UNITED STATES SECURITIES AND EXCHANGE COMMISSION Washington, D. C. 20549 FORM 13F Form 13F COVER PAGE Report for the Calendar Year or Quarter Ended: June 30, 2001 Check here if Amendment [ ]; Amendment Number: This Amendment: (Check only one.): [ ] is a restatement [ ] adds new holdings entries. Institutional Investment Manager Filing this Report: Name: Legg Mason, Inc. Address: 100 Light Street Baltimore, MD 21202 13F File Number: 28-1700 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. Person Signing this Report on Behalf of the Reporting Manager: Name: Timothy C. Scheve Title: Sr. Ex. Vice President Phone: 410-454-3232 Signature, Date, and Place of Signing _______________________________________________________________________________ Timothy C. Scheve Baltimore, MD August 14, 2001 I AM SIGNING THIS REPORT AS REQUIRED BY THE SECURITIES EXCHANGE ACT OF 1934 Report Type (Check only one.): [ X ] 13F HOLDINGS REPORT. [ ] 13F NOTICE. [ ] 13F COMBINATION REPORT. Legg Mason, Inc. ('Legg Mason') is the parent company of a number of operating subsidiaries that qualify as 'institutional investment managers' for purposes of the reporting requirements under Section 13(f) of the Securities Exchange Act of 1934 (the 'Act') and the rules promulgated thereunder. Legg Mason itself does not in fact exercise, and therefore disclaims, investment discretion with respect to any Section 13(f) securities positions over which its subsidiaries exercise investment discretion. To the extent, however, that Legg Mason's ownership interest in its subsidiaries gives rise to a Form 13F filing obligation on behalf of Legg Mason, the information required by Form13F is reported herein on behalf of certain of Legg Mason's subsidiaries which are themselves institutional investment managers subject to Section 13(f) of the Act. The Section 13(f) securities positions of Arthur Karafin Investment Advisers, Inc., Barrett Associates, Inc., Bartlett & Co., Batterymarch Financial Management, Inc., Berkshire Asset Management, Inc., Bingham Legg Advisors LLC, Brandywine Asset Management, Inc., Gray Seifert & Co., Inc., Legg Mason Capital Management, Inc., Legg Mason Funds Management, Inc., Legg Mason Trust, fsb, Legg Mason Wood Walker, Incorporated, LeggMason Investors Asset Managers, plc, LMM, LLC, and Perigee Investment Counsel, Inc., all of which are subsidiaries of Legg Mason, are included in this Form 13F report. This report sets forth the total holdings of each subsidiary independently and in alphabetical order by subsidiary. List of other managers reporting for this Manager: FORM 13F SUMMARY PAGE Report Summary: Number of Other Included Managers: 15 Form 13F Information Table Entry Total: Form 13F Information Table Value Total: List of Other Included Managers: No. 13F File No. Manager Name 1 28-6485 Arthur Karafin Investment Advisers,Inc. 2 28-3658 Barrett Associates, Inc. 3 28-1891 Bartlett & Co. 4 28-0377 Batterymarch Financial Management, Inc. 5 28-5034 Berkshire Asset Management, Inc. 6 28-6393 Bingham Legg Advisors LLC 7 28-2204 Brandywine Asset Management, Inc. 8 28-1062 Gray, Seifert & Co., Inc. 9 28-1701 Legg Mason Capital Management, Inc. 10 28-6395 Legg Mason Funds Management, Inc. 11 28-6397 Legg Mason Trust, fsb 12 28-5474 Legg Mason Wood Walker, Incorporated 13 28- LeggMason Investors Asset Managers, plc 14 28-6399 LMM, LLC 15 28-7412 Perigee Investment Counsel, Inc. FORM 13F Name of Reporting Manager: Legg Mason, Inc. (On Behalf of Arthur Karafin Investment Advisers, Inc. For Positions Held As Of 6/30/2001) (1) (2) (3) (4) (5) (6) (7) (8) Name of Issuer Title of Class CUSIP FMV Shares Inv Disc Other Voting Authority (Shs.) (x1000) (a)(b)(c) Mgr (a) (b) (c) --------------------------------------------------------------------------------------------------------------------------------- Abbott Labs Com 002824100 368 7660 x 1 7,660 Aflac Corp. New Com 001055102 1,714 54424 x 1 54,424 Airborne Inc Com Com 009269101 132 11400 x 1 11,400 Ameren Corp. Com 023608102 1,260 29500 x 1 29,500 American Express Co. Com 025816109 1,559 40192 x 1 40,192 American General Corp. Com 026351106 267 5742 x 1 5,742 American Home Products Corp Com 026609107 362 6162 x 1 6,162 American International Group ICom 026874107 2,243 26381 x 1 26,381 Amerigas Partners L P LTD Part P4030975106 174 7500 x 1 7,500 Amgen Inc. Com 031162100 876 14430 x 1 14,430 Amr Corp PFD QTR 30/3001765866 357 9887 x 1 9,887 AOL Time Warner Inc Com 00184A105 4,414 83288 x 1 83,288 Applied Materials Inc Com 038222105 241 4900 x 1 4,900 AT & T Corp. Com 001957109 1,745 79298 x 1 79,298 AT&T Corp - Liberty Media - A Com 001957208 1,477 84472 x 1 84,472 AT&T Corp Wireless Tracking Com 001957406 1,597 97686 x 1 97,686 Bank of America Corp. Com 060505104 224 3726 x 1 3,726 Bank One Corp. Com 06423A103 175 4900 x 1 4,900 Bausch & Lomb Inc. Com 071707103 1,015 27994 x 1 27,994 Bedford Property Investors Com 076446301 1,644 78450 x 1 78,450 BellSouth Corp. Com 079860102 239 5932 x 1 5,932 Beverly Enterprises Inc. New Com 087851309 562 52500 x 1 52,500 Biogen Inc. Com 090597105 1,305 24000 x 1 24,000 Black & Decker Corp. Com 091797100 2,245 56900 x 1 56,900 Block H & R Inc. Com 093671105 1,211 18760 x 1 18,760 Boeing Co. Com 097023105 673 12101 x 1 12,101 Boston Scientific Corp. Com 101137107 236 13900 x 1 13,900 BRE Properties Inc. Cl A Com 05564E106 1,779 58700 x 1 58,700 Bristol-Myers Squibb Co. Com 110122108 3,415 65297 x 1 65,297 Camden Property Trust Com 133131102 2,167 59050 x 1 59,050 Capitol Federal Financial Com 14057C106 191 9900 x 1 9,900 Caterpillar Inc. Com 149123101 608 12150 x 1 12,150 Champion Enterprises Inc. Com 158496109 142 12500 x 1 12,500 Chevron Corp. Com 166751107 299 3307 x 1 3,307 Chubb Corp. Com 171232101 155 2000 x 1 2,000 Cisco Systems Inc. Com 17275R102 513 28188 x 1 28,188 Citigroup Inc PFD QTR 30/3172967507 5,724 108331 x 1 108,331 Claire's Stores, Inc. Com 179584107 492 25400 x 1 25,400 Clorox Co. Com 189054109 344 10154 x 1 10,154 Coach Inc Com 189754104 458 12037 x 1 12,037 Coca Cola Co. Com 191216100 396 8805 x 1 8,805 Colonial Properties Trust Com 195872106 333 10800 x 1 10,800 Compaq Computer Corp. Com 204493100 577 37680 x 1 37,680 Conagra Inc. Com 205887102 834 42085 x 1 42,085 Conoco Inc Com 208251405 337 11652 x 1 11,652 Constellation Energy Group Com 210371100 230 5400 x 1 5,400 Cornerstone Bancorp Inc. Com 218925105 142 9033 x 1 9,033 CVS Corp Com 126650100 436 11300 x 1 11,300 DaimlerChrysler A.G. ADR D1668R123 1,635 35467 x 1 35,467 Dell Computer Corp. Com 247025109 871 33300 x 1 33,300 Dial Corp. Com 25247D101 241 16900 x 1 16,900 Dow Jones & Co Com 260561105 920 15400 x 1 15,400 DPL Inc. Com 233293109 226 7796 x 1 7,796 Du Pont (EI) de Nemours and CoCom 263534109 1,350 27987 x 1 27,987 Duke Energy Corp. Com 264399106 198 5088 x 1 5,088 Eastman Kodak Co. Com 277461109 1,072 22959 x 1 22,959 EMC Corp. Com 268648102 1,040 35560 x 1 35,560 Equity Residential Properties Comst29476L107 1,680 29704 x 1 29,704 Exelon Corp Com 30161N101 304 4746 x 1 4,746 Exxon Mobil Corp. Com 30231G102 1,630 18663 x 1 18,663 Fannie Mae Com 313586109 12,529 147348 x 1 147,348 Federal Realty Investment TrusCom 313747206 874 42150 x 1 42,150 Federal Signal Corp. Com 313855108 534 22732 x 1 22,732 First Tennessee Com 337162101 1,454 41900 x 1 41,900 First Union Corp. Com 337358105 1,877 53728 x 1 53,728 Fleet Boston Financial Corp. Com 339030108 1,833 46467 x 1 46,467 Ford Motor Co. Com 345370860 680 27691 x 1 27,691 FPL Group Inc. Com 302571104 1,704 28298 x 1 28,298 Fulton Financial Corp. Com 360271100 437 21547 x 1 21,547 Gateway Inc. Com 367626108 946 57500 x 1 57,500 General Dynamics Corp. Com 369550108 624 8014 x 1 8,014 General Electric Co. Com 369604103 10,481 214997 x 1 214,997 Gillette Co. Com 375766102 1,712 59050 x 1 59,050 Glaxosmithkline PLC - Spons ADADR 37733W105 367 6530 x 1 6,530 Goodyear Tire & Rubber Co Com 382550101 464 16559 x 1 16,559 H J Heinz Co Com 423074103 434 10624 x 1 10,624 Harley Davidson, Inc. Com 412822108 519 11030 x 1 11,030 Hartford Financial Services GrCom I416515104 498 7278 x 1 7,278 Health Care Property InvestorsComc.421915109 3,111 90448 x 1 90,448 Health Care REIT, Inc. Com 42217K106 310 13050 x 1 13,050 Home Depot Inc. Com 437076102 866 18604 x 1 18,604 Honeywell International Inc. Com 438516106 2,714 77575 x 1 77,575 Hospitality Properties Trust Com 44106M102 412 14450 x 1 14,450 Ingersoll-Rand Co. Com 456866102 973 23605 x 1 23,605 Inkeepers USA Trust Com 4576J0104 537 44800 x 1 44,800 Inkine Pharmaceutical Co Inc. Com 457214104 206 42000 x 1 42,000 Intel Corp. Com 458140100 7,159 244743 x 1 244,743 International Business MachineComor459200101 2,921 25849 x 1 25,849 J P Morgan Chase & Co Com 46625H100 3,646 81749 x 1 81,749 Jefferson-Pilot Corp. Com 475070108 184 3802 x 1 3,802 Johnson & Johnson Com 478160104 1,726 34527 x 1 34,527 Kellogg Co Com 487836108 177 6100 x 1 6,100 Keycorp New Com 493267108 1,011 38800 x 1 38,800 Keyspan Corporation Com 49337W100 388 10648 x 1 10,648 Kimberly-Clark Corp. Com 494368103 2,745 49102 x 1 49,102 Kinder Morgan Energy Partners Com 494550106 960 13961 x 1 13,961 Kramont Realty Trust Com Sh BeComnt50075Q107 174 12700 x 1 12,700 Lilly (Eli) & Co. Com 532457108 2,309 31200 x 1 31,200 LSI Logic Corp. Com 502161102 1,542 82000 x 1 82,000 Lubrizol Corp. Com 549271104 537 17300 x 1 17,300 Lucent Technologies Inc. Com GS 549463107 504 81236 x 1 81,236 Macromedia Inc. Com 556100105 218 12100 x 1 12,100 Magna International Inc. ADR 559222401 186 3019 x 1 3,019 Manor Care Inc Com 564055101 254 8000 x 1 8,000 Marsh & Mclennan Cos Inc Com 571748102 1,384 13700 x 1 13,700 May Department Stores Com 577778103 1,900 55471 x 1 55,471 MBIA, Inc. Com 55262C100 2,307 40695 x 1 40,695 McDonalds Corp. Com 580135101 1,395 51550 x 1 51,550 McKesson HBOC Inc. Com 58155Q103 174 4700 x 1 4,700 Mellon Finl Corp Com 58551A108 6,240 139255 x 1 139,255 Merck & Co., Inc. Com 589331107 1,748 27345 x 1 27,345 Merrill Lynch & Co., Inc. Com 590188108 1,087 18340 x 1 18,340 Microsoft Corp. Com 594918104 4,213 57711 x 1 57,711 Minnesota Mining & ManufacturiComCo604059105 155 1360 x 1 1,360 Mirant Corp Com 604675108 180 5221 x 1 5,221 Motorola Inc. Com 620076109 1,439 86878 x 1 86,878 Nationwide Health Properties ICom 638620104 234 11600 x 1 11,600 Novartis AG-ADR ADR 66987V109 506 14000 x 1 14,000 Oracle Corp Com 68389X105 1,691 89000 x 1 89,000 Owens & Minor Inc. New Com 690732102 302 15900 x 1 15,900 Pall Corp. Com 696429307 393 16700 x 1 16,700 Parker Hannifin Corp. Com 701094104 221 5200 x 1 5,200 Paychex Inc. Com 704326107 229 5717 x 1 5,717 Pentair Inc. Com 709631105 1,095 32400 x 1 32,400 Pep Boys Manny Moe & Jack Com 713278109 219 19508 x 1 19,508 PepsiCo, Inc. Com 713448108 2,863 64777 x 1 64,777 Pfizer Inc. Com 717081103 4,226 105530 x 1 105,530 Pharmacopeia Inc. Com 71713B104 1,452 60500 x 1 60,500 Pitney-Bowes, Inc. Com 724479100 2,338 55500 x 1 55,500 PNC Financial Services Group Com 693475105 2,051 31170 x 1 31,170 Procter & Gamble Co. Com 742718109 1,602 25115 x 1 25,115 Progress Energy Inc Com 743263105 294 6550 x 1 6,550 Public Service Enterprise GrouCom 744573106 592 12107 x 1 12,107 Qwest Communications InternatiComl,749121109 564 17712 x 1 17,712 R.H. Donnelly Corp. Com 74955W307 490 15300 x 1 15,300 Rayonier Inc. Com 754907103 228 4900 x 1 4,900 RFS Hotel Investors Inc. Com 74955J108 617 39100 x 1 39,100 Royal Dutch Petroleum Co ADR ADR 780257804 746 12796 x 1 12,796 Sara Lee Corp. Com 803111103 1,656 87413 x 1 87,413 SBC Communications Inc. Com 78387G103 287 7173 x 1 7,173 Schering-Plough Corp. Com 806605101 194 5353 x 1 5,353 Schlumberger Limited Com 806857108 2,014 38255 x 1 38,255 Schwab Charles Corp. Com 808513105 1,430 90804 x 1 90,804 Servicemaster Co Com 81760N109 463 38624 x 1 38,624 Simon Property Group Inc Com 828806109 1,262 42100 x 1 42,100 Southern Co Com 842587107 306 13148 x 1 13,148 Sprint Corp. (FON Group) Com 852061100 318 14900 x 1 14,900 SPX Corp Com 784635104 220 1761 x 1 1,761 Summit Properties Inc. Com 866239106 1,835 68400 x 1 68,400 Sun Microsystems Inc. Com 866810104 920 58540 x 1 58,540 T R W Inc. Com 872649108 1,439 35100 x 1 35,100 Tasty Baking Co. Com 876553306 284 16125 x 1 16,125 Tellabs Inc. Com 879664100 1,017 52500 x 1 52,500 Texaco Inc. Com 881694103 2,625 39375 x 1 39,375 The Walt Disney Co. Com 254687106 2,474 85649 x 1 85,649 Toys 'R' Us Inc. Com 892335100 669 27031 x 1 27,031 Tyco International Ltd Com 902124106 1,510 27704 x 1 27,704 Unisys Corp. Com 909214108 309 21034 x 1 21,034 United Dominion Realty Trust Com 910197102 1,009 70300 x 1 70,300 United Parcel Service Inc Com 911312106 1,364 23603 x 1 23,603 Veritas Software Corp Com 923436109 894 13439 x 1 13,439 Verizon Communications Com 92343V104 5,765 107748 x 1 107,748 Viacom Inc Class B Com 925524308 537 10372 x 1 10,372 Vivendi Universal ADR ADR 92851S204 958 16520 x 1 16,520 W P S Resources Corp. Com 92931B106 133 3780 x 1 3,780 Wal-Mart Stores Inc. Com 931142103 2,433 49854 x 1 49,854 Washington Mutual Inc. Com 939322103 1,419 37777 x 1 37,777 Waste Management Inc. Com 94106L109 422 13700 x 1 13,700 Weingarten Realty Investors Com 948741103 2,002 45650 x 1 45,650 WorldCom, Inc. - MCI Group Com 98157D304 18 1145 x 1 1,145 WorldCom, Inc. - WorldCom GrouCom 98157D106 1,415 99634 x 1 99,634 Yardville National Bancorp N JCom 985021104 192 13725 x 1 13,725 FORM 13F Name of Reporting Manager: Legg Mason, Inc. (On Behalf of Barrett Associates, Inc. For Positions Held As Of 6/30/01) (1) (2) (3) (4) (5) (6) (7) (8) Name of Issuer Title of Class CUSIP FMV Shares Inv Disc Other Voting Authority (Shs.) (x1000) (a)(b)(c) Mgr (a) (b) (c) --------------------------------------------------------------------------------------------------------------------------------- AOL Time Warner, Inc. Com 00184A105 32426 611803 x 2 134277 477526 Abbott Laboratories Com 002824100 7493 156106 x 2 32000 124106 American Express Co. Com 025816109 388 10000 x 2 6300 3700 American Home Products Com 026609107 4932 83952 x 2 900 83052 American International Group Com 026874107 38500 452889 x 2 98968 353921 Amgen, Inc. Com 031162100 2595 42759 x 2 21434 21325 Anadarko Petroleum Com 032511107 19210 356333 x 2 117700 238633 Armstrong World Industries, InCom 042476101 66 18634 x 2 18634 Automatic Data Processing Com 053015103 29713 597841 x 2 114495 483346 BNY Hamilton Funds Equity IncoCom 05561M408 153 10867 x 2 10867 BP PLC Com 055622104 19235 385858 x 2 111092 274766 Bank of New York, Inc. Com 064057102 1814 37790 x 2 12590 25200 BankAmerica Corp. Com 060505104 413 6885 x 2 1051 5834 Bellsouth Corp. Com 079860102 1273 31608 x 2 600 31008 Berkshire Hathaway, Inc. Cl B Com 084670207 531 231 x 2 31 200 Biogen, Inc. Com 090597105 426 7835 x 2 300 7535 Bristol-Myers Squibb Com 110122108 4819 92135 x 2 1046 91089 CVS Corp. Com 126650100 7095 183800 x 2 64700 119100 Carnival Corp. Com 143658102 1087 35400 x 2 4400 31000 Charles Schwab Corp. Com 808513105 7424 471345 x 2 200762 270583 Chevron Corp. Com 166751107 1904 21042 x 2 700 20342 Chubb Corp. Com 171232101 705 9100 x 2 9100 Cisco Systems Com 17275R102 39736 2183275 x 2 499063 1684212 Citigroup Com 172967101 5669 107286 x 2 24321 82965 Coca Cola Co. Com 191216100 1953 43409 x 2 17509 25900 Colgate-Palmolive Co. Com 194162103 23836 404070 x 2 114350 289720 Computer Associates InternatioCom 204912109 4464 123994 x 2 66110 57884 Computer Sciences Corp. Com 205363104 21084 609370 x 2 174330 435040 Corning, Inc. Com 219350105 333 19900 x 2 19900 Developers Diversified Realty Com 251591103 1934 105200 x 2 25000 80200 DuPont de Nemours Com 263534109 1770 36692 x 2 600 36092 EMC Corp. Com 268648102 15235 520851 x 2 140176 380675 East River Ventures I LP Com 000000000 176 107028 x 2 107028 Eli Lilly & Co. Com 532457108 11609 156875 x 2 40500 116375 Emerson Electric Co. Com 291011104 968 16000 x 2 600 15400 Enron Corp. Com 293561106 397 8091 x 2 8091 Equifax, Inc. Com 294429105 4244 115700 x 2 40800 74900 Equity Residential Properties Com 29476L107 18782 332125 x 2 73500 258625 Exxon Mobil Corp. Com 30231G102 40508 463738 x 2 41029 422709 Fannie Mae Com 313586109 8908 104760 x 2 24540 80220 First Commonwealth Financial Com 319829107 150 10000 x 2 10000 First Data Corp. Com 319963104 28207 438344 x 2 147000 291344 FleetBoston Financial Corp. Com 338915101 288 7305 x 2 7305 Franklin Resources, Inc. Com 354613101 462 10093 x 2 10093 Freddie Mac Com 313400301 401 5900 x 2 4600 1300 General Electric Co. Com 369604103 35959 737628 x 2 150712 586916 Gillette Co. Com 375766102 1959 67573 x 2 31760 35813 Goldman Sachs Group Com 38141G104 6482 75550 x 2 36050 39500 Halliburton Co. Com 406216101 6286 176568 x 2 72200 104368 Healthsouth Corp. Com 421924101 263 16464 x 2 16464 Heinz Company Com 423074103 307 7500 x 2 7500 Hewlett-Packard Co. Com 428236103 1473 51512 x 2 12800 38712 Home Depot, Inc. Com 437076102 3361 72197 x 2 33950 38247 Honeywell Int'l, Inc. Com 438516106 11218 320605 x 2 95650 224955 Household International Com 441815107 1587 23800 x 2 23800 Illinois Took Works, Inc. Com 452308109 203 3200 x 2 3200 Intel Corp. Com 458140100 56148 1919576 x 2 392950 1526626 International Business MachineCom 459200101 4633 41001 x 2 6966 34035 JP Morgan Chase & Co. Com 46625H100 1496 33542 x 2 4800 28742 Johnson & Johnson Com 478160104 16145 322900 x 2 80760 242140 Kimberly-Clark Corp. Com 494368103 250 4465 x 2 2100 2365 Liberty Media Group Com 001957208 11678 667700 x 2 278350 389350 Marsh & Mclennan Co. Com 571748102 629 6225 x 2 100 6125 McDonalds Corp. Com 580135101 993 36700 x 2 11900 24800 Medtronic, Inc. Com 585055106 38024 826437 x 2 194420 632017 Mellon Financial Corp. Com 58551A108 224 5000 x 2 1800 3200 Merck & Co., Inc. Com 589331107 13044 204104 x 2 28069 176035 Microsoft Corp. Com 594918104 64102 878109 x 2 173732 704377 Minnesota Mining & ManufacturiCom 604059105 1080 9462 x 2 3022 6440 National City Corp. Com 635405103 217 7056 x 2 7056 Network Appliance, Inc. Com 64120L104 5120 373725 x 2 98635 275090 Nokia Corp. Spons ADR Com 654902204 9397 423473 x 2 100930 322543 Nortel Networks Corp. Com 656568102 372 41200 x 2 7400 33800 Oracle Corp. Com 68389X105 21038 1107256 x 2 365815 741441 PPG Industries, Inc. Com 693506107 280 5332 x 2 5332 Paychex, Inc. Com 704326107 5502 137550 x 2 37800 99750 Peapack-Gladstone Financial CoCom 704692102 1272 33693 x 2 33693 Peoplesoft, Inc. Com 712713106 1497 30400 x 2 8000 22400 PepsiCo Com 713448108 1663 37619 x 2 5950 31669 Pfizer, Inc. Com 717081103 46380 1158059 x 2 306087 851972 Pharmacia Corp. Com 71713U102 345 7509 x 2 1011 6498 Philip Morris Cos. Com 718154107 1284 25300 x 2 10000 15300 Procter & Gamble Co. Com 742718109 1244 19500 x 2 1100 18400 Providian Financial Corp. (NewCom 74406A102 1199 20250 x 2 15750 4500 Quaker Oats Co. Com 747402105 730 8000 x 2 8000 Qualcomm, Inc. Com 747525103 246 4200 x 2 1400 2800 Reuters Group PLC ADR Com 76132m102 246 3160 x 2 258 2902 Royal Dutch Pete Co NY Reg GLDCom 780257804 963 16530 x 2 1875 14655 SBC Communications, Inc. Com 78387G103 1825 45551 x 2 3215 42336 ST Microelectronics NV Com 861012102 224 6700 x 2 6700 Sanmina Corp. Com 800907107 2830 120900 x 2 37450 83450 Schering-Plough Corp. Com 806605101 14577 402226 x 2 132660 269566 Schlumberger Ltd. Com 806857108 1045 19850 x 2 950 18900 Seligman Common Stock Fund Com 816332100 501 40000 x 2 40000 Staples, Inc. Com 855030102 273 17083 x 2 17083 State Street Corp. Com 857477103 44109 891280 x 2 194600 696680 Stryker Corp. Com 863667101 483 8800 x 2 4800 4000 Sun Microsystems, Inc. Com 866810104 5579 354900 x 2 120800 234100 Symbol Technologies Com 871508107 5784 260550 x 2 93000 167550 Target Corp. Com 87612E106 10345 299001 x 2 125720 173281 Texaco, Inc. Com 881694103 243 3638 x 2 3638 Unilever N.V. Com 904784709 713 11961 x 2 11961 United Parcel Service CL B Com 911312106 2500 43257 x 2 27275 15982 United Technologies Corp. Com 913017109 474 6473 x 2 2550 3923 Verizon Com 92343v104 3450 64485 x 2 8891 55594 Viacom, Inc. Cl B Com 925524308 287 5541 x 2 5237 304 Vodafone AirTouch PLC ADS Com 92857W100 14062 629184 x 2 253250 375934 Wal-Mart Stores Com 931142103 819 16774 x 2 3300 13474 Walt Disney Co. Com 254687106 7544 261126 x 2 43978 217148 Wells Fargo & Co. Com 949746101 738 15895 x 2 6500 9395 Westwood One, Inc. Com 961815107 368 10000 x 2 10000 Weyerhaeuser Co. Com 962166104 1249 22708 x 2 22708 Yahoo, Inc. Com 984332106 249 12475 x 2 2300 10175 Zions Bancorp Com 989701107 19668 333350 x 2 94950 238400 FORM 13F Name of Reporting Manager: Legg Mason, Inc. (On Behalf of Bartlett & Co. For Positions Held As Of 6/30/01) (1) (2) (3) (4) (5) (6) (7) (8) Name of Issuer Class CUSIP FMV Shares Inv.Disc Other Voting Authority (Shs.) (x1000) (a)(b)(c) Mgr (a) (b) (c) --------------------------------------------------------------------------------------------------------------------------------- 3 Cities Fm Inc. Cl B Com 9990269A7 0 975 x 3 975 3 Com Corp. Com 885535104 1 225 x 3 225 Abbott Laboratories Com 002824100 14,017 291,955 x 3 21,100 270,855 ACCEL International CorCom 004299103 7 93,620 x 3 93,620 Aceto Corp. Com 004446100 25 2,500 x 3 2,500 ADC Telecommunications Com. 000886101 39 5,852 x 3 5,852 Adobe Systems Inc. Com 00724F101 433 9,205 x 3 9,205 Advanced Micro Devices Com. 007903107 1,011 35,000 x 3 35,000 Aegon NV - ORD ADR 007924103 198 6,968 x 3 6,968 Aetna Inc. Com 00817Y108 5 200 x 3 200 AFFLAC INCORPORATED Com 001055102 104 3,300 x 3 3,300 Affymetrix Inc. Com 00826T108 181 8,210 x 3 8,210 Agilent Technologies InCom 00846U101 3,003 92,411 x 3 92,411 AKZO Nobel NV Spons ADRADR 010199305 248 5,826 x 3 5,826 Alabama National BanCorComation 010317105 279 8,603 x 3 8,603 Alberta Energy Co Ltd Com 012873105 173 4,200 x 3 4,200 Albertson's, Inc. Com 013104104 139 4,625 x 3 4,625 Alcatel Alsthom SponsorADRADR 013904305 1,734 83,621 x 3 12,000 71,621 Alcoa Inc Pfd 013817200 30 500 x 3 500 Alcoa Inc. Com 013817101 72 1,840 x 3 1,840 Allegheny Energy Inc. Com 017361106 361 7,475 x 3 7,475 Allen Telecom Inc. Com 018091108 15 1,000 x 3 1,000 Allergan Inc. Com 018490102 325 3,800 x 3 3,800 Allete, Inc. Com 018522102 40 1,790 x 3 1,790 Alliance Financial CorpCom 019205103 21 1,100 x 3 1,100 Alliant Techsystem Com 018804104 1 15 x 3 15 Allied Irish Banks Plc ADR 019228402 890 39,550 x 3 39,550 Allstate Financing I 7.Pfd Cum 020013207 25 1,000 x 3 1,000 Alltel Corp. Com 020039103 332 5,422 x 3 5,422 Amazon.com, Inc. Com 023135106 69 4,845 x 3 4,845 Amcor Limited ADR ADR 02341R302 213 15,500 x 3 15,500 Ameren Corp. Com 023608102 37 866 x 3 866 America Movil S. A. de ADRV. 02364W105 119 5,724 x 3 5,724 American Electric PowerCom 025537101 660 14,301 x 3 14,301 American Express CompanCom 025816109 1,348 34,731 x 3 34,731 American General Corp. Com 026351106 615 13,240 x 3 13,240 American Greetings CorpComlass A 026375105 3 300 x 3 300 American Home Products Comp. 026609107 7,311 125,110 x 3 125,110 American International Comup, Inc.026874107 1,443 16,779 x 3 16,779 American Tower System CCom Cl A 029912201 203 9,800 x 3 9,800 Ames Department Stores Com. 030789507 4 3,050 x 3 3,050 Amgen Inc. Com 031162100 1,298 21,395 x 3 21,395 Ampal Amern Israel CorpPfd 032015307 40 2,228 x 3 2,228 AMR Corp. Com 001765106 145 4,000 x 3 4,000 AMREP Corp. Com 032159105 0 54 x 3 54 Amylin Pharmaceuticals Com. 032346108 14 1,200 x 3 1,200 Anadarko Pete Corp. Com 032511107 1,802 33,349 x 3 33,349 Analog Devices Inc. Com 032654105 199 4,598 x 3 4,598 Angelica Corp. Com 034663104 19 1,750 x 3 1,750 Anglo American PLC ADR 03485P102 3 182 x 3 182 Anglogold Ltd (New) ADR 035128206 25 1,400 x 3 1,400 Anheuser-Busch CompanieComnc. 035229103 24,193 587,199 x 3 17,600 569,599 Anixter International ICom 035290105 68 2,200 x 3 2,200 Antex Corp. Com 036730109 0 2,000 x 3 2,000 AOL Time Warner Inc. Com 00184A105 31,253 589,677 x 3 19,950 569,727 Apache Corp. Com 037411105 2,000 39,400 x 3 39,400 Apartment Investment & Com Co Clas03748R101 40 829 x 3 829 Apple Computer Com 037833100 351 15,104 x 3 15,104 Applera Corp-Celera GenComcs 038020202 87 2,202 x 3 2,202 Applera Corporation-AppComd Biosys038020103 105 3,917 x 3 3,917 Applied Innovation Inc.Com 037916103 3 400 x 3 400 Applied Materials Inc. Com 038222105 5,412 110,225 x 3 110,225 Applied Micro Circuits Comp 03822W109 1 50 x 3 50 APT Satellite Holdings ADR ADR 00203R105 140 36,400 x 3 36,400 APW Ltd. 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Com 045487105 2,987 83,000 x 4 83,000 0 0 ASTORIA FINL CORP Com 046265104 34,777 632,300 x 4 611,800 0 20,500 AT&T Com 001957109 14,822 673,705 x 4 643,440 0 30,265 AT&T CORP - LIBERTY MEDIA A SHCom 001957208 4,178 238,900 x 4 229,600 0 9,300 ATMEL CORP Com 049513104 309 22,900 x 4 10,400 0 12,500 ATMOS ENERGY CORP COM Com 049560105 413 16,900 x 4 16,900 0 0 AUTODESK INC COM NASD INDL Com 052769106 27,119 727,040 x 4 695,246 0 31,794 AUTOMATIC DATA PROCESSING INC ComM053015103 3,250 65,400 x 4 62,300 0 3,100 AUTOZONE INC Com 053332102 10,984 292,900 x 4 277,100 0 15,800 AVANT CORP COM Com 053487104 3,858 290,085 x 4 262,685 0 27,400 AVID TECHNOLOGY INC Com 05367P100 465 29,600 x 4 29,600 0 0 AZTAR CORP COM Com 054802103 4,581 378,600 x 4 361,300 0 17,300 BALL CORP COM Com 058498106 11,086 233,100 x 4 223,500 0 9,600 BANK NEW YORK INC COM Com 064057102 8,342 173,800 x 4 166,400 0 7,400 BANK OF AMERICA CORP Com 060505104 25,424 423,517 x 4 400,665 0 22,852 BANK ONE CORP Com 06423A103 5,901 164,828 x 4 157,870 0 6,958 BARR LABORATORIES INC Com 068306109 30,638 442,750 x 4 426,450 0 16,300 BARRA INC Com 068313105 538 13,750 x 4 8,300 0 5,450 BAXTER INTL INC COM Com 071813109 7,989 158,200 x 4 152,000 0 6,200 BCE INC COM Com 05534B109 5,741 218,300 x 4 211,200 0 7,100 BEA SYSTEMS INC Com 073325102 3,633 118,300 x 4 115,900 0 2,400 BEAZER HOMES USA INC Com 07556Q105 1,035 16,300 x 4 16,200 0 100 BECKMAN COULTER INC Com 075811109 5,663 138,800 x 4 138,800 0 0 BECTON DICKINSON & CO COM Com 075887109 1,961 54,800 x 4 54,800 0 0 BEDFORD PPTY INVS INC Com 076446301 7,268 346,900 x 4 324,700 0 22,200 BELLSOUTH CORP COM Com 079860102 12,182 302,500 x 4 288,000 0 14,500 BERGEN BRUNSWIG CORP CL A Com 083739102 22,555 1,173,500 x 4 1,105,400 0 68,100 BERKLEY W R CORP COM Com 084423102 460 11,100 x 4 9,500 0 1,600 BIOGEN, N.V. Com 090597105 3,642 67,000 x 4 61,000 0 6,000 BJ SVCS CO COM Com 055482103 447 15,400 x 4 7,600 0 7,800 BJS WHOLESALE CLUB INC CO Com 05548J106 229 4,300 x 4 3,400 0 900 BLACKROCK INC Com 09247X101 5,733 167,200 x 4 142,000 0 25,200 BLOCK (H&R) Com 093671105 5,016 77,700 x 4 73,500 0 4,200 BLOCKBUSTER INC CL A Com 093679108 6,776 371,300 x 4 356,400 0 14,900 BOB EVANS FARMS INC COM NASDComD096761101 472 26,200 x 4 13,000 0 13,200 BOEING CO COM Com 097023105 17,030 306,300 x 4 293,700 0 12,600 BORDERS GROUP INC COM Com 099709107 2,881 128,600 x 4 106,200 0 22,400 BORLAND SOFTWARE CORPORATION Com 099849101 4,105 263,100 x 4 215,800 0 47,300 BOSTON COMMUNICATIONS GROUP Com 100582105 86 6,000 x 4 6,000 0 0 BRINKER INTL INC COM Com 109641100 8,728 337,650 x 4 324,750 0 12,900 BRISTOL MYERS SQUIBB CO COM Com 110122108 24,487 468,200 x 4 446,000 0 22,200 BROWN SHOE COMPANY INC Com 115736100 1,254 69,500 x 4 61,900 0 7,600 BURLINGTON COAT FACTORY COM Com 121579106 3,284 164,200 x 4 152,800 0 11,400 CABLETRON SYS INC COM Com 126920107 3,261 142,700 x 4 139,000 0 3,700 CABOT CORP COM Com 127055101 15,780 438,100 x 4 413,000 0 25,100 CABOT INDUSTRIAL TRUST Com 127072106 46 2,200 x 4 600 0 1,600 CACI INTL INC -CL A Com 127190304 4,061 86,400 x 4 72,800 0 13,600 CADENCE DESIGN SYSTEM INC COMComA127387108 1,179 63,300 x 4 60,600 0 2,700 CANADIAN NATURAL RESOURCES LTDCom 136385101 279 9,400 x 4 9,400 0 0 CANADIAN PACIFIC LTD Com 135923100 22,250 574,200 x 4 538,000 0 36,200 CARDINAL HEALTH INC COM NASD ComL14149Y108 7,062 102,350 x 4 97,650 0 4,700 CATELLUS DEVELOPMENT CORP COM Com 149111106 5,739 328,900 x 4 319,100 0 9,800 CENTEX CORP COM Com 152312104 839 20,600 x 4 20,600 0 0 CEPHALON INC Com 156708109 20,847 295,700 x 4 280,400 0 15,300 CERNER CORP COM NASD INDL Com 156782104 97 2,300 x 4 0 0 2,300 CH ENERGY GROUP INC Com 12541M102 272 6,200 x 4 6,200 0 0 CHEAP TICKETS INC Com 162672109 121 8,000 x 4 8,000 0 0 CHECK POINT SOFTWARE TECHN Com M22465104 8,117 160,500 x 4 160,500 0 0 CHECKPOINT SYS INC COM NASD ComL162825103 389 22,100 x 4 15,900 0 6,200 CHELSEA PROPERTY GROUP INC Com 163421100 7,204 153,600 x 4 142,100 0 11,500 CHEMED CORP COM Com 163596109 1,395 38,600 x 4 37,100 0 1,500 CHEMFIRST INC COM Com 16361A106 901 34,400 x 4 34,400 0 0 CHEVRON CORPORATION COM Com 166751107 14,643 161,800 x 4 154,400 0 7,400 CHICOS FAS INC Com 168615102 179 6,000 x 4 6,000 0 0 CHIEFTAIN INTL INC Com 16867C101 1,035 36,000 x 4 27,700 0 8,300 CHINA MOBILE HK LTD - SP ADR ADR 16941M109 7,871 293,800 x 4 273,800 0 20,000 CHIRON CORP COM NASD INDL Com 170040109 102 2,000 x 4 0 0 2,000 CHRISTOPHER & BANKS CORPORATIOCom 171046105 7,321 224,575 x 4 206,100 0 18,475 CHURCH & DWIGHT INC COM NASDComD171340102 196 7,700 x 4 7,700 0 0 CIA BRAS DISTRB PAO ACUCAR ADRADRA20440T201 3,275 141,100 x 4 141,100 0 0 CINERGY CORP Com 172474108 43,156 1,234,800 x 4 1,191,600 0 43,200 CIRRUS LOGIC CORP COM NASD INDCom 172755100 4,892 212,400 x 4 196,900 0 15,500 CISCO SYSTEMS Com 17275R102 13,415 737,100 x 4 715,900 0 21,200 CITIGROUP INC Com 172967101 59,174 1,119,867 x 4 1,069,168 0 50,699 CITIZENS UTILS CO DEL CL B NCom 17453B101 4,380 363,500 x 4 363,500 0 0 CLEAR CHANNEL COMMUNICATIONS Com 184502102 3,505 55,900 x 4 53,100 0 2,800 COCA COLA CO COM Com 191216100 12,123 269,400 x 4 248,700 0 20,700 COGNIZANT TECH SOLUTIONS Com 192446102 2,415 56,900 x 4 48,300 0 8,600 COLGATE PALMOLIVE CO COM Com 194162103 6,052 102,600 x 4 96,900 0 5,700 COLONIAL PROPERTIES TRUST Com 195872106 2,359 76,600 x 4 76,600 0 0 COMCAST CORP CL A SPL NASD ICom 200300200 4,214 97,100 x 4 92,500 0 4,600 COMMERCE BANCSHARES INC COM ComD200525103 5,122 138,800 x 4 123,000 0 15,800 COMML NET LEASE RLTY INC Com 202218103 425 29,800 x 4 29,800 0 0 COMMUNITY FIRST BANK Com 203902101 4,444 193,200 x 4 186,300 0 6,900 COMP PARANAENSE ENERG (COPEL) ADR 20441B407 4,503 599,600 x 4 599,600 0 0 COMPAQ COMPUTER CORP COM Com 204493100 2,958 193,102 x 4 182,802 0 10,300 COMPASS BANCSHARES INC COM Com 20449H109 896 33,800 x 4 31,600 0 2,200 COMPUWARE CORP Com 205638109 16,884 1,207,000 x 4 1,187,000 0 20,000 COMSTOCK RESOURCES INC(CMRE) Com 205768203 5,322 519,200 x 4 494,400 0 24,800 CONMED CORP Com 207410101 240 9,200 x 4 8,600 0 600 CONSECO INC COM Com 208464107 8,584 619,800 x 4 612,300 0 7,500 CONSOLIDATED GRAPHICS INC COM Com 209341106 71 4,200 x 4 2,600 0 1,600 COOPER COS INC COM NEW Com 216648402 853 16,600 x 4 15,100 0 1,500 CORUS BANKSHARES INC Com 220873103 2,645 43,900 x 4 38,700 0 5,200 COSTCO COMPANIES COM Com 22160K105 325 7,900 x 4 7,900 0 0 COUNTRYWIDE CREDIT IND Com 222372104 34,070 742,600 x 4 714,100 0 28,500 COVENTRY HEALTH CARE Com 222862104 7,759 384,100 x 4 347,900 0 36,200 CRACKER BARREL OLD CTR Com 12489V106 447 26,400 x 4 5,000 0 21,400 CRANE CO COM Com 224399105 871 28,100 x 4 27,800 0 300 CRESCENT R E EQUITIES INC Com 225756105 18,342 746,500 x 4 722,300 0 24,200 CROSSMAN COMMUNITIES INC Com 22764E109 64 1,600 x 4 1,600 0 0 CRYPTOLOGIC INC Com 228906103 123 5,400 x 4 5,400 0 0 CSG SYSTEMS INTL INC COM Com 126349109 9,649 170,000 x 4 166,200 0 3,800 CVS CORP COM Com 126650100 93 2,400 x 4 2,200 0 200 CYTEC INDS INC COM Com 232820100 334 8,800 x 4 8,100 0 700 D R HORTON INC Com 23331A109 5,390 237,457 x 4 230,057 0 7,400 D&K HEALTHCARE RESOURCES Com 232861104 321 8,700 x 4 8,700 0 0 DAIMLERCHRYSLER AG Com D1668R123 2,914 63,200 x 4 59,000 0 4,200 DAL-TILE INTL INC COM Com 23426R108 2,808 151,400 x 4 139,100 0 12,300 DARDEN RESTAURANTS INC COM Com 237194105 18,269 654,800 x 4 641,900 0 12,900 DATASCOPE CORP COM NASD INDLCom 238113104 452 9,800 x 4 9,800 0 0 DAVITA INC Com 23918K108 5,194 255,500 x 4 219,600 0 35,900 DDI CORP Com 233162106 1,806 90,300 x 4 87,000 0 3,300 DEL MONTE FOODS COMPANY Com 24522P103 151 18,000 x 4 18,000 0 0 DELL COMPUTER CORP COM NASD INCom 247025109 12,104 462,900 x 4 444,200 0 18,700 DELUXE CORP COM Com 248019101 7,763 268,600 x 4 250,700 0 17,900 DENBURY RESOURCES INC Com 247916208 854 90,800 x 4 88,500 0 2,300 DIAGNOSTIC PRODS CORP COM Com 252450101 4,615 139,000 x 4 133,600 0 5,400 DIME BANCORP INC Com 25429Q102 16,841 452,100 x 4 408,200 0 43,900 DIME CMNTY BANCORP INC COM Com 253922108 753 22,200 x 4 22,200 0 0 DIRECT FOCUS INC Com 254931108 16,598 349,425 x 4 315,425 0 34,000 DISNEY WALT CO DEL COM Com 254687106 13,775 476,800 x 4 455,000 0 21,800 DOLLAR THRIFTY AUTOMOTIVE GP Com 256743105 398 16,600 x 4 16,600 0 0 DORAL FINL CORP COM Com 25811P100 3,787 110,400 x 4 106,000 0 4,400 DOW CHEM CO COM Com 260543103 1,756 52,800 x 4 48,600 0 4,200 DOWNEY SVGS & LN ASSN GTEE STCom 261018105 4,698 99,400 x 4 92,700 0 6,700 DRESS BARN INC COM NASD INDLCom 261570105 3,526 155,000 x 4 143,500 0 11,500 DRS TECHNOLOGIES INC Com 23330X100 604 26,300 x 4 26,300 0 0 DST SYSTEMS INC COM NASDQ Com 233326107 875 16,600 x 4 6,500 0 10,100 DTE ENERGY CO COM Com 233331107 316 6,800 x 4 0 0 6,800 DU PONT E I DE NEMOURS & CO CCom 263534109 4,572 94,775 x 4 89,875 0 4,900 DUKE ENERGY CORP COM Com 264399106 4,498 115,300 x 4 110,100 0 5,200 DUN & BRADSTREET CORP Com 26483E100 8,688 308,100 x 4 299,500 0 8,600 DUN & BRADSTREET CORP COM Com 615369105 1,045 31,200 x 4 31,200 0 0 E M C CORP MASS COM Com 268648102 12,095 413,500 x 4 394,700 0 18,800 EAGLE GEOPHYSICAL INC Com 269524104 0 1 x 4 1 0 0 EARTHGRAINS COMPANY Com 270319106 122 4,700 x 4 4,700 0 0 EDWARDS LIFESCIENCES CP Com 28176E108 4,233 160,600 x 4 142,900 0 17,700 EFUNDS CORP Com 28224R101 1,416 76,100 x 4 69,800 0 6,300 EL PASO CORPORATION Com 28336L109 2,753 52,400 x 4 49,900 0 2,500 EL PASO ELECTRIC CO COM NEW Com 283677854 3,140 196,400 x 4 182,000 0 14,400 ELECTRO SCIENTIFIC INDS COM ComD285229100 4,172 109,500 x 4 99,400 0 10,100 ELECTRONIC ARTS Com 285512109 423 7,300 x 4 3,300 0 4,000 ELECTRONIC DATA SYS NW COM Com 285661104 8,450 135,200 x 4 128,900 0 6,300 ELECTRONICS FOR IMAG Com 286082102 2,257 76,500 x 4 63,100 0 13,400 EMBARCADERO TECHNOLOGIES INC Com 290787100 433 19,400 x 4 15,100 0 4,300 EMCOR GROUP INC 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337932107 39 1,200 x 4 1,200 0 0 FISERV INC COM NASD INDL Com 337738108 12,291 192,100 x 4 177,400 0 14,700 FLEET BOSTON FINANCIAL CORP Com 339030108 10,154 257,400 x 4 242,000 0 15,400 FLEMING COS INC COM Com 339130106 10,253 287,190 x 4 268,590 0 18,600 FLORIDA ROCK INDS INC COM Com 341140101 1,210 25,800 x 4 24,000 0 1,800 FNB CORP/PA Com 302520101 243 8,225 x 4 8,225 0 0 FOMENTO ECONOMICO MEX-SP ADR ADS 344419106 13,969 326,300 x 4 326,300 0 0 FORD MTR CO DEL COM Com 345370860 5,908 240,665 x 4 232,195 0 8,470 FOREST OIL CORP COM NEW Com 346091705 2,548 91,000 x 4 85,800 0 5,200 FOSTER WHEELER CORP COM Com G36535105 385 42,500 x 4 42,500 0 0 FREDDIE MAC COM Com 313400301 11,446 168,200 x 4 160,200 0 8,000 FREEPORT-MCMORAN COPPER-B Com 35671D857 439 39,700 x 4 39,700 0 0 FRONTIER AIRLINES INC Com 359065109 263 21,450 x 4 6,450 0 15,000 GABLES RESIDENTIAL T Com 362418105 9,713 324,300 x 4 313,200 0 11,100 GALILEO INTERNATIONAL INC COM Com 363547100 9,198 283,000 x 4 254,400 0 28,600 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4 1,189,300 0 44,500 GREY WOLF INC COM Com 397888108 1,702 425,500 x 4 389,300 0 36,200 GROUP 1 AUTOMOTIVE INC Com 398905109 24 800 x 4 800 0 0 GRUPO TELEVISA SA DE CV SPN ADR RE40049J206 5,756 143,870 x 4 143,870 0 0 GTECH HOLDINGS CORP Com 400518106 5,603 157,800 x 4 133,800 0 24,000 GUITAR CENTER INC Com 402040109 85 4,000 x 4 4,000 0 0 HAEMONETICS CORPORATION Com 405024100 1,019 33,400 x 4 33,400 0 0 HANCOCK FABRICS INC COM Com 409900107 166 18,600 x 4 18,600 0 0 HANDLEMAN CO DEL COM Com 410252100 442 26,400 x 4 26,400 0 0 HARLAND JOHN H CO COM Com 412693103 3,889 166,900 x 4 158,500 0 8,400 HARRAHS ENTMT INC COM Com 413619107 5,482 155,300 x 4 140,300 0 15,000 HARRIS CORP DEL COM Com 413875105 11,957 439,450 x 4 414,750 0 24,700 HCA - THE HEALTHCARE COMPANY Com 404119109 6,087 134,700 x 4 127,100 0 7,600 HEALTH NET INC Com 42222G108 31,163 1,791,000 x 4 1,719,400 0 71,600 HEALTHSOUTH CORP COM Com 421924101 11,163 699,000 x 4 659,200 0 39,800 HELLER FINANCIAL INC Com 423328103 8,480 212,000 x 4 196,800 0 15,200 HELMERICH & PAYNE INC COM Com 423452101 20,233 656,500 x 4 611,100 0 45,400 HENRY SCHEIN INC Com 806407102 9,101 227,200 x 4 222,200 0 5,000 HEWLETT PACKARD CO COM Com 428236103 6,621 231,500 x 4 220,000 0 11,500 HIBERNIA CORP CL A Com 428656102 5,541 311,300 x 4 294,100 0 17,200 HILLENBRAND INDS INC COM Com 431573104 12,119 212,200 x 4 199,500 0 12,700 HNC SOFTWARE INC Com 40425P107 1,297 66,500 x 4 66,500 0 0 HOLLINGER INTL INC CL A Com 435569108 1,326 96,400 x 4 91,100 0 5,300 HOME DEPOT INC COM Com 437076102 12,592 270,500 x 4 258,900 0 11,600 HONEYWELL INTERNATIONAL INC Com 438516106 2,943 84,100 x 4 80,200 0 3,900 HOSPITALITY PPTYS TR COM SH BEComN44106M102 2,001 70,200 x 4 68,800 0 1,400 HOTEL RESERVATIONS NETWORK Com 441451101 316 6,800 x 4 5,700 0 1,100 HOUSEHOLD INTL INC COM Com 441815107 7,597 113,900 x 4 108,400 0 5,500 HOUSTON EXPL CO COM Com 442120101 7,403 236,900 x 4 215,900 0 21,000 HUGHES SUPPLY INC COM Com 444482103 478 20,200 x 4 20,200 0 0 HUMANA INC COM Com 444859102 6,628 672,900 x 4 633,300 0 39,600 ICOS CORPORATION Com 449295104 4,109 64,200 x 4 62,400 0 1,800 IDEC PHARMACEUTICALS CORP COM Com 449370105 399 5,900 x 4 2,700 0 3,200 IDEXX LABS INC Com 45168D104 30,932 989,818 x 4 907,618 0 82,200 IKON OFFICE SOLUTIONS Com 451713101 2,867 292,500 x 4 256,500 0 36,000 IMMUNOMEDICS INC COM NASD INCom 452907108 9,803 458,100 x 4 424,500 0 33,600 INDYMAC BANCORP INC Com 456607100 6,866 256,200 x 4 236,200 0 20,000 INFORMATION RES INC COM NASDComD456905108 229 22,100 x 4 22,100 0 0 INTEGRATED ELECTRICAL SERVICESCom 45811E103 538 55,200 x 4 55,200 0 0 INTEL CORP COM NASD INDL Com 458140100 37,063 1,267,100 x 4 1,206,600 0 60,500 INTER TEL INC COM NASD INDL Com 458372109 91 7,600 x 4 7,600 0 0 INTERNATIONAL BUSINESS MACHINEComO459200101 57,331 507,350 x 4 483,750 0 23,600 INTERNATIONAL RECTIFIER CORP Com 460254105 25,046 734,500 x 4 707,900 0 26,600 INTERNET SECURITY SYSTEMS INC Com 46060X107 2,934 60,420 x 4 56,720 0 3,700 INTERVOICE-BRITE INC COM NASD ComL461142101 172 15,600 x 4 15,600 0 0 INVACARE CORP COM NASD INDL Com 461203101 5,710 147,800 x 4 123,500 0 24,300 INVITROGEN CORP Com 46185R100 6,850 95,400 x 4 93,400 0 2,000 IRT PPTY CO COM Com 450058102 339 31,100 x 4 17,000 0 14,100 ITRON INC Com 465741106 1,368 72,100 x 4 71,200 0 900 ITT EDUCATIONAL SVCS INC Com 45068B109 3,798 84,400 x 4 72,500 0 11,900 ITT INDUSTRIES INC IND COM Com 450911102 3,624 81,900 x 4 68,100 0 13,800 IVAX CORP COM Com 465823102 461 11,825 x 4 0 0 11,825 IVEX PACKAGING CORP DEL COM Com 465855104 1,072 56,400 x 4 42,300 0 14,100 JD EDWARDS & CO Com 281667105 23 1,600 x 4 0 0 1,600 JOHN NUVEEN CO -CL Com 478035108 249 4,400 x 4 4,400 0 0 JOHNSON & JOHNSON COM Com 478160104 47,488 949,762 x 4 903,914 0 45,848 JOHNSON CTLS INC COM Com 478366107 1,399 19,300 x 4 18,200 0 1,100 JP MORGAN CHASE & CO Com 46625H100 15,234 341,580 x 4 327,160 0 14,420 JP REALTY INC Com 46624A106 3,330 135,900 x 4 124,300 0 11,600 KB HOME 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571 13,700 x 4 7,400 0 6,300 LEUCADIA NATL CORP COM Com 527288104 2,090 64,400 x 4 58,700 0 5,700 LEXMARK INTL GROUP INC CL A Com 529771107 4,526 67,300 x 4 63,300 0 4,000 LIBERTY FINANCIAL COS INC Com 530512102 1,941 59,800 x 4 56,900 0 2,900 LIGHTBRIDGE INC Com 532226107 737 38,000 x 4 30,400 0 7,600 LILLY ELI & CO COM Com 532457108 18,692 252,600 x 4 240,200 0 12,400 LINCARE HOLDINGS INC Com 532791100 18 600 x 4 0 0 600 LINCOLN ELECTRIC HLDGS INC Com 533900106 1,553 60,900 x 4 58,600 0 2,300 LINEAR TECHNOLOGY CORP COM NCom 535678106 2,198 49,700 x 4 49,400 0 300 LIZ CLAIBORNE INC COM NASD ICom 539320101 9,757 193,400 x 4 181,800 0 11,600 LOEWS CORP COM Com 540424108 33,310 517,000 x 4 508,500 0 8,500 LONE STAR STEAKHOUSE Com 542307103 768 59,100 x 4 52,300 0 6,800 LONGS DRUG STORES CORP COM Com 543162101 394 18,300 x 4 17,000 0 1,300 LOUIS DREYFUS NAT GAS CORP Com 546011107 512 14,700 x 4 9,900 0 4,800 LOWES COS INC COM Com 548661107 3,910 53,900 x 4 51,700 0 2,200 LUBRIZOL CORP COM Com 549271104 1,956 63,000 x 4 57,700 0 5,300 LUCENT TECHNOLOGIES INC COM Com 549463107 1,937 311,900 x 4 296,400 0 15,500 LUKOIL OIL CO SPONSORED ADR RUSSI677862104 9,483 198,600 x 4 198,600 0 0 M D C HLDGS INC COM Com 552676108 6,132 173,210 x 4 156,710 0 16,500 M&T BANK CORPORATION Com 55261F104 717 9,500 x 4 4,300 0 5,200 M/I SCHOTTENSTEIN HOMES INC Com 55305B101 553 14,000 x 4 14,000 0 0 MACERICH CO Com 554382101 114 4,600 x 4 4,600 0 0 MAGNA INTL INC CL A NASD INDL Com 559222401 473 7,700 x 4 7,200 0 500 MANDALAY RESORT GROUP Com 562567107 3,288 120,000 x 4 110,600 0 9,400 MANOR CARE INC Com 564055101 7,566 238,300 x 4 220,800 0 17,500 MANUFACTURED HOME CM Com 564682102 791 28,150 x 4 24,900 0 3,250 MAPINFO CORP Com 565105103 40 1,800 x 4 1,800 0 0 MARINE DRILLING COS COM PAR 0.Com 568240204 11,346 593,700 x 4 556,200 0 37,500 MARRIOTT INTERNATIONAL CL A Com 571903202 5,146 108,700 x 4 108,700 0 0 MARSH & MCLENNAN COS INC COM Com 571748102 2,868 28,400 x 4 27,000 0 1,400 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2,300 MERRILL LYNCH & CO INC COM Com 590188108 5,895 99,500 x 4 93,300 0 6,200 METHANEX CORP Com 59151K108 986 187,800 x 4 170,300 0 17,500 METHODE ELECTRONICS INC CL A ComD591520200 538 62,600 x 4 56,100 0 6,500 METLIFE INC Com 59156R108 14,647 472,800 x 4 452,400 0 20,400 MGIC INVT CORP WIS COM Com 552848103 24,908 342,900 x 4 336,800 0 6,100 MICRON TECHNOLOGY INC COM Com 595112103 2,544 61,900 x 4 57,600 0 4,300 MICROSEMI CORP COM NASD INDLCom 595137100 5,630 79,300 x 4 65,600 0 13,700 MICROSOFT CORP COM NASD INDLCom 594918104 72,193 988,950 x 4 947,350 0 41,600 MID ATLANTIC MEDICAL SVCS Com 59523C107 5,981 333,600 x 4 286,300 0 47,300 MILLENNIUM PHARMACEUTICALS INCComM599902103 463 13,000 x 4 5,900 0 7,100 MINNESOTA MNG & MFG CO COM Com 604059105 7,953 69,700 x 4 66,800 0 2,900 MITCHELL ENERGY & DEV CL A Com 606592202 16,385 351,620 x 4 331,200 0 20,420 MOHAWK INDUSTRIES IN Com 608190104 169 4,800 x 4 4,800 0 0 MORGAN ST DEAN WITTER & CO Com 617446448 13,102 203,990 x 4 195,290 0 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64110P107 1,028 34,250 x 4 28,850 0 5,400 NEUBERGER BERMAN INC Com 641234109 3,835 56,400 x 4 54,200 0 2,200 NEUROCRINE BIOSCIENCIES INC Com 64125C109 296 7,400 x 4 7,400 0 0 NEW ENGLAND BUSINESS SVC INC Com 643872104 113 5,900 x 4 5,900 0 0 NEWPORT CORP COM NASD INDL Com 651824104 101 3,800 x 4 0 0 3,800 NEWPORT NEWS SHIPBUILDING INC Com 652228107 12,973 211,800 x 4 185,200 0 26,600 NISOURCE INC Com 65473P105 11,085 405,600 x 4 400,600 0 5,000 NL INDS INC COM NEW Com 629156407 241 17,400 x 4 17,400 0 0 NOBLE DRILLING CORP COM NASDComD655042109 1,169 35,700 x 4 22,200 0 13,500 NORTEL NETWORKS CORP Com 656568102 2,608 288,800 x 4 274,100 0 14,700 NORTH FORK BANCORPORATION, INCCom 659424105 16,991 548,100 x 4 520,100 0 28,000 NORTHROP GRUMMAN CORP COM Com 666807102 1,025 12,800 x 4 12,800 0 0 NPS PHARMACEUTICALS INC Com 62936P103 595 14,800 x 4 14,800 0 0 NS GROUP INC Com 628916108 176 13,200 x 4 9,500 0 3,700 NVIDIA CORP Com 67066G104 22,826 246,100 x 4 240,800 0 5,300 NVR INC Com 62944T105 22,144 149,620 x 4 138,020 0 11,600 OCCIDENTAL PETE CORP DEL COM Com 674599105 973 36,600 x 4 36,600 0 0 OCULAR SCIENCES INC COM Com 675744106 917 36,100 x 4 36,100 0 0 OFFSHORE LOGISTICS INC COM NCom 676255102 5,305 279,200 x 4 267,700 0 11,500 OLD REPUBLIC INTL CORP Com 680223104 19,659 677,900 x 4 644,700 0 33,200 OMI CORP (NEW) Com Y6476W104 1,500 267,400 x 4 258,200 0 9,200 OMNICARE INC COM Com 681904108 4,042 200,100 x 4 164,500 0 35,600 OPTICNET INC Com 683868103 0 2,400 x 4 2,400 0 0 ORACLE CORP COM Com 68389X105 20,028 1,054,100 x 4 1,003,200 0 50,900 OSHKOSH B GOSH INC CL A NASDComD688222207 90 2,700 x 4 2,700 0 0 OVERSEAS SHIPHOLDING GROUP INCComO690368105 3,201 104,800 x 4 93,100 0 11,700 OWENS & MINOR INC NEW COM Com 690732102 4,079 214,700 x 4 206,300 0 8,400 OXFORD HEALTH PLANS Com 691471106 5,405 189,000 x 4 182,200 0 6,800 P P & L RES INC COM Com 69351T106 1,716 31,200 x 4 30,100 0 1,100 PACKAGING CORP OF AMERICA Com 695156109 151 9,700 x 4 7,800 0 1,900 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For Positions Held As Of 6/30/01) ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 Name of Issuer Class CUSIP FMV (x1000) Shares Inv Disc Other Voting Authority (Shs.) (a)(b)(c) Mgrs (a) (b) (c) ----------------------------------------------------------------------------------------------------------------------------------- Abbott Laboratories Com 002824100 8,313 173,193 x 5 173,193 Adelphia Communications Com 006848105 6,412 156,397 x 5 156,397 Alltel Com 020039103 13,634 222,564 x 5 222,564 American Express Com 025816109 3,833 98,800 x 5 98,800 American International Group Com 026874107 4,295 50,525 x 5 50,525 AT&T Com 001957109 426 19,400 x 5 19,400 Berkshire Hathaway Cl A Com 084670108 555 8 x 5 8 Berkshire Hathaway Cl B Com 084670207 2,143 932 x 5 932 BSB Bancorp Com 55652101 279 12,125 x 5 12,125 Charter One Com 160903100 13,008 407,805 x 5 407,805 Cisco Systems Com 17275R102 10,881 597,881 x 5 597,881 Coca Cola Com 191216100 225 5,000 x 5 5,000 Commonwealth Telephone Com 203349105 14,166 335,305 x 5 335,305 Computer Associates Com 204912109 18,195 505,436 x 5 505,436 Dell Computer Com 247025109 7,101 271,565 x 5 271,565 Disney Com 254687106 230 7,977 x 5 7,977 DuPont Com 263534109 4,439 92,025 x 5 92,025 EMC Corp Com 268648102 266 9,108 x 5 9,108 Exxon Mobil Com 30231G102 233 2,678 x 5 2,678 Fannie Mae Com 313586109 12,181 143,260 x 5 143,260 Federal Home Loan Com 313400301 12,211 179,443 x 5 179,443 First Bell Bancorp Com 319301107 297 20,400 x 5 20,400 First Union Com 337358105 15,304 438,036 x 5 438,036 Ford Motor Com 345370860 381 15,524 x 5 15,524 Gap Stores Com 364760108 694 23,937 x 5 23,937 Gateway Com 367626108 2,719 165,290 x 5 165,290 General Electric Com 369604103 6,269 128,603 x 5 128,603 Gillette Com 375766102 5,056 174,408 x 5 174,408 Hewlett Packard Com 428236103 858 30,000 x 5 30,000 Honeywell Com 438516106 5,386 153,951 x 5 153,951 IBM Com 459200101 14,206 125,719 x 5 125,719 Intel Com 458140100 897 30,691 x 5 30,691 Interpublic Group Com 460690100 897 30,591 x 5 30,591 Johnson & Johnson Com 478160104 13,056 261,130 x 5 261,130 KB Home Com 48666K109 1,116 37,000 x 5 37,000 Land's End Com 515086106 240 6,000 x 5 6,000 Leggett & Platt Com 524660107 7,499 340,400 x 5 340,400 M&T Bank Com 55261F104 23,206 307,373 x 5 307,373 MAF Bancorp Com 55261R108 11,415 371,827 x 5 371,827 Mellon Financial Com 58551A108 15,364 342,888 x 5 342,888 Merck Com 589331107 18,689 292,442 x 5 292,442 Microsoft Com 594918104 8,845 121,166 x 5 121,166 Morgan Stanley Dean Witter D Com 617446448 879 13,700 x 5 13,700 Office Depot Inc. Com 676220106 311 30,000 x 5 30,000 Omnicom Group Com 681919106 627 7,300 x 5 7,300 Pfizer Com 707081103 308 7,715 x 5 7,715 PNC Bank Com 693475105 548 8,336 x 5 8,336 Provident Financial Group Com 743866105 662 20,129 x 5 20,129 Royal Dutch Com 780257804 2,028 34,810 x 5 34,810 Schering-Plough Com 806605101 5,600 154,535 x 5 154,535 Southern Union Com 844030106 468 22,957 x 5 22,957 Southwest Airlines Com 844741108 328 17,775 x 5 17,775 Sovereign Bancorp Com 845905108 8,350 642,377 x 5 642,377 Steelcase Inc. Cl A Com 858155203 240 20,100 x 5 20,100 Texas Instruments Com 882508104 11,704 366,908 x 5 366,908 Tribune Com 896047107 7,558 188,916 x 5 188,916 Unisys Com 909214108 6,856 466,120 x 5 466,120 Washington Federal Com 938824109 866 35,332 x 5 35,332 Washington Mutual Com 939322103 1,968 52,427 x 5 52,427 Waste Management Com 941061109 5,448 176,770 x 5 176,770 Wells Fargo Com 949746101 4,228 91,083 x 5 91,083 FORM 13F Name of Reporting Manager: Legg Mason, Inc. (On Behalf of Bingham Legg Advisers LLC For Positions Held As Of 6/30/01) (1) (2) (3) (4) (5) (6) (7) (8) Name of Issuer Title of Class CUSIP FMV Shares Inv Disc Other Voting Authority (Shs.) 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0 0 TURNSTONE SYSTEMS INC Com 900423104 53 7500 X 8 7500 0 0 UBS AG ORD H8920G155 17 123 X 8 123 0 0 UCBH HOLDINGS INC Com 90262T308 5425 178750 X 8 88725 0 90025 UNILEVER N V DEPOSITORY REC904784709 247 4142 X 8 4142 0 0 UNITED PARCEL SERVICE IN CL B 911312106 2693 46600 X 8 46600 0 0 UNITED PARCEL SVC INC Com 911312106 396 6850 X 8 0 0 6850 UNITED STATES CELLULAR C Com 911684108 1297 22500 X 8 22500 0 0 UNUMPROVIDENT CORP Com 91529Y106 642 20000 X 8 20000 0 0 US BANCORP DEL COM NEW 902973304 1359 59643 X 8 59643 0 0 US BANCORP DEL Com 902973304 237 10394 X 8 0 0 10394 US CELLULAR CORP Com 911684108 522 9050 X 8 0 0 9050 USA ED INC Com 90390U102 7591 103983 X 8 53583 0 50400 VALERO ENERGY CORP NEW Com 91913Y100 202 5500 X 8 5500 0 0 VECTOR GROUP LTD Com 92240M108 13 412 X 8 412 0 0 VERITAS SOFTWARE CO Com 923436109 432 6500 X 8 6500 0 0 VERIZON COMMUNICATIONS Com 92343V104 930 17390 X 8 10975 0 6415 WADDELL & REED FINANCIAL INC Com 930059100 1107 34862 X 8 0 0 34862 WADDELL & REED 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WRIGLEY WM JR CO Com 982526105 3714 79271 X 8 79271 0 0 ZIONS BANCORP Com 989701107 4060 68822 X 8 0 0 68822 ZIONS BANCORPORATION Com 989701107 3767 63844 X 8 63844 0 0 FORM 13F Name of Reporting Manager: Legg Mason, Inc. (On Behalf of: Legg Mason Capital Management, Inc. For Positions Held As Of: 6/30/01) (1) (2) (3) (4) (5) (6) (7) (8) Name of Issuer Title of Class CUSIP FMV Shares Inv Disc Other Voting Authority (Shs.) (x1000) (a)(b)(c) Mgr (a) (b) (c) ----------------------------------------------------------------------------------------------------------------------------------- Abercrombie & Fitch Co. Com 002896207 29148 655000 x 9 655,000 Acxiom Corporation Com 005125109 6495 496200 x 9 496,200 Albertson's, Inc. Com 013104104 259319 8646845 x 9 8,646,845 Amazon.com, Inc. Com 023135106 210715 14891550 x 9 14,891,550 American Express Company Com 025816109 48 1245 x 9 1,245 AOL Time Warner Inc. Com 00184A105 394050 7434900 x 9 7,434,900 Applied Materials Inc. Com 038222105 39 800 x 9 800 Arbitron Inc. Com 03875Q108 467 19380 x 9 19,380 Bank of America Corporation Com 060505104 79581 1325689 x 9 1,325,689 Bank One Corporation Com 06423A103 232874 6504855 x 9 6,504,855 Banknorth Group, Inc. Com 06646R107 1151 50800 x 9 50,800 Berkshire Hathaway Inc. Class Com 084670108 47053 678 x 9 678 Berkshire Hathaway Inc. Class Com 084670207 82646 35933 x 9 35,933 Big Lots, Inc. Com 089302103 2130 155700 x 9 155,700 Cabletron Systems, Inc. Com 126920107 18902 827200 x 9 827,200 Cadence Design Systems, Inc. Com 127387108 1608 86300 x 9 86,300 Caremark Rx, Inc. Com 141705103 3311 201300 x 9 201,300 Cell Genesys, Inc. Com 150921104 4414 215300 x 9 215,300 Ceridian Corporation Com 156779100 1858 96900 x 9 96,900 Citigroup Inc. Com 172967101 260724 4934221 x 9 4,934,221 Corning Incorporated Com 219350105 79303 4745845 x 9 4,745,845 Danaher Corporation Com 235851102 43391 774837 x 9 774,837 Dell Computer Corporation Com 247025109 206185 7884703 x 9 7,884,703 Eastman Kodak Company Com 277461109 255820 5480290 x 9 5,480,290 Fannie Mae Com 313586109 205193 2409780 x 9 2,409,780 First Union Corp. Com 337358105 2795 80000 x 9 80,000 FleetBoston Financial CorporatCom 339030108 174610 4426111 x 9 4,426,111 Gateway, Inc. Com 367626108 149178 9068596 x 9 9,068,596 General Motors Corporation Com 370442105 121531 1888597 x 9 1,888,597 Health Net Inc. Com 42222G108 96281 5533401 x 9 5,533,401 International Business MachineComorp.459200101 206894 1830917 x 9 1,830,917 International Speedway CorporaComn 460335201 71 1700 x 9 1,700 J.P. Morgan Chase & Co. Com 46625H100 203199 4556040 x 9 4,556,040 Koninklijke Philips ElectronicADR.V. 500472303 40 1500 x 9 1,500 Level 3 Communications, Inc. Com 52729N100 59767 10886530 x 9 10,886,530 Lexmark International, Inc. Com 529771107 2885 42900 x 9 42,900 Lloyds TSB Group plc For G5542W106 63413 6349555 x 9 6,349,555 Lloyds TSB Group plc ORD For 0870612 6864 967400 x 9 967,400 Mandalay Resort Group Com 562567107 37497 1368486 x 9 1,368,486 Manpower Inc. Com 56418H100 1595 53350 x 9 53,350 Marsh & McLennan Cos Inc Com 571748102 20 200 x 9 200 MBNA Corporation Com 55262L100 77146 2341308 x 9 2,341,308 McKesson HBOC, Inc. Com 58155Q103 204790 5516965 x 9 5,516,965 Metro-Goldwyn-Mayer Inc. Com 591610100 3902 172254 x 9 172,254 MGIC Investment Corporation Com 552848103 268706 3699149 x 9 3,699,149 MGM Mirage Inc. Com 552953101 30489 1017666 x 9 1,017,666 Modis Professional Services, ICom 607830106 1250 181200 x 9 181,200 Nextel Communications, Inc. Com 65332V103 193794 11073942 x 9 11,073,942 Nokia Oyj Sponsored ADR ADR 654902204 9 400 x 9 400 NOVA Corporation Com 669784100 3500 111300 x 9 111,300 Pinnacle Entertainment, Inc. Com 723456109 1605 218300 x 9 218,300 ProQuest Company Com 74346P102 1003 32350 x 9 32,350 Radian Group Inc. Com 750236101 7683 189936 x 9 189,936 Republic Services, Inc. Com 760759100 28687 1445200 x 9 1,445,200 Research In Motion Limited Com 760975102 9636 298800 x 9 298,800 Silicon Valley Bancshares Com 827064106 1210 55000 x 9 55,000 Starwood Hotels & Resorts WorlComde I85590A203 132149 3544756 x 9 3,544,756 Storage Technology CorporationCom 862111200 3836 278800 x 9 278,800 Sybase, Inc. Com 871130100 7921 481500 x 9 481,500 Symantec Corporation Com 871503108 13122 300350 x 9 300,350 Talk America Holdings Inc Com 87426R103 199 212200 x 9 212,200 Telefonos de Mexico SA Spons AADR 879403780 21464 611694 x 9 611,694 Tellabs, Inc. Com 879664100 115071 5937635 x 9 5,937,635 The Bear Stearns Companies IncCom 073902108 93052 1577949 x 9 1,577,949 The Home Depot, Inc. Com 437076102 51 1100 x 9 1,100 The Kroger Co. Com 501044101 169608 6784310 x 9 6,784,310 TJX Companies, Inc. Com 872540109 2021 63400 x 9 63,400 Toys 'R' Us, Inc. Com 892335100 154786 6253970 x 9 6,253,970 UnionBanCal Corporation Com 908906100 2851 84600 x 9 84,600 UnitedHealth Group IncorporateCom 91324P102 345391 5593382 x 9 5,593,382 UnumProvident Corporation Com 91529Y106 3610 112400 x 9 112,400 Wal-Mart Stores, Inc. Com 931142103 49 1000 x 9 1,000 Washington Mutual, Inc. Com 939322103 287258 7650025 x 9 7,650,025 Waste Management, Inc. Com 94106L109 415898 13494415 x 9 13,494,415 Wellpoint Health Networks Inc.Com 94973H108 7233 76750 x 9 76,750 WPP Group plc ORD For 0974042 6256 898900 x 9 898,900 WPP Group plc Sponsored ADR ADR 929309300 104010 2069850 x 9 2,069,850 FORM 13F Name of Reporting Manager: Legg Mason, Inc. (On Behalf of Legg Mason Funds Management, Inc. For Positions Helds As Of 6/30/01) (1) (2) (3) (4) (5) (6) (7) (8) Name of Issuer Title of Class CUSIP FMV Shares Inv Disc Other Voting Authority (Shs.) 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(On Behalf of Legg Mason Wood Walker, Inc. For Positions Held As Of 6/30/01) (1) (2) (3) (4) (5) (6) (7) (8) Name of Issuer Title of Class CUSIP FMV Shares Inv Disc Other Voting Authority (Shs.) (x1000) (a)(b)(c) Mgr (a) (b) (c) --------------------------------------------------------------------------------------------------------------------------------- ***Pioneer Corporation ADR 723646105 231 7,475 x 12 7,475 12 Technologies Inc. COM 465754109 1,076 54,363 x 12 54,363 2dobiz Com Inc COM 90210Y102 20 23,000 x 12 23,000 3 Com Corp. COM 885535104 226 47,593 x 12 47,593 3D Systems Corp. New COM 88554D205 202 11,200 x 12 500 4 Kids Entertainment InCOM 350865101 268 14,000 x 12 12,000 A D C TelecommunicationCOMnc. 000886101 637 96,425 x 12 74,375 A.S.V. Inc. COM 001963107 187 13,878 x 12 13,878 Aastrom Biosciences IncCOM 00253U107 23 16,175 x 12 16,175 Abbott Laboratories COM 002824100 30,916 643,947 x 12 543,220 Abercrombie & Fitch Co COMA 002896207 1,157 26,007 x 12 24,657 Abgenix Inc. COM 00339B107 520 11,552 x 12 9,427 Abiomed Inc COM 003654100 670 28,400 x 12 15,300 ABM Industries Inc. COM 000957100 319 8,500 x 12 2,000 ACE LTD COM G0070K103 464 11,877 x 12 4,483 Acterna Corp COM 00503U105 265 24,135 x 12 23,825 Action Prods Intl Inc COM 004920104 25 17,820 x 12 9,820 Activision Inc New COM 004930202 232 5,905 x 12 5,805 Actuate Corp COM 00508B102 259 27,075 x 12 26,575 Acxiom Corp. COM 005125109 879 67,092 x 12 17,862 Adaptec Inc. COM 00651F108 160 16,154 x 12 6,454 Adelphia CommunicationsCOMrp. - Cl006848105 653 15,885 x 12 4,380 Adobe Systems Inc. COM 00724F101 634 13,481 x 12 10,806 Advanced Aerodynamics &COM -A 00750B107 41 200,000 x 12 200,000 Advanced Micro Devices COM. 007903107 2,283 79,048 x 12 72,988 Advent Software Inc. COM 007974108 376 5,925 x 12 5,525 Aegon NV - ORD ADR 007924103 1,153 40,585 x 12 27,107 Aeroflex Inc. COM 007768104 124 11,800 x 12 11,725 Aether Sys Inc COM 00808V105 419 47,297 x 12 43,267 Aetna Inc New COM 00817Y108 308 11,849 x 12 4,119 Affiliated Computer SerCOMes 008190100 434 6,045 x 12 5,595 Affymetrix Inc. COM 00826T108 341 15,437 x 12 9,957 Aflac Corp. New COM 001055102 1,792 56,922 x 12 56,024 Agco Corp. COM 001084102 192 20,940 x 12 13,750 Agere Sys Inc COM 00845V100 135 17,943 x 12 16,643 Agilent Technologies InCOM 00846U101 5,573 171,490 x 12 120,749 AGL Resources Inc. COM 001204106 445 18,743 x 12 14,393 Air Products and ChemicCOM, Inc. 009158106 2,242 49,007 x 12 38,583 Airgate Pcs Inc COM 009367103 515 9,895 x 12 9,395 AKZO Nobel NV Spons ADRADR 010199305 557 13,077 x 12 13,077 Alabama Power Capt TrusPfdI 010388205 240 9,680 x 12 3,100 Albemarle Corp. COM 012653101 816 35,239 x 12 34,499 Alberta Energy Co Ltd COM 012873105 219 5,300 x 12 5,300 Alberto Culver Co. Cl ACOM 013068200 325 9,200 x 12 5,400 Albertson's Inc. COM 013104104 8,608 287,008 x 12 200,523 Alcatel Alsthom SponsorADRADR 013904305 2,934 141,445 x 12 141,445 Alcoa Inc. COM 013817101 4,352 110,477 x 12 97,271 Alfacell Corp. COM 015404106 22 20,050 x 12 4,600 Allegheny Energy Inc. COM 017361106 2,491 51,617 x 12 30,211 Allergan Inc. COM 018490102 1,278 14,948 x 12 10,816 Allete COM 018522102 240 10,662 x 12 10,662 Alliance Capital ManageCOMt - LP U01855A101 2,154 40,594 x 12 32,378 Alliant Corp. COM 018802108 5,877 201,567 x 12 90,344 Allied Capital Corp. COM 01903Q108 822 35,532 x 12 30,374 Allied Irish Banks Plc ADR 019228402 2,674 118,845 x 12 118,845 Allied Waste Inds Inc. COM New 019589308 555 29,711 x 12 28,449 Allstate Financing I 7.Pfd Cum 020013207 414 16,514 x 12 12,800 Alltel Corp. COM 020039103 3,044 49,674 x 12 37,848 Altadis SA ADR A007798 168 11,800 x 12 11,800 Altera Corp. COM 021441100 1,165 40,180 x 12 29,240 Amazon.com, Inc. 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COM 038222105 13,530 275,555 x 12 208,283 Applied Micro Circuits COMp 03822W109 652 37,938 x 12 36,760 Applied Signal TechnoloCOMInc 038237103 61 11,365 x 12 1,500 Apria Healthcare Group COM. 037933108 460 15,920 x 12 13,020 Arch Wireless Inc COM 039392105 7 35,474 x 12 5,346 Archer-Daniels Midland COM 039483102 1,208 92,931 x 12 85,134 Archstone Communities TCOMt 039581103 3,077 119,400 x 12 71,002 Ariba Inc COM 04033V104 177 32,147 x 12 26,147 Arkansas Best Corp. - DCOM 040790107 1,162 50,420 x 12 50,420 Armstrong Hldgs Inc COM 042384107 111 31,150 x 12 15,450 Arnold Inds Inc. COM 042595108 977 50,490 x 12 50,490 Arrow Electronics Inc. COM 042735100 941 38,740 x 12 34,865 Artesyn Technologies InCOM 043127109 257 19,923 x 12 19,623 Artisoft Inc. COM 04314L106 242 53,325 x 12 49,000 Arvinmeritor Inc COM 043353101 600 35,843 x 12 34,150 ASA Ltd COM 002050102 206 10,825 x 12 2,100 Ashanti Goldfield Co. LADRGDR 043743202 42 13,906 x 12 12,726 Asia Pulp & Paper Co LtADRDR 04516V100 2 16,000 x 12 16,000 Associated Banc Corp. COM 045487105 263 7,261 x 12 1,821 Astoria Financial Corp.COM 046265104 1,460 26,552 x 12 26,552 Astrazena PLC -Spons ADADR 046353108 207 4,426 x 12 4,426 Astropower Inc. COM 04644A101 244 4,675 x 12 3,100 AT & T Corp. COM 001957109 14,661 666,384 x 12 440,762 At Home Corp. Cl A COM 045919107 78 36,841 x 12 31,491 AT&T Corp - Liberty MedCOM- A 001957208 6,088 348,134 x 12 117,904 AT&T Corp Wirless GroupCOMacking S001957406 1,819 111,163 x 12 41,256 Atlas Pac Gold N L For Q06072161 1 10,000 x 12 10,000 Atmel Corp. COM 049513104 2,601 192,783 x 12 165,973 Atmi Inc.orporation COM 00207R101 717 23,890 x 12 23,890 ATMOS Energy Corp COM 049560105 638 26,298 x 12 1,936 Aura Systems Inc. COM 051526101 50 80,137 x 12 80,137 Autodesk Inc. COM 052769106 274 7,354 x 12 7,154 Automatic Data ProcessiCOM 053015103 8,562 172,271 x 12 157,994 Autonation Inc COM 05329W102 572 45,793 x 12 400 Autozone Inc. COM 053332102 1,142 30,375 x 12 2,075 Avalonbay Communities ICOM 053484101 543 11,615 x 12 4,061 Avanex Corp COM 05348W109 567 58,545 x 12 24,570 Avaya Inc COM 053499109 1,311 95,727 x 12 81,619 Aventis ADR 053561106 937 11,729 x 12 11,729 Avery Dennison Corp. COM 053611109 875 17,145 x 12 12,972 Avid Technology Inc. COM 05367P100 462 29,450 x 12 29,375 Avocent Corp COM 053893103 853 37,503 x 12 32,503 Avon Products Inc. COM 054303102 7,605 164,343 x 12 141,627 AVX Corporation COM 002444107 224 10,700 x 12 9,925 AXA-UAP - Sponsored ADRADR 054536107 827 29,347 x 12 29,347 B A S F A G ADR 055262505 2,839 72,068 x 12 72,068 Bae Systems Plc ADR 05523R107 4,171 217,918 x 12 217,918 Baker Hughes Inc. COM 057224107 1,004 29,982 x 12 24,877 Ball Corp. 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COM 929328102 236 13,700 x 12 13,700 Wyndham Intl Inc COM 983101106 54 21,621 x 12 21,621 Xcel Energy Inc COM 98389B100 8,140 286,116 x 12 187,529 Xerox Corp. COM 984121103 1,720 179,707 x 12 179,707 Xetel Corp COM 983942103 29 11,000 x 12 11,000 Xilinx Inc. COM 983919101 2,285 55,417 x 12 55,417 XL Capital Ltd - Class COM G98255105 449 5,468 x 12 5,268 Xo Communications Inc COM 983764101 232 120,837 x 12 120,837 Xoma LTD COM G9825R107 293 17,200 x 12 5,050 Xto Energy Corp COM 98385X106 223 15,563 x 12 15,338 Yahoo Inc COM 984332106 895 44,784 x 12 44,784 Young Broadcasting Inc.COM 987434107 261 7,785 x 12 7,785 ZILA, Inc. COM 989513205 45 17,000 x 12 17,000 Zions BanCorporation COM 989701107 1,458 24,713 x 12 24,713 Zomax Optical Media IncCOM 989929104 148 16,600 x 12 16,600 Zones Inc COM 98976N103 23 11,500 x 12 11,500 Zurich Finl Svcs ADR 98982M107 2,186 64,107 x 12 64,107 FORM 13F Name of Reporting Manager: Legg Mason, Inc. (On Behalf of LeggMason Investors Asset Managers, plc For Positions Held As Of 6/30/01) (1) (2) (3) (4) (5) (6) (7) (8) Name of Issuer Title of Class CUSIP FMV Shares Inv Disc Other Voting Authority (Shs.) (x1000) (a)(b)(c) Mgr (a) (b) (c) ----------------------------------------------------------------------------------------------------------------------------------- American Electric Power Co IncCom 025537101 6,548 200,000 X 13 200,000 CMS Energy Com 125896100 18,413 930,000 X 13 930,000 DTE Energy Com 233331107 7586 230,000 X 13 230,000 EN.East Com 29266M109 14026 945,500 X 13 945,500 El Paso Energy Com 28336L109 6537 175,000 X 13 175,000 Keyspan Corp Com 49337W100 9,336 360,000 X 13 360,000 SBC Communications Com 78387G103 10,130 355,500 X 13 355,500 TXU Com 873168108 21,670 632,500 X 13 632,500 Verizon Comunications Com 92343V104 13,334 350,000 X 13 350,000 XCEL Energy Com 98389B100 16,134 800,000 X 13 800,000 FORM 13F Name of Reporting Manager: Legg Mason, Inc. (On Behalf of LMM, LLC For Positions Held As Of 6/30/01) (1) (2) (3) (4) (5) (6) (7) (8) Name of Issuer Title of Class CUSIP FMV Shares Inv Disc Other Voting Authority (Shs.) (x1000) (a)(b)(c) Mgr (a) (b) (c) --------------------------------------------------------------------------------------------------------------------------------- Acxiom Corporation Com 005125109 26,192 2,000,900 x 14 2,000,900 Ames Department Stores Inc. Com 030789507 4,573 3,290,000 x 14 3,290,000 Amazon.com, Inc. Com 023135106 28,300 2,000,000 x 14 2,000,000 Abercrombie & Fitch Co. Com 002896207 115,380 2,592,800 x 14 2,592,800 AOL Time Warner Inc. Com 00184A105 37,100 700,000 x 14 700,000 Cott Corp. Com 22163N106 64,032 5,800,000 x 14 5,800,000 Cabletron Systems, Inc. Com 126920107 148,525 6,500,000 x 14 6,500,000 Dell Computer Corporation Com 247025109 26,150 1,000,000 x 14 1,000,000 eSPEED, Inc. Com 296643109 33,000 1,500,000 x 14 1,500,000 E*TRADE Group Inc. Com 269246104 9,675 1,500,000 x 14 1,500,000 Exodus Communications, Inc. Com 302088109 51,624 25,060,000 x 14 25,060,000 Finova Group Inc. Com 317928109 21,830 5,900,000 x 14 5,900,000 Gateway, Inc. Com 367626108 47,705 2,900,000 x 14 2,900,000 Hollywood Entertainment Corp. Com 436141105 34,686 4,100,000 x 14 4,100,000 KPMG Consulting Inc. Com 48265R109 37,608 2,450,000 x 14 2,450,000 Kohls Corp. Com 500255104 31,365 500,000 x 14 500,000 Mandalay Resort Group Com 562567107 54,800 2,000,000 x 14 2,000,000 NOVA Corporation Com 669784100 75,480 2,400,000 x 14 2,400,000 Knight Trading Group Inc. Com 499063105 12,561 1,175,000 x 14 1,175,000 Nextel Communications, Inc. Com 65332V103 43,750 2,500,000 x 14 2,500,000 Omnicare Inc. Com 681904108 28,280 1,400,000 x 14 1,400,000 Oxford Health Plans, Inc. Com 691471106 51,480 1,800,000 x 14 1,800,000 Pinnacle Entertainment, Inc. Com 723456109 12,495 1,700,000 x 14 1,700,000 Pentair Inc. Com 709631105 54,080 1,600,000 x 14 1,600,000 The Phoenix Companies, Inc. Com 71902E109 5,580 300,000 x 14 300,000 Research In Motion Limited Com 760975102 45,150 1,400,000 x 14 1,400,000 Republic Services, Inc. Com 760759100 99,250 5,000,000 x 14 5,000,000 Symantec Corporation Com 871503108 48,496 1,110,000 x 14 1,110,000 Talk America Holdings Inc Com 87426R103 6,204 6,600,000 x 14 6,600,000 Tupperware Corp. Com 899896104 9,812 418,800 x 14 418,800 Unisys Corp. Com 909214108 55,898 3,800,000 x 14 3,800,000 UnumProvident Corporation Com 91529Y106 73,876 2,300,000 x 14 2,300,000 Viad Corp Com 92552R109 55,440 2,100,000 x 14 2,100,000 Washington Mutual, Inc. Com 939322103 56,325 1,500,000 x 14 1,500,000 Westpoint Stevens Inc. Com 961238102 2,760 2,000,000 x 14 2,000,000 Tricon Global Restaurants Inc.Com 895953107 43,900 1,000,000 x 14 1,000,000 FORM 13F Name of Reporting Manager: Legg Mason, Inc. (On Behalf of Perigee Investment Counsel Inc. For Positions Held As Of 6/30/01) (1) (2) (3) (4) (5) (6) (7) (8) Name of Issuer Title of Class CUSIP FMV Shares Inv Disc Other Voting Authority (Shs.) (x1000) (a)(b)(c) Mgr (a) (b) (c) --------------------------------------------------------------------------------------------------------------------------------- ADC TELECOMMUNICATIONS INC COM 000886101 201 29100 x 15 29100 AES CORPORATION COM 00130H105 1205 28000 x 15 28000 AMB PROPERTY CORP COM 00163T109 1538 59700 x 15 59700 AOL TIME WARNER INC COM 00184A105 17702 333999 x 15 333999 A T & T CORP COM 001957109 22040 1001800 x 15 1001800 AT&T WIRELESS GROUP COM WIRLES GRP001957406 4606 281700 x 15 281700 ABBOTT LABS COM 002824100 5427 113034 x 15 113034 ABITIBI-CONSOLIDATED INC COM 003924107 81034 6985687 x 15 6985687 ADVANCED MICRO DEVICES INC COM 007903107 1701 58900 x 15 58900 AGRIUM INC COM 008916108 12238 815300 x 15 815300 AKAMAI TECHNOLOGIES COM 00971T101 3556 400000 x 15 400000 ALBERTA ENERGY CO COM 012873105 119273 1908370 x 15 1908370 ALCAN INC COM 013716105 196906 3086307 x 15 3086307 ALCOA INC COM 013817101 7106 176378 x 15 176378 ALLTEL CORP COM 020039103 1905 31100 x 15 31100 ALPHARMA INC. CL A 020813101 8524 312800 x 15 312800 AMERADA HESS COM 023551104 517 6400 x 15 6400 AMERICAN EXPRESS CO COM 025816109 18556 478258 x 15 478258 AMERICAN FINANCIAL GROUP INC COM 025932104 3788 125000 x 15 125000 AMERICAN HOME PRODS CORP COM 026609107 21900 374741 x 15 374741 AMERICAN INT'L GROUP COM 026874107 12666 149894 x 15 149894 AMGEN INC COM 031162100 10150 164292 x 15 164292 ANALOG DEVICES COM 032654105 1798 41564 x 15 41564 ANHEUSER BUSCH COS INC COM 035229103 1040 25250 x 15 25250 APOGENT TECHNOLOGIES INC COM 03760A101 1747 71000 x 15 71000 APPLERA CORP-APPLIED BIOSYSTEMCOM 038020103 3767 140825 x 15 140825 APPLIED MATERIAL INC COM 038222105 1690 33200 x 15 33200 ARTHROCARE CORP COM 043136100 3270 125300 x 15 125300 ASIA PACIFIC RESOURCES LTD COM 044902104 13 20000 x 15 20000 AUTOMATIC DATA PROCESSING COM 053015103 1899 38206 x 15 38206 B C E INC COM 05534B109 247269 6075411 x 15 6075411 BANK OF AMERICA CORP COM 060505104 7677 127892 x 15 127892 BANK OF MONTREAL COM 063671101 205871 0.8382 x 15 1 BANK OF NEW YORK CO. 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COM 136385101 83499 1861747 x 15 1861747 CARDINAL HEALTH INC COM 14149Y108 932 13500 x 15 13500 CARNIVAL CORP COM 143658102 8080 263200 x 15 263200 CATERPILLAR INC COM 149123101 1340 26769 x 15 26769 CELESTICA INC COM 15101Q108 60734 779445 x 15 779445 CERIDIAN CORP COM 156779100 2024 105600 x 15 105600 CHEVRON CORP COM 166751107 5604 61925 x 15 61925 CISCO SYSTEMS INC COM 17275R102 17003 880988 x 15 880988 CITIGROUP INC COM 172967101 37690 713277 x 15 713277 CLEAR CHANNEL COMMUNICTIONS COM 184502102 1085 17308 x 15 17308 COCA COLA CO COM 191216100 10103 224503 x 15 224503 COGNOS INCORPORATED COM 19244C109 39665 1485590 x 15 1485590 COLGATE PALMOLIVE COM 194162103 2378 40308 x 15 40308 COMCAST CORP CL A 200300200 1962 45150 x 15 45150 COMINCO LTD COM 200435105 3581 127895 x 15 127895 COMPAQ COMPUTER CORP COM 204493100 3108 200640 x 15 200640 COMPUTER ASSOCIATES INTL INC COM 204912109 1091 30311 x 15 30311 COMPUTER SCIENCES CORP COM 205363104 1671 48300 x 15 48300 COMVERSE TECHNOLOGY INCCOM PAR $0.10 205862402 4480 77822 x 15 77822 CORNING INC COM 219350105 246 14700 x 15 14700 COSTCO WHOLESALE CORP COM 22160K105 1187 28261 x 15 28261 COUNTRYWIDE CREDIT IND INC COM 222372104 4827 105200 x 15 105200 DARDEN RESTAURANTS COM 237194105 3061 109700 x 15 109700 DELL COMPUTER COM 247025109 2961 109847 x 15 109847 DELPHI AUTOMATIVE SYSTEMS CORPCOM 247126105 2408 151449 x 15 151449 DESCARTES SYSTEMS GROUP COM 249906108 30049 1084400 x 15 1084400 DISNEY (WALT) CO HOLDING CO. 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CORP COM 699173100 207 16000 x 15 16000 PAYCHEX INC COM 704326107 2469 60000 x 15 60000 PEPSICO INC COM 713448108 15930 360397 x 15 360397 PETRO CANADA COM/VARIBL VTG71644E102 153142 4251590 x 15 4251590 PFIZER INC COM 717081103 29892 746379 x 15 746379 PHARMACIA CORP COM 71713U102 6947 151187 x 15 151187 PHILIP MORRIS COMPANIES COM 718154107 35967 734016 x 15 734016 PIVOTAL CORP COM 72581R106 12688 488000 x 15 488000 PLACER DOME INC COM 725906101 29841 2016300 x 15 2016300 POTASH CORP OF SASKATCHEWAN COM 73755L107 10875 125000 x 15 125000 PREMDOR INC COM 74046P105 6901 633100 x 15 633100 PROCTER & GAMBLE CO COM 742718109 10069 157821 x 15 157821 PROGESS ENERGY INC COM 743263105 1967 43800 x 15 43800 PUTNAM PREMIER INCOME TSHSBEN INT 746853100 66 10500 x 15 10500 QLT INC COM 746927102 16650 555000 x 15 555000 QUEBECOR WORLD INC COM 748203106 16221 424514 x 15 424514 QWEST COMMUNICATIONS INTL INC COM 749121109 3097 97166 x 15 97166 RELIANT ENERGY INC COM 75952J108 4930 153100 x 15 153100 ROGERS COMMUNICATIONS INC CL B 775109200 5504 242875 x 15 242875 ROYAL BANK OF CANADA COM 780087102 160099 3296258 x 15 3296258 ROYAL DUTCH PETE CO NY REG GL1.25 780257804 9217 158169 x 15 158169 SBC COMMUNICATIONS COM 78387G103 12166 303694.6 x 15 303695 S & P 500 DEPOSITARY REUNITTSER 1 78462F103 581 4712 x 15 4712 SAFEWAY INC COM 786514208 4469 93100 x 15 93100 ST JUDE MEDICAL INC COM 790849103 1584 26400 x 15 26400 SANDISK CORP SUB-VTG SH 80004C101 4823 175000 x 15 175000 SCHERING-PLOUGH CORP COM 806605101 3233 89214 x 15 89214 SCHLUMBERGER LTD COM 806857108 3837 72886 x 15 72886 SCHWAB (CHARLES) CORP COM 808513105 859 56117 x 15 56117 724 SOLUTIONS INC COM 81788Q100 6047 537500 x 15 537500 SHAW COMMUNS INC CL B CONV 82028K200 269 7500 x 15 7500 SIERRA WIRELESS COM 826516106 10922 390200 x 15 390200 SILENT WITNESS ENTERPRISESCOM NEW 826906307 5044 453600 x 15 453600 SIMON PPTY GROUP INC COM 828806109 496 16750 x 15 16750 SOUTHERN CO COM 842587107 637 27400 x 15 27400 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939322103 1021 27200 x 15 27200 WATSON PHARMACEUTICALS INC COM 942683103 4623 75000 x 15 75000 WELLS FARGO COMPANY COM 949746101 4007 86297 x 15 86297 WESCAST INDUSTRIES INC CL A 950813105 15692 305000 x 15 305000 WESTCOAST ENERGY INC COM 95751D102 535 14975 x 15 14975 WILLIAMS COMMUNICATION CORP COM 969455104 45 15217 x 15 15217 WILLIAMS COS INC COM 969457100 9256 280900 x 15 280900 WINN-DIXIE STORES INC COM 974280109 463 17700 x 15 17700 WORLDCOM INC - WORLDCOM GROUP COM 98157D106 320 21550 x 15 21550 ANNUITY & LIFE RE (HLDGS.) COM G03910109 821 23000 x 15 23000 GLOBAL CROSSING LTD COM G3921A100 270 31300 x 15 31300 SEDCOFOREX HOLDINGS LTD. COM G90078109 4616 111900 x 15 111900