BANK AG COMMON 5811928 8,258 167,100 167,100 MCK COMMUNICATIONS INC COMMON 581243102 1,738 76,800 76,800 MCKESSON HBOC INC COMMON 58155Q103 10,486 343,100 343,100 MCLEODUSA INC COM COMMON 582266102 22,634 1,581,420 1,581,420 MCLEODUSA INC PREFERD 582266201 19,140 46,272 46,272 SCHNEIDER RUNDFUNKWERK COMMON 5824272 6,768 123,700 123,700 MEADE INSTRUMENTS CORP COMMON 583062104 7,033 348,400 348,400 MECHANICAL TECHNOLOGY COMMON 583538103 4,889 452,200 452,200 TOMRA SYSTEMS ASA COMMON 5837010 25,146 764,790 764,790 MEDAREX INC COM COMMON 583916101 76,047 648,235 648,235 MEDICINES CO COMMON 584688105 3,077 90,000 90,000 MEDICIS PHARMACEUTICAL COMMON 584690309 40,058 651,348 651,348 MEDIMMUNE INC COMMON COMMON 584699102 377,373 4,885,091 4,879,991 MEDTRONIC INC COMMON 585055106 2,179 42,050 42,050 ACCOR SA COMMON 5852842 30,603 824,520 824,520 MELLON FINL CORP COMMON 58551A108 3,668 79,100 79,100 MELTRONIX INC COM COMMON 585730104 0 66 66 FINMECCANICA SPA COMMON 5859951 42,962 36,277,580 36,277,580 MENS WEARHOUSE INC COMMON 587118100 17,155 605,900 605,900 MENTOR GRAPHICS CORP COMMON 587200106 13,571 576,000 576,000 MERCANTILE BANKSHARES COMMON 587405101 639 17,600 17,600 MERCK & CO INC COMMON 589331107 136,530 1,834,150 1,834,150 MERCURY INTERACTIVE CO COMMON 589405109 386,257 2,464,157 2,459,457 MERCURY INTERACT 144A CONVERT 589405AA7 29,611 19,135,000 19,135,000 MEREDITH CORP COM COMMON 589433101 13 442 442 MERIX CORP COMMON 590049102 56,432 870,700 870,700 MERRILL LYNCH & CO INC COMMON 590188108 983 14,900 14,900 METASOLV SOFTWARE INC COMMON 591393103 2 50 50 METHODE ELECTRS INC COMMON 591520200 21,155 477,400 477,400 METLIFE INC EQTY SEC U CONVERT 59156R207 132 1,550 1,550 METRIS COS INC COMMON 591598107 51,341 1,299,777 1,299,777 METRO GOLDWYN MAYER IN COMMON 591610100 1,269 52,892 52,892 METROMEDIA FIBER NETWO COMMON 591689104 72,304 2,974,000 2,974,000 TELESENS AG COMMON 5922994 7,554 148,100 148,100 METTLER-TOLEDO INTL IN COMMON 592688105 10,525 239,200 239,200 AEGON NLG 0.50 COMMON 5927375 2,071 54,900 54,900 THIEL LOGISTIK AG COMMON 5928776 22,894 155,800 155,800 SSI LTD GDR REG S COMMON 5932205 1,312 226,200 226,200 MICHAEL FOOD INC NEW COMMON 594079105 1,636 70,000 70,000 MICHAELS STORES INC COMMON 594087108 17,592 439,800 439,800 MICREL INC COMMON 594793101 75,362 1,124,800 1,124,800 MICROSOFT CORP COMMON 594918104 53,975 894,928 894,928
PORTVUE-SEC13F.LRP PAGE 26 RUN DATE: 11/03/00 08:26 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) INVESTMENT DISCRETION --------------------------------------------- NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) ---------------------- ------ ---------- -------------- ------------ ---------- ---------- ---------- ASM LITHOGRAPHY HOLDIN COMMON 5949368 409 12,326 12,326 MICROCHIP TECHNOLOGY I COMMON 595017104 9,154 276,875 276,875 MICROMUSE INC COM COMMON 595094103 145,940 726,302 724,802 TELELOGIC AB COMMON 5951266 10,765 1,346,700 1,346,700 MICROSEMI CORP COMMON 595137100 22,463 589,200 589,200 MICROTUNE INC DEL COMMON 59514P109 1,077 20,100 20,100 MID ATLANTIC MED SVCS COMMON 59523C107 11,710 774,200 774,200 ISS DC COMMON 5952816 17,754 285,900 285,900 ERICSSON LM TEL COMMON 5959378 1,072 70,481 70,481 UBS AG COMMON 5962354 41,696 313,340 313,340 VESTAS WIND SYSTEMS A/ COMMON 5964651 38,166 746,900 746,900 HIQ INTERNATIONAL AB COMMON 5972494 6,501 797,700 797,700 ALCATEL COMMON 5975006 46,470 726,346 726,346 SERONO SA B COMMON 5981070 34,304 28,100 28,100 DANONE COMMON 5981810 19,512 142,102 142,102 ENEA DATA AB COMMON 5985191 15,359 2,665,800 2,665,800 KONINKLIJKE PHILIPS EL COMMON 5986622 229 5,331 5,331 M6 METROPOLE TELEVISIO COMMON 5993901 5,916 118,339 118,339 TELEVISION FRANCAISE COMMON 5997118 45,305 789,840 789,840 PYROSEQUENCING AB COMMON 5997141 7,364 492,600 492,600 MILLENNIUM PHARMACTCLS COMMON 599902103 152,959 1,077,391 1,075,891 MILLENNIUM PHARMACEUTI CONVERT 599902AB9 30,911 16,157,000 16,157,000 MILLIPORE CORP COMMON 601073109 6,981 144,117 144,117 CHINA SOUTHERN AIRLINE COMMON 6013693 6,109 19,642,000 19,642,000 ALL NIPPON AIRWAYS CO COMMON 6014908 11,447 3,436,000 3,436,000 ALPS ELECTRIC CO COMMON 6021500 30,073 1,377,000 1,377,000 AMANO COMMON 6027304 924 90,000 90,000 CRESCO LIMITED 4674JP COMMON 6036009 753 11,000 11,000 NET ONE SYSTEMS CO7518 COMMON 6036548 938 33 33 MINIMED INC COMMON COMMON 60365K108 119,103 1,332,621 1,329,621 MINNESOTA MNG & MFG CO COMMON 604059105 42,528 466,700 466,700 MIPS TECHNOLOGIES INC COMMON 604567107 3,910 85,000 85,000 PT BANK UNIVERSAL TBK COMMON 6052469 105 13,218,500 13,218,500 ASATSU INC. COMMON 6056052 205 6,000 6,000 MITSUBISHI ELEC CORP A COMMON 606776201 16,782 202,476 202,476 CHINA MOBILE (HONG KON COMMON 6073556 34,465 5,192,600 5,192,600 NATSTEEL ELECTRONICS L COMMON 6073750 9,245 3,575,500 3,575,500 BANK HAPOALIM LTD COMMON 6075808 20,175 6,578,800 6,578,800 MODERN TIMES GROUP MTG COMMON 607698107 86 665 665 MOLECULAR DEVICES CORP COMMON 60851C107 2,515 25,600 25,600 JIT HOLDINGS COMMON 6085409 60 24,000 24,000 MORITEX CORPORATION 77 COMMON 6086769 1,185 10,000 10,000 MONACO COACH CORP COMMON 60886R103 7,249 439,310 439,310 RELIANCE INDUSTRY DEMA COMMON 6099626 10,242 1,376,200 1,376,200
PORTVUE-SEC13F.LRP PAGE 27 RUN DATE: 11/03/00 08:26 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) INVESTMENT DISCRETION --------------------------------------------- NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) ---------------------- ------ ---------- -------------- ------------ ---------- ---------- ---------- EGYPTIAN MOBILE PHONE COMMON 6103925 2,754 122,800 122,800 STANDARD BANK COMMON 6108005 85 22,160 22,160 POWERCHIP SEMICONDUCTO COMMON 6108997 215 195,000 195,000 COMPUTER & TECHNOLOGIE COMMON 6115113 3,040 4,052,000 4,052,000 MONTANA PWR CO COM COMMON 612085100 10 303 303 TREND MICRO COMMON 6125286 31,219 232,500 232,500 FUJITSU SUPPORT &SERVI COMMON 6127130 441 3,700 3,700 NTT DOMOCO INC. COMMON 6129277 36,175 1,261 1,261 BRIDGESTONE 5108JP COMMON 6132101 638 53,000 53,000 HANARO TELECOM INC COMMON 6134817 276 59,913 59,913 SHANDONG INTL PWR H COMMON 6142780 180 1,124,000 1,124,000 VIA TECHNOLOGIES INC COMMON 6146823 1,442 136,500 136,500 SIAM COMMERCIAL BK CON PREFERD 6153726 10,342 26,855,300 26,855,300 HSBC HOLDINGS PLC COMMON 6158163 57,021 4,078,795 4,078,795 CKD CORP COMMON 6160050 495 54,000 54,000 PAC CENTURY CYBERWORKS COMMON 6164007 157 139,000 139,000 PROTEL INTERNATIONAL L COMMON 6167697 1,099 402,000 402,000 MORGAN J P & CO INC COMMON 616880100 4,035 24,700 24,700 MORGAN STANLEY DEAN WI COMMON 617446448 13,465 147,260 147,260 MORGAN STANLEY (CISCO) CONVERT 617446CY3 14,175 5,000,000 5,000,000 OBIC BUSINESS CONSULT COMMON 6174620 2,648 28,900 28,900 HONDA TSUSHIN KOGYO CO COMMON 6174631 1,064 25,000 25,000 DBS HOLDINGS COMMON 6175203 1,396 126,578 126,578 CHEUNG KONG (HOLDINGS) COMMON 6190273 62,846 5,199,000 5,199,000 CITIC PACIFIC COMMON 6196152 10,153 2,356,000 2,356,000 CITIZEN WATCH CO COMMON 6197304 35,778 3,330,000 3,330,000 MOTIENT CORP COMMON 619908106 5,694 403,100 403,100 ITOCHU TECHNO SCIENCE COMMON 6200194 44,837 244,700 244,700 MOTOROLA INC COMMON 620076109 1,056 35,809 35,809 KOREA TELECOM FREETEL COMMON 6201421 6,825 155,960 155,960 INFOSYS TECH DEMAT COMMON 6205122 12,328 77,280 77,280 TANAKA CHAEMICAL CORP COMMON 6214203 219 11,000 11,000 COMMONWEALTH BK OF AUS COMMON 6215035 420 28,100 28,100 LEGEND HOLDINGS LTD COMMON 6218089 7,805 8,224,000 8,224,000 HONGKONG.COM CORP COMMON 6219305 19 249,200 249,200 LIVIN' ON THE EDGE CO COMMON 6223135 316 18 18 SK TELECOM CO LTD COMMON 6224871 27,101 111,110 111,110 PETROCHINA CO LTD COMMON 6226576 76,967 377,425,600 377,425,600 OPEN TELECOMMUNICATION COMMON 6239477 2,079 2,000,000 2,000,000 SATYAM COMPUTER SVCS D COMMON 6241858 4,771 450,800 450,800 DATACRAFT ASIA COMMON 6246831 64,374 7,755,884 7,755,884 MUELLER INDS INC COMMON 624756102 329 14,660 14,660 DAIICHI PHARM CO COMMON 6250218 15,038 592,000 592,000 DAIKIN KOGYO CO COMMON 6250724 31,142 1,614,000 1,614,000
PORTVUE-SEC13F.LRP PAGE 28 RUN DATE: 11/03/00 08:26 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) INVESTMENT DISCRETION --------------------------------------------- NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) ---------------------- ------ ---------- -------------- ------------ ---------- ---------- ---------- DATAPULSE TECH COMMON 6253206 324 1,139,000 1,139,000 MULTEX COM INC COMMON 625367107 1,188 69,400 69,400 DIMENSION DATA HLDGS P COMMON 6264639 45,412 4,908,986 4,908,986 MURPHY OIL CORP COMMON 626717102 4,064 62,700 62,700 SEIKOH GIKEN CO LTD COMMON 6277552 449 1,000 1,000 JOHNSON ELECTRIC HLDGS COMMON 6281939 47 22,000 22,000 GIORDANO INTL LIMITED COMMON 6282040 12,435 21,426,000 21,426,000 MYLAN LABS INC COMMON 628530107 3,055 113,400 113,400 MYRIAD GENETICS INC COMMON 62855J104 30,706 355,500 355,500 LI & FUNG LTD COMMON 6286257 3,747 1,776,000 1,776,000 MIZUHO HOLDINGS INC. COMMON 6286280 404 49 49 NBTY INC COMMON 628782104 2,409 368,800 368,800 NCI BUILDING SYS INC COMMON 628852105 286 19,550 19,550 NCO GROUP INC COMMON 628858102 186 15,690 15,690 FUJITSU BROAD SOLUTION COMMON 6289751 398 8,600 8,600 NEC CORP ADR ORD COMMON 629050204 16,429 147,511 147,511 NL INDS INC COMMON 629156407 994 46,900 46,900 NPS PHARMACEUTICALS IN COMMON 62936P103 20,357 359,900 359,900 NRG ENERGY INC COMMON 629377102 27,211 745,500 745,500 NTL INC COM COMMON 629407107 10 233 233 NTL INC 7.00% 12/15/20 CONVERT 629407AL1 62 47,000 47,000 NTL INC 144A CONVERT 629407AN7 14,986 21,486,000 21,486,000 NTL DEL INC / NTL INC CONVERT 62940TAA7 1,248 1,776,000 1,776,000 NTT DOCOMO INC COMMON 62942M201 90 627 627 NUI CORP COMMON 629430109 314 10,390 10,390 NVR INC COMMON 62944T105 543 6,700 6,700 NABORS INDS INC COMMON 629568106 62,851 1,199,453 1,199,453 NACCO INDS INC COMMON 629579103 423 10,080 10,080 EAST JPN RAILWAY COMMON 6298542 545 98 98 NANOMETRICS INC COMMON 630077105 25,933 485,300 485,300 ELEC & ELTEK COMMON 6308032 41 335,000 335,000 FAST RETAILING CO 99 COMMON 6332439 204 1,000 1,000 NATIONAL BK GREECE S A COMMON 633643408 7,387 875,425 875,425 COSCO PACIFIC COMMON 6354251 25,940 34,280,000 34,280,000 NATIONAL COMM BANCORP COMMON 635449101 1,256 63,000 63,000 NATIONAL DISC BROKERS COMMON 635646102 984 31,800 31,800 FUJIKURA COMMON 6356707 21,801 2,647,000 2,647,000 FUJISAWA PHARMACEUTICA COMMON 6356804 516 14,000 14,000 FANUC LTD COMMON 6356934 69,559 629,000 629,000 FUJITSU LTD COMMON 6356945 41,648 1,793,000 1,793,000 FURUKAWA ELECTRIC COMMON 6357562 46,794 1,694,000 1,694,000 NATIONAL INSTRS CORP COMMON 636518102 11,894 269,550 269,550 NATIONAL-OILWELL INC COMMON 637071101 43,828 1,402,500 1,402,500 NATIONAL PWR PLC ADR S COMMON 637194705 20,466 296,609 296,609
PORTVUE-SEC13F.LRP PAGE 29 RUN DATE: 11/03/00 08:26 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) INVESTMENT DISCRETION --------------------------------------------- NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) ---------------------- ------ ---------- -------------- ------------ ---------- ---------- ---------- NATIONAL R V HLDGS INC COMMON 637277104 261 25,960 25,960 LG CABLE LTD COMMON 6375780 6,339 415,800 415,800 NATURAL MICROSYSTEMS C COMMON 638882100 57,891 1,076,100 1,076,100 NAVIDEC INC COMMON 63934Q101 2,170 280,000 280,000 NAVISITE INC COMMON 63935M109 6,899 256,100 256,100 NAVIGANT CONSULTING IN COMMON 63935N107 0 151 151 NEIMAN MARCUS GROUP IN COMMON 640204202 671 20,700 20,700 HALLA CLIMATE CONTROL COMMON 6404316 480 15,820 15,820 NEON COMMUNICATIONS IN COMMON 640506101 7,809 223,900 223,900 NEORX CORP COMMON 640520300 8,568 349,700 349,700 NEOSE TECHNOLOGIES INC COMMON 640522108 585 12,100 12,100 HANKUK ELECTRIC GLASS COMMON 6409162 5,177 91,640 91,640 NEOPHARM INC COMMON 640919106 15,772 399,300 399,300 NESTLE S A SPON ADR RE COMMON 641069406 17,986 172,715 172,715 NETEGRITY INC COMMON 64110P107 30,433 434,750 434,750 NETOPIA INC COMMON 64114K104 7,182 652,900 652,900 NETRO CORP COMMON 64114R109 50,475 851,900 851,900 NETSPEAK CORP COMMON 64115D109 2,405 212,600 212,600 NETIQ CORP COM COMMON 64115P102 13,066 198,906 198,906 NETWORK APPLIANCE INC COMMON 64120L104 425,837 3,343,163 3,337,919 CHINA MERCHANTS (HLDGS COMMON 6416139 4,509 5,908,000 5,908,000 HIKARI TSUSHIN INC COMMON 6416322 4,524 117,800 117,800 HIROSE ELECTRIC6806JP COMMON 6428725 457 3,500 3,500 HITACHI COMMON 6429104 27,004 2,327,000 2,327,000 HITACHI CABLE 5812JP COMMON 6429148 16,140 1,418,000 1,418,000 HON HAI PRECISION COMMON 6438564 5,378 817,880 817,880 HOYA CORP COMMON 6441506 10,370 132,300 132,300 HUTCHISON WHAMPOA COMMON 6448068 75,562 5,692,284 5,692,284 HYUNDAI ELECTRONICS IN COMMON 6450267 28,216 1,972,710 1,972,710 HYUNDAI MOTOR CO LTD COMMON 6451055 14,978 1,151,890 1,151,890 IMPALA PLATINUM HOLDIN COMMON 6457804 26,659 616,600 616,600 JAPAN ASSOC FIN COMMON 6471439 292 2,000 2,000 PT JAYA REAL PROPERTY COMMON 6478106 30 480,000 480,000 KEYENCE CORP 6861JP COMMON 6490995 1,589 4,590 4,590 NEW WORLD DEV LTD ADR COMMON 649274305 10,384 3,645,950 3,645,950 KIRIN BREWERY COMMON 6493745 4,838 471,000 471,000 KOREA ELEC POWER CORP COMMON 6495730 43,757 1,676,830 1,676,830 KOMATSU (6301) COMMON 6496584 32,771 5,390,000 5,390,000 KONAMI CO LTD COMMON 6496681 55,884 677,000 677,000 KYOCERA CORP COMMON 6499260 260 1,700 1,700 NEW YORK TIMES CO CL A COMMON 650111107 17,337 441,000 441,000 KOREA TELECOM CORP COMMON 6505316 24,278 405,300 405,300 NEWFIELD EXPL CO COMMON 651290108 686 14,700 14,700 NEWPARK RES INC COMMON 651718504 453 48,990 48,990
PORTVUE-SEC13F.LRP PAGE 30 RUN DATE: 11/03/00 08:26 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) INVESTMENT DISCRETION --------------------------------------------- NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) ---------------------- ------ ---------- -------------- ------------ ---------- ---------- ---------- NEWPORT CORP COM COMMON 651824104 261,808 1,643,838 1,642,138 QQQ DEC91 PUTS COMMON 651990210 793 104,000 104,000 NEWPORT NEWS SHIPBLDG COMMON 652228107 482 11,120 11,120 NEWS AMER HLDGS INC CONVERT 652478AS7 28,350 25,033,000 25,033,000 NEWS COPR LTD ADR COMMON 652487703 17 308 308 NEXTEL COMMUNICATIONS COMMON 65332V103 55,276 1,182,361 1,182,361 NEXTEL COMMUNICATIONS CONVERT 65332VAY9 49,040 52,032,000 52,032,000 NEXTEL PARTNERS INC COMMON 65333F107 29,399 1,009,400 1,009,400 NEXTLINK COMMUNICATION COMMON 65333H707 42,535 1,208,800 1,208,800 NEXTLINK COMMUNICATION PREFERD 65333H863 15,243 92,103 92,103 NEXT LEVEL COMMUNICATI COMMON 65333U104 28 422 422 NICE SYS LTD ADR COMMON 653656108 12,830 178,200 178,200 NIKE INC CLASS B COMMON 654106103 5 129 129 NINTENDO LTD ADR NEW COMMON 654445303 28 1,174 1,174 NIPPON TELEG & TEL COR COMMON 654624105 22 437 437 NOBLE AFFILIATES INC COMMON 654894104 1,767 47,590 47,590 NOKIA CORP COMMON 654902204 34,315 861,875 861,875 NOBLE DRILLING CORP COMMON 655042109 129,655 2,571,363 2,567,263 NOMURA SECS LTD JAPAN COMMON 655361301 20 91 91 MALAYAN BANKING COMMON 6556325 17,647 4,593,000 4,593,000 NORTEK INC COMMON 656559101 362 20,670 20,670 NORTEL NETWORKS CORP N COMMON 656568102 202,514 3,400,820 3,400,820 MATSUSHITA COMM COMMON 6572666 1,893 14,000 14,000 MEITEC 9744JP COMMON 6576356 29,150 630,000 630,000 CREDIT SAISON 8253JP COMMON 6591809 10,678 491,000 491,000 NORTH FORK BANCORP INC COMMON 659424105 68 3,150 3,150 MITSUBISHI CHEMICAL CO COMMON 6597001 590 170,000 170,000 MITSUBISHI ELECTRIC COMMON 6597045 54,821 6,619,000 6,619,000 MITSUI FUDOSAN 8801JP COMMON 6597603 37,503 2,993,000 2,993,000 SAKURA BANK COMMON 6598714 940 126,000 126,000 MURATA MANUFACTNG6981J COMMON 6610403 2,068 15,000 15,000 NGK INSULATORS COMMON 6619507 33,679 2,348,000 2,348,000 NEW WORLD DEVEL COMMON 6633767 15,742 11,057,466 11,057,466 NIPPON SYS DEV COMMON 6639602 16,224 142,420 142,420 NEC CORP COMMON 6640400 43,211 1,902,000 1,902,000 NIPPON TEL & TEL COMMON 6641373 19,393 1,977 1,977 NIPPON SHEET GLASS COMMON 6641447 50,897 3,170,000 3,170,000 NITTO DENKO CORPORATIO COMMON 6641801 15,014 400,600 400,600 NIKON CORP JPY50 COMMON 6642321 303 15,000 15,000 NIPPON STEEL COMMON 6642569 565 318,000 318,000 NIPPON ELEC GLASS COMMON 6642666 23,436 1,013,000 1,013,000 NISSAN MOTORS COMMON 6642860 384 67,000 67,000 NOMURA SECURITIES COMMON 6643108 41,907 1,927,000 1,927,000 OKI ELECTRIC IND JPY50 COMMON 6657682 25,439 3,675,000 3,675,000
PORTVUE-SEC13F.LRP PAGE 31 RUN DATE: 11/03/00 08:26 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) INVESTMENT DISCRETION --------------------------------------------- NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) ---------------------- ------ ---------- -------------- ------------ ---------- ---------- ---------- NORTHERN TR CORP COM COMMON 665859104 101,513 1,142,206 1,142,206 OMRON CORP COMMON 6659428 632 24,000 24,000 ONO PHARMACEUTICAL COMMON 6660107 10,601 258,000 258,000 O U B OVERSEAS UN BK COMMON 6663838 10,714 2,302,000 2,302,000 PIONEER ELEC CORP COMMON 6688745 65,515 1,609,000 1,609,000 NOVA CORP GA COMMON 669784100 3,600 210,195 210,195 NOVARTIS AG - ADR COMMON 66987V109 2 60 60 NU HORIZONS ELECTRS CO COMMON 669908105 5,563 200,000 200,000 NOVADIGM INC COMMON COMMON 669937104 4,318 278,900 278,900 NUANCE COMMUNICATIONS COMMON 669967101 39,269 322,700 322,700 NOVELL INC COMMON 670006105 29 2,922 2,922 NOVELLUS SYSTEMS INC COMMON 670008101 14,974 321,581 321,581 NOVEN PHARMACEUTICALS COMMON 670009109 40,394 944,900 944,900 PROMISE CO (8574) COMMON 6703295 572 7,400 7,400 NUMERICAL TECHNOLOGIES COMMON 67053T101 1,740 60,400 60,400 NVIDIA CORP COMMON 67066G104 4,470 54,600 54,600 NYCOMED AMERSHAM PLC A COMMON 67066H102 1 15 15 OM GROUP INC COMMON 670872100 458 10,500 10,500 OSI PHARMACEUTICALS IN COMMON 671040103 50,351 719,300 719,300 OYO GEOSPACE CORP COMMON 671074102 3,955 158,200 158,200 OAK INDUSTRIES 4.875% CONVERT 671400AL3 34,498 5,335,000 5,335,000 OAK TECHNOLOGY INC COMMON 671802106 3,624 132,400 132,400 OAKLEY INC COMMON 673662102 4,075 232,000 232,000 OBJECTIVE SYS INTEGRAT COMMON 674424106 2,926 336,800 336,800 OCCIDENTAL PETE CORP D COMMON 674599105 29,929 1,372,100 1,372,100 OCEAN ENERGY INC. COMMON 67481E106 8,679 562,200 562,200 OCEANFIRST FINL CORP COMMON 675234108 496 23,900 23,900 SOFTBANK CORP COMMON 6770620 4,991 53,400 53,400 SAMSUNG ELECTRONICS COMMON 6771720 59,884 330,594 330,594 SANYO ELECTRIC CO COMMON 6776769 53,417 6,076,000 6,076,000 LUKOIL SPONSD ADR COMMON 677862104 89,209 1,550,886 1,550,886 OJI PAPER CO ADR COMMON 678123100 12 204 204 SEVEN ELEVEN JAPAN8183 COMMON 6797179 401 6,900 6,900 SHIN ETSU CHEM CO4063J COMMON 6804585 295 7,000 7,000 SHANGHAI INDUSTRIAL HL COMMON 6810010 14,174 7,319,000 7,319,000 SINGAPORE AIRLINES LTD COMMON 6811734 23,599 2,489,000 2,489,000 SODICK CO LTD COMMON 6818832 428 66,000 66,000 OMNICOM GROUP COMMON 681919106 208 2,851 2,851 OMNICOM GROUP INC CONVERT 681919AG1 21,577 14,045,000 14,045,000 1-800 CONTACTS INC COMMON 681977104 230 4,800 4,800 OMNIVISION TECHNOLOGIE COMMON 682128103 3,014 83,300 83,300 OMNISKY CORP COMMON 68213L103 3,047 150,000 150,000 SONY CORP 6758JP COMMON 6821506 60,358 595,100 595,100 ON ASSIGNMENT INC COMMON 682159108 7,063 225,100 225,100
PORTVUE-SEC13F.LRP PAGE 32 RUN DATE: 11/03/00 08:26 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) INVESTMENT DISCRETION --------------------------------------------- NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) ---------------------- ------ ---------- -------------- ------------ ---------- ---------- ---------- ONI SYSTEMS CORP COMMON 68273F103 31,979 370,500 370,500 OPTICAL CABLE CORP COM COMMON 683827109 435 17,850 17,850 OPTIMAL ROBOTICS CORP COMMON 68388R208 14,442 358,800 358,800 ORACLE SYS CORP COMMON 68389X105 361,618 4,591,964 4,591,964 ORAPHARMA INC COMMON 68554E106 1,341 99,800 99,800 SUMITOMO OSAKA CEMENT COMMON 6858548 19,739 4,627,000 4,627,000 SUMITOMO CHEMICAL CO COMMON 6858560 2,086 419,000 419,000 ORIX CORP ADR SPONSORE COMMON 686330101 11,116 190,837 190,837 TAKEDA CHEMICAL IND450 COMMON 6870445 1,189 18,000 18,000 ORTHODONTIC CTRS AMER COMMON 68750P103 5,587 167,700 167,700 TAISHIN INTL BANK COMMON 6876001 351 578,900 578,900 OSCA INC COMMON 687836106 1,594 95,900 95,900 OSHKOSH TRUCK CORP COMMON 688239201 7,316 188,800 188,800 OSICOM TECHNOLOGIES IN COMMON 688271501 3,024 122,200 122,200 KOOKMIN BANK COMMON 6885881 16,619 1,393,420 1,393,420 THAI FARMERS BK FOREIG COMMON 6888794 8,780 17,230,400 17,230,400 TAIWAN SEMICONDUCTOR COMMON 6889106 22,034 6,637,755 6,637,755 TOKYO ELEC PWR COMMON 6895404 1,597 67,800 67,800 TOKYU CORP COMMON 6896548 1,306 253,000 253,000 TOSHIBA CORP COMMON 6897217 65,248 8,095,000 8,095,000 OUTBACK STEAKHOUSE INC COMMON 689899102 267 9,880 9,880 TOYOTA MOTOR COMMON 6900643 277 7,000 7,000 TINGY(CAYMAN)HOLDING C COMMON 6903556 245 2,326,000 2,326,000 OVERSEAS SHIPHOLDING G COMMON 690368105 4,317 157,700 157,700 TENAGA NASIONAL BHD COMMON 6904612 38,167 12,835,000 12,835,000 OWENS & MINOR INC NEW COMMON 690732102 4,794 304,370 304,370 OXFORD HEALTH PLANS IN COMMON 691471106 16,000 520,578 520,578 UNITED MICROELECTRONIC COMMON 6916628 22,722 10,625,000 10,625,000 USHIO INC COMMON 6918981 15,568 722,000 722,000 VENTURE MANUFACTURING COMMON 6927374 22,560 2,337,000 2,337,000 PC-TEL INC COMMON 69325Q105 2,497 107,400 107,400 PECO ENERGY CO COMMON 693304107 2,459 40,600 40,600 PE CORP PE BIOSYS GROU COMMON 69332S102 239,896 2,059,068 2,054,468 PE CORP COM CLRA GENOM COMMON 69332S201 82,462 827,721 827,721 P F CHANGS CHINA BISTR COMMON 69333Y108 3,653 105,700 105,700 PMC-SIERRA INC COM COMMON 69344F106 203,208 944,053 942,553 PMI GROUP INC COMMON 69344M101 33,380 492,700 492,700 PACKARD BIOSCIENCE INC COMMON 695172205 6,755 346,400 346,400 PAIN THERATEUTICS INC COMMON 69562K100 3,267 164,900 164,900 PALM INC COM COMMON 696642107 192,301 3,632,601 3,623,401 WING TAI HLDGS COMMON 6972385 244 274,000 274,000 CHINA RESOURCES COMMON 6972459 17,319 14,520,000 14,520,000 PANERA BREAD CO COMMON 69840W108 4,567 218,800 218,800 YAMATAKE CORP COMMON 6985543 937 83,000 83,000
PORTVUE-SEC13F.LRP PAGE 33 RUN DATE: 11/03/00 08:26 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) INVESTMENT DISCRETION --------------------------------------------- NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) ---------------------- ------ ---------- -------------- ------------ ---------- ---------- ---------- YAMATO TRANSPORT COMMON 6985565 929 42,000 42,000 ZHEJIANG EXPRESS-H SHS COMMON 6990763 814 4,806,000 4,806,000 PARADYNE NETWORKS INC COMMON 69911G107 71 13,200 13,200 PARK PL ENTMT CORP COM COMMON 700690100 1,461 96,543 96,543 PARKVALE FINL CORP COMMON 701492100 228 12,640 12,640 PATINA OIL & GAS CORP COMMON 703224105 12,422 621,100 621,100 PATTERSON DENTAL CO COMMON 703412106 6,453 286,800 286,800 PATTERSON ENERGY INC C COMMON 703414102 40,280 1,171,800 1,171,800 PAXAR CORP COMMON 704227107 517 57,840 57,840 PAYCHEX INC COMMON 704326107 137,259 2,614,496 2,614,496 PEARSON PLC SPONSORED COMMON 705015105 21 785 785 PECHINEY ADR SPONSORED COMMON 705151207 10,852 539,253 539,253 PECO II INC COMMON 705221109 9,030 192,900 192,900 PECOM ENERGIA S A ADR COMMON 70570522M 3 350 350 PEGASUS COMMUNICATIONS COMMON 705904100 12,334 255,300 255,300 PENTON MEDIA INC COMMON 709668107 13,302 483,700 483,700 PEPSI BOTTLING GROUP I COMMON 713409100 3,698 123,000 123,000 PEPSICO INC COMMON 713448108 103,468 2,249,300 2,249,300 PERICOM SEMICONDUCTOR COMMON 713831105 41,837 1,113,800 1,113,800 PERKINELMER INC COM COMMON 714046109 72,966 699,075 699,075 PERKINELMER INC CONVERT 714046AA7 14,795 21,520,000 21,520,000 P T TELEKOMUNIKASI IND COMMON 715684106 0 29 29 PETROCHINA CO LTD SPON COMMON 71646E100 8,623 436,684 436,684 PETROLEO BRASILEIRO SA COMMON 71654V408 132,960 4,422,819 4,422,819 PFIZER INC COMMON 717081103 331,737 7,382,591 7,382,591 PHARMACOPEIA INC COM COMMON 71713B104 6,542 256,500 256,500 PHARMACIA CORP COMMON 71713U102 9 154 154 PHILIP MORRIS COS INC COMMON 718154107 1,654 56,200 56,200 PHILLIPS PETROLEUM COM COMMON 718507106 4,982 79,400 79,400 PHILLIPS VAN HEUSEN CO COMMON 718592108 121 11,700 11,700 PHYSIOMETRIX INC COMMON 718928104 2,166 97,900 97,900 PHOENIX TECHNOLOGY LTD COMMON 719153108 6,904 433,200 433,200 PHONE COM INC COM COMMON 71920Q100 10 87 87 PHOTON DYNAMICS INC CO COMMON 719364101 25,595 678,000 678,000 PHOTRONICS INC COMMON 719405102 5,782 265,100 265,100 PIER 1 IMPORTS INC COM COMMON 720279108 28,191 2,078,600 2,078,600 PILOT NETWORK SVCS INC COMMON 721596104 4,024 387,900 387,900 PINNACLE HLDGS INC COMMON 72346N101 13,715 515,100 515,100 PIONEER CORP JAPAN ADR COMMON 723646105 24,933 604,407 604,407 PIONEER STD ELECTRS IN COMMON 723877106 441 32,500 32,500 PITNEY BOWES INC COMMON 724479100 1 20 20 PIXELWORKS INC COM COMMON 72581M107 16,061 336,800 336,800 PIVOTAL CORP COMMON 72581R106 13,676 260,500 260,500 PLANAR SYS INC COMMON 726900103 2,509 134,700 134,700
PORTVUE-SEC13F.LRP PAGE 34 RUN DATE: 11/03/00 08:26 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) INVESTMENT DISCRETION --------------------------------------------- NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) ---------------------- ------ ---------- -------------- ------------ ---------- ---------- ---------- PLANTRONICS INC NEW CO COMMON 727493108 6,035 158,800 158,800 PLATO LEARNING INC COMMON 72764Y100 740 35,900 35,900 PLAYBOY ENTERPRISES IN COMMON 728117300 3,468 232,200 232,200 PLEXUS CORP COMMON 729132100 7,149 101,400 101,400 POGO PRODUCING CO COMMON 730448107 3,480 137,150 137,150 POLYCOM INC COM COMMON 73172K104 28,991 432,900 432,900 POLYMEDICA CORP COMMON 731738100 28,915 674,400 674,400 POMEROY COMPUTER RES COMMON 731822102 1,977 104,400 104,400 PORTAL SOFTWARE INC CO COMMON 736126103 4,445 111,115 111,115 PORTUGAL TELECOM S A S COMMON 737273102 25 2,504 2,504 POWER INTEGRATIONS INC COMMON 739276103 5,365 384,900 384,900 POWER-ONE INC COM COMMON 739308104 33,787 558,319 558,319 POWERWAVE TECHNOLOGIES COMMON 739363109 18,597 489,800 489,800 POWERTEL INC COMMON 73936C109 26,683 350,800 350,800 PRAECIS PHARMACEUTICAL COMMON 739421105 15,670 368,700 368,700 PRE PAID LEGAL SVCS IN COMMON 740065107 1,906 59,000 59,000 PRECISION DRILLING COR COMMON 74022D100 31,242 876,938 876,938 PRECISION OPTICS INC M COMMON 740294103 1,795 227,900 227,900 PRICE COMMUNICATIONS C COMMON 741437305 16,857 861,710 861,710 PRIMACOM AG ADR SPONSO COMMON 74154N108 7 523 523 PRIMA ENERGY CORP COMMON 741901201 8,792 165,100 165,100 PRIDE INTL INC COMMON 741932107 10,894 411,100 411,100 PRIORITY HEALTHCARE CO COMMON 74264T102 44,789 587,400 587,400 PROCTER & GAMBLE COMPA COMMON 742718109 2,252 33,615 33,615 PROSOFT TRAINING COM C COMMON 743477101 499 35,000 35,000 PROTEIN DESIGN LABS IN COMMON 74369L103 74,975 622,200 620,500 PROTON ENERGY SYS INC COMMON 74371K101 2,176 76,000 76,000 PROVIDENT FINL GROUP I COMMON 743866105 392 13,350 13,350 PROVIDIAN FINL CORP CO COMMON 74406A102 64,766 509,970 509,970 PROXIM INC COMMON 744284100 2,652 59,600 59,600 PSINET INC COM COMMON 74437C101 3 318 318 PSINET INC PREFERD 74437C309 699 18,160 18,160 PSINET INC PREFERD 74437C507 827 31,487 31,487 PSI TECHNOLOGIES HLDGS COMMON 74438Q109 2,778 217,900 217,900 PUBLIC SVC ENTERPRISE COMMON 744573106 818 18,300 18,300 PUBLIC STORAGE INC DEP COMMON 74460D729 0 1 1 PUBLICIS GROUPE S A NE COMMON 74463M106 8 283 283 PULTE CORP COMMON 745867101 9,415 285,300 285,300 PUMA TECHNOLOGY INC COMMON 745887109 13,004 640,200 640,200 PURCHASEPRO COM COMMON 746144104 30,686 349,200 349,200 QLT PHOTOTHERAPEUTICS COMMON 746927102 581 8,207 8,207 QLOGIC CORP COM COMMON 747277101 22,584 256,640 256,640 QUAKER OATS CO COM COMMON 747402105 40,552 512,500 512,500 QUALCOMM INC COMMON 747525103 4,692 65,857 65,857
PORTVUE-SEC13F.LRP PAGE 35 RUN DATE: 11/03/00 08:26 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) INVESTMENT DISCRETION --------------------------------------------- NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) ---------------------- ------ ---------- -------------- ------------ ---------- ---------- ---------- QUANEX CORP COMMON 747620102 246 12,930 12,930 QUANTA SVCS INC COM COMMON 74762E102 21,736 766,697 766,697 QUANTUM CORP COMMON 747906204 529 35,130 35,130 QUEST DIAGNOSTICS INC COMMON 74834L100 7,435 64,800 64,800 QUEST SOFTWARE INC COMMON 74834T103 37,117 597,600 597,600 QWEST COMMUNICATIONS I COMMON 749121109 69,233 1,440,471 1,440,471 QWEST COMM TRENDS 144A PREFERD 74912L105 23,045 288,514 288,514 RSA SEC INC COMMON 749719100 14,188 329,000 329,000 RMH TELESERVICES INC COMMON 749938106 3,539 220,300 220,300 RF MICRO DEVICES INC C COMMON 749941100 2,527 78,954 78,954 RADIO ONE INC COMMON 75040P405 3,326 470,900 470,900 RADIOSHACK CORP COMMON 750438103 155 2,400 2,400 RADISYS CORP COMMON COMMON 750459109 652 12,900 12,900 RADYNE COMSTREAM INC COMMON 750611402 2,628 336,400 336,400 RAINBOW TECHNOLOGIES I COMMON 750862104 2,798 79,100 79,100 RALCORP HLDGS INC NEW COMMON 751028101 655 46,400 46,400 RATIONAL SOFTWARE CORP COMMON 75409P202 7,863 113,336 113,336 RATIONAL SOFTWARE 144A CONVERT 75409PAA1 29,696 14,294,000 14,294,000 RATIONAL SOFTWARE CORP CONVERT 75409PAC7 4,467 2,150,000 2,150,000 READ-RITE CORP COMMON 755246105 4,493 399,400 399,400 READERS DIGEST ASSN IN COMMON 755267101 6 158 158 REALNETWORKS INC COM COMMON 75605L104 55 1,396 1,396 REDBACK NETWORKS INC C COMMON 757209101 183,368 1,118,093 1,115,893 REDBACK NETWORKS INC CONVERT 757209AB7 25,369 22,651,000 22,651,000 REEBOK INTERNATIONAL L COMMON 758110100 480 25,500 25,500 REED INTL PLC ADR SPON COMMON 758212872 0 4 4 REGENT COMMUNICATIONS COMMON 758865109 1,761 316,500 316,500 REGENERON PHARMACEUTIC COMMON 75886F107 10,417 319,300 319,300 REHABCARE GROUP INC COMMON 759148109 11,628 273,600 273,600 REINSURANCE GROUP AMER COMMON 759351109 587 17,140 17,140 RELIANCE IND GDR 144A COMMON 759470107 8,491 543,400 543,400 RELIANT ENERGY INC COMMON 75952J108 33,294 716,000 716,000 REMEC INC COMMON 759543101 21,486 729,900 729,900 REMEDY CORP COMMON 759548100 1,955 103,600 103,600 RENT A CTR INC NEW COMMON 76009N100 10,413 300,200 300,200 REPSOL ADS SPONSORED A COMMON 76026T205 7 338 338 RESONATE INC COMMON 76115Q104 2,026 51,300 51,300 RETEK INC COMMON 76128Q109 4,049 76,400 76,400 REUTERS GROUP PLC-SPON COMMON 76132M102 36,406 323,981 323,981 REYNOLDS & REYNOLDS CO COMMON 761695105 5,704 287,000 287,000 RHODIA ADR SPONSORED COMMON 762397107 16 1,425 1,425 RICHARDSON ELECTRS LTD COMMON 763165107 526 31,400 31,400 RIO TINTO PLC ADR SPON COMMON 767204100 95 1,600 1,600 ROBERT HALF INTL INC COMMON 770323103 56,009 1,614,700 1,614,700
PORTVUE-SEC13F.LRP PAGE 36 RUN DATE: 11/03/00 08:26 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) INVESTMENT DISCRETION --------------------------------------------- NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) ---------------------- ------ ---------- -------------- ------------ ---------- ---------- ---------- ROBINSON NUGENT INC CO COMMON 770810109 17 1,000 1,000 ROCHE HLDGS/ GENENTECH CONVERT 771196AG7 32,543 34,076,000 34,076,000 ROCKWELL INTL CORP NEW COMMON 773903109 10 335 335 ROGERS CORP COMMON 775133101 1,916 60,600 60,600 ROLLS-ROYCE PLC SPONSO COMMON 775781206 22 1,803 1,803 ROSETTA INPHARMATICS I COMMON 777777103 2,532 90,800 90,800 ROSS STORES INC COMMON 778296103 18 1,260 1,260 ROWAN COS INC COM COMMON 779382100 140,696 4,851,564 4,842,264 ROYAL PTT NEDERLAND N COMMON 780641205 15 718 718 RURAL CELLULAR CORP CL COMMON 781904107 1,152 16,900 16,900 SBC COMMUNICATIONS INC COMMON 78387G103 27,923 558,469 558,469 SBA COMMUNICATIONS COR COMMON 78388J106 302 7,200 7,200 SCP POOL CORP COMMON 784028102 11,224 378,875 378,875 SDL INC COMMON COMMON 784076101 329,060 1,063,848 1,062,248 SEI INVESTMENTS CO COMMON 784117103 19,633 277,500 277,500 SOUTHERN ENERGY PREFERD 78411Y104 23,940 360,000 360,000 SK TELECOM LTD COMMON 78440P108 3,234 126,190 126,190 SPS TECHNOLOGIES INC COMMON 784626103 613 12,630 12,630 S1 CORPORATION COMMON 78463B101 3,900 326,700 326,700 SSI LTD GDR 144A COMMON 784663106 522 90,000 90,000 S3 INC COMMON 784849101 4,791 464,600 464,600 SABA SOFTWARE INC COMMON 784932105 4,057 144,900 144,900 SABRE HLDGS CORP CL A COMMON 785905100 1 32 32 SAFEGUARD SCIENTIFICS COMMON 786449108 18 887 887 SAFEWAY INC NEW COMMON 786514208 853 18,272 18,272 SAN PAOLO-MII S P A COMMON 799175104 18,809 577,654 577,654 SANDISK CORP COMMON 80004C101 1,836 27,500 27,500 SANGAMO BIOSCIENCES IN COMMON 800677106 5,840 150,700 150,700 SANMINA CORP COMMON COMMON 800907107 143,493 1,532,626 1,529,626 SANMINA CORP 4.250% 05 CONVERT 800907AB3 27,605 12,235,000 12,235,000 SANWA BK LTD JAPAN ADR COMMON 803030204 4 48 48 SAP AKTIENGESELLSCHAFT COMMON 803054204 2,417 39,317 39,317 SAPIENT CORP COM COMMON 803062108 54 1,324 1,324 SATCON TECHNOLOGY CORP COMMON 803893106 5,731 160,300 160,300 SATYAM INFOWAY LTD ADR COMMON 804099109 2 156 156 SCANSOURCE INC COMMON 806037107 10,515 197,000 197,000 SCHERING PLOUGH CORP COMMON 806605101 3,433 73,815 73,815 SCHLUMBERGER LTD COMMON 806857108 10,867 132,012 132,012 SCHOLASTIC CORP COMMON 807066105 3,190 40,100 40,100 SCHOOL SPECIALTY INC COMMON 807863105 3,557 166,900 166,900 SCHWAB CHARLES CORP NE COMMON 808513105 7 204 204 SCIENTIFIC ATLANTA INC COMMON 808655104 93,023 1,462,061 1,462,061 SCIENTIFIC LEARNING CO COMMON 808760102 463 85,200 85,200 SCOTT TECHNOLOGIES INC COMMON 810022301 307 17,300 17,300
PORTVUE-SEC13F.LRP PAGE 37 RUN DATE: 11/03/00 08:26 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) INVESTMENT DISCRETION --------------------------------------------- NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) ---------------------- ------ ---------- -------------- ------------ ---------- ---------- ---------- SEACHANGE INTL INC COMMON 811699107 9,253 277,250 277,250 SEALED AIR CORP NEW CO COMMON 81211K100 4 95 95 SEALED AIR CORP NEW PF PREFERD 81211K209 19,860 441,326 441,326 SEARS ROEBUCK & CO COMMON 812387108 2,762 85,200 85,200 SECURE COMPUTING CORP COMMON 813705100 18,017 691,300 691,300 SEITEL INC COMMON 816074306 2,498 173,800 173,800 SEMTECH CORP COM COMMON 816850101 99,557 2,406,200 2,406,200 SEMITOOL INC COMMON 816909105 5,272 411,500 411,500 SEPRACOR INC COMMON COMMON 817315104 151,939 1,238,422 1,236,122 SERENA SOFTWARE INC COMMON 817492101 42,622 925,300 925,300 SERONO S A SPONSORED A COMMON 81752M101 81,794 2,703,924 2,703,924 SEVEN ELEVEN JAPAN CO COMMON 817828205 17 302 302 SHARPER IMAGE CORP COMMON 820013100 2,490 141,300 141,300 SHAW GROUP INC COM COMMON 820280105 846 12,000 12,000 SHAW INDS INC COMMON 820286102 1 68 68 SHELL TRANS & TRADING COMMON 822703609 6 126 126 SHIRE PHARMACEUTICALS COMMON 82481R106 10,067 195,014 195,014 SHURGARD STORAGE CTRS COMMON 82567D104 267 11,820 11,820 SIEBEL SYSTEMS INC COMMON 826170102 277,029 2,488,757 2,488,757 SIEBEL SYSTEMS 5.500% CONVERT 826170AC6 41,189 8,521,000 8,521,000 SIEMENS A G ADR NEW COMMON 826197402 8 62 62 SIERRA PAC RES NEW COMMON 826428104 564 31,360 31,360 SIERRA WIRELESS INC COMMON 826516106 6,501 105,700 105,700 SIGNALSOFT CORP COMMON 82668M102 4,412 108,600 108,600 SILICON STORAGE TECHNO COMMON 827057100 8,420 309,700 309,700 SILICON VY BANCSHARES COMMON 827064106 63,176 1,084,850 1,084,850 SILVERSTREAM SOFTWARE COMMON 827907106 2,157 71,600 71,600 SIME DARBY BERHAD ADR COMMON 828617209 4 3,707 3,707 SIMPSON MANUFACTURING COMMON 829073105 4,268 95,500 95,500 SIRIUS SATELLITE RADIO COMMON 82966U103 15,069 285,000 285,000 SKECHERS U S A INC COMMON 830566105 3,194 211,200 211,200 SKILLSOFT CORP COMMON 83066P101 1,211 65,900 65,900 SKYWEST INC COMMON 830879102 32,942 642,767 642,767 SMARTDISK CORP COMMON 83169Q105 1,486 103,400 103,400 SMARTFORCE PUB LTD CO COMMON 83170A206 9,099 192,064 192,064 SMITH INTL INC COMMON 832110100 94,474 1,158,300 1,154,800 SMITHFIELD FOODS COMMON 832248108 25 937 937 SMTC CORP COMMON 832682108 1,825 84,900 84,900 SMURFIT-STONE CONTAINE COMMON 832727101 20 1,691 1,691 SOFTWARE COM INC COMMON 83402P104 17,908 98,700 98,700 SOLECTRON CORP COMMON COMMON 834182107 95 2,070 2,070 SOLECTRON CORP CONVERT 834182AJ6 3,338 5,000,000 5,000,000 SOLECTRON CONVERT 834182AK3 50,453 75,023,000 75,023,000 SONERA CORP - SPON ADR COMMON 835433202 6 268 268
PORTVUE-SEC13F.LRP PAGE 38 RUN DATE: 11/03/00 08:26 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) INVESTMENT DISCRETION --------------------------------------------- NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) ---------------------- ------ ---------- -------------- ------------ ---------- ---------- ---------- SONIC CORP COMMON 835451105 318 10,100 10,100 SONIC AUTOMOTIVE INC COMMON 83545G102 3,598 432,900 432,900 SONICWALL INC COMMON 835470105 12,016 421,600 421,600 SONY CORP 6758JP COMMON 835699307 30,735 304,476 304,476 SOTHEBYS HLDGS INC COMMON 835898107 1,545 62,100 62,100 SOUTHDOWN INC COMMON 841297104 31 434 434 SOUTHERN ENERGY INC DE COMMON 842816100 41,352 1,318,000 1,311,300 SOUTHWEST BANCORPORATI COMMON 84476R109 458 14,000 14,000 SPECTRALINK CORP COMMON 847580107 2,918 309,219 309,219 SPEECHWORKS INTL INC COMMON 84764M101 2,492 40,200 40,200 SPLASH TECHNOLOGY HLDG COMMON 848623104 413 44,600 44,600 SPORTSLINE COM INC COMMON 848934105 2,064 149,400 149,400 SPRINT CORP COMMON 852061100 877 29,945 29,945 SPRINT CORP PCS COM SE COMMON 852061506 9,107 259,731 259,731 STANCORP FINL GROUP IN COMMON 852891100 4,690 109,700 109,700 STANDARD MICROSYSTEMS COMMON 853626109 2,929 134,300 134,300 STANDARD PAC CORP NEW COMMON 85375C101 3,514 195,200 195,200 STANFORD MICRODEVICES COMMON 854399102 10,326 193,000 193,000 STARBUCKS CORP COMMON 855244109 46,132 1,151,500 1,151,500 STARTEK INC COMMON 85569C107 1,418 48,900 48,900 STATE STR CORP COMMON 857477103 14,625 112,500 112,500 STEWART & STEVENSON SV COMMON 860342104 333 19,100 19,100 STILWELL FINL INC COM COMMON 860831106 48,246 1,109,065 1,109,065 STMICROELECTRONICS N V COMMON 861012102 59,331 1,245,465 1,245,465 STMICROELECTRONICS N V CONVERT 861012AB8 4,497 3,319,000 3,319,000 STONE ENERGY CORP COMMON 861642106 20,757 377,400 377,400 STORAGENETWORKS INC OC COMMON 86211E103 73,918 723,362 723,362 SUIZA FOODS CORP COMMON 865077101 9,610 189,600 189,600 SUMITOMO BK LTD JAPAN COMMON 865601207 7 59 59 SUMMIT PPTYS INC COMMON 866239106 395 16,410 16,410 SUN MICROSYSTEMS INC COMMON 866810104 332,235 2,845,697 2,845,697 SUNGARD DATA SYS INC COMMON 867363103 0 6 6 SUNGLASS HUT INTL INC COMMON 86736F106 1,666 255,040 255,040 SUPERCONDUCTOR TECHNOL COMMON 867931107 1,550 85,800 85,800 SUPPORT COM INC COMMON 868587106 5,399 176,300 176,300 SURGUTNEFTEGAS JSC COMMON 868861204 26,324 1,799,900 1,799,900 SURMODICS INC COMMON 868873100 2,239 40,900 40,900 SWIFT ENERGY CO COMMON 870738101 19,967 480,410 480,410 SWIFT TRANSN CO COMMON 870756103 1,509 115,525 115,525 SYBASE INC COMMON 871130100 20,491 890,900 890,900 SYCAMORE NETWORKS INC COMMON 871206108 7,096 65,700 65,700 SYMANTEC CORP COMMON 871503108 44,125 1,002,836 1,002,836 SYMIX SYS INC COMMON 871535100 432 78,100 78,100 SYMMETRICOM INC COMMON 871543104 6,355 406,750 406,750
PORTVUE-SEC13F.LRP PAGE 39 RUN DATE: 11/03/00 08:26 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) INVESTMENT DISCRETION --------------------------------------------- NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) ---------------------- ------ ---------- -------------- ------------ ---------- ---------- ---------- SYNCOR INTL CORP DEL COMMON 87157J106 773 21,000 21,000 SYNOPSYS INC COMMON 871607107 15 390 390 SYNTELLECT INC COMMON 87161L105 1,433 159,800 159,800 SYSCO CORPORATION COMMON 871829107 52,625 1,136,299 1,136,299 TCF FINL CORP COMMON 872275102 2,999 79,700 79,700 TDK CORP COMMON 872351408 134 1,040 1,040 TJX COMPANIES INC (NEW COMMON 872540109 192 8,531 8,531 T / R SYS INC COMMON 87263U102 1,034 116,500 116,500 TRW INC COMMON 872649108 1,361 33,500 33,500 TMP WORLDWIDE INC COM COMMON 872941109 78,609 976,500 976,500 TTM TECHNOLOGIES INC COMMON 87305R109 4,113 175,000 175,000 TVIA INC COMMON 87307P101 5,015 279,600 279,600 TAIWAN SEMICONDUCTOR M COMMON 874039100 33,115 1,625,280 1,625,280 TAIYO YUDEN LTD ADR COMMON 874047202 11 54 54 TALARIAN CORP COMMON 874090103 1,053 54,900 54,900 TALBOTS INC COM COMMON 874161102 12,475 188,300 188,300 TARGET CORP COMMON 87612E106 5 176 176 TAUBMAN CTRS INC COMMON 876664103 319 27,610 27,610 TECH SQUARED INC ESCRO COMMON 878302991 0 293,500 293,500 TECHNE CORP COMMON 878377100 19,678 175,700 175,700 TECHNITROL INC COM COMMON 878555101 41,794 413,800 413,800 TEKTRONIX INC COMMON 879131100 55,697 725,097 725,097 TELE CELULAR SUL PART COMMON 879238103 6,585 219,500 219,500 TELE CENTRO OESTE CELU COMMON 87923P105 937 88,200 88,200 TELE DANMARK A/S SPONS COMMON 879242105 22 770 770 TELE NORTE LESTE PARTI COMMON 879246106 37,491 1,638,963 1,638,963 TELE SUDESTE CELULAR P COMMON 879252104 0 8 8 TELECOM ITALIA SPA-SP COMMON 87927W106 16 153 153 TELECOMUNICACOES BRASI COMMON 879287308 6,979 88,200 88,200 TELECOMMUNICATION SYS COMMON 87929J103 1,920 100,400 100,400 TELEDYNE TECHNOLOGIES COMMON 879360105 8,440 289,800 289,800 TELEFONICA DE ESPANA S COMMON 879382208 26 440 440 TELEFONOS DE MEXICO S COMMON 879403780 79,403 1,492,884 1,492,884 TELESP CELULAR PARTICI COMMON 87952L108 4,222 128,204 128,204 TELESP CELULAR PARTICI WARRANT 87952L116 0 1 1 TELLABS INC COMMON 879664100 311 6,496 6,496 TELETECH HOLDINGS INC COMMON 879939106 14,758 596,300 596,300 TEMPLETON GLOBAL INCOM COMMON 880198106 2 300 300 TEMPLETON GROWTH FD IN MUTUAL 880199104 0 3 3 TENET HEALTHCARE CORP COMMON 88033G100 58,230 1,598,614 1,598,614 TERADYNE INC COMMON 880770102 724 20,663 20,663 TERAYON COMMUN 144A CONVERT 880775AA9 1,847 2,331,000 2,331,000 TESCO PLC ADR SPONSORE COMMON 881575302 16,304 1,479,504 1,479,504 TEVA PHARMACEUTICAL IN COMMON 881624209 165,386 2,259,761 2,259,761
PORTVUE-SEC13F.LRP PAGE 40 RUN DATE: 11/03/00 08:26 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) INVESTMENT DISCRETION --------------------------------------------- NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) ---------------------- ------ ---------- -------------- ------------ ---------- ---------- ---------- TETRA TECHNOLOGIES INC COMMON 88162F105 478 31,500 31,500 TEXACO INC COMMON 881694103 1 20 20 TEXAS BIOTECHNOLOGY CO COMMON 88221T104 1,920 120,000 120,000 TEXAS INSTRUMENTS INC COMMON 882508104 158 3,347 3,347 TEXTRON INC COMMON 883203101 1,220 26,438 26,438 THERMA-WAVE INC COMMON 88343A108 3,470 120,700 120,700 THERMO ELECTRON CORP COMMON 883556102 1,724 66,300 66,300 3-D SYS CORP DEL COMMON 88554D205 1,314 70,100 70,100 THREE FIVE SYS INC COMMON 88554L108 1,169 39,949 39,949 TIBCO SOFTWARE INC COM COMMON 88632Q103 123,733 1,465,392 1,462,692 TIDEWATER INC COMMON 886423102 196 4,299 4,299 TIFFANY & CO NEW COM COMMON 886547108 55,301 1,434,091 1,434,091 TIMBERLAND CO CL A COMMON 887100105 48,678 1,187,260 1,187,260 TIME WARNER INC COMMON 887315109 11 141 141 TIME WARNER TELECOM IN COMMON 887319101 33,203 687,250 687,250 TITAN PHARMACEUTICALS COMMON 888314101 53,684 825,900 825,900 TNT POST GROEP N V ADR COMMON 888742103 5 175 175 TOLL BROTHERS INC COMMON 889478103 2,069 60,200 60,200 TOLLGRADE COMMUNICATIO COMMON 889542106 80,387 579,100 579,100 TOMRA SYS A/S ADR COMMON 889905204 21,056 640,414 640,414 TOO INC COM COMMON 890333107 7,521 316,700 316,700 TOPPS INC COMMON 890786106 3,500 381,000 381,000 TORO CO COMMON 891092108 398 12,630 12,630 TOSCO CORP COM NEW COMMON 891490302 82 2,622 2,622 TOTAL S A SPONSORED AD COMMON 89151E109 12,398 168,820 168,820 TOYOTA MTR LTD ADR NEW COMMON 892331307 7 89 89 TRANSACTION SYS ARCHIT COMMON 893416107 2,615 160,900 160,900 TRANSGENOMIC INC COMMON 89365K206 2,192 96,600 96,600 TRANSOCEAN SEDCO CONVERT 893830AA7 18,652 29,547,000 29,547,000 TRANSWITCH CORP COMMON COMMON 894065101 99,080 1,554,194 1,549,994 TRANSWITCH CORP 144A CONVERT 894065AA9 13,585 11,000,000 11,000,000 TRIAD HOSPITALS INC COMMON 89579K109 16,453 560,100 560,100 TRIARC CONS/BEVERAGE CONVERT 89589TAC2 11,003 9,890,000 9,890,000 TRIAD GTY INC COMMON 895925105 812 27,300 27,300 TRIBUNE CO COMMON 896047107 86 1,967 1,967 TRICO MARINE SERVICES COMMON 896106101 4,272 269,100 269,100 TRICORD SYSTEMS INC COMMON 896121100 3,412 228,400 228,400 TRICOM SA COMMON 89612A100 17,112 1,122,100 1,122,100 TRIKON TECHNOLOGIES IN COMMON 896187408 5,249 371,600 371,600 TRIGON HEALTHCARE INC COMMON 89618L100 13,761 261,800 261,800 TRIMBLE NAVIGATION LTD COMMON 896239100 6,167 275,600 275,600 TRIMERIS INC COMMON 896263100 19,645 280,900 280,900 TRIQUINT SEMICONDUCTOR COMMON 89674K103 5,888 161,600 161,600 TRITON NETWORK SYS INC COMMON 896775103 921 70,200 70,200
PORTVUE-SEC13F.LRP PAGE 41 RUN DATE: 11/03/00 08:26 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) INVESTMENT DISCRETION --------------------------------------------- NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) ---------------------- ------ ---------- -------------- ------------ ---------- ---------- ---------- TUBOS DE ACERO DE MEXI COMMON 898592506 704 42,000 42,000 TULARIK INC COMMON 899165104 404 12,248 12,248 TURNSTONE SYSTEMS INC COMMON 900423104 42,980 926,800 926,800 TUT SYSTEMS COMMON 901103101 44,891 520,100 520,100 TV AZTECA S A DE C V COMMON 901145102 41,973 3,260,000 3,260,000 TWEETER HOME ENT COMMON 901167106 16,657 458,700 458,700 II VI INC COMMON 902104108 7,678 411,200 411,200 TYCO INTL LTD NEW COM COMMON 902124106 14 274 274 UGI CORP NEW COMMON 902681105 546 22,500 22,500 USX MARATHON GROUP COMMON 902905827 3,121 110,000 110,000 US BANCORP DEL COMMON 902973106 1,836 80,700 80,700 UTI ENERGY CORP COM COMMON 903387108 55,730 1,248,850 1,248,850 ULTICOM INC COMMON 903844108 4,161 88,300 88,300 ULTIMATE ELECTRS INC COMMON 903849107 2,986 72,600 72,600 USA ED INC COM COMMON 90390U102 59 1,225 1,225 ULTRAMAR DIAMOND SHAMR COMMON 904000106 3,352 132,100 132,100 ULTRAPAR PARTICIPACOES COMMON 90400P101 2 200 200 UNIBANCO-UNIAO DE BANC COMMON 90458E107 19,526 591,700 591,700 UNILEVER PLC ADR SPON COMMON 904767704 2 50 50 UNILEVER N V NEW YORK COMMON 904784709 1 15 15 UNICOM CORP COMMON 904911104 2,557 45,500 45,500 UNION CARBIDE CORP COMMON 905581104 8 221 221 UNION PAC CORP COMMON 907818108 1,582 40,700 40,700 UNION PLANTERS CORP COMMON 908068109 853 25,800 25,800 UNISYS CORP COM COMMON 909214108 29 2,559 2,559 UNIT CORP COMMON 909218109 7,477 506,900 506,900 UNITED MICROELECTRONIC COMMON 910873207 24,408 2,055,400 2,055,400 UNITED PAN-EUROPE COMM COMMON 911300200 20 987 987 UNITED STATES CELLULAR COMMON 911684108 1,946 27,800 27,800 UNITED STATIONERS INC COMMON 913004107 14,386 535,300 535,300 UNITED TECHNOLOGIES CO COMMON 913017109 29,050 419,446 419,446 UNITED THERAPEUTICS CO COMMON 91307C102 9,943 113,800 113,800 UNITEDGLOBALCOM PFD CV PREFERD 913247201 2,282 53,621 53,621 UNITEDGLOBALCOM PREFERD 913247805 14,384 435,885 435,885 UNITEDHEALTH GROUP INC COMMON 91324P102 7,644 77,400 77,400 UNIVERSAL COMPRESSION COMMON 913431102 2,852 92,200 92,200 UNIVERSAL CORP VA COMMON 913456109 535 18,200 18,200 UNIVERSAL ELECTRS INC COMMON 913483103 13,238 547,300 547,300 UNIVERSAL HLTH SVCS IN COMMON 913903100 4,101 47,900 47,900 UNIVERSAL HEALTH SV 14 CONVERT 913903AJ9 27,968 49,282,000 49,282,000 UNIVISION COMMUNICATIO COMMON 914906102 4,891 130,858 130,858 UNOCAL CORP COMMON 915289102 1 30 30 UPM-KYMMENE CORP ADR S COMMON 915436109 3 142 142 VYYO INC COMMON 918458100 9,579 319,300 319,300
PORTVUE-SEC13F.LRP PAGE 42 RUN DATE: 11/03/00 08:26 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) INVESTMENT DISCRETION --------------------------------------------- NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) ---------------------- ------ ---------- -------------- ------------ ---------- ---------- ---------- VALASSIS COMMUNICATION COMMON 918866104 469 21,055 21,055 VALENCE TECHNOLOGY INC COMMON 918914102 7,537 436,900 436,900 VALERO ENERGY CORP NEW COMMON 91913Y100 34,502 980,510 980,510 VARCO INTL INC DEL COMMON 922122106 14,842 713,126 713,126 VARIAGENICS INC COMMON 922196100 1,884 84,200 84,200 VARIAN INC COM COMMON 922206107 24,636 572,100 572,100 VARIAN SEMICONDUCTOR E COMMON 922207105 34,416 919,300 919,300 VASCULAR SOLUTIONS INC COMMON 92231M109 2,871 153,000 153,000 VASTERA INC COMMON 92239N109 1,133 51,500 51,500 VEECO INSTRS INC DEL COMMON 922417100 28,883 271,800 271,800 VENATOR GROUP INC COMMON 922944103 452 36,500 36,500 VERITAS SOFTWARE CO CO COMMON 923436109 394,227 2,776,230 2,776,230 VERITAS SOFTWARE CO CONVERT 923436AB5 39,844 2,581,000 2,581,000 VERITY INC COMMON 92343C106 26,427 740,500 740,500 VERISIGN INC COM COMMON 92343E102 217,494 1,073,710 1,073,710 VERITAS SOFTWARE CORP CONVERT 92343RAA1 20,201 4,915,000 4,915,000 VERIZON COMMUNICATIONS COMMON 92343V104 4,676 96,548 96,548 VERSATA INC COMMON 925298101 5,952 224,600 224,600 VERSATEL TELECOM B V A COMMON 925301103 63 2,668 2,668 VERTEX PHARMACEUTICALS COMMON 92532F100 76,101 900,600 897,600 VERTEX PHARM 144A CONVERT 92532FAC4 20,995 19,000,000 19,000,000 VIACOM INC COM COMMON 925524100 67,729 1,157,752 1,157,752 VIACOM INC COM NON VTG COMMON 925524308 977 16,713 16,713 VIATEL INC COMMON 925529208 4,980 485,900 485,900 VIASAT INC COMMON 92552V100 12,785 571,400 571,400 VIANT CORP COMMON 92553N107 131 22,300 22,300 VIGNETTE CORP COM COMMON 926734104 25,645 858,426 858,426 VINTAGE PETE INC COMMON 927460105 14,719 647,000 647,000 VIRATA CORP COMMON 927646109 34,573 522,838 522,838 VIROLOGIC INC OC-COM COMMON 92823R201 717 42,500 42,500 VISHAY INTERTECHNOLOGY COMMON 928298108 7,300 237,392 237,392 VISIBLE GENETICS INC COMMON 92829S104 3,601 89,200 89,200 VISTEON CORP COM COMMON 92839U107 0 7 7 VISX INC DEL COMMON COMMON 92844S105 423 15,697 15,697 VITESSE SEMICONDUCTOR COMMON 928497106 166,277 1,869,602 1,865,702 VITRIA TECHNOLOGY INC COMMON 92849Q104 83,919 1,799,878 1,799,878 VIVENDI ADR SPONSORED COMMON 92851S105 99 6,737 6,737 VODAFONE GROUP PLC COMMON 92857W100 81 2,162 2,162 VOICESTREAM WIRELESS COMMON 928615103 198 1,701 1,701 VORNADO RLTY TR PREFERD 929042208 3,137 59,957 59,957 WJ COMMUNICATIONS INC COMMON 929284107 1,887 51,000 51,000 WMS INDS INC COMMON 929297109 8,816 391,800 391,800 WADDELL & REED FINL IN COMMON 930059100 17,469 563,500 563,500 WAL MART STORES INC COMMON 931142103 116,605 2,422,941 2,422,941
PORTVUE-SEC13F.LRP PAGE 43 RUN DATE: 11/03/00 08:26 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) INVESTMENT DISCRETION --------------------------------------------- NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) ---------------------- ------ ---------- -------------- ------------ ---------- ---------- ---------- WASHINGTON MUT INC COMMON 939322103 2,110 53,000 53,000 WASTE CONNECTIONS INC COMMON 941053100 8,956 349,500 349,500 WASTE MGMT INC DEL COMMON 94106L109 1,430 82,043 82,043 WATCHGUARD TECHNOLOGIE COMMON 941105108 22,320 372,000 372,000 WATERS CORP COM COMMON 941848103 290,663 3,265,872 3,259,272 WAVECOM S A COMMON 943531103 21,889 180,900 180,900 WEATHERFORD INTL INC COMMON 947074100 28,492 662,600 662,600 WEBMETHODS INC COMMON 94768C108 11,764 102,183 102,183 WEBTRENDS CORP COMMON 94844D104 12,304 329,200 329,200 WELLPOINT HEALTH NTWRK COMMON 94973H108 1,736 18,075 18,075 WELLS FARGO NEW COMMON 949746101 7 144 144 WEST COAST BANCORP ORE COMMON 952145100 226 18,950 18,950 WESTELL TECHNOLOGIES I COMMON 957541105 5,065 393,400 393,400 WESTERN GAS RES INC COMMON 958259103 10,544 420,700 420,700 WESTERN WIRELESS CORP COMMON 95988E204 5,310 149,045 149,045 WESTWOOD ONE INC COMMON 961815107 12,177 568,000 568,000 WILLIAMS CO COMMON 969457100 3 65 65 WILLIAMS CLAYTON ENERG COMMON 969490101 7,306 180,400 180,400 WILLIAMS SONOMA INC COMMON 969904101 14,560 418,994 418,994 WILSON GREATBATCH TECH COMMON 972232102 2,949 128,900 128,900 WINNEBAGO INDS INC COMMON 974637100 4,115 329,200 329,200 WINSTAR COMMUNICATIONS PREFERD 975515602 721 27,667 27,667 WINSTAR COMM PFD 7% PREFERD 975515875 6,619 219,725 219,725 WITNESS SYS INC COMMON 977424100 2,852 157,900 157,900 WOLVERINE WORLD WIDE I COMMON 978097103 165 17,700 17,700 WOODHEAD INDS INC COMMON 979438108 949 45,600 45,600 WORLD COLOR PRESS INC CONVERT 981443AA2 11,761 11,474,000 11,474,000 WORLDCOM INC GA NEW CO COMMON 98157D106 34,337 1,130,438 1,130,438 XM SATELLITE RADIO HLD COMMON 983759101 14,150 328,600 328,600 XILINX INC COMMON 983919101 6,620 77,304 77,304 XIRCOM INC COM COMMON 983922105 26 1,016 1,016 YAHOO INC COM COMMON 984332106 12,362 135,834 135,834 YOUNG & RUBICAM INC COMMON 987425105 520 10,500 10,500 Z TEL TECHNOLOGIES INC COMMON 988792107 634 87,500 87,500 ZALE CORP NEW COM COMMON 988858106 15,203 468,690 468,690 ZORAN CORP COMMON 98975F101 6,908 141,700 141,700 ZURICH ALLIED AG ADR S COMMON 98981P101 9,856 106,402 106,402 ZYGO CORP COMMON 989855101 24,238 278,600 278,600 LERNOUT & HAUSPIE SPEE COMMON B5628B104 8 621 621 ACE LTD COMMON G0070K103 2 40 40 AMDOCS LTD ORD COMMON G02602103 32,670 523,757 523,757 CORECOMM LTD COM COMMON G2422R109 239 30,075 30,075 GLOBAL CROSSING CV PFD PREFERD G3921A126 2,906 33,546 33,546 KNIGHTSBRIDGE TANKERS COMMON G5299G106 2,227 101,800 101,800
PORTVUE-SEC13F.LRP PAGE 44 RUN DATE: 11/03/00 08:26 AM NICHOLAS-APPLEGATE CAPITAL MANAGEMENT AS OF DATE: 09/30/00 DISCRETIONARY OWNERSHIP FOR 13F (ITEM 1) (ITEM 2) (ITEM 3) (ITEM 4) (ITEM 5) (ITEM 6) INVESTMENT DISCRETION --------------------------------------------- NAME TITLE FAIR SHARES OR SHARED OF OF CUSIP MARKET PRINCIPAL SOLE SHARED OTHER ISSUER CLASS NUMBER VALUE AMOUNT (A) (B) (C) ---------------------- ------ ---------- -------------- ------------ ---------- ---------- ---------- OPENTV CORP COMMON G67543101 26,909 809,307 809,307 ORIENT-EXPRESS HOTELS COMMON G67743107 6,745 350,400 350,400 O2MICRO INTERNATIONAL COMMON G6797E106 1,898 110,300 110,300 RSL COMMUNICATIONS LTD COMMON G7702U102 0 60 60 SANTA FE INTL CORP ORD COMMON G7805C108 115,084 2,554,839 2,554,839 TRANSOCEAN SEDCO FOREX COMMON G90078109 57,337 978,030 978,030 TRITON ENERGY LTD COMMON G90751101 10,113 259,300 259,300 TYCOM LTD COMMON G9144B106 47,044 1,225,900 1,225,900 VODAFONE AIRTOUCH PLC COMMON G9387S105 556 149,070 149,070 XOMA LTD COMMON G9825R107 3,296 228,300 228,300 UBS AG ADR SHS COMMON H8920G155 1 10 10 METRO INTL S A CLASS A COMMON L63631102 88 8,164 8,164 METRO INTL S A CLASS B COMMON L63631110 231 19,314 19,314 SBS BROADCASTING SA COMMON L8137F102 9,607 241,300 241,300 AUDIOCODES LTD ORD COMMON M15342104 31,548 370,600 370,600 BACKWEB TECHNOLOGIES L COMMON M15633106 1,473 145,300 145,300 BREEZECOM LTD COMMON M20385106 8,050 244,400 244,400 CERAGON NETWORKS LTD COMMON M22013102 1,424 53,000 53,000 CHECK POINT SOFTWARE T COMMON M22465104 199,469 1,266,471 1,266,471 COMMTOUCH SOFTWARE LTD COMMON M25596103 11,262 594,700 594,700 PRECISE SOFTWARE SOLUT COMMON M41450103 2,864 66,400 66,400 M SYS FLASH DISK PIONE COMMON M7061C100 49,361 1,292,600 1,292,600 OPTIBASE LTD COMMON M7524R108 4,640 264,200 264,200 ORBOTECH LTD COMMON M75253100 8,589 157,050 157,050 RADWARE LTD COMMON M81873107 7,857 261,900 261,900 ASM INTL N V COMMON N07045102 18,237 1,042,100 1,042,100 ASM LITHOGRAPHY HOLDIN COMMON N07059111 64,099 1,983,731 1,983,731 CNH GLOBAL NV COM COMMON N20935107 2 196 196 QIAGEN NV ORD COMMON N72482107 327 6,957 6,957 PANAMERICAN BEVERAGES COMMON P74823108 8,585 505,000 505,000 ROYAL CARIBBEAN CRUISE COMMON V7780T103 41 1,600 1,600 ASE TEST LTD COMMON Y02516105 11,223 534,444 534,444 FLEXTRONICS INTL LTD O COMMON Y2573F102 144,330 1,757,453 1,757,453 TEEKAY SHIPPING MARSHA COMMON Y8564W103 6,510 138,700 138,700 TOTAL 40,825,297