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

                            Form 13F

                       Form 13F COVER PAGE

Report  for  the  Calendar Year or Quarter Ended:   December  31,
1999.

Check here if Amendment [X]; Amendment Number:  2
  This Amendment (Check only one): [X] is a restatement
                                   [ ] adds new holdings entries.

Institutional Investment Manager Filing this Report:

Intel Corporation
2200 Mission College Boulevard
Santa Clara, CA 95052-8119

Form 13F File Number:  28-5160

Person Signing this Report on Behalf of Reporting Manager:

Arvind Sodhani, Vice President and Treasurer (408) 765-1240

 ---------------------------------------------------------------
   ATTENTION--Intentional misstatements or omissions of facts
 constitute Federal Criminal Violations.  See 18 U.S.C. 1001 and
                        15 U.S.C. 78ff(a)
 ---------------------------------------------------------------
The  institutional investment manager filing this report and  the
person  by  whom  it is signed hereby represent that  the  person
signing  the  report  is  authorized  to  submit  it,  that   all
information  contained herein is true, correct and complete,  and
that  it  is  understood  that  all required  items,  statements,
schedules,  lists, and tables, are considered integral  parts  of
this form.

Signature, Place and Date of Signing:


/s/Douglas M. Lusk     Santa Clara, California  May 23, 2002
(for Arvind Sodhani)
-------------------
Report Type (Check only one):

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

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

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



                      Form 13F SUMMARY PAGE

              REPORTING MANAGER:  INTEL CORPORATION

Report Summary:

Number of Other Included Managers:        -2-



Form 13F Information Table Entry Total:   579

Form 13F Information Table Value Total:   $8,728,618



*Confidential Treatment Requested:  Confidential information  has
been  omitted  from this Form 13F and filed separately  with  the
Commission.

List of Other Included Managers:

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

  1.   MORGAN STANLEY DEAN WITTER & CO., File No: 28-3432

2.   HEWLETT PACKARD & CO. INC., File No:  28-2187




                                                                                                                   12/31/99
                           FORM 13F INFORMATION TABLE
                      REPORTING MANAGER:  INTEL CORPORATION


                                                      ITEM 4:   ITEM 5:
                                                       FAIR     SHARES                                         ITEM 8:
                                  ITEM 2:   ITEM 3:   MARKET      OR            ITEM 6:                   VOTING AUTHORITY
            ITEM 1:              TITLE OF    CUSIP     VALUE   PRINCIPAL SH/  INVESTMENT   ITEM 7:     (A)       (B)       (C)
         NAME OF ISSUER            CLASS    NUMBER     (000)    AMOUNT   PRN  DISCRETION  MANAGERS    SOLE     SHARED     NONE
                                                                                          



3COM CORP                           COM    885535104     3,803    80,900  SH     SOLE                  80,900
3DLABS INC, LTD                     ORD    G8846W103     8,782   218,163  SH     SOLE                 218,163
ABBOTT LABS                         COM    002824100    12,497   344,134  SH     SOLE                 344,134
ACTIVE SOFTWARE INC                 COM    00504E100    70,879   735,294  SH     SOLE                 735,294
ADAPTEC INC                         COM    00651F108     1,168    23,400  SH     SOLE                  23,400
ADC TELECOMMUNICATIONS INC          COM    000886101     2,445    33,700  SH     SOLE                  33,700
ADOBE SYS INC                       COM    00724F101     1,856    27,600  SH     SOLE                  27,600
ADVANCED MICRO DEVICES INC          COM    007903107       963    33,279  SH     SOLE                  33,279
AES CORP                            COM    00130H105     3,483    46,600  SH     SOLE                  46,600
AETNA INC                           COM    008117103     1,889    33,845  SH     SOLE                  33,845
AFLAC INC                           COM    001055102     2,840    60,200  SH     SOLE                  60,200
AGENCY.COM LTD                      COM    008447104     7,650   150,000  SH     SOLE                 150,000
AIR PRODS & CHEMS INC               COM    009158106     1,744    51,900  SH     SOLE                  51,900
ALBERTO CULVER CO                CL B CONV 013068101       325    12,600  SH     SOLE                  12,600
ALBERTSONS INC                      COM    013104104     3,068    95,141  SH     SOLE                  95,141
ALCAN ALUMINIUM LTD NEW             COM    013716105     2,120    51,249  SH     SOLE                  51,249
ALCOA INC                           COM    013817101     6,880    82,900  SH     SOLE                  82,900
ALLEGHENY TECHNOLOGIES INC          COM    01741R102       482    21,464  SH     SOLE                  21,464
ALLERGAN INC                        COM    018490102     1,483    29,800  SH     SOLE                  29,800
ALLIED WASTE INDS INC               COM    019589308       377    42,700  SH     SOLE                  42,700
                                  PAR$.01
                                    NEW
ALLSTATE CORP                       COM    020002101     4,345   180,560  SH     SOLE                 180,560
ALLTEL CORP                         COM    020039103     5,714    69,100  SH     SOLE                  69,100
ALZA CORP DEL                       COM    022615108       797    23,000  SH     SOLE                  23,000

        FAIR MARKET VALUE TOTAL:                       145,590



* Confidential Treatment
Requested
AMERADA HESS CORP                   COM    023551104     1,163    20,500  SH     SOLE                  20,500
AMEREN CORP                         COM    023608102     1,013    30,950  SH     SOLE                  30,950
AMERICA ONLINE INC DEL              COM    02364J104    39,034   514,448  SH     SOLE                 514,448
AMERICAN ELEC PWR INC               COM    025537101     1,407    43,800  SH     SOLE                  43,800
AMERICAN EXPRESS CO                 COM    025816109    16,896   101,628  SH     SOLE                 101,628
AMERICAN GENERAL CORP               COM    026351106     4,267    56,238  SH     SOLE                  56,238
AMERICAN GREETINGS CORP            CL A    026375105       360    15,245  SH     SOLE                  15,245
AMERICAN HOME PRODS CORP            COM    026609107    11,596   295,436  SH     SOLE                 295,436
AMERICAN INTL GROUP INC             COM    026874107    37,867   350,213  SH     SOLE                 350,213
AMGEN INC                           COM    031162100    13,856   230,700  SH     SOLE                 230,700
AMR CORP                            COM    001765106     2,285    34,100  SH     SOLE                  34,100
AMSOUTH BANCORPORATION              COM    032165102     1,719    89,000  SH     SOLE                  89,000
ANADARKO PETE CORP                  COM    032511107       982    28,800  SH     SOLE                  28,800
ANALOG DEVICES INC                  COM    032654105     3,636    39,100  SH     SOLE                  39,100
ANCOR COMMUNICATIONS INC            COM    03332K108    19,005   280,000  SH     SOLE                 280,000
ANDREW CORP                         COM    034425108       351    18,525  SH     SOLE                  18,525
ANHEUSER BUSCH COS INC              COM    035229103     7,491   105,700  SH     SOLE                 105,700
AON CORP                            COM    037389103     2,319    57,990  SH     SOLE                  57,990
APACHE CORP                         COM    037411105       953    25,800  SH     SOLE                  25,800
APPLE COMPUTER INC                  COM    037833100     3,742    36,400  SH     SOLE                  36,400
APPLIED MATLS INC                   COM    038222105    12,665    99,972  SH     SOLE                  99,972
ARCHER DANIELS MIDLAND CO           COM    039483102     1,694   139,740  SH     SOLE                 139,740
ARIBA INC                           COM    04033V104   268,750 1,515,152  SH     SOLE               1,515,152
ARMSTRONG WORLD INDS INC            COM    042476101       300     9,000  SH     SOLE                   9,000
ASHLAND INC                         COM    044204105       537    16,300  SH     SOLE                  16,300
ASSOCIATES FIRST CAP CORP          CL A    046008108     4,517   164,646  SH     SOLE                 164,646
AT HOME CORP                     COM SER A 045919107    26,055   280,000  SH     SOLE                 280,000
AT&T CORP                           COM    001957109    36,730   722,867  SH     SOLE                 722,867
ATLANTIC RICHFIELD CO               COM    048825103     6,306    72,900  SH     SOLE                  72,900
AUDIBLE INC                         COM    05069A104    14,456   918,750  SH     SOLE                 918,750
AUTODESK INC                        COM    052769106     7,633   226,150  SH     SOLE                 226,150
AUTOMATIC DATA PROCESSING INC       COM    053015103     7,537   139,902  SH     SOLE                 139,902
AUTOZONE INC                        COM    053332102     1,089    33,700  SH     SOLE                  33,700

        FAIR MARKET VALUE TOTAL:                       558,212



AVERY DENNISON CORP                 COM    053611109     1,873    25,700  SH     SOLE                  25,700
AVID TECHNOLOGY INC                 COM    05367P100    10,484   802,632  SH     SOLE                 802,632
AVON PRODS INC                      COM    054303102     1,947    59,014  SH     SOLE                  59,014
BACKWEB TECHNOLOGIES LTD            ORD    M15633106    21,368   507,247  SH     SOLE                 507,247
BAKER HUGHES INC                    COM    057224107     1,566    74,330  SH     SOLE                  74,330
BALL CORP                           COM    058498106       271     6,900  SH     SOLE                   6,900
BAMBOO.COM INC                      COM    05942K105    19,965 1,205,440  SH     SOLE               1,205,440
BANK NEW YORK INC                   COM    064057102     6,653   166,304  SH     SOLE                 166,304
BANK OF AMERICA CORPORATION         COM    060505104    19,606   390,663  SH     SOLE                 390,663
BANK ONE CORP                       COM    06423A103     8,488   265,238  SH     SOLE                 265,238
BARD C R INC                        COM    067383109       615    11,600  SH     SOLE                  11,600
BARRICK GOLD CORP                   COM    067901108     1,560    88,200  SH     SOLE                  88,200
BAUSCH & LOMB INC                   COM    071707103       890    13,000  SH     SOLE                  13,000
BAXTER INTL INC                     COM    071813109     4,131    65,770  SH     SOLE                  65,770
BB&T CORP                           COM    054937107     1,976    72,200  SH     SOLE                  72,200
BE INC                              COM    073309106    65,192 1,538,462  SH     SOLE               1,538,462
BEAR STEARNS COS INC                COM    073902108     1,178    27,561  SH     SOLE                  27,561
BECTON DICKINSON & CO               COM    075887109     1,528    56,700  SH     SOLE                  56,700
BED BATH & BEYOND INC               COM    075896100     1,098    31,600  SH     SOLE                  31,600
BELL ATLANTIC CORP                  COM    077853109    21,621   351,208  SH     SOLE                 351,208
BELLSOUTH CORP                      COM    079860102    19,963   426,444  SH     SOLE                 426,444
BEMIS INC                           COM    081437105       411    11,800  SH     SOLE                  11,800
BEST BUY INC                        COM    086516101     2,317    46,100  SH     SOLE                  46,100
BESTFOODS                           COM    08658U101     3,317    63,100  SH     SOLE                  63,100
BETHLEHEM STL CORP                  COM    087509105       248    29,643  SH     SOLE                  29,643
BIOMET INC                          COM    090613100     1,016    25,400  SH     SOLE                  25,400
BLACK & DECKER CORP                 COM    091797100     1,030    19,700  SH     SOLE                  19,700
BLOCK H & R INC                     COM    093671105       967    22,100  SH     SOLE                  22,100
BMC SOFTWARE INC                    COM    055921100     4,325    54,100  SH     SOLE                  54,100
BOEING CO                           COM    097023105     9,003   217,261  SH     SOLE                 217,261
BOISE CASCADE CORP                  COM    097383103       521    12,855  SH     SOLE                  12,855
BOSTON SCIENTIFIC CORP              COM    101137107     2,048    93,604  SH     SOLE                  93,604
BREAKAWAY SOLUTIONS INC             COM    106372105    56,175   769,514  SH     SOLE                 769,514
BRIGGS & STRATTON CORP              COM    109043109       284     5,300  SH     SOLE                   5,300

        FAIR MARKET VALUE TOTAL:                       293,634



BRISTOL MYERS SQUIBB CO             COM    110122108    28,832   449,184  SH     SOLE                 449,184
BROADBASE SOFTWARE                  COM    11130R100    40,614   361,011  SH     SOLE                 361,011
BROWN FORMAN CORP                  CL B    115637209       888    15,500  SH     SOLE                  15,500
BRUNSWICK CORP                      COM    117043109       463    20,800  SH     SOLE                  20,800
BURLINGTON NORTHN SANTA FE          COM    12189T104     2,548   105,073  SH     SOLE                 105,073
BURLINGTON RES INC                  COM    122014103     1,629    49,280  SH     SOLE                  49,280
CABLETRON SYS INC                   COM    126920107     1,022    39,300  SH     SOLE                  39,300
CAMPBELL SOUP CO                    COM    134429109     3,799    98,200  SH     SOLE                  98,200
CAPITAL ONE FINL CORP               COM    14040H105     2,144    44,500  SH     SOLE                  44,500
CARDINAL HEALTH INC                 COM    14149Y108     2,949    61,600  SH     SOLE                  61,600
CARNIVAL CORP                       COM    143658102     6,637   138,800  SH     SOLE                 138,800
CAROLINA PWR & LT CO                COM    144141108     1,098    36,076  SH     SOLE                  36,076
CATERPILLAR INC DEL                 COM    149123101     3,781    80,344  SH     SOLE                  80,344
CBS CORP                            COM    12490K107    11,033   172,562  SH     SOLE                 172,562
CENDANT CORP                        COM    151313103     4,328   162,936  SH     SOLE                 162,936
CENTEX CORP                         COM    152312104       333    13,500  SH     SOLE                  13,500
CENTRAL & SOUTH WEST CORP           COM    152357109       963    48,121  SH     SOLE                  48,121
CENTURYTEL INC                      COM    156700106     1,488    31,400  SH     SOLE                  31,400
CERIDIAN CORP                       COM    15677T106       708    32,852  SH     SOLE                  32,852
CHAMPION INTL CORP                  COM    158525105     1,344    21,700  SH     SOLE                  21,700
CHASE MANHATTAN CORP NEW            COM    16161A108    14,630   188,328  SH     SOLE                 188,328
CHEVRON CORPORATION                 COM    166751107    12,855   148,400  SH     SOLE                 148,400
CHUBB CORP                          COM    171232101     2,234    39,677  SH     SOLE                  39,677
CIGNA CORP                          COM    125509109     3,383    42,000  SH     SOLE                  42,000
CINCINNATI FINL CORP                COM    172062101     1,163    37,300  SH     SOLE                  37,300
CINERGY CORP                        COM    172474108       859    35,900  SH     SOLE                  35,900
CIRCUIT CITY STORE INC             CIRCT   172737108     2,045    45,400  SH     SOLE                  45,400
                                 CITY GRP
CISCO SYS INC                       COM    17275R102    91,866   857,556  SH     SOLE                 857,556
CISCO SYS INC                       COM    17275R102     3,136    29,276  SH    OTHER**                          29,276
CISCO SYS INC                       COM    17275R102    10,651    99,430  SH    OTHER**                          99,430
CITIGROUP INC                       COM    172967101    42,550   764,090  SH     SOLE                 764,090
CITRIX SYS INC                      COM    177376100     2,472    20,100  SH     SOLE                  20,100
CLARENT CORP DEL                    COM    180461105   118,161 1,519,756  SH     SOLE               1,519,756
CLEAR CHANNEL COMMUNICATIONS        COM    184502102     6,810    76,300  SH     SOLE                  76,300

        FAIR MARKET VALUE TOTAL:                       429,416



CLOROX CO DEL                       COM    189054109     2,690    53,400  SH     SOLE                  53,400
CMGI INC                            COM    125750109   707,716 5,112,168  SH     SOLE               5,112,168
CMS ENERGY CORP                     COM    125896100       833    26,700  SH     SOLE                  26,700
COASTAL CORP                        COM    190441105     1,708    48,200  SH     SOLE                  48,200
COCA COLA CO                        COM    191216100    32,539   558,604  SH     SOLE                 558,604
COCA COLA ENTERPRISES INC           COM    191219104     1,934    96,100  SH     SOLE                  96,100
COLGATE PALMOLIVE CO                COM    194162103     8,567   131,800  SH     SOLE                 131,800
COLUMBIA ENERGY GROUP               COM    197648108     1,172    18,524  SH     SOLE                  18,524
COLUMBIA/HCA HEALTHCARE CORP        COM    197677107     3,739   127,550  SH     SOLE                 127,550
COMCAST CORP                     CL A SPL  200300200     8,570   169,500  SH     SOLE                 169,500
COMERICA INC                        COM    200340107     1,651    35,367  SH     SOLE                  35,367
COMPAQ COMPUTER CORP                COM    204493100    10,406   384,500  SH     SOLE                 384,500
COMPUTER ASSOC INTL INC             COM    204912109     8,492   121,425  SH     SOLE                 121,425
COMPUTER SCIENCES CORP              COM    205363104     3,426    36,200  SH     SOLE                  36,200
COMPUWARE CORP                      COM    205638109     3,010    80,800  SH     SOLE                  80,800
COMVERSE TECHNOLOGY INC           COM PAR  205862402     2,287    15,800  SH     SOLE                  15,800
                                   $.10
CONAGRA INC                         COM    205887102     2,505   110,414  SH     SOLE                 110,414
CONOCO INC                         CL B    208251405     3,527   141,800  SH     SOLE                 141,800
CONSECO INC                         COM    208464107     1,317    73,945  SH     SOLE                  73,945
CONSOLIDATED EDISON INC             COM    209115104     1,725    50,000  SH     SOLE                  50,000
CONSOLIDATED NAT GAS CO             COM    209615103     1,409    21,700  SH     SOLE                  21,700
CONSOLIDATED STORES CORP            COM    210149100       405    24,900  SH     SOLE                  24,900
CONSTELLATION ENERGY CORP           COM    210371100       980    33,800  SH     SOLE                  33,800
COOPER INDS INC                     COM    216669101       865    21,400  SH     SOLE                  21,400
COOPER TIRE & RUBR CO               COM    216831107       271    17,200  SH     SOLE                  17,200
COORS ADOLPH CO                    CL B    217016104       436     8,300  SH     SOLE                   8,300
COPPER MTN NETWORKS INC             COM    217510106    62,072 1,018,690  SH     SOLE               1,018,690
CORNING INC                         COM    219350105     7,143    55,400  SH     SOLE                  55,400
COSTCO WHSL CORP NEW                COM    22160K105     4,562    50,000  SH     SOLE                  50,000
COUNTRYWIDE CR INDS INC DEL         COM    222372104       646    25,600  SH     SOLE                  25,600
COVAD COMMUNICATIONS GROUP INC      COM    222814204   207,486 3,709,242  SH     SOLE               3,709,242
CRANE CO                            COM    224399105       306    15,400  SH     SOLE                  15,400
CROSSROADS SYS INC                  COM    22765D100   124,734 1,476,147  SH     SOLE               1,476,147

        FAIR MARKET VALUE TOTAL:                     1,219,130



CROWN CORK & SEAL INC               COM    228255105       619    27,653  SH     SOLE                  27,653
CSX CORP                            COM    126408103     1,544    49,200  SH     SOLE                  49,200
CUMMINS ENGINE INC                  COM    231021106       459     9,500  SH     SOLE                   9,500
CVS CORP                            COM    126650100     3,533    88,600  SH     SOLE                  88,600
CYBERGOLD INC                       COM    23246N105    10,139   408,666  SH     SOLE                 408,666
DANA CORP                           COM    235811106     1,123    37,510  SH     SOLE                  37,510
DANAHER CORP DEL                    COM    235851102     1,554    32,200  SH     SOLE                  32,200
DARDEN RESTAURANTS INC              COM    237194105       542    29,900  SH     SOLE                  29,900
DAYTON HUDSON CORP                  COM    239753106     7,344   100,000  SH     SOLE                 100,000
DEERE & CO                          COM    244199105     2,286    52,700  SH     SOLE                  52,700
DELL COMPUTER CORP                  COM    247025109    29,315   574,800  SH     SOLE                 574,800
DELPHI AUTOMOTIVE SYS CORP          COM    247126105     2,013   127,775  SH     SOLE                 127,775
DELTA AIR LINES INC DEL             COM    247361108     1,579    31,700  SH     SOLE                  31,700
DELUXE CORP                         COM    248019101       470    17,100  SH     SOLE                  17,100
DILLARDS INC                       CL A    254067101       489    24,200  SH     SOLE                  24,200
DISNEY WALT CO                      COM    254687106    13,644   466,442  SH     SOLE                 466,442
                                  DISNEY
DOLLAR GEN CORP                     COM    256669102     1,155    50,750  SH     SOLE                  50,750
DOMINION RES INC VA                 COM    257470104     1,703    43,384  SH     SOLE                  43,384
DONNELLEY R R & SONS CO             COM    257867101       720    29,000  SH     SOLE                  29,000
DOVER CORP                          COM    260003108     2,142    47,200  SH     SOLE                  47,200
DOW CHEM CO                         COM    260543103     6,660    49,843  SH     SOLE                  49,843
DOW JONES & CO INC                  COM    260561105     1,394    20,500  SH     SOLE                  20,500
DTE ENERGY CO                       COM    233331107     1,038    32,800  SH     SOLE                  32,800
DU PONT E I DE NEMOURS & CO         COM    263534109    15,539   235,894  SH     SOLE                 235,894
DUKE ENERGY CORP                    COM    264399106     4,135    82,497  SH     SOLE                  82,497
DUN & BRADSTREET CORP DEL           COM    26483B106     1,073    36,400  SH     SOLE                  36,400
EASTERN ENTERPRISES                 COM    27637F100       348     6,050  SH     SOLE                   6,050
EASTMAN CHEM CO                     COM    277432100       846    17,746  SH     SOLE                  17,746
EASTMAN KODAK CO                    COM    277461109     4,739    71,531  SH     SOLE                  71,531
EATON CORP                          COM    278058102     1,183    16,300  SH     SOLE                  16,300
ECHOSTAR COMMUNICATIONS NEW        CL A    278762109     3,801    38,984  SH     SOLE                  38,984
ECOLAB INC                          COM    278865100     1,146    29,300  SH     SOLE                  29,300
EDISON INTL                         COM    281020107     2,058    78,600  SH     SOLE                  78,600
EL PASO ENERGY CORP DEL             COM    283905107     1,999    51,500  SH     SOLE                  51,500

        FAIR MARKET VALUE TOTAL:                       128,330



ELECTRONIC DATA SYS NEW             COM    285661104     7,463   111,500  SH     SOLE                 111,500
EMC CORP MASS                       COM    268648102    25,052   229,303  SH     SOLE                 229,303
EMERSON ELEC CO                     COM    291011104     5,634    98,200  SH     SOLE                  98,200
ENGAGE TECHNOLOGIES, INC.           COM    292827102       937    15,616  SH     SOLE                  15,616
ENGELHARD CORP                      COM    292845104       538    28,500  SH     SOLE                  28,500
ENRON CORP                          COM    293561106     7,165   161,472  SH     SOLE                 161,472
ENTERGY CORP NEW                    COM    29364G103     1,437    55,800  SH     SOLE                  55,800
EQUIFAX INC                         COM    294429105       766    32,500  SH     SOLE                  32,500
ESOFT INC                           COM    296904105    19,417   666,666  SH     SOLE                 666,666
ETOYS INC                           COM    297862104   212,874 8,109,502  SH     SOLE               8,109,502
EXXON MOBIL CORP                    COM    30231G102    63,085   783,059  SH     SOLE                 783,059
FEDERAL NATL MTG ASSN               COM    313586109    14,473   231,800  SH     SOLE                 231,800
FDX CORP                            COM    31304N107     2,757    67,340  SH     SOLE                  67,340
FEDERATED DEPT STORES INC DEL       COM    31410H101     2,382    47,102  SH     SOLE                  47,102
FIFTH THIRD BANCORP                 COM    316773100     5,017    68,377  SH     SOLE                  68,377
FIRST DATA CORP                     COM    319963104     4,788    97,100  SH     SOLE                  97,100
FIRST UN CORP                       COM    337358105     7,128   216,406  SH     SOLE                 216,406
FIRSTAR CORP NEW WIS                COM    33763V109     4,705   222,721  SH     SOLE                 222,721
FIRSTENERGY CORP                    COM    337932107     1,200    52,900  SH     SOLE                  52,900
FLEET BOSTON FINL CORP              COM    339030108     7,254   208,375  SH     SOLE                 208,375
FLORIDA PROGRESS CORP               COM    341109106       939    22,200  SH     SOLE                  22,200
FLUOR CORP                          COM    343861100       785    17,100  SH     SOLE                  17,100
FMC CORP                          COM NEW  302491303       413     7,200  SH     SOLE                   7,200
FOGDOG INC                          COM    344167101     9,229   971,440  SH     SOLE                 971,440
FORD MTR CO DEL                     COM    345370100    14,583   273,543  SH     SOLE                 273,543
FORT JAMES CORP                     COM    347471104     1,369    50,000  SH     SOLE                  50,000
FORTUNE BRANDS INC                  COM    349631101     1,242    37,576  SH     SOLE                  37,576
FPL GROUP INC                       COM    302571104     1,736    40,535  SH     SOLE                  40,535
FRANKLIN RES INC                    COM    354613101     1,827    57,000  SH     SOLE                  57,000
FEDERAL HOME LN MTG CORP            COM    313400301     7,404   157,332  SH     SOLE                 157,332
FREEPORT MCMORAN COPPER & GOLD     CL B    35671D857       783    37,080  SH     SOLE                  37,080

        FAIR MARKET VALUE TOTAL:                       434,382



GANNETT INC                         COM    364730101     5,154    63,200  SH     SOLE                  63,200
GAP INC DEL                         COM    364760108     8,919   193,874  SH     SOLE                 193,874
GATEWAY INC                         COM    367626108     5,102    70,800  SH     SOLE                  70,800
GENERAL DYNAMICS CORP               COM    369550108     2,379    45,100  SH     SOLE                  45,100
GENERAL ELEC CO                     COM    369604103   114,834   742,060  SH     SOLE                 742,060
GENERAL INSTR CORP DEL              COM    370120107     3,326    39,132  SH     SOLE                  39,132
GENERAL MLS INC                     COM    370334104     2,470    69,100  SH     SOLE                  69,100
GENERAL MTRS CORP                   COM    370442105    10,588   145,670  SH     SOLE                 145,670
GENUINE PARTS CO                    COM    372460105     1,004    40,450  SH     SOLE                  40,450
GEORGIA PAC CORP                  COM GA   373298108     1,969    38,800  SH     SOLE                  38,800
                                  PAC GRP
GILLETTE CO                         COM    375766102    10,108   245,400  SH     SOLE                 245,400
GLOBAL CROSSING LTD                 COM    G3921A100     8,690   173,795  SH     SOLE                 173,795
GLOBESPAN INC                       COM    379571102    62,195   852,515  SH     SOLE                 852,515
GOLDEN WEST FINL CORP DEL           COM    381317106     1,246    37,200  SH     SOLE                  37,200
GOODRICH B F CO                     COM    382388106       685    24,900  SH     SOLE                  24,900
GOODYEAR TIRE & RUBR CO             COM    382550101       993    35,400  SH     SOLE                  35,400
GPU INC                             COM    36225X100       842    28,300  SH     SOLE                  28,300
GRACE WR & CO DEL NEW               COM    38388F108       228    16,100  SH     SOLE                  16,100
GRAINGER W W INC                    COM    384802104     1,009    21,100  SH     SOLE                  21,100
GREAT ATLANTIC & PAC TEA INC        COM    390064103       242     8,700  SH     SOLE                   8,700
GREAT LAKES CHEM CORP               COM    390568103       505    13,200  SH     SOLE                  13,200
GTE CORP                            COM    362320103    15,660   221,934  SH     SOLE                 221,934
GUIDANT CORP                        COM    401698105     3,215    68,400  SH     SOLE                  68,400
HALLIBURTON CO                      COM    406216101     4,015    99,750  SH     SOLE                  99,750
HARCOURT GEN INC                    COM    41163G101       648    16,100  SH     SOLE                  16,100
HARRAHS ENTMT INC                   COM    413619107       765    28,950  SH     SOLE                  28,950
HARTFORD FINL SVCS GROUP INC        COM    416515104     2,427    51,236  SH     SOLE                  51,236
HASBRO INC                          COM    418056107       832    43,950  SH     SOLE                  43,950
HEALTHEON WEBMD CORP                COM    422209106    18,028   480,753  SH     SOLE                 480,753
HEALTHSOUTH CORP                    COM    421924101       505    93,900  SH     SOLE                  93,900
HEINZ H J CO                        COM    423074103     3,225    81,000  SH     SOLE                  81,000
HELMERICH & PAYNE INC               COM    423452101       244    11,200  SH     SOLE                  11,200
HERCULES INC                        COM    427056106       669    24,004  SH     SOLE                  24,004
HERSHEY FOODS CORP                  COM    427866108     1,499    31,600  SH     SOLE                  31,600

        FAIR MARKET VALUE TOTAL:                       294,220



HEWLETT PACKARD CO                  COM    428236103    26,058   229,088  SH     SOLE                 229,088
HILTON HOTELS CORP                  COM    432848109       800    83,600  SH     SOLE                  83,600
HOLLYWOOD ENTMT CORP                COM    436141105     6,725   463,774  SH     SOLE                 463,774
HOME DEPOT INC                      COM    437076102    34,598   503,250  SH     SOLE                 503,250
HOMESTAKE MNG CO                    COM    437614100       460    58,904  SH     SOLE                  58,904
HONEYWELL INTL INC                  COM    438516106    10,300   178,545  SH     SOLE                 178,545
HOUSEHOLD INTL INC                  COM    441815107     4,036   108,348  SH     SOLE                 108,348
HUMANA INC                          COM    444859102       311    38,000  SH     SOLE                  38,000
HUNTINGTON BANCSHARES INC           COM    446150104     1,243    52,093  SH     SOLE                  52,093
INTERNATIONAL BUSINESS MACHS        COM    459200101    44,142   409,196  SH     SOLE                 409,196
IKON OFFICE SOLUTIONS INC           COM    451713101       230    33,808  SH     SOLE                  33,808
ILLINOIS TOOL WKS INC               COM    452308109     4,595    68,000  SH     SOLE                  68,000
IMMERSION CORP                      COM    452521107    30,298   698,387  SH     SOLE                 698,387
IMS HEALTH INC                      COM    449934108     1,922    70,700  SH     SOLE                  70,700
INCO LTD                            COM    453258402     1,021    43,442  SH     SOLE                  43,442
INGERSOLL RAND CO                   COM    456866102     2,057    37,350  SH     SOLE                  37,350
INKTOMI CORP                        COM    457277101    70,551 1,589,890  SH     SOLE               1,589,890
INTEL CORP                          COM    458140100    33,558   407,686  SH     SOLE                 407,686
INTERACTIVE INTELLIGENCE, INC.      COM    45839M103    15,975   600,000  SH     SOLE                 600,000
INTL PAPER CO                       COM    460146103     5,283    93,601  SH     SOLE                  93,601
INTERPUBLIC GROUP COS INC           COM    460690100     3,680    63,800  SH     SOLE                  63,800
INTERVU INC                         COM    46114R106    12,057   114,829  SH     SOLE                 114,829
INTERNATIONAL FLAVORS & FRAGRANC    COM    459506101       904    24,043  SH     SOLE                  24,043
IONA TECHNOLOGIES PLC            SPONSORED 46206P109     2,479    45,494  SH    OTHER**                          45,494
                                    ADR
IONA TECHNOLOGIES PLC            SPONSORED 46206P109     8,421   154,506  SH    OTHER**                         154,506
                                    ADR
ISOCOR                              COM    464902105    16,313   375,000  SH     SOLE                 375,000
ITT INDS INC IND                    COM    450911102       665    19,885  SH     SOLE                  19,885
ITXC CORP                           COM    45069F109   111,468 3,315,034  SH     SOLE               3,315,034
IVILLAGE INC                        COM    46588H105     2,700   133,333  SH     SOLE                 133,333
IXOS SOFTWARE AG                  SP ADR   46600V108     4,307   134,000  SH     SOLE                 134,000
                                  BEARER
JEFFERSON PILOT CORP                COM    475070108     1,629    23,875  SH     SOLE                  23,875

        FAIR MARKET VALUE TOTAL:                       458,787



JOHNSON & JOHNSON                   COM    478160104    28,356   304,088  SH     SOLE                 304,088
JOHNSON CTLS INC                    COM    478366107     1,097    19,300  SH     SOLE                  19,300
JUNO ONLINE SVCS INC                COM    482048105    27,686   779,899  SH     SOLE                 779,899
K MART CORP                         COM    482584109     1,125   111,773  SH     SOLE                 111,773
KANSAS CITY SOUTHN INDS INC         COM    485170104     1,859    24,900  SH     SOLE                  24,900
KAUFMAN & BROAD HOME CORP           COM    486168107       263    10,874  SH     SOLE                  10,874
KELLOGG CO                          COM    487836108     2,825    91,678  SH     SOLE                  91,678
KERR MCGEE CORP                     COM    492386107     1,220    19,667  SH     SOLE                  19,667
KEYCORP NEW                         COM    493267108     2,245   101,482  SH     SOLE                 101,482
KIMBERLY CLARK CORP                 COM    494368103     7,886   120,500  SH     SOLE                 120,500
KLA TENCOR CORP                     COM    482480100     2,216    19,900  SH     SOLE                  19,900
KNIGHT RIDDER INC                   COM    499040103     1,096    18,400  SH     SOLE                  18,400
KOHLS CORP                          COM    500255104     2,657    36,800  SH     SOLE                  36,800
KROGER CO                           COM    501044101     3,541   187,600  SH     SOLE                 187,600
LAUNCH MEDIA INC                    COM    518567102    16,897   892,225  SH     SOLE                 892,225
LEGGETT & PLATT INC                 COM    524660107       954    44,500  SH     SOLE                  44,500
LEHMAN BROS HLDGS INC               COM    524908100     2,304    27,200  SH     SOLE                  27,200
LEXMARK INTL GROUP INC             CL A    529771107     2,642    29,200  SH     SOLE                  29,200
LIBERATE TECHNOLOGIES               COM    530129105   108,439   421,940  SH     SOLE                 421,940
LILLY ELI & CO                      COM    532457108    16,437   247,170  SH     SOLE                 247,170
LIMITED INC                         COM    532716107     2,097    48,433  SH     SOLE                  48,433
LINCOLN NATL CORP IND               COM    534187109     1,800    45,000  SH     SOLE                  45,000
LIQUID AUDIO INC                    COM    53631T102    66,037 2,515,708  SH     SOLE               2,515,708
LIZ CLAIBORNE INC                   COM    539320101       523    13,900  SH     SOLE                  13,900
LOCKHEED MARTIN CORP                COM    539830109     1,954    89,344  SH     SOLE                  89,344
LOEWS CORP                          COM    540424108     1,480    24,400  SH     SOLE                  24,400
LONGS DRUG STORES CORP              COM    543162101       230     8,900  SH     SOLE                   8,900
LOUISIANA PAC CORP                  COM    546347105       342    24,300  SH     SOLE                  24,300
LOWES COS INC                       COM    548661107     5,157    86,300  SH     SOLE                  86,300
LSI LOGIC CORP                      COM    502161102     8,341   147,290  SH     SOLE                 147,290
LUCENT TECHNOLOGIES INC             COM    549463107    51,986   693,146  SH     SOLE                 693,146
MADGE NETWORKS N V                ORD SHS  N5424G106       281    38,448  SH     SOLE                  38,448
MAKER COMMUNICATIONS INC            COM    560875106    51,689 1,209,103  SH     SOLE               1,209,103

        FAIR MARKET VALUE TOTAL:                       423,662



MALLINCKRODT INC NEW                COM    561232109       509    16,000  SH     SOLE                  16,000
MANOR CARE INC NEW                  COM    564055101       387    24,200  SH     SOLE                  24,200
MARRIOTT INTL INC NEW              CL A    571903202     1,778    56,334  SH     SOLE                  56,334
MARSH & MCLENNAN COS INC            COM    571748102     5,710    59,679  SH     SOLE                  59,679
MASCO CORP                          COM    574599106     2,542   100,200  SH     SOLE                 100,200
MATTEL INC                          COM    577081102     1,248    95,116  SH     SOLE                  95,116
MAXTOR CORP                       COM NEW  577729205     4,972   682,914  SH     SOLE                 682,914
MAY DEPT STORES CO                  COM    577778103     2,432    75,400  SH     SOLE                  75,400
MAYTAG CORP                         COM    578592107       949    19,773  SH     SOLE                  19,773
MBIA INC                            COM    55262C100     1,193    22,600  SH     SOLE                  22,600
MBNA CORP                           COM    55262L100     4,944   181,430  SH     SOLE                 181,430
MCDERMOTT INTL INC                  COM    580037109       122    13,500  SH     SOLE                  13,500
MCDONALDS CORP                      COM    580135101    12,353   306,428  SH     SOLE                 306,428
MCGRAW HILL COS INC                 COM    580645109     2,744    44,516  SH     SOLE                  44,516
MCI WORLDCOM INC                    COM    55268B106    33,714   635,369  SH     SOLE                 635,369
MCKESSON HBOC INC                   COM    58155Q103     1,432    63,638  SH     SOLE                  63,638
MEAD CORP                           COM    582834107     1,008    23,200  SH     SOLE                  23,200
MEDIAONE GROUP INC                  COM    58440J104    10,538   137,200  SH     SOLE                 137,200
MEDTRONIC INC                       COM    585055106     9,671   265,412  SH     SOLE                 265,412
MELLON FINL CORP                    COM    58551A108     3,960   116,260  SH     SOLE                 116,260
MERCK & CO INC                      COM    589331107    35,647   530,558  SH     SOLE                 530,558
MEREDITH CORP                       COM    589433101       488    11,700  SH     SOLE                  11,700
MERRILL LYNCH & CO INC              COM    590188108     6,960    83,544  SH     SOLE                  83,544
MGIC INVT CORP WIS                  COM    552848103     1,487    24,700  SH     SOLE                  24,700
MICRON TECHNOLOGY INC               COM    595112103     4,408    56,700  SH     SOLE                  56,700
MICROSOFT CORP                      COM    594918104   136,039 1,165,212  SH     SOLE               1,165,212
MICROTEST INC                       COM    594941106       397    44,074  SH     SOLE                  44,074
MILLIPORE CORP                      COM    601073109       394    10,200  SH     SOLE                  10,200
MINNESOTA MNG & MFG CO              COM    604059105     8,917    91,100  SH     SOLE                  91,100
MIRAGE RESORTS INC                  COM    60462E104       681    45,000  SH     SOLE                  45,000
MOLEX INC                           COM    608554101     2,001    35,300  SH     SOLE                  35,300
MONSANTO CO                         COM    611662107     5,078   143,296  SH     SOLE                 143,296
MORGAN J P & CO INC                 COM    616880100     5,021    39,650  SH     SOLE                  39,650

        FAIR MARKET VALUE TOTAL:                       309,726



MORGAN STANLEY DEAN WTTER & CO    COM NEW  617446448    18,405   128,929  SH     SOLE                 128,929
MOTOROLA INC                        COM    620076109    20,223   137,335  SH     SOLE                 137,335
MPATH INTERACTIVE INC               COM    62473C101    29,673 1,114,461  SH     SOLE               1,114,461
NABISCO GROUP HLDG CORP             COM    62952P102       784    73,800  SH     SOLE                  73,800
NATIONAL CITY CORP                  COM    635405103     3,312   139,826  SH     SOLE                 139,826
NATIONAL SEMICONDUCTOR CORP         COM    637640103     1,622    37,900  SH     SOLE                  37,900
NATIONAL SVC INDS INC               COM    637657107       268     9,100  SH     SOLE                   9,100
NAVISTAR INTL CORP NEW              COM    63934E108       703    14,960  SH     SOLE                  14,960
NETWORK APPLIANCE INC               COM    64120L104     2,758    33,200  SH     SOLE                  33,200
NETWORK COMPUTING DEVICES INC       COM    64120N100     5,906   750,000  SH     SOLE                 750,000
NEW CENTURY ENERGIES INC            COM    64352U103       792    26,100  SH     SOLE                  26,100
NEW YORK TIMES CO                  CL A    650111107     1,931    39,300  SH     SOLE                  39,300
NEWELL RUBBERMAID INC               COM    651229106     1,850    63,806  SH     SOLE                  63,806
NEWMONT MINING CORP                 COM    651639106       927    37,814  SH     SOLE                  37,814
NEXTEL COMMUNICATIONS INC          CL A    65332V103     8,435    81,800  SH     SOLE                  81,800
NIAGARA MOHAWK HLDGS INC            COM    653520106   504,623    42,400  SH     SOLE                  42,400
NICOR INC                           COM    654086107       348    10,700  SH     SOLE                  10,700
NIKE INC                           CL B    654106103     3,152    63,600  SH     SOLE                  63,600
NORDSTROM INC                       COM    655664100       834    31,700  SH     SOLE                  31,700
NORFOLK SOUTHERN CORP               COM    655844108     1,765    86,124  SH     SOLE                  86,124
NORTEL NETWORKS CORP                COM    656569100    30,317   300,168  SH     SOLE                 300,168
NORTHERN STS PWR CO MINN            COM    665772109       680    34,900  SH     SOLE                  34,900
NORTHERN TR CORP                    COM    665859104     2,671    50,400  SH     SOLE                  50,400
NORTHPOINT COMMUNICATIONS HLDG      COM    666610100    35,378 1,275,423  SH     SOLE               1,275,423
NORTHROP GRUMMAN CORP               COM    666807102       849    15,709  SH     SOLE                  15,709
NOVELL INC                          COM    670006105     3,027    75,795  SH     SOLE                  75,795
NUCOR CORP                          COM    670346105     1,085    19,800  SH     SOLE                  19,800
OBJECT DESIGN INC                   COM    674416102     2,071   142,857  SH     SOLE                 142,857
OCCIDENTAL PETE CORP DEL            COM    674599105     1,704    78,800  SH     SOLE                  78,800
OFFICE DEPOT INC                    COM    676220106       932    84,800  SH     SOLE                  84,800
OLD KENT FINL CORP                  COM    679833103       955    27,000  SH     SOLE                  27,000
OMNICOM GROUP INC                   COM    681919106     4,020    40,200  SH     SOLE                  40,200

        FAIR MARKET VALUE TOTAL:                       692,003



OPEN MKT INC                        COM    68370M100    15,155   335,852  SH     SOLE                 335,852
ORACLE CORP                         COM    68389X105    36,482   325,546  SH     SOLE                 325,546
OWENS CORNING                       COM    69073F103       240    12,400  SH     SOLE                  12,400
OWENS ILL INC                     COM NEW  690768403       882    35,200  SH     SOLE                  35,200
P P & L RES INC                     COM    693499105       817    35,700  SH     SOLE                  35,700
PACCAR INC                          COM    693718108       784    17,700  SH     SOLE                  17,700
PACTIV CORP                         COM    695257105       410    38,530  SH     SOLE                  38,530
PAINE WEBBER GROUP INC              COM    695629105     1,277    32,900  SH     SOLE                  32,900
PALL CORP                           COM    696429307       606    28,100  SH     SOLE                  28,100
PANJA INC                           COM    698493103     6,983   423,212  SH     SOLE                 423,212
PARAMETRIC TECHNOLOGY CORP          COM    699173100     1,648    60,900  SH     SOLE                  60,900
PARKER HANNIFIN CORP                COM    701094104     1,260    24,550  SH     SOLE                  24,550
PAYCHEX INC                         COM    704326107     2,218    55,450  SH     SOLE                  55,450
PE CORP                           COM PE   69332S102     2,779    23,100  SH     SOLE                  23,100
                                  BIO GRP
PECO ENERGY CO                      COM    693304107     1,466    42,200  SH     SOLE                  42,200
PENNEY J C INC                      COM    708160106     1,188    59,578  SH     SOLE                  59,578
PEOPLES ENERGY CORP                 COM    711030106       273     8,149  SH     SOLE                   8,149
PEOPLESOFT INC                      COM    712713106     1,173    55,000  SH     SOLE                  55,000
PEP BOYS MANNY MOE & JACK           COM    713278109       106    11,900  SH     SOLE                  11,900
PEPSICO INC                         COM    713448108    11,661   330,822  SH     SOLE                 330,822
PERKLINELMER INC                    COM    714046109       436    10,448  SH     SOLE                  10,448
PERSISTENCE SOFTWARE INC            COM    715329108    14,649   651,048  SH     SOLE                 651,048
PFIZER INC                          COM    717081103    28,431   876,500  SH     SOLE                 876,500
PG&E CORP                           COM    69331C108     1,781    86,898  SH     SOLE                  86,898
PHARMACIA & UPJOHN INC              COM    716941109     5,159   114,631  SH     SOLE                 114,631
PHELPS DODGE CORP                   COM    717265102     1,194    17,718  SH     SOLE                  17,718
PHILIP MORRIS COS INC               COM    718154107    12,436   540,709  SH     SOLE                 540,709
PHILLIPS PETE CO                    COM    718507106     2,693    57,300  SH     SOLE                  57,300
PHOENIX TECHNOLOGY LTD              COM    719153108    16,715   894,971  SH     SOLE                 894,971
PINNACLE WEST CAP CORP              COM    723484101       587    19,200  SH     SOLE                  19,200
PITNEY BOWES INC                    COM    724479100     2,923    60,500  SH     SOLE                  60,500
PLACER DOME INC                     COM    725906101       791    73,600  SH     SOLE                  73,600
PNC BK CORP                         COM    693475105     3,057    68,700  SH     SOLE                  68,700

        FAIR MARKET VALUE TOTAL:                       178,259



POLAROID CORP                       COM    731095105       190    10,100  SH     SOLE                  10,100
POTLATCH CORP                       COM    737628107       295     6,600  SH     SOLE                   6,600
PPG INDS INC                        COM    693506107     2,444    39,072  SH     SOLE                  39,072
PRAXAIR INC                         COM    74005P104     1,820    36,178  SH     SOLE                  36,178
PREVIEW SYS INC                     COM    741379101    27,798   308,031  SH     SOLE                 308,031
PRICE T ROWE & ASSOCIATES           COM    741477103     1,012    27,400  SH     SOLE                  27,400
PROCTER & GAMBLE CO                 COM    742718109    32,923   300,490  SH     SOLE                 300,490
PROGRESSIVE CORP OHIO               COM    743315103     1,207    16,500  SH     SOLE                  16,500
PROVIDIAN FINL CORP                 COM    74406A102     2,914    32,000  SH     SOLE                  32,000
PROXICOM INC                        COM    744282104    12,431   100,000  SH     SOLE                 100,000
PROXIM INC                          COM    744284100    35,200   320,000  SH     SOLE                 320,000
PUBLIC SVC ENTERPRISE GROUP         COM    744573106     1,728    49,644  SH     SOLE                  49,644
PULTE CORP                          COM    745867101       221     9,800  SH     SOLE                   9,800
QUAKER OATS CO                      COM    747402105     1,982    30,200  SH     SOLE                  30,200
QUALCOMM INC                        COM    747525103    25,574   145,200  SH     SOLE                 145,200
QUINTILES TRANSNATIONAL CORP        COM    748767100       486    26,000  SH     SOLE                  26,000
QUOKKA SPORTS INC                   COM    749077103    54,916 4,184,093  SH     SOLE               4,184,093
RADISYS CORP                        COM    750459109    90,742 1,779,251  SH     SOLE               1,779,251
RALSTON PURINA CO                COM RAL-  751277302     2,040    73,200  SH     SOLE                  73,200
                                  PUR GP
RAVISENT TECHNOLOGIES INC          CL B    754440105    21,127   549,650  SH     SOLE                 549,650
RAYTHEON CO                        CL B    755111408     2,026    76,256  SH     SOLE                  76,256
RED HAT INC                         COM    756577102   634,819 3,005,058  SH     SOLE               3,005,058
REEBOK INTL LTD                     COM    758110100       104    12,700  SH     SOLE                  12,700
REGIONS FINL CORP                   COM    758940100     1,274    50,700  SH     SOLE                  50,700
RELIANT ENERGY INC                  COM    75952J108     1,532    66,945  SH     SOLE                  66,945
REPUBLIC N Y CORP                   COM    760719104     1,706    23,700  SH     SOLE                  23,700
RESEARCH IN MOTION LTD              COM    760975102    48,797   926,667  SH     SOLE                 926,667
REYNOLDS METALS CO                  COM    761763101     1,088    14,200  SH     SOLE                  14,200
RITE AID CORP                       COM    767754104       652    58,600  SH     SOLE                  58,600
ROCKWELL INTL CORP NEW              COM    773903109     2,073    43,300  SH     SOLE                  43,300
ROHM & HAAS CO                      COM    775371107     2,006    49,305  SH     SOLE                  49,305
ROWAN COS INC                       COM    779382100       408    18,800  SH     SOLE                  18,800

        FAIR MARKET VALUE TOTAL:                     1,013,535



ROYAL DUTCH PETE CO               NY REG   780257804    29,374   485,020  SH     SOLE                 485,020
                                  GLD1.25
RYDER SYS INC                       COM    783549108       354    14,500  SH     SOLE                  14,500
SAFECO CORP                         COM    786429100       741    29,800  SH     SOLE                  29,800
SAFEWAY INC                       COM NEW  786514208     4,126   115,400  SH     SOLE                 115,400
SARA LEE CORP                       COM    803111103     4,507   204,300  SH     SOLE                 204,300
SBC COMMUNICATIONS INC              COM    78387G103    37,648   772,256  SH     SOLE                 772,256
SCHERING PLOUGH CORP                COM    806605101    14,074   332,140  SH     SOLE                 332,140
SCHLUMBERGER LTD                    COM    806857108     6,954   123,900  SH     SOLE                 123,900
SCHWAB CHARLES CORP NEW             COM    808513105     7,077   185,000  SH     SOLE                 185,000
SCIENTIFIC ATLANTA INC              COM    808655104       967    17,300  SH     SOLE                  17,300
SCM MICROSYSTEMS INC                COM    784018103     3,111    48,650  SH     SOLE                  48,650
SEAGATE TECHNOLOGY                  COM    811804103     2,193    47,100  SH     SOLE                  47,100
SEAGRAM LTD                         COM    811850106     4,377    97,800  SH     SOLE                  97,800
SEALED AIR CORP NEW                 COM    81211K100       982    18,962  SH     SOLE                  18,962
SEARS ROEBUCK & CO                  COM    812387108     2,616    86,100  SH     SOLE                  86,100
SEMPRA ENERGY                       COM    816851109       943    54,272  SH     SOLE                  54,272
SERVICE CORP INTL                   COM    817565104       427    61,600  SH     SOLE                  61,600
SHARED MED SYS CORP                 COM    819486101       311     6,100  SH     SOLE                   6,100
SHERWIN WILLIAMS CO                 COM    824348106       805    38,300  SH     SOLE                  38,300
SIGMA ALDRICH CORP                  COM    826552101       685    22,800  SH     SOLE                  22,800
SILICON GRAPHICS INC                COM    827056102       414    42,654  SH     SOLE                  42,654
SILICON IMAGE INC                   COM    82705T102    79,521   857,143  SH     SOLE                 857,143
SILICON VY GROUP INC                COM    827066101     8,841   498,100  SH     SOLE                 498,100
SILKNET SOFTWARE INC                COM    827094103    94,765   571,736  SH     SOLE                 571,736
SILVERSTREAM SOFTWARE INC           COM    827907106     2,849    23,944  SH    OTHER**                          23,944
SILVERSTREAM SOFTWARE INC           COM    827907106     9,677    81,319  SH    OTHER**                          81,319
SILVERSTREAM SOFTWARE INC           COM    827907106    45,345   381,054  SH     SOLE                 381,054
SLM HLDG CORP                       COM    78442A109     1,538    36,400  SH     SOLE                  36,400
SMARTERKIDS.COM INC                 COM    83169C106     8,674 1,196,363  SH     SOLE               1,196,363
SNAP ON INC                         COM    833034101       395    14,900  SH     SOLE                  14,900
SOLECTRON CORP                      COM    834182107     6,307    66,300  SH     SOLE                  66,300

        FAIR MARKET VALUE TOTAL:                       380,598



SOUTHERN CO                         COM    842587107     3,633   154,600  SH     SOLE                 154,600
SOUTHTRUST CORP                     COM    844730101     1,433    37,900  SH     SOLE                  37,900
SOUTHWEST AIRLS CO                  COM    844741108     1,837   113,943  SH     SOLE                 113,943
SPRINT CORP                       COM FON  852061100    13,206   196,196  SH     SOLE                 196,196
                                   GROUP
SPRINT CORP                       PCS COM  852061506    10,206    99,574  SH     SOLE                  99,574
                                   SER 1
ST JUDE MED INC                     COM    790849103       589    19,188  SH     SOLE                  19,188
ST PAUL COS INC                     COM    792860108     1,727    51,246  SH     SOLE                  51,246
STAMPS.COM INC                      COM    852857101    34,119   819,673  SH     SOLE                 819,673
STANDARD MICROSYSTEMS CORP          COM    853626109    17,315 1,542,506  SH     SOLE               1,542,506
STANLEY WKS                         COM    854616109       609    20,240  SH     SOLE                  20,240
STAPLES INC                         COM    855030102     2,179   105,050  SH     SOLE                 105,050
STARMEDIA NETWORK INC               COM    855546107    78,456 1,958,333  SH     SOLE               1,958,333
STATE STR CORP                      COM    857477103     2,659    36,400  SH     SOLE                  36,400
STREAMLINE COM INC                  COM    863239109     2,713   285,714  SH     SOLE                 285,714
STYLECLICK.COM INC                  COM    864221106     5,434   455,218  SH     SOLE                 455,218
SUMMIT BANCORP                      COM    866005101     1,225    40,000  SH     SOLE                  40,000
SUN MICROSYSTEMS INC                COM    866810104    27,756   358,418  SH     SOLE                 358,418
SUNOCO INC                          COM    86764P109       483    20,545  SH     SOLE                  20,545
SUNTRUST BKS INC                    COM    867914103     4,999    72,650  SH     SOLE                  72,650
SUPERVALU INC                       COM    868536103       628    31,400  SH     SOLE                  31,400
SYNOVUS FINL CORP                   COM    87161C105     1,218    61,300  SH     SOLE                  61,300
SYSCO CORP                          COM    871829107     2,959    74,800  SH     SOLE                  74,800
TALK CITY INC                       COM    874263106    19,594   750,000  SH     SOLE                 750,000
TANDY CORP                          COM    875382103     2,150    43,700  SH     SOLE                  43,700
TEKTRONIX INC                       COM    879131100       408    10,517  SH     SOLE                  10,517
TELLABS INC                         COM    879664100     5,681    88,500  SH     SOLE                  88,500
TEMPLE INLAND INC                   COM    879868107       831    12,600  SH     SOLE                  12,600
TENET HEALTHCARE CORP               COM    88033G100     1,651    70,257  SH     SOLE                  70,257
TERADYNE INC                        COM    880770102     2,561    38,800  SH     SOLE                  38,800
TEXACO INC                          COM    881694103     6,789   125,000  SH     SOLE                 125,000
TEXAS INSTRS INC                    COM    882508104    17,171   177,700  SH     SOLE                 177,700

        FAIR MARKET VALUE TOTAL:                       272,220



TEXAS UTILS CO                      COM    882848104     2,220    62,417  SH     SOLE                  62,417
TEXTRON INC                         COM    883203101     2,607    34,000  SH     SOLE                  34,000
THERMO ELECTRON CORP                COM    883556102       538    35,800  SH     SOLE                  35,800
THOMAS & BETTS CORP                 COM    884315102       412    12,900  SH     SOLE                  12,900
TICKETS.COM INC                     COM    88633M101    11,406   796,956  SH     SOLE                 796,956
TIME WARNER INC                     COM    887315109    21,163   292,664  SH     SOLE                 292,664
TIMES MIRROR CO NEW              COM SER A 887364107       906    13,515  SH     SOLE                  13,515
TIMKEN CO                           COM    887389104       288    14,100  SH     SOLE                  14,100
TJX COS INC NEW                     COM    872540109     1,470    71,900  SH     SOLE                  71,900
TORCHMARK CORP                      COM    891027104       875    30,100  SH     SOLE                  30,100
TOSCO CORP                        COM NEW  891490302       935    34,400  SH     SOLE                  34,400
TOYS R US INC                       COM    892335100       801    56,000  SH     SOLE                  56,000
TRIBUNE CO NEW                      COM    896047107     2,951    53,600  SH     SOLE                  53,600
TRICON GLOBAL RESTAURANTS           COM    895953107     1,346    34,832  SH     SOLE                  34,832
TRW INC                             COM    872649108     1,423    27,400  SH     SOLE                  27,400
TUPPERWARE CORP                     COM    899896104       219    12,950  SH     SOLE                  12,950
TUT SYSTEMS                         COM    901103101     4,469    83,334  SH     SOLE                  83,334
TYCO INTL LTD NEW                   COM    902124106    14,758   378,432  SH     SOLE                 378,432
U S BANCORP DEL                     COM    902973106     3,942   165,570  SH     SOLE                 165,570
U S WEST INC NEW                    COM    91273H101     8,221   114,176  SH     SOLE                 114,176
U.S. INTERACTIVE INC                COM    90334M109    10,750   250,000  SH     SOLE                 250,000
UNICOM CORP                         COM    904911104     1,648    49,200  SH     SOLE                  49,200
UNILEVER N V                      NY SHS   904784709     7,036   129,239  SH     SOLE                 129,239
                                    NEW
UNION CARBIDE CORP                  COM    905581104     2,006    30,056  SH     SOLE                  30,056
UNION PAC CORP                      COM    907818108     2,451    56,100  SH     SOLE                  56,100
UNION PAC RES GROUP INC             COM    907834105       728    57,096  SH     SOLE                  57,096
UNION PLANTERS CORP                 COM    908068109     1,273    32,300  SH     SOLE                  32,300
UNISYS CORP                         COM    909214108     2,207    69,100  SH     SOLE                  69,100
UNITED HEALTHCARE CORP              COM    910581107     2,080    39,148  SH     SOLE                  39,148
UNITED TECHNOLOGIES CORP            COM    913017109     7,079   108,900  SH     SOLE                 108,900

        FAIR MARKET VALUE TOTAL:                       118,207



UNOCAL CORP                         COM    915289102     1,840    54,800  SH     SOLE                  54,800
UNUMPROVIDENT CORP                  COM    91529Y106     1,731    53,976  SH     SOLE                  53,976
US AIRWAYS GROUP INC                COM    911905107       519    16,200  SH     SOLE                  16,200
UST INC                             COM    902911106       990    39,293  SH     SOLE                  39,293
USX MARATHON GROUP                COM NEW  902905827     1,723    69,800  SH     SOLE                  69,800
USX U S STL                         COM    90337T101       660    20,000  SH     SOLE                  20,000
V F CORP                            COM    918204108       807    26,900  SH     SOLE                  26,900
VA LINUX SYSTEMS INC                COM    91819B105   732,225 3,543,741  SH     SOLE               3,543,741
VIACOM INC                         CL B    925524308     9,526   157,622  SH     SOLE                 157,622
VOXWARE INC                         COM    92906L105       516   500,000  SH     SOLE                 500,000
VTEL CORP                           COM    918333105     5,489 1,672,846  SH     SOLE               1,672,846
VULCAN MATLS CO                     COM    929160109       903    22,600  SH     SOLE                  22,600
WACHOVIA CORP                       COM    929771103     3,115    45,800  SH     SOLE                  45,800
WAL MART STORES INC                 COM    931142103    69,579 1,006,566  SH     SOLE               1,006,566
WALGREEN CO                         COM    931422109     6,637   226,900  SH     SOLE                 226,900
WARNER LAMBERT CO                   COM    934488107    15,837   193,280  SH     SOLE                 193,280
WASHINGTON MUT INC                  COM    939322103     3,391   131,090  SH     SOLE                 131,090
WASTE MGMT INC DEL                  COM    94106L109     2,406   139,971  SH     SOLE                 139,971
WATSON PHARMACEUTICALS INC          COM    942683103       778    21,700  SH     SOLE                  21,700
WAVO CORP                           COM    944027101     1,938   500,000  SH     SOLE                 500,000
WELLPOINT HEALTH NETWORK NEW        COM    94973H108       982    14,900  SH     SOLE                  14,900
WELLS FARGO & CO NEW                COM    949746101    15,082   372,974  SH     SOLE                 372,974
WENDYS INTL INC                     COM    950590109       572    27,485  SH     SOLE                  27,485
WESTVACO CORP                       COM    961548104       739    22,650  SH     SOLE                  22,650
WEYERHAEUSER CO                     COM    962166104     3,825    53,270  SH     SOLE                  53,270
WHIRLPOOL CORP                      COM    963320106     1,113    17,100  SH     SOLE                  17,100
WILLAMETTE INDS INC                 COM    969133107     1,170    25,200  SH     SOLE                  25,200
WILLIAMS COMMUNICATIONS GROUP      CL A    969455104   266,951 9,225,093  SH     SOLE               9,225,093
WILLIAMS COS INC DEL                       969457100     3,001    98,192  SH     SOLE                  98,192
WINN DIXIE STORES INC               COM    974280109       804    33,600  SH     SOLE                  33,600
WORTHINGTON INDS INC                COM    981811102       343    20,700  SH     SOLE                  20,700
WRIGLEY WM JR CO                    COM    982526105     2,173    26,200  SH     SOLE                  26,200

        FAIR MARKET VALUE TOTAL:                     1,157,365



XEROX CORP                          COM    984121103     3,403   150,000  SH     SOLE                 150,000
XILINX INC                          COM    983919101     3,247    71,400  SH     SOLE                  71,400
XIRCOM, INC                         COM    983922105   188,730 2,516,405  SH     SOLE               2,516,405
YAHOO INC                           COM    984332106    25,962    60,000  SH     SOLE                  60,000

        FAIR MARKET VALUE TOTAL:                       221,342

  FAIR MARKET VALUE GRAND TOTAL:                     8,728,618






*  Confidential Treatment Requested
**Reflects  shares  held in the Intel 64 Fund LLC, with Manager 1's  indirect  pro  rata
interest  reported  separately.   All fund investors participating  in  this  investment
(including  Manager 1 and the Reporting Person) share investment discretion  and  voting
authority  over the combined shares shown as Shared-Other.  Manager 1 has  informed  the
Reporting  Person that Manager 1 is required to file Forms 13F for a consolidated  group
which  includes  one  fund  investor.  The remaining fund investors  have  informed  the
reporting person that they are not separately required to file reports on Form 13F.
***Number of shares reflects stock split completed after 12/31/99.