-----BEGIN PRIVACY-ENHANCED MESSAGE----- Proc-Type: 2001,MIC-CLEAR Originator-Name: webmaster@www.sec.gov Originator-Key-Asymmetric: MFgwCgYEVQgBAQICAf8DSgAwRwJAW2sNKK9AVtBzYZmr6aGjlWyK3XmZv3dTINen TWSM7vrzLADbmYQaionwg5sDW3P6oaM5D3tdezXMm7z1T+B+twIDAQAB MIC-Info: RSA-MD5,RSA, KYVycLldfVkNL2smIoGpgEjdZhvhOAGHjbSz6yHN+Ulzs0le4iB7wrO+lRcWvi0b cijkM9U7ZNP+yjLGGso1uw== 0000312348-02-000016.txt : 20020414 0000312348-02-000016.hdr.sgml : 20020414 ACCESSION NUMBER: 0000312348-02-000016 CONFORMED SUBMISSION TYPE: 13F-HR PUBLIC DOCUMENT COUNT: 1 CONFORMED PERIOD OF REPORT: 20011231 FILED AS OF DATE: 20020206 FILER: COMPANY DATA: COMPANY CONFORMED NAME: LOOMIS SAYLES & CO L P CENTRAL INDEX KEY: 0000312348 FILING VALUES: FORM TYPE: 13F-HR SEC ACT: 1934 Act SEC FILE NUMBER: 028-00398 FILM NUMBER: 02528670 BUSINESS ADDRESS: STREET 1: ONE FINANCIAL CTR STREET 2: 43RD PLACE CITY: BOSTON STATE: MA ZIP: 02111 MAIL ADDRESS: STREET 1: ONE FINANCIAL CENTER STREET 2: 43RD PLACE CITY: BOSTON STATE: MA ZIP: 02111 FORMER COMPANY: FORMER CONFORMED NAME: LOOMIS SAYLES & CO INC DATE OF NAME CHANGE: 19920929 13F-HR 1 frth.txt PG 1 FORM 13F NAME
OF REPORTING MANAGER LOOMIS SAYLES & CO., INC 12/31/01 VOTING AUTHORITY (SHARES) ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 INVEST DISCRETION NAME OF ISSUER CLASS CUSIP MKT VAL SHARES A B C MANAGERS (A)SOLE (B)SHARED (C)NONE (000) --------- --------- --------- ADC TELECOMMUNICATIONS INC COMMON 000886101 11,395 2,477,183 X 123 1,693,833 21,950 761,400 AFC ENTERPRISES COMMON 00104Q107 8,406 296,100 X 123 200,200 4,900 91,000 AFLAC INC COMMON 001055102 11,983 487,897 X 123 398,786 3,350 85,761 AGL RESOURCES INC COMMON 001204106 7,141 310,200 X 123 212,500 4,400 93,300 AES CORPORATION COMMON 00130H105 1,439 88,000 X 123 53,700 12,200 22,100 AIM WEINGARTER FUND A MUT FND 001413301 9 686 X 123 686 AIM BLUE CHIP FUND B MUT FND 001413855 20 1,731 X 123 1,731 AIM BLUE CHIP FD CL A MUT FND 001413871 54 4,420 X 123 4,420 AMR CORP DEL COMMON 001765106 8,451 378,950 X 123 327,785 1,600 49,565 AOL TIME WARNER INC COMMON 00184A105 51,787 1,613,296 X 123 1,124,303 21,649 467,344 ATI TECHNOLOGIES INC COMMON 001941103 1,297 102,150 X 123 96,950 5,200 AT&T CORP COMMON 001957109 53,635 2,956,717 X 123 2,035,902 16,700 904,115 AT&T WIRELESS SERVICES INC COMMON 00209A106 738 51,378 X 123 47,942 3,436 ABBOTT LABS COMMON 002824100 33,010 592,110 X 123 149,168 5,845 437,097 ABERCROMBIE & FITCH CO CL A COMMON 002896207 1 54 X 123 54 ABGENIX INC COMMON 00339B107 16,278 483,888 X 123 309,528 44,100 130,260 ACCTON TECHNOLOGY CORP GDR Global D 00437R202 195 37,400 X 123 37,400 ACCREDO HEALTH INC COMMON 00437V104 23,006 579,500 X 123 411,650 36,000 131,850 ACTIVISION INC COMMON 004930202 18,024 692,975 X 123 644,075 48,900 ACTUATE CORP COMMON 00508B102 7,180 1,362,400 X 123 919,000 22,300 421,100 ACTUANT CORP CL A COMMON 00508X203 5,201 154,780 X 123 79,000 5,500 70,280 ACUITY BRANDS INC COMMON 00508Y102 2,678 221,300 X 123 149,400 3,600 68,300 ACXIOM CORP COMMON 005125109 11,897 681,000 X 123 517,250 5,800 157,950 ADELPHIA COMMUNICATIONS CL A COMMON 006848105 18,052 578,975 X 123 113,225 6,800 458,950 ADMINISTAFF INC COMMON 007094105 24,674 900,200 X 123 708,150 36,900 155,150 ADTRAN INC COMMON 00738A106 6,653 260,700 X 123 176,000 4,300 80,400 ADVANCED DIGITAL INFO CORP COMMON 007525108 9,154 570,700 X 123 280,300 73,100 217,300 ADVANCED FIBRE COMM COMMON 00754A105 13,435 760,300 X 123 544,800 9,700 205,800 ADVO INC COMMON 007585102 23,147 538,300 X 123 368,000 8,700 161,600 ADVISORS INNER CIRCLE ST CAP I MUT FND 00758M576 327 21,971 X 123 21,971 ADVISORY BOARD CO COMMON 00762W107 6,989 252,300 X 123 234,400 17,900 AEROFLEX INC COMMON 007768104 13,337 704,550 X 123 591,150 113,400 ADVENT SOFTWARE INC COMMON 007974108 18,453 369,427 X 123 256,077 25,000 88,350 AFFILIATED COMPUTER SVSC CL A COMMON 008190100 21,904 206,385 X 123 136,385 4,375 65,625 AFFILIATED MANAGERS GROUP COMMON 008252108 28,955 410,826 X 123 332,926 2,600 75,300 AFFYMETRIX INC COMMON 00826T108 10,838 287,100 X 123 156,400 32,100 98,600 AFFYMETRIX INC CVT 144A W/RTS CV BND 00826TAC2 10,808 89,939 X 123 76,169 13,770 AFFYMETRIX CVT SUB NTS CV BND 00826TAD0 28,565 237,697 X 123 176,980 45,764 14,953 AGILENT TECHNOLOGIES INC COMMON 00846U101 18,390 645,053 X 123 539,808 2,800 102,445 AGILE SOFTWARE CORP/ DE COMMON 00846X105 8,379 486,600 X 123 452,050 34,550 AIM VALUE FUND -A MUT FND 008879306 22 2,036 X 123 2,036 AIM VALUE FUND -B MUT FND 008879728 25 2,469 X 123 2,469 AIM INTL EQUITY FUND MUT FND 008882102 51 3,455 X 123 3,455 AIM INTL EQUITY FD -B MUT FND 008882508 30 2,149 X 123 2,149 AIR PRODS & CHEM COMMON 009158106 4,694 100,069 X 123 36,050 64,019 AIRGATE PCS INC COMMON 009367103 14,392 315,950 X 123 293,600 22,350 ALAMOSA HOLDINGS INC COMMON 011589108 1,695 142,100 X 123 69,800 17,800 54,500 ALASKA COMM SYSTEMS GROUP COMMON 01167P101 379 47,500 X 123 26,000 1,900 19,600 ALBERTO CULVER CO CL A COMMON 013068200 2,814 72,000 X 123 41,100 2,800 28,100 ALBERTSONS INC COMMON 013104104 403 12,800 X 123 2,650 10,150 ALCOA INC COMMON 013817101 19,797 556,879 X 123 160,935 4,500 391,444 ALKERMES INC COMMON 01642T108 15,820 600,154 X 123 450,404 43,600 106,150 ALLEGHENY TECHNOLOGIES INC COMMON 01741R102 633 37,800 X 123 37,800 ALLERGAN INC COMMON 018490102 12,763 170,059 X 123 12,425 2,275 155,359 ALLETE INC COMMON 018522102 21,021 834,150 X 123 600,500 10,300 223,350 INVESTMENT DISCRETION A = SOLE B = SHARED-AS DEFINED IN INSTR Y C = SHARED-OTHER PG 2 FORM 13F NAME OF REPORTING MANAGER LOOMIS SAYLES & CO., INC 12/31/01 VOTING AUTHORITY (SHARES) ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 INVEST DISCRETION NAME OF ISSUER CLASS CUSIP MKT VAL SHARES A B C MANAGERS (A)SOLE (B)SHARED (C)NONE (000) --------- --------- --------- ALLIANCE GROWTH FUND B MUT FND 01877F500 10 474 X 123 474 ALLIANCE TECHNOLOGY FUND B MUT FND 018780304 13 215 X 123 215 ALLIANT ENERGY CORP COMMON 018802108 19,300 635,700 X 123 466,800 6,100 162,800 ALLIANT TECHSYSTEMS INC COMMON 018804104 4,065 52,650 X 123 52,650 ALLIANZ AG-ADR ADR 018805101 213 9,010 X 123 9,010 ALLIED CAPITAL CORP COMMON 01903Q108 94 3,600 X 123 3,600 ALLMERICA FINANCIAL CORP COMMON 019754100 10,872 244,040 X 123 193,915 1,000 49,125 ALLSTATE CORP COMMON 020002101 17,939 532,318 X 123 449,987 1,700 80,631 ALLTEL CORP COMMON 020039103 21 341 X 123 341 ALLTRISTA CORP COMMON 020040101 6 374 X 123 374 ALPHA INDS INC COMMON 020753109 111 5,100 X 123 5,100 ALPHARMA INC-CL A COMMON 020813101 18,809 711,100 X 123 512,600 8,500 190,000 ALTERA CORP COMMON 021441100 14 680 X 123 680 AMAZON.COM INC COMMON 023135106 2 150 X 123 150 AMAZON.COM INC CVT CV BND 023135AF3 3,234 83,945 X 123 68,950 10,445 4,550 AMAZON.COM INC CVT EUR CV BND 023135AG1 1,999 42,355 X 123 38,543 3,811 AMBAC FINL GRP COMMON 023139108 804 13,900 X 123 13,900 AMERADA HESS CORP COMMON 023551104 172 2,750 X 123 2,750 AMERICA MOVIL-SERIES L ADR 02364W105 454 23,300 X 123 20,500 2,800 AMERICAN CAPITAL STRATEGIES COMMON 024937104 10,283 362,700 X 123 244,900 6,000 111,800 AMERICAN ELEC PWR COMMON 025537101 357 8,201 X 123 1,951 6,250 AMERICAN EXPRESS CO COMMON 025816109 21,697 607,930 X 123 515,755 2,000 90,175 AMERICAN FINANCIAL GROUP INC COMMON 025932104 11,710 477,000 X 123 322,000 7,800 147,200 AMERICAN HEALTHWAYS INC COMMON 02649V104 9,628 301,450 X 123 141,500 37,100 122,850 AMERICAN HOME PRODS COMMON 026609107 11,373 185,344 X 123 112,206 1,900 71,238 AMERICAN INTL GRP COMMON 026874107 104,377 1,314,574 X 123 509,461 16,857 788,256 AMERICAN MGMT SYSTEM COMMON 027352103 1,705 94,300 X 123 63,800 30,500 AMERICAN POWER CONVERSION COMMON 029066107 10 700 X 123 700 AMERICAN STATES WATER CO COMMON 029899101 9,192 263,000 X 123 179,400 4,000 79,600 AMERICREDIT CORP COMMON 03060R101 3,866 122,550 X 123 119,250 3,300 AMERIPATH INC COMMON 03071D109 18,509 573,750 X 123 533,100 40,650 AMERUS GROUP CO COMMON 03072M108 13,737 383,300 X 123 260,800 6,200 116,300 AMERISOURCEBERGEN CORP COMMON 03073E105 18,416 289,785 X 123 121,710 6,550 161,525 AMETEK INC COMMON 031100100 13,276 416,300 X 123 280,300 6,800 129,200 AMGEN INC COMMON 031162100 21,029 372,583 X 123 121,835 1,000 249,748 AMKOR TECH INC CVT CV BND 031652AH3 23,984 615,102 X 123 484,478 71,329 59,295 AMPHENOL CORP CL A COMMON 032095101 6,838 142,300 X 123 128,300 14,000 ANADARKO PETE CORP COMMON 032511107 7,189 126,456 X 123 100,975 4,400 21,081 ANADIGICS INC COMMON 032515108 10,368 679,900 X 123 635,900 44,000 ANALOG DEVICES COMMON 032654105 21,625 487,155 X 123 231,855 4,475 250,825 ANALOG DEVICES 144A CVT CV BND 032654AC9 11,995 96,821 X 123 82,180 5,394 9,247 ANALOG DEVICES SUB CVT NTS CV BND 032654AD7 393,157 2,764,153 X 123 2,261,324 305,720 197,109 ANGIOTECH PHARMACEUTICALS COMMON 034918102 18,616 334,100 X 123 270,100 18,000 46,000 ANHEUSER BUSCH COMMON 035229103 48,986 1,083,530 X 123 514,350 8,850 560,330 ANNTAYLOR STORES CORP COMMON 036115103 10,252 292,900 X 123 211,900 3,500 77,500 ANTHEM INC COMMON 03674B104 5,222 105,500 X 123 73,900 31,600 AON CORP COMMON 037389103 2,739 77,100 X 123 74,800 2,300 APACHE CORP COMMON 037411105 1,866 37,400 X 123 21,560 15,840 APOLLO GROUP INC CL A COMMON 037604105 68 1,515 X 123 1,515 UNIVERSITYOF PHOENIX ONLINE COMMON 037604204 10,459 320,925 X 123 304,625 16,300 APOGENT TECHNOLOGIES COMMON 03760A101 8,128 315,050 X 123 259,900 55,150 APPLE COMPUTER COMMON 037833100 22,201 1,013,725 X 123 868,075 4,200 141,450 APPLERA CORP- APPLIED BIOSYS COMMON 038020103 436 11,100 X 123 5,600 5,500 APPLIED FILMS CORP COMMON 038197109 4,466 142,900 X 123 96,600 2,400 43,900 APPLIED MATERIALS COMMON 038222105 1,361 33,936 X 123 27,936 6,000 INVESTMENT DISCRETION A = SOLE B = SHARED-AS DEFINED IN INSTR Y C = SHARED-OTHER PG 3 FORM 13F NAME OF REPORTING MANAGER LOOMIS SAYLES & CO., INC 12/31/01 VOTING AUTHORITY (SHARES) ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 INVEST DISCRETION NAME OF ISSUER CLASS CUSIP MKT VAL SHARES A B C MANAGERS (A)SOLE (B)SHARED (C)NONE (000) --------- --------- --------- APPLIED MICRO CIRCUITS CORP COMMON 03822W109 11 1,000 X 123 1,000 APTARGROUP INC COMMON 038336103 8,835 252,200 X 123 170,200 4,200 77,800 AQUILA INC COMMON 03840J106 342 20,000 X 123 20,000 ARAMARK CORP-CL B COMMON 038521100 2,709 100,700 X 123 72,500 28,200 ARBITRON INC COMMON 03875Q108 5,134 150,340 X 123 101,780 4,560 44,000 ARCHER-DANIELS-MIDLAND CO COMMON 039483102 16 1,089 X 123 1,089 ARMOR HOLDINGS INC COMMON 042260109 11,892 440,600 X 123 252,950 65,800 121,850 ARTESYN TECHNOLOGIES INC COMMON 043127109 7,757 833,200 X 123 571,000 12,200 250,000 ARTISTDIRECT INC COMMON 04315D400 7 503 X 123 503 ASCENTIAL SOFTWARE CORP COMMON 04362P108 409 101,003 X 123 101,003 ASPECT TELECOM SUB CONV DEB CV BND 045237AE4 3,829 122,418 X 123 82,904 28,622 10,891 ASSOCIATED BANC CORP COMMON 045487105 4,473 126,742 X 123 119,069 7,673 ASSOCIATED ESTATES REALTY CP COMMON 045604105 6,294 685,600 X 123 457,200 65,500 162,900 ASTORIA FINANCIAL CORP COMMON 046265104 5,911 223,400 X 123 152,800 3,200 67,400 ATWOOD OCEANICS INC COMMON 050095108 8,455 242,600 X 123 165,400 3,800 73,400 AUTOLIV INC COMMON 052800109 50 2,454 X 123 716 1,738 AUTOMATIC DATA PROC COMMON 053015103 7,715 130,988 X 123 24,434 2,500 104,054 AUTOZONE INC COMMON 053332102 19,615 273,190 X 123 119,840 2,675 150,675 AVALONBAY COMMUNITIES INC COMMON 053484101 3,288 69,500 X 123 51,700 17,800 AVAYA INC COMMON 053499109 68 5,563 X 123 4,987 576 AVENTIS SPON ADR ADR 053561106 170 2,400 X 123 2,400 AVERY DENNISON CORP COMMON 053611109 6,164 109,045 X 123 78,950 30,095 AVNET INC COMMON 053807103 5,620 220,650 X 123 198,500 22,150 AVOCENT CORP COMMON 053893103 11,817 487,300 X 123 452,600 34,700 AVON PRODS COMMON 054303102 13,934 299,650 X 123 19,975 3,575 276,100 AXCELIS TECHNOLOGIES INC COMMON 054540109 1,304 101,193 X 123 97,306 3,887 BB&T CORP COMMON 054937107 15 402 X 123 402 BJ SERVICES CO COMMON 055482103 19,595 603,865 X 123 510,725 2,800 90,340 BNY HAMILTON INTL EQTY INST MUT FND 05561M846 8 814 X 123 814 BNY HAMILTON S/C GROWTH INST MUT FND 05561M861 12 797 X 123 797 BP PLC ADR 055622104 54,485 1,171,473 X 123 759,620 10,978 400,875 BMC SOFTWARE INC COMMON 055921100 93 5,700 X 123 5,700 BAKER HUGHES INC COMMON 057224107 7,367 202,000 X 123 167,100 34,900 BALL CORPORATION COMMON 058498106 389 5,500 X 123 5,500 BANCO SANTANDER SA SPONS ADR ADR 05964H105 155 18,700 X 123 18,700 BANKAMERICA CORP COMMON 060505104 77,425 1,229,941 X 123 688,248 10,950 530,743 BANK OF NEW YORK COMMON 064057102 7,536 184,705 X 123 128,605 500 55,600 BANK ONE CORP COMMON 06423A103 2,535 64,914 X 123 16,302 48,612 BANKNORTH GROUP INC COMMON 06646R107 6,353 282,100 X 123 203,900 78,200 BARD C R COMMON 067383109 97 1,500 X 123 1,500 BARCLAYS PLC SPONS ADR ADR 06738E204 175 1,300 X 123 1,300 BARR LABORATORIES INC COMMON 068306109 2,218 27,950 X 123 26,650 1,300 BAUSCH & LOMB COMMON 071707103 60 1,600 X 123 1,600 BAXTER INTL COMMON 071813109 34,412 641,652 X 123 259,625 11,550 370,477 BEAR STEARNS COS INC COMMON 073902108 611 10,421 X 123 10,421 BECKMAN COULTER INC COMMON 075811109 28,472 642,700 X 123 478,100 7,200 157,400 BED BATH & BEYOND INC COMMON 075896100 14,711 433,940 X 123 191,790 13,925 228,225 BEDFORD PROPERTY INVESTORS INC COMMON 076446301 7,877 350,100 X 123 247,800 4,500 97,800 BELLSOUTH CORP COMMON 079860102 79,635 2,087,430 X 123 1,117,975 46,390 923,065 BELO CORP-A COMMON 080555105 11,608 619,100 X 123 417,600 10,300 191,200 BERGER SMALL CAP VALUE INSTL MUT FND 083902205 533 18,919 X 123 18,919 BERKLEY WR CORP COMMON 084423102 13,699 255,100 X 123 199,150 55,950 BERKSHIRE HATHAWAY INC CL A COMMON 084670108 15,649 207 X 123 92 115 BERKSHIRE HATHAWAY INC CL B COMMON 084670207 29,341 11,620 X 123 9,957 59 1,604 BEST BUY COMPANY COMMON 086516101 63,234 849,000 X 123 286,215 9,100 553,685 INVESTMENT DISCRETION A = SOLE B = SHARED-AS DEFINED IN INSTR Y C = SHARED-OTHER PG 4 FORM 13F NAME OF REPORTING MANAGER LOOMIS SAYLES & CO., INC 12/31/01 VOTING AUTHORITY (SHARES) ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 INVEST DISCRETION NAME OF ISSUER CLASS CUSIP MKT VAL SHARES A B C MANAGERS (A)SOLE (B)SHARED (C)NONE (000) --------- --------- --------- BETHLEHEM STEEL CONV PFD SER B CV PFD 087509501 1,812 3,466,941 X 123 2,846,241 323,877 296,823 BIG LOTS INC COMMON 089302103 41 3,918 X 123 3,918 BIOGEN INC COMMON 090597105 155 2,700 X 123 200 2,500 BIOJECT MEDICAL TECHNOLOGIES COMMON 09059T206 3,792 301,200 X 123 171,300 11,900 118,000 BIOMET INC COMMON 090613100 25,982 840,837 X 123 313,565 9,800 517,472 BIOMARIN PHARMACEUTICAL INC COMMON 09061G101 4,242 315,650 X 123 288,100 27,550 BIOTECH HOLDRS TRUST COMMON 09067D201 13 100 X 123 100 BIOVAIL CORP INTL COMMON 09067J109 12,917 229,640 X 123 225,640 900 3,100 BIOMIRA INC COMMON 09161R106 8 2,000 X 123 2,000 BLACK & DECKER CORP COMMON 091797100 14,488 383,981 X 123 272,631 16,100 95,250 BLACK BOX CORP COMMON 091826107 8,614 162,900 X 123 110,400 2,600 49,900 BLACK HILLS CORP COMMON 092113109 15 450 X 123 450 BLACKROCK INC COMMON 09247X101 2,127 51,000 X 123 51,000 H & R BLOCK INC COMMON 093671105 114 2,550 X 123 2,550 BLOCKBUSTER INC-CLASS A COMMON 093679108 5,082 201,650 X 123 196,750 4,900 BOEING CO COMMON 097023105 35,204 907,791 X 123 124,045 23,475 760,271 BOISE CASCADE COMMON 097383103 14,791 434,900 X 123 308,700 5,700 120,500 BORDERS GROUP INC COMMON 099709107 1,115 56,200 X 123 10,700 45,500 BORG WARNER INC COMMON 099724106 1,181 22,600 X 123 13,900 8,700 BOSTON PRIVATE FNL HOLDING COMMON 101119105 4,588 207,900 X 123 140,300 3,400 64,200 BOSTON PROPERTIES INC COMMON 101121101 3,431 90,300 X 123 76,700 13,600 BOWATER INC COMMON 102183100 24,593 515,580 X 123 447,330 1,500 66,750 BRADY CORP CL A COMMON 104674106 110 3,000 X 123 3,000 BRIGGS & STRATTON COMMON 109043109 136 3,177 X 123 3,177 BRISTOL MYERS SQUIBB COMMON 110122108 47,343 928,293 X 123 615,193 5,775 307,325 BRITESMILE INC COMMON 110415106 2 300 X 123 300 BROADBAND TECH SUB CONV NTS CV BND 111309AC4 24 1,833,823 X 123 1,462,439 198,891 172,493 BROADCOM CORP CL A COMMON 111320107 16 400 X 123 400 BROADVISION INC COMMON 111412102 3 1,000 X 123 1,000 BROADWING INC COMMON 111620100 914 96,176 X 123 96,176 BROCADE COMMUNICATIONS SYSTEM COMMON 111621108 15,292 461,730 X 123 320,105 2,900 138,725 BROOKS AUTOMATION INC COMMON 11434A100 12,473 306,700 X 123 207,000 5,000 94,700 BROWN & BROWN INC COMMON 115236101 9,648 353,400 X 123 173,200 44,700 135,500 THE BUCKLE INC COMMON 118440106 2,152 96,500 X 123 58,800 4,000 33,700 BUILDERS TRANSPORT SUB ZERO CO CV BND 120084AA6 8 253,855 X 123 183,157 22,541 48,156 BUILDERS TRANSPORT SUB DEB CV CV BND 120084AB4 11 242,172 X 123 182,569 54,305 5,298 BURLINGTON NORTHN SANTA FE COMMON 12189T104 2,250 78,850 X 123 40,900 37,950 BURLINGTON RESOURCES INC COMMON 122014103 2,444 65,097 X 123 64,400 697 C.COR.NET CORP COMMON 125010108 2,553 175,200 X 123 134,600 40,600 CDC NVEST GROWTH & INCOME FD A MUT FND 12506S102 56 4,715 X 123 4,715 CEC ENTERTAINMENT INC COMMON 125137109 13,364 308,000 X 123 207,800 5,000 95,200 CGM CAP DEV FD MUT FND 125322107 75 3,894 X 123 3,894 C.H. ROBINSON WORLDWIDE COMMON 12541W100 12 400 X 123 400 CIGNA CORP COMMON 125509109 3,504 37,825 X 123 36,425 1,400 CML GRP INC EURO CONV 144A W/R CV BND 125820AB6 4 275,537 X 123 246,598 28,939 CMS ENERGY CORP COMMON 125896100 70 2,900 X 123 2,900 CNF INC COMMON 12612W104 599 17,864 X 123 7,964 9,900 CSG SYSTEMS INTL INC COMMON 126349109 4,757 117,600 X 123 115,100 2,500 CSX CORP COMMON 126408103 15 424 X 123 424 CVB FINANCIAL CORP COMMON 126600105 6,394 273,250 X 123 215,450 57,800 CVS CORP COMMON 126650100 3,577 120,850 X 123 105,050 500 15,300 CABOT MICROELECTRONICS CORP COMMON 12709P103 26,149 329,950 X 123 202,900 30,850 96,200 CACI INTERNATIONAL INC CL A COMMON 127190304 9,018 228,400 X 123 112,400 29,000 87,000 CADENCE DESIGN SYS INC COMMON 127387108 3,228 147,250 X 123 147,250 CAL DIVE INTL INC COMMON 127914109 9,250 374,800 X 123 344,900 29,900 INVESTMENT DISCRETION A = SOLE B = SHARED-AS DEFINED IN INSTR Y C = SHARED-OTHER PG 5 FORM 13F NAME OF REPORTING MANAGER LOOMIS SAYLES & CO., INC 12/31/01 VOTING AUTHORITY (SHARES) ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 INVEST DISCRETION NAME OF ISSUER CLASS CUSIP MKT VAL SHARES A B C MANAGERS (A)SOLE (B)SHARED (C)NONE (000) --------- --------- --------- CALDWELL & ORKIN MKT OPP FD MUT FND 128819307 56 3,000 X 123 3,000 CALIFORNIA PIZZA KITCHEN INC COMMON 13054D109 6,209 250,850 X 123 233,050 17,800 CALIPER TECHNOLOGIES CORP COMMON 130876105 112 7,200 X 123 7,200 CALPINE CORP COMMON 131347106 10,151 604,574 X 123 365,800 2,824 235,950 CAMBREX CORP COMMON 132011107 10,460 239,900 X 123 163,900 3,800 72,200 CAMINUS CORP COMMON 133766105 12,860 559,150 X 123 520,650 38,500 CAMPBELL SOUP COMMON 134429109 30 1,000 X 123 1,000 CANADIAN PACIFIC RAILWAY LTD COMMON 13645T100 3,360 172,330 X 123 125,030 47,300 CANON INC SPON ADR ADR 138006309 130 3,710 X 123 3,710 CAPITAL ONE FINL CORP COMMON 14040H105 3,517 65,182 X 123 58,182 7,000 AMERICAN FDS CAPITAL WORLD GRW MUT FND 140543109 133 5,432 X 123 5,432 CARDINAL HEALTH INC COMMON 14149Y108 30,539 472,305 X 123 226,736 3,875 241,694 CAREER EDUCATION CORP COMMON 141665109 27,736 809,100 X 123 597,350 44,200 167,550 CARNIVAL CORP CL A COMMON 143658102 25,141 895,350 X 123 777,025 2,900 115,425 CARRAMERICA COMMON 144418100 17,589 584,350 X 123 414,050 7,900 162,400 CASEYS GENERAL STORES INC COMMON 147528103 9,551 641,000 X 123 432,800 10,500 197,700 CATERPILLAR COMMON 149123101 1,280 24,498 X 123 10,850 13,648 CELESTICA INC COMMON 15101Q108 190 4,700 X 123 4,700 CENTURY TELEPHONE ENTERPRISE COMMON 156700106 43,140 1,315,236 X 123 700,645 9,450 605,141 CEPHALON INC COMMON 156708109 4,048 53,550 X 123 52,450 1,100 CERIDIAN CORP NEW COMMON 156779100 3,827 204,083 X 123 116,283 13,200 74,600 CERTEGY INC COMMON 156880106 92 2,700 X 123 2,700 CHALONE WINE GROUP LTD COMMON 157639105 1 117 X 123 117 CHARLES RIVER LABS COMMON 159864107 21,086 629,800 X 123 494,400 26,000 109,400 CHARTER ONE FIN INC COMMON 160903100 2,281 83,999 X 123 63,666 525 19,808 CHARLOTTE RUSSE HOLDING INC COMMON 161048103 4,267 229,300 X 123 156,900 3,800 68,600 CHARTER COMMUNICATIONS INC A COMMON 16117M107 26 1,600 X 123 550 550 500 CHEESECAKE FACTORY COMMON 163072101 18,651 536,425 X 123 268,875 65,825 201,725 CHEVRONTEXACO CORP COMMON 166764100 74,863 835,431 X 123 541,430 4,654 289,347 CHICOS FAS INC COMMON 168615102 13,062 329,025 X 123 306,150 22,875 CHOICEPOINT INC COMMON 170388102 21,448 423,125 X 123 228,550 48,275 146,300 CHUBB CORP COMMON 171232101 3,963 57,441 X 123 42,000 200 15,241 CIENA CORP COMMON 171779101 2,101 146,800 X 123 105,350 650 40,800 CIENA CORP SUB CONV DEB CV BND 171779AA9 10,271 151,626 X 123 116,895 17,389 17,341 CINCINNATI FINANCIAL CORP COMMON 172062101 46 1,200 X 123 1,200 CINERGY CORP COMMON 172474108 3,821 114,300 X 123 90,900 23,400 CIRCUIT CITY STORES-CIRCUIT GP COMMON 172737108 277 10,675 X 123 10,675 CISCO SYSTEMS INC COMMON 17275R102 91,519 5,053,492 X 123 1,711,278 80,210 3,262,004 CITIGROUP INC COMMON 172967101 184,054 3,646,079 X 123 1,861,124 41,528 1,743,427 CITRIX SYSTEMS INC COMMON 177376100 34,941 1,541,970 X 123 568,120 25,425 948,425 CITY NATIONAL CORP COMMON 178566105 12,008 256,300 X 123 200,750 2,100 53,450 CLEAR CHANNEL COMMUNICATIONS COMMON 184502102 1,414 27,766 X 123 25,066 2,700 CLOROX CO COMMON 189054109 20 500 X 123 500 COACH INC COMMON 189754104 5,461 140,106 X 123 122,700 17,406 COCA-COLA COMMON 191216100 11,098 235,372 X 123 73,260 162,112 COGNOS INC COMMON 19244C109 1,085 43,400 X 123 43,400 COLE NATL CORP -A COMMON 193290103 7,878 476,000 X 123 322,900 7,800 145,300 COLGATE PALMOLIVE COMMON 194162103 2,811 48,670 X 123 14,908 33,762 COLONIAL BANCGROUP INC COMMON 195493309 10,486 744,200 X 123 511,400 11,700 221,100 COMCAST CORP CL A COMMON 200300101 65 1,800 X 123 1,800 COMCAST CORP CL A SPL COMMON 200300200 14,624 406,210 X 123 325,245 1,700 79,265 COMERICA INC COMMON 200340107 6,270 109,425 X 123 85,800 23,625 COMMERCE BANCORP INC N J COMMON 200519106 3,279 83,340 X 123 83,340 COMMERCIAL FEDERAL CORP COMMON 201647104 9,108 387,562 X 123 257,637 6,300 123,625 COMMONWEALTH TELEPHONE ENTRP COMMON 203349105 10,338 227,200 X 123 154,400 3,600 69,200 INVESTMENT DISCRETION A = SOLE B = SHARED-AS DEFINED IN INSTR Y C = SHARED-OTHER PG 6 FORM 13F NAME OF REPORTING MANAGER LOOMIS SAYLES & CO., INC 12/31/01 VOTING AUTHORITY (SHARES) ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 INVEST DISCRETION NAME OF ISSUER CLASS CUSIP MKT VAL SHARES A B C MANAGERS (A)SOLE (B)SHARED (C)NONE (000) --------- --------- --------- COMMSCOPE INC COMMON 203372107 755 35,500 X 123 35,500 COMMSCOPE INC SUB CVT CV BND 203372AB3 2,449 61,444 X 123 51,878 3,341 6,225 CEMIG SA SPONS ADR ADR 204409601 342 23,600 X 123 23,600 CIA PARANAENSE ENER-SP ADR P ADR 20441B407 204 26,000 X 123 26,000 COMPAQ COMPUTER COMMON 204493100 5,397 553,001 X 123 464,981 21,900 66,120 COMPUCREDIT CORP COMMON 20478N100 6 500 X 123 500 COMPUTER ASSOCIATES INTL COMMON 204912109 5,199 150,727 X 123 132,072 18,655 COMPUTER NETWORK TECH CORP COMMON 204925101 5,658 318,050 X 123 294,650 23,400 COMPUTER SCIENCE CORP COMMON 205363104 4,376 89,350 X 123 73,000 16,350 COMPUTERIZED THERMAL IMAGING COMMON 20557C108 5 3,000 X 123 3,000 COMPUWARE CORP COMMON 205638109 1,104 93,650 X 123 72,900 1,000 19,750 COMVERSE TECHNOLOGY INC COMMON 205862402 702 31,400 X 123 30,200 1,200 COMVERSE TECH CVT CV BND 205862AJ4 42,526 21,492 X 123 20,116 215 1,161 CONAGRA INC COMMON 205887102 150 6,300 X 123 6,300 CONCORD COMMUNICATIONS INC COMMON 206186108 10,925 529,050 X 123 491,500 37,550 CONCORD EFS INC COMMON 206197105 94,511 2,883,182 X 123 1,214,455 45,450 1,623,277 CONCURRENT COMPUTER CORP COMMON 206710204 8,786 591,650 X 123 288,350 76,100 227,200 CONEXANT SYSTEMS INC COMMON 207142100 3,170 220,760 X 123 171,000 49,760 CONOCO INC COMMON 208251504 65,536 2,315,771 X 123 1,332,687 24,581 958,503 CONSECO INC COMMON 208464107 73 16,400 X 123 1,600 14,800 CONSOLIDATED EDISON INC COMMON 209115104 391 9,700 X 123 3,200 6,500 CONSTELLATION ENERGY GROUP COMMON 210371100 2,015 75,900 X 123 49,600 26,300 CONVERGYS CORP COMMON 212485106 2,107 56,200 X 123 53,200 3,000 CONVERIUM HOLDING AG-ADR ADR 21248N107 166 6,800 X 123 6,800 COOPER COMPANIES INC COMMON 216648402 16,791 335,950 X 123 237,600 4,500 93,850 COORS (ADOLPH) CL B COMMON 217016104 2,755 51,600 X 123 51,600 CORN PRODUCTS INTERNATIONAL COMMON 219023108 13,391 379,900 X 123 269,050 5,000 105,850 CORNING INC COMMON 219350105 260 29,100 X 123 7,500 21,600 CORNING INC ZERO CPN CV BND 219350AJ4 1,045 16,661 X 123 16,661 CORPORATE EXECUTIVE BOARD COMMON 21988R102 31,256 851,662 X 123 563,462 74,900 213,300 CORPORATE HIGH YIELD FUND Closed E 219914108 65 7,793 X 123 7,793 CORPORATE OFFICE PROPERTIES TR COMMON 22002T108 6,136 516,900 X 123 351,400 8,500 157,000 COST PLUS INC CALIFORNIA COMMON 221485105 93 3,500 X 123 3,500 COUNTRYWIDE CR INDS INC COMMON 222372104 1,102 26,900 X 123 7,200 19,700 COVANSYS CORP COMMON 22281W103 734 82,000 X 123 82,000 COX COMMUNICATIONS INC -CL A COMMON 224044107 24,991 596,300 X 123 46,750 8,050 541,500 COX RADIO INC CL A COMMON 224051102 2,005 78,700 X 123 74,800 3,900 CP SHIPS LTD COMMON 22409V102 1 75 X 123 75 CRANE CO COMMON 224399105 26 1,000 X 123 1,000 CREE INC COMMON 225447101 19,327 656,050 X 123 405,750 60,500 189,800 CROWN MEDIA HOLDINGS CL A COMMON 228411104 11,285 999,600 X 123 674,900 16,400 308,300 CUBIST PHARMACEUTICALS INC COMMON 229678107 104 2,900 X 123 2,900 CUMULUS MEDIA INC CL A COMMON 231082108 6,503 401,900 X 123 373,300 28,600 CYPRESS SEMICONDUCTOR COMMON 232806109 987 49,510 X 123 48,000 1,510 CYPRESS SEMICONDUCTOR SUB CONV CV BND 232806AE9 10,828 268,756 X 123 244,324 21,730 2,703 CYPRESS SEMICONDUCTOR SUB CVT CV BND 232806AF6 41,628 808,578 X 123 593,543 132,778 82,257 CYTEC INDS COMMON 232820100 20 726 X 123 726 CYTYC CORP COMMON 232946103 8,650 331,400 X 123 199,550 131,850 DQE INC COMMON 23329J104 727 38,400 X 123 38,400 D.R. HORTON INC COMMON 23331A109 11,455 352,887 X 123 249,866 4,760 98,261 DST SYSTEMS COMMON 233326107 837 16,800 X 123 500 16,300 DSP GROUP INC COMMON 23332B106 5,862 252,000 X 123 170,100 4,100 77,800 DTE ENERGY CO COMMON 233331107 63 1,500 X 123 1,500 DVI INC COMMON 233343102 5,532 321,600 X 123 217,400 5,300 98,900 DAILY MAIL & GENERAL TST NV COMMON 2338099A2 111 12,000 X 123 12,000 INVESTMENT DISCRETION A = SOLE B = SHARED-AS DEFINED IN INSTR Y C = SHARED-OTHER PG 7 FORM 13F NAME OF REPORTING MANAGER LOOMIS SAYLES & CO., INC 12/31/01 VOTING AUTHORITY (SHARES) ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 INVEST DISCRETION NAME OF ISSUER CLASS CUSIP MKT VAL SHARES A B C MANAGERS (A)SOLE (B)SHARED (C)NONE (000) --------- --------- --------- DAIRY MART CONVENIENCE STORE COMMON 233860303 16 20,000 X 123 20,000 DALLAS SEMICONDUCTOR CORP COMMON 235204104 1,530 57,500 X 123 57,500 DANA CORP COMMON 235811106 210 15,100 X 123 15,100 DANAHER CORP COMMON 235851102 9,505 157,601 X 123 125,401 32,200 DARDEN RESTAURANTS INC COMMON 237194105 687 19,400 X 123 4,000 15,400 DAVIS NY VENTURE FUND B MUT FND 239080203 6 254 X 123 254 DEERE & CO COMMON 244199105 3,897 89,250 X 123 69,350 19,900 DELAWARE GRP TAX FREE USA FD MUT FND 245909106 46 4,202 X 123 4,202 DELL COMPUTER COMMON 247025109 45,052 1,657,556 X 123 868,256 20,200 769,100 DELPHI AUTO SYSTEMS COMMON 247126105 2 139 X 123 139 DELTA AIRLINES COMMON 247361108 35 1,200 X 123 600 600 DELUXE CORP COMMON 248019101 4,740 114,000 X 123 114,000 DEVELOPERS DIVERS REALTY COMMON 251591103 9,429 493,650 X 123 283,700 6,450 203,500 DEVON ENERGY CORP COMMON 25179M103 1,214 31,400 X 123 31,400 DEVON ENERGY CVT CV BND 25179MAA1 10,450 97,276 X 123 79,552 9,795 7,929 DEVON ENERGY CVT CV BND 25179MAB9 14,225 131,268 X 123 110,979 6,530 13,759 DIAGO PLC SPON ADR ADR 25243Q205 201 4,340 X 123 4,340 DIAMOND OFFSHORE DRILLING COMMON 25271C102 6,809 223,982 X 123 213,575 10,407 DIANON SYSTEMS INC COMMON 252826102 14,759 242,750 X 123 225,550 17,200 DICUT INC COMMON 253616106 11 45,000 X 123 45,000 DIEBOLD INC COMMON 253651103 3,073 76,000 X 123 76,000 DIGITAL INSIGHT COMMON 25385P106 13,007 581,700 X 123 466,800 114,900 DIME BANCORP COMMON 25429Q102 2,634 73,000 X 123 73,000 THE WALT DISNEY CO COMMON 254687106 29,586 1,427,877 X 123 1,158,042 11,700 258,135 DIXIE GROUP INC SUB DEB CONV CV BND 255519AA8 704 72,888 X 123 56,957 5,994 9,938 DOCTOR REDDYS LAB ADR ADR 256135203 2,573 135,760 X 123 113,360 1,400 21,000 DODGE & COX STOCK FUND MUT FND 256219106 491 4,884 X 123 4,884 DOLLAR TREE STORES INC COMMON 256747106 3,808 123,200 X 123 89,150 34,050 DOMINION RESOURCES BLACK WARRI COMMON 25746Q108 158 8,000 X 123 8,000 DOMINION RES INC VA COMMON 25746U109 1,997 33,221 X 123 20,050 13,171 DONNELLEY RR&SONS COMMON 257867101 290 9,759 X 123 1,700 8,059 DOVER CORP COMMON 260003108 2,345 63,250 X 123 30,850 32,400 DOVER DOWNS ENTERTAINMENT INC COMMON 260086103 6,593 430,900 X 123 290,500 7,100 133,300 DOW CHEMICAL COMMON 260543103 12,589 372,673 X 123 239,541 7,550 125,582 DOWNEY FINANCIAL CORP COMMON 261018105 14,477 350,950 X 123 253,050 4,200 93,700 DUPONT E I COMMON 263534109 10,355 243,599 X 123 134,504 6,400 102,695 DUKE ENERGY CORP COMMON 264399106 496 12,624 X 123 8,000 4,624 DUKE REALTY INVESTMENTS INC COMMON 264411505 1,709 70,250 X 123 23,550 46,700 DUN & BRADSTREET CORP NEW COMMON 26483E100 5,021 142,250 X 123 129,750 12,500 DUNES HOTELS & CASINOS INC COMMON 265440107 25 X 123 25 DUPONT PHOTOMASKS INC COMMON 26613X101 943 21,700 X 123 21,700 DYNEGY INC COMMON 26816Q101 1,176 46,110 X 123 39,610 6,500 ECI TELECOM COMMON 268258100 6 1,100 X 123 1,100 EMC CORP COMMON 268648102 18,354 1,365,592 X 123 795,784 15,781 554,027 ENSCO INTL INC COMMON 26874Q100 6,721 270,450 X 123 244,550 25,900 EOG RESOURCES INC COMMON 26875P101 35 900 X 123 900 EPIQ SYSTEMS INC COMMON 26882D109 7,338 379,200 X 123 352,200 27,000 EVI INC CONV PFD 5% CV PFD 268939402 48,991 1,001,068 X 123 747,033 145,766 108,270 EAST WEST BANCORP INC COMMON 27579R104 13,732 533,300 X 123 362,500 8,600 162,200 EASTMAN CHEMICAL CO COMMON 277432100 13 322 X 123 60 262 EASTMAN KODAK COMMON 277461109 85 2,900 X 123 250 2,650 EATON CORP COMMON 278058102 6,823 91,694 X 123 82,400 9,294 EBAY INC COMMON 278642103 14,082 210,495 X 123 85,520 2,100 122,875 ECOLAB INC COMMON 278865100 434 10,784 X 123 10,784 ECONNECT INC COMMON 27889S107 3,800 X 123 3,800 INVESTMENT DISCRETION A = SOLE B = SHARED-AS DEFINED IN INSTR Y C = SHARED-OTHER PG 8 FORM 13F NAME OF REPORTING MANAGER LOOMIS SAYLES & CO., INC 12/31/01 VOTING AUTHORITY (SHARES) ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 INVEST DISCRETION NAME OF ISSUER CLASS CUSIP MKT VAL SHARES A B C MANAGERS (A)SOLE (B)SHARED (C)NONE (000) --------- --------- --------- EDISON INTERNATIONAL COMMON 281020107 57 3,800 X 123 3,800 J D EDWARDS & CO COMMON 281667105 239 14,500 X 123 14,500 EDWARDS (A.G.) INC COMMON 281760108 89 2,025 X 123 2,025 EDWARDS LIFESCIENCES CORP COMMON 28176E108 200 7,222 X 123 6,390 832 EFUNDS CORP COMMON 28224R101 864 62,859 X 123 62,859 EL PASO CORPORATION COMMON 28336L109 90,346 2,025,247 X 123 1,273,771 16,089 735,387 ELAN CORP PLC -SP ADR ADR 284131208 2,922 64,840 X 123 54,240 10,600 ELANTEC SEMICONDUCTOR INC COMMON 284155108 18,660 485,950 X 123 455,400 30,550 ELECTRONIC DATA SYSTEMS CORP COMMON 285661104 3,103 45,260 X 123 37,060 5,025 3,175 ELECTRONICS FOR IMAGING COMMON 286082102 12,003 538,025 X 123 362,225 8,600 167,200 EMBARCADERO TECHNOLOGIES COMMON 290787100 18,959 783,450 X 123 610,800 172,650 EMBRAER AIRCRAFT CORP -SP ADR ADR 29081M102 380 17,192 X 123 17,192 EMCOR GROUP INC COMMON 29084Q100 9,856 217,100 X 123 200,100 17,000 EMERSON ELEC COMMON 291011104 6,114 107,068 X 123 79,550 27,518 EMPRESAS ICA SOC SUB DEB CONV CV BND 292448AC1 24,586 1,141,029 X 123 923,985 116,742 100,302 EMULEX CORP COMMON 292475209 19,362 490,050 X 123 245,700 61,850 182,500 ENERGY FACTORS SUB DEB CONV CV BND 292667AB8 42 2,020 X 123 2,020 ENERGY EAST CORP COMMON 29266M109 18,007 948,250 X 123 681,350 10,300 256,600 ENGLEHARD CORP COMMON 292845104 8,535 308,350 X 123 220,100 88,250 ENRON CORP COMMON 293561106 3 4,300 X 123 4,300 ENTEGRIS INC COMMON 29362U104 4,634 422,850 X 123 360,150 62,700 ENTERASYS NETWORKS INC COMMON 293637104 7,612 860,100 X 123 733,600 126,500 ENTERCOM COMMUNICATIONS CORP COMMON 293639100 20,065 401,300 X 123 199,100 50,800 151,400 ENTERGY CORP NEW COMMON 29364G103 63,680 1,628,226 X 123 757,285 14,025 856,916 ENZON INC COMMON 293904108 2,513 44,650 X 123 43,750 900 EQUIFAX INC COMMON 294429105 191 7,900 X 123 7,900 EQUITY OFFICE PROPERTIES TR COMMON 294741103 3,054 101,524 X 123 101,524 EQUITY RESIDENTIAL PROPS TR COMMON 29476L107 1,146 39,900 X 123 24,700 15,200 EQUITY RESIDTL CVT PFD G 7.25% CV PFD 29476L859 9,276 156,486 X 123 124,348 28,297 3,841 ESCO TECHNOLOGIES COMMON 296315104 3,216 93,244 X 123 79,000 14,244 ESPEED INC CL A COMMON 296643109 49 5,900 X 123 5,900 BP AMOCO PLC COMMON 2980001E0 2,807 361,800 X 123 293,600 68,200 CARREFOUR SA COMMON 2980001H3 2,964 57,000 X 123 48,300 8,700 CHINA TELECOM COMMON 2980001L4 164 46,500 X 123 46,500 CORP INTERAMERICANA COMMON 2980001R1 413 180,708 X 123 180,708 DBS GROUP HLDGS LTD COMMON 2980001U4 2,406 322,000 X 123 273,000 49,000 GUJARAT AMBUJA CEMENT SP COMMON 2980002N9 155 38,400 X 123 38,400 NEC CORP COMMON 2980003B4 2,173 213,000 X 123 177,000 36,000 NIPPON SYSTEM DEVELOPMENT CO COMMON 2980003C2 2,187 54,900 X 123 46,300 8,600 SHOHKOH FUND & CO LTD COMMON 2980003N8 1,107 13,950 X 123 11,850 2,100 SONY CORP COMMON 2980003Q1 1,143 25,000 X 123 20,000 5,000 TOTAL FINA SA-B COMMON 2980003Z1 3,360 23,526 X 123 19,975 3,551 ENI SPA COMMON 2981XEUR1 3,318 264,650 X 123 226,100 38,550 NOKIA OYJ COMMON 29849EUR2 3,156 122,400 X 123 100,700 2,400 19,300 STORA ENSO OYJ R SHS COMMON 29850EUR8 2,836 221,500 X 123 183,500 38,000 CELESTICA INC COMMON 2987009G2 2,762 68,900 X 123 56,600 1,500 10,800 SSANGYONG OIL REFNG SUB CONV CV BND 2987010A2 72 11,501 X 123 11,501 THERMO TERRATECH EURO CONV CV BND 2987010H7 5,695 365,974 X 123 281,069 37,736 47,170 FEDERAL RLTY INVS TR CONV EURO CV BND 2987021Q4 20,304 2,888,176 X 123 2,412,485 336,803 138,888 FMC CORP EURO CONV CV BND 2987021Z4 5,471 1,876,030 X 123 1,876,030 CML GROUP CONV EURO CV BND 2987023T6 8 515,818 X 123 437,681 56,914 21,222 BANGKOK BANK PUB EURO CONV CV BND 2987027D7 3,807 642,441 X 123 642,441 OGDEN SUB DEB CONV EURO CV BND 298703018 7,494 298,998 X 123 256,028 42,971 SIAM COMMERCIAL BANK FOR REG COMMON 2987038G7 75 197,000 X 123 197,000 SIAM COMMERCIAL BANK WTS WTS 298705146 12 422,000 X 123 150,000 150,000 122,000 INVESTMENT DISCRETION A = SOLE B = SHARED-AS DEFINED IN INSTR Y C = SHARED-OTHER PG 9 FORM 13F NAME OF REPORTING MANAGER LOOMIS SAYLES & CO., INC 12/31/01 VOTING AUTHORITY (SHARES) ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 INVEST DISCRETION NAME OF ISSUER CLASS CUSIP MKT VAL SHARES A B C MANAGERS (A)SOLE (B)SHARED (C)NONE (000) --------- --------- --------- SHIRE PHARMACEUTICALS GROUP COMMON 298705377 3,008 239,731 X 123 198,000 41,731 LIHIR GOLD LTD COMMON 298705468 262 433,000 X 123 433,000 AMERICAN EUROPACIFIC GRWTH FD MUT FND 298706102 352 13,096 X 123 13,096 LOXLEY PUBLIC CO LTD - CLEARST COMMON 29871A318 2,396 13,764,361 X 123 12,444,578 1,319,783 LOXLEY PUBLIC CO LTD - PHYSICA COMMON 29871A334 483 2,772,472 X 123 2,772,472 SAMSUNG ELECTRONICS CO LTD COMMON 29871A425 3,673 17,290 X 123 14,060 330 2,900 BILLITON PLC COMMON 29871A730 3,006 591,800 X 123 498,300 93,500 ORIX CORP COMMON 29871A771 2,983 33,300 X 123 28,100 5,200 TALISMAN ENERGY INC COMMON 29871A789 1,205 31,800 X 123 25,800 6,000 NORTEL NETWORKS CORP COMMON 29871A888 X 123 VENTURE MFG (SINGAPORE) LTD COMMON 29871A920 43 6,000 X 123 6,000 THERMO ELECTRON EURO CONV REGS CV BND 29871B175 2,008 53,175 X 123 53,175 HUANENG POWER INTL INC H COMMON 29871B407 2,230 3,700,000 X 123 2,928,000 772,000 INFINEON TECHNOLOGIES AG COMMON 29871B563 3,723 182,200 X 123 150,000 1,600 30,600 BRITISH SKY BROADCASTING COMMON 29871B704 1,460 132,700 X 123 111,700 21,000 VIVENDI (EX-GEN DES EAUX) COMMON 29871B761 3,570 65,200 X 123 53,100 700 11,400 THK COMPANY LTD COMMON 29871B910 74 5,100 X 123 2,300 2,800 HSBC HOLDINGS PLC COMMON 29871C843 262 22,400 X 123 22,400 SANOFI SYNTHELABO SA COMMON 29871D239 3,634 48,700 X 123 40,900 7,800 NEW CORP LTD COMMON 29871D270 858 107,300 X 123 80,700 26,600 NOVO NORDISK A/S CL B COMMON 29871D296 2,985 73,000 X 123 60,400 12,600 AVENTIS SA COMMON 29871D312 2,748 38,700 X 123 32,600 6,100 NITTO DENKO CORP COMMON 29871D429 1,089 47,100 X 123 38,500 1,600 7,000 BANCO SANTANDER CENTRAL HISPAN COMMON 29871D486 2,682 320,100 X 123 269,600 50,500 NESTLE SA REGS COMMON 29871D502 3,411 16,000 X 123 13,500 2,500 SWISS RE REGS COMMON 29871D510 2,806 27,900 X 123 23,500 4,400 UBS AG REGS COMMON 29871D528 4,427 87,706 X 123 74,305 13,401 SK TELECOM COMMON 29871D577 698 3,420 X 123 3,220 200 FOSTERS GROUP LTD COMMON 29871D791 2,398 964,100 X 123 809,200 154,900 ALLIED DOMECQ PLC COMMON 29871D965 2,930 494,400 X 123 415,000 79,400 DIAGEO PLC COMMON 29871E120 3,356 293,900 X 123 250,200 43,700 MUENCHENER RUECKVER AG REG COMMON 29871E153 3,313 12,200 X 123 10,300 1,900 INTERBREW COMMON 29871E237 3,373 123,200 X 123 104,400 18,800 KONINKLIJKE AHOLD NV COMMON 29871E377 3,166 108,800 X 123 91,300 17,500 OTP BANK RT COMMON 29871E468 330 5,500 X 123 5,500 ANGLO IRISH BANK CORP PLC COMMON 29871E518 3,959 1,022,096 X 123 851,100 170,996 SAMSUNG SECURITIES CO LTD COMMON 29871E559 1,670 45,840 X 123 40,550 5,290 PORTUGAL TELECOM SGPS SA REGS COMMON 29871E674 5,100 654,600 X 123 549,989 104,611 CANON INC COMMON 29871E682 2,478 72,000 X 123 59,000 13,000 SEGA CORP COMMON 29871E724 2,504 125,500 X 123 102,800 1,800 20,900 NINTENDO CO LTD COMMON 29871E781 3,502 20,000 X 123 16,700 200 3,100 AUSTEREO GROUP LTD COMMON 29871F416 45 39,500 X 123 39,500 TAKEFUJI CORP COMMON 29871F572 2,076 28,700 X 123 24,100 4,600 WESFARMERS LIMITED COMMON 29871F598 2,763 174,200 X 123 147,200 27,000 MATSUMOTOKIYOSHI CO LTD COMMON 29871F622 1,989 56,300 X 123 47,000 9,300 THE INTERNATIONAL WINE INVESTM MUT FND 29871F630 48 33,200 X 123 33,200 ANGLO AMERICAN PLC COMMON 29871F663 1,850 122,100 X 123 105,300 16,800 COAL & ALLIED INDUSTRIES LTD COMMON 29871F705 38 3,200 X 123 3,200 TRANSCANADA PIPELINES LTD COMMON 29871F713 2,729 219,200 X 123 184,000 35,200 GLAXOSMITHKLINE PLC COMMON 29871F747 2,792 111,400 X 123 93,400 18,000 CAPITA GROUP COMMON 29899C106 5,924 830,300 X 123 690,200 140,100 COMPASS GROUP COMMON 29899D104 3,235 431,600 X 123 357,000 74,600 VODAFONE GROUP PLC COMMON 29899E102 4,804 1,839,049 X 123 1,527,851 12,800 298,398 TELEFONICA S A COMMON 298EUR132 2,689 200,951 X 123 171,080 29,871 EVERGREEN RESOURCES INC COMMON 299900308 4,934 127,800 X 123 86,300 2,100 39,400 INVESTMENT DISCRETION A = SOLE B = SHARED-AS DEFINED IN INSTR Y C = SHARED-OTHER PG 10 FORM 13F NAME OF REPORTING MANAGER LOOMIS SAYLES & CO., INC 12/31/01 VOTING AUTHORITY (SHARES) ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 INVEST DISCRETION NAME OF ISSUER CLASS CUSIP MKT VAL SHARES A B C MANAGERS (A)SOLE (B)SHARED (C)NONE (000) --------- --------- --------- EVERGREEN SMALL CO GROWTH-A MUT FND 30023C749 1 X 123 1 EXELON CORP COMMON 30161N101 9,338 195,034 X 123 184,646 10,388 EXELIXIS INC COMMON 30161Q104 15,926 958,250 X 123 727,100 66,750 164,400 EXIDE CORP 144A CVT SUB NTS P/ CV BND 302051AF4 5,581 1,037,386 X 123 872,640 116,941 47,805 EXODUS COMMUNICATIONS INC COMMON 302088109 2 43,600 X 123 43,600 EXXON MOBIL CORP COMMON 30231G102 147,020 3,740,970 X 123 2,199,483 39,150 1,502,337 FEI COMPANY COMMON 30241L109 19,116 606,650 X 123 337,450 55,000 214,200 FPA PARAMOUNT FUND MUT FND 302546106 68 6,976 X 123 6,976 FPA PERENNIAL FUND MUT FND 302548102 144 6,210 X 123 6,210 FPL GROUP INC COMMON 302571104 3,038 53,859 X 123 38,200 15,659 FAIRMONT HOTELS & RESORTS COMMON 305204109 7,611 318,440 X 123 255,115 63,325 FAMILY DOLLAR STORES INC COMMON 307000109 2,183 72,800 X 123 72,500 300 FASTENAL CO COMMON 311900104 33 500 X 123 500 FREDDIE MAC COMMON 313400301 63,195 966,281 X 123 406,422 25,750 534,109 FEDERAL NATL MTG COMMON 313586109 66,686 838,819 X 123 549,397 3,225 286,197 FEDERAL REALTY INVS TRUST COMMON 313747206 46 2,000 X 123 2,000 FEDERATED DEPT STORES COMMON 31410H101 43,942 1,074,370 X 123 947,545 3,200 123,625 FEDERATED INVESTORS INC CL-B COMMON 314211103 17,395 545,650 X 123 448,150 97,500 FEDEX CORP COMMON 31428X106 17 330 X 123 200 130 FERRO CORP COMMON 315405100 11,386 441,300 X 123 297,600 7,200 136,500 F5 NETWORKS INC COMMON 315616102 5,428 252,000 X 123 234,100 17,900 FIDELITY SPART TOTAL MKT IDX MUT FND 315911404 400 13,525 X 123 13,525 FIDELITY SPART MARKET INDEX MUT FND 315912204 247 3,135 X 123 3,135 FIDELITY SELECT DEVEL COMM FD MUT FND 316390566 27 1,412 X 123 1,412 FIDELITY SEL SOFTWARE & CMPTRS MUT FND 316390822 39 820 X 123 820 FIDELITY SELECT ELECTRS MUT FND 316390863 53 1,078 X 123 1,078 FIDELITY SELECT COMPUTERS MUT FND 316390871 27 712 X 123 712 FIFTH THIRD BANCORP COMMON 316773100 1,635 26,653 X 123 22,900 200 3,553 FINANCIAL FEDERAL CORP COMMON 317492106 7,338 234,800 X 123 158,900 3,900 72,000 FINOVA GROUP INC COMMON 317928109 25 40,600 X 123 40,200 400 FIRST DATA CORP COMMON 319963104 85,493 1,089,780 X 123 812,690 5,725 271,365 FIRST HORIZON PHARMACEUTICAL C COMMON 32051K106 17,953 610,850 X 123 571,350 39,500 FIRST MIDWEST BANCORP INC COMMON 320867104 10,052 344,375 X 123 232,500 5,625 106,250 FIRST TENN NATL COR COMMON 337162101 1,634 45,054 X 123 22,492 22,562 FIRST VIRGINIA BKS COMMON 337477103 114 2,250 X 123 2,250 FISERV INC COMMON 337738108 7,235 170,960 X 123 37,050 133,910 FIRSTENERGY COMMON 337932107 28,912 826,518 X 123 680,655 3,700 142,163 FIRSTHAND TECHNOLOGY VALUE MUT FND 337941108 83 2,010 X 123 2,010 FIRSTHAND TECHNOLOGY LEADERS MUT FND 337941306 73 3,896 X 123 3,896 FLEET BOSTON FINL CORP COMMON 339030108 54,385 1,489,999 X 123 777,901 11,225 700,873 FLUOR CORP NEW COMMON 343412102 252 6,750 X 123 6,750 FLOWERS FOODS INC COMMON 343498101 12,012 300,900 X 123 203,700 5,000 92,200 FLOWSERVE CORP COMMON 34354P105 8,236 309,500 X 123 208,900 5,100 95,500 FORD MOTOR CO COMMON 345370860 244 15,491 X 123 349 15,142 FORDING INC COMMON 345426100 1,265 70,813 X 123 51,193 19,620 FOREST LABS COMMON 345838106 53,311 650,530 X 123 242,990 10,100 397,440 FORTUNE BRANDS INC COMMON 349631101 6,766 170,900 X 123 134,250 36,650 FOSSIL INC COMMON 349882100 8,415 400,700 X 123 271,400 6,600 122,700 FOSTERS GROUP LTD- SP ADR ADR 350258307 157 62,700 X 123 62,700 FRANKLIN (AGE) HI INC CL I MUT FND 353538101 2 966 X 123 966 FRANKLIN RESOURCES COMMON 354613101 48 1,350 X 123 1,350 FRANKLIN UNIVERSAL TRUST Closed E 355145103 3 371 X 123 371 FRIEDMAN BILLING RAMSEY CL A COMMON 358433100 18 3,500 X 123 1,500 2,000 FURNITURE BRANDS INTL INC COMMON 360921100 22,286 696,000 X 123 499,000 9,800 187,200 GATX CORP COMMON 361448103 20,266 623,200 X 123 474,350 6,200 142,650 INVESTMENT DISCRETION A = SOLE B = SHARED-AS DEFINED IN INSTR Y C = SHARED-OTHER PG 11 FORM 13F NAME OF REPORTING MANAGER LOOMIS SAYLES & CO., INC 12/31/01 VOTING AUTHORITY (SHARES) ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 INVEST DISCRETION NAME OF ISSUER CLASS CUSIP MKT VAL SHARES A B C MANAGERS (A)SOLE (B)SHARED (C)NONE (000) --------- --------- --------- GABELLI EQUITY TRUST MUT FND 362397101 25 X 123 25 GABELLI GLOBAL MUTIMEDIA TR MUT FND 36239Q109 2 X 123 2 GABELLI UTILITY TRUST Closed E 36240A101 1 X 123 1 GALLAGHER A J COMMON 363576109 10,706 310,400 X 123 237,800 2,200 70,400 GANNETT CO COMMON 364730101 8,384 124,700 X 123 94,500 30,200 GAP INC COMMON 364760108 64 4,565 X 123 890 3,675 GARDNER DENVER INC COMMON 365558105 3,469 155,400 X 123 88,900 6,100 60,400 GARTNER GROUP INC CL A COMMON 366651107 30 2,600 X 123 2,600 GATEWAY INC COMMON 367626108 15 1,900 X 123 1,900 GEMSTAR- TV GUIDE INTL INC COMMON 36866W106 5,396 194,800 X 123 190,300 4,500 GENENTECH INC COMMON 368710406 15,105 278,429 X 123 161,344 9,360 107,725 GEN DYNAMICS COMMON 369550108 30,357 381,180 X 123 325,805 1,100 54,275 GENERAL ELECTRIC COMMON 369604103 122,502 3,056,443 X 123 1,482,919 43,121 1,530,403 GEN MILLS COMMON 370334104 3,367 64,743 X 123 21,880 2,400 40,463 GENERAL MOTORS CORP COMMON 370442105 4,202 86,453 X 123 67,469 4,200 14,784 GEN MOTORS CL H COMMON 370442832 783 50,681 X 123 43,348 750 6,583 GENTEX CORP COMMON 371901109 6,477 242,300 X 123 165,800 3,900 72,600 GENESIS MICROCHIP INC COMMON 371933102 22,249 336,500 X 123 316,250 350 19,900 GENTA INC COMMON 37245M207 1 100 X 123 100 GENUINE PARTS COMMON 372460105 64 1,744 X 123 225 1,519 GENZYME CORP -GENL DIVISION COMMON 372917104 1,670 27,900 X 123 23,900 4,000 GENZYME -MOLECULAR ONCOLOGY COMMON 372917500 2 216 X 123 216 GENZYME CORP BIOSURGERY DIVISI COMMON 372917708 1 236 X 123 236 GEORGIA PAC COMMON 373298108 2,479 89,794 X 123 77,100 12,694 GILEAD SCIENCES INC COMMON 375558103 1,906 29,000 X 123 29,000 GILLETTE CO COMMON 375766102 2,713 81,213 X 123 41,666 39,547 GLAXOSMITHKLINE PLC-ADR ADR 37733W105 6,103 122,498 X 123 66,898 455 55,145 GLIMCHER REALTY TRUST COMMON 379302102 6,372 338,400 X 123 230,700 5,400 102,300 GLOBAL PAYMENTS INC COMMON 37940X102 14,408 418,850 X 123 212,150 44,700 162,000 GLOBAL POWER EQUIPMENT GROUP COMMON 37941P108 4,009 266,200 X 123 179,800 4,400 82,000 GLOBESPAN VIRATA INC COMMON 37957V106 26,287 2,029,895 X 123 1,407,770 124,200 497,925 GLYCOMED INC SUB DEB CONV CV BND 380002AA3 24,668 1,006,942 X 123 690,841 249,057 67,044 GOLDEN WEST FINL COMMON 381317106 2,566 43,600 X 123 43,600 GOLDMAN SACHS GROUP COMMON 38141G104 18,903 203,805 X 123 85,380 2,000 116,425 W R GRACE & CO COMMON 38388F108 5 3,000 X 123 3,000 GRAINGER W W COMMON 384802104 163 3,400 X 123 3,400 GRANT PRIDECO INC COMMON 38821G101 58 5,000 X 123 5,000 GREAT LAKES CHEM COMMON 390568103 507 20,900 X 123 20,900 GREATER BAY BANCORP COMMON 391648102 8,577 300,100 X 123 203,100 5,000 92,000 GRUPO TELEVISA SA SPON ADR ADR 40049J206 367 8,500 X 123 8,500 GUCCI GROUP ADR ADR 401566104 17 200 X 123 200 GUIDANT CORP COMMON 401698105 3,771 75,731 X 123 30,722 45,009 GULFMARK OFFSHORE INC COMMON 402629109 368 13,000 X 123 13,000 H & Q HEALTHCARE INVESTORS FD Closed E 404052102 125 4,884 X 123 4,884 HCA INC COMMON 404119109 25 652 X 123 652 HCC INSURANCE HLDG COMMON 404132102 15,889 576,750 X 123 289,750 72,400 214,600 HDFC BANK LTD ADR ADR 40415F101 396 27,200 X 123 27,200 HNC SOFTWARE COMMON 40425P107 8,307 403,250 X 123 385,950 17,300 HEALTH & RETIREMENT PROP TR COMMON 40426W101 8 X 123 8 HSBC HOLDINGS PLC -SP ADR ADR 404280406 167 2,800 X 123 2,800 HALLIBURTON CO COMMON 406216101 1,124 85,800 X 123 40,000 14,300 31,500 JOHN HANCOCK FINANCIAL SVCS COMMON 41014S106 29,676 718,558 X 123 536,558 4,850 177,150 HANOVER COMPRESSOR CO COMMON 410768105 9,441 373,766 X 123 183,906 52,850 137,010 HARLEY DAVIDSON COMMON 412822108 26,756 492,660 X 123 251,110 4,225 237,325 HARMAN INTL COMMON 413086109 6,873 152,400 X 123 93,900 2,300 56,200 INVESTMENT DISCRETION A = SOLE B = SHARED-AS DEFINED IN INSTR Y C = SHARED-OTHER PG 12 FORM 13F NAME OF REPORTING MANAGER LOOMIS SAYLES & CO., INC 12/31/01 VOTING AUTHORITY (SHARES) ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 INVEST DISCRETION NAME OF ISSUER CLASS CUSIP MKT VAL SHARES A B C MANAGERS (A)SOLE (B)SHARED (C)NONE (000) --------- --------- --------- HARRAH'S ENTERTAINMENT INC COMMON 413619107 899 24,300 X 123 24,100 200 OAKMARK INTL FUND MUT FND 413838202 530 36,601 X 123 36,601 HARRIS CORP COMMON 413875105 1,657 54,300 X 123 52,300 2,000 HARSCO CORP COMMON 415864107 2,034 59,300 X 123 59,300 HARTE HANKS INC COMMON 416196103 13,599 482,750 X 123 355,100 4,400 123,250 HARTFORD FINANCIAL SVCS GRP COMMON 416515104 1,452 23,108 X 123 6,308 16,800 BURNS PHILP EURO CONV CV BND 416983II7 26,153 9,622,209 X 123 9,133,617 45,806 442,787 HASBRO INC COMMON 418056107 2,459 151,498 X 123 110,549 36,000 4,949 HEALTH CARE PPTYS INV COMMON 421915109 1,847 51,000 X 123 16,800 2,200 32,000 HEALTHSOUTH CORP COMMON 421924101 1,030 69,500 X 123 11,800 57,700 HEALTHSOUTH CORP SUB CONV DEB CV BND 421924AF8 43,356 1,240,985 X 1235 6 5 1,147,333 87,372 6,280 HEALTH MGMT ASSOC COMMON 421933102 2,098 114,000 X 123 114,000 HEINZ H J COMMON 423074103 197 4,800 X 123 300 4,500 HERSHEY FOODS CORP COMMON 427866108 372 5,500 X 123 1,000 4,500 HERTZ CORP CL A COMMON 428040109 1,490 42,000 X 123 42,000 HEWLETT PACKARD COMMON 428236103 21,310 1,037,475 X 123 850,085 2,900 184,490 HEXCEL SUB DEB CONV CV BND 428290AA8 6,871 506,900 X 123 387,694 67,220 51,986 HEXCEL CORP SUB CONV NTS CV BND 428291AA6 5,789 670,272 X 123 566,540 87,223 16,509 HI/FN INC COMMON 428358105 547 37,800 X 123 19,600 1,400 16,800 HILTON HOTELS CVT SUB NTS CV BND 432848AL3 54,596 2,771,574 X 123 2,014,538 515,669 241,367 HINES HORTICULTURE INC COMMON 433245107 2 600 X 123 600 HOLLYWOOD ENTERTAINMENT CORP COMMON 436141105 89 6,200 X 123 6,200 HOME DEPOT COMMON 437076102 51,928 1,018,005 X 123 461,492 14,800 541,713 HONDA MOTOR CO LTD SPON ADR ADR 438128308 204 2,500 X 123 2,500 HONEYWELL INTERNATIONAL INC COMMON 438516106 20,270 599,354 X 123 481,114 11,500 106,740 HOOPER HOLMES INC COMMON 439104100 9,172 1,024,800 X 123 691,400 16,500 316,900 HORMEL FOODS COMMON 440452100 5,847 217,600 X 123 148,200 69,400 HOT TOPIC INC COMMON 441339108 13,201 420,550 X 123 208,250 52,000 160,300 HOUSEHOLD INTL INC COMMON 441815107 23,406 403,964 X 123 132,825 3,500 267,639 HUANENG POWER INTL ADR 443304100 162 6,740 X 123 6,740 HUBBELL INC CL B COMMON 443510201 194 6,600 X 123 6,600 HUDSON UNITED BANCORP COMMON 444165104 1,976 68,836 X 123 68,836 HUGHES SUPPLY INC COMMON 444482103 8,887 287,900 X 123 194,600 4,600 88,700 HUMAN GENOME SCIENCE COMMON 444903108 34 1,000 X 123 500 500 HUMAN GENOME CVTS 144A W/RTS CV BND 444903AG3 37,263 443,442 X 123 379,515 52,968 10,959 HUMAN GENOME CVT SUB NTS CV BND 444903AH1 13,321 158,520 X 123 108,109 35,799 14,612 HUTCHINSON TECH CONV CV BND 448407AC0 7,186 250,650 X 123 179,822 70,828 HYDRIL CO COMMON 448774109 6,724 381,400 X 123 254,500 6,300 120,600 HYPERION SOLUTIONS CORP COMMON 44914M104 310 15,600 X 123 15,600 ICOS CORP COMMON 449295104 19,726 343,423 X 123 92,050 3,875 247,498 IDEC PHARMACEUTICALS CORP COMMON 449370105 4,687 68,000 X 123 66,600 1,400 IHOP CORP COMMON 449623107 3,088 105,400 X 123 71,500 1,800 32,100 IMS HEALTH INC COMMON 449934108 484 24,800 X 123 24,800 I-STAT CORP COMMON 450312103 4 500 X 123 500 ITC DELTACOM INC COMMON 45031T104 52 59,900 X 123 59,900 ISTAR FINANCIAL INC COMMON 45031U101 4,914 196,950 X 123 145,750 51,200 ITXC CORP COMMON 45069F109 6,559 912,300 X 123 616,500 15,200 280,600 IXIA COMMON 45071R109 4,145 322,600 X 123 299,700 22,900 ILLINOIS TOOL WORKS INC COMMON 452308109 5,430 80,180 X 123 35,448 44,732 IMATION CORP COMMON 45245A107 22 1,034 X 123 1,034 IMAGISTICS INTL INC COMMON 45247T104 1 80 X 123 80 IMMUNEX CORP COMMON 452528102 11 400 X 123 400 INCO LTD CVT DEBS CV BND 453258AH8 6,764 177,230 X 1235 6 5 177,230 INDEPENDENCE COMMUNITY BANK COMMON 453414104 8,936 392,600 X 123 307,250 85,350 INDYMAC BANCORP INC COMMON 456607100 10 427 X 123 427 INVESTMENT DISCRETION A = SOLE B = SHARED-AS DEFINED IN INSTR Y C = SHARED-OTHER PG 13 FORM 13F NAME OF REPORTING MANAGER LOOMIS SAYLES & CO., INC 12/31/01 VOTING AUTHORITY (SHARES) ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 INVEST DISCRETION NAME OF ISSUER CLASS CUSIP MKT VAL SHARES A B C MANAGERS (A)SOLE (B)SHARED (C)NONE (000) --------- --------- --------- INFINEON TECHNOLOGIES-ADR ADR 45662N103 120 5,900 X 123 5,900 INFOSYS TECHNOLOGIES ADR ADR 456788108 521 8,400 X 123 7,600 800 INFOSPACE.COM INC COMMON 45678T102 1 X 123 1 INGERSOLL RAND CO COMMON 456866102 2,235 53,460 X 123 29,400 24,060 INSITUFORM TECHNOLOGIES CL A COMMON 457667103 11,161 436,300 X 123 293,600 7,100 135,600 INTEGRA LIFESCIENCES HOLDING COMMON 457985208 7,315 277,700 X 123 137,800 35,100 104,800 INTEGRATED CIRCUIT SYSTEMS COMMON 45811K208 10,590 468,800 X 123 316,900 7,800 144,100 INTEL CORP COMMON 458140100 85,287 2,711,818 X 123 1,051,347 26,350 1,634,121 INTERCEPT GROUP INC COMMON 45845L107 14,466 353,700 X 123 328,450 25,250 INTERMAGNETICS GENERAL CORP COMMON 458771102 112 4,326 X 123 4,326 IBM COMMON 459200101 76,425 631,819 X 123 327,502 11,814 292,503 INTL FLAV & FRAG COMMON 459506101 31 1,050 X 123 1,050 INTL GAME TECH COMMON 459902102 3,005 44,000 X 123 43,100 900 INTL PAPER COMMON 460146103 61,422 1,522,240 X 123 784,190 16,075 721,975 INTERNATIONAL RECTIFIER CORP COMMON 460254105 1,385 39,700 X 123 39,700 INTERNET SECURITY SYSTEMS INC COMMON 46060X107 9,270 289,150 X 123 239,850 46,400 2,900 INTERPUBLIC GROUP COS INC COMMON 460690100 6 200 X 123 200 INTERSIL CORP COMMON 46069S109 4,294 133,150 X 123 130,250 2,900 INTRADO INC COMMON 46117A100 10,420 388,800 X 123 361,250 27,550 INTUIT INC COMMON 461202103 5,876 137,350 X 123 134,150 500 2,700 AMERICAN FDS IVEST CO OF AMER MUT FND 461308108 485 16,988 X 123 16,988 INVESTMENT TECHNOLOGY GROUP COMMON 46145F105 1,184 30,300 X 123 30,300 INVITROGEN CORP COMMON 46185R100 3,936 63,550 X 123 62,250 1,300 INVESTORS FINANCIAL SVCS CORP COMMON 461915100 14,954 225,850 X 123 158,850 24,400 42,600 BANK OF IRELAND SPON ADR ADR 46267Q103 124 3,400 X 123 3,400 ITRON INC COMMON 465741106 8,667 286,050 X 123 141,950 36,200 107,900 JDS UNIPHASE CORP COMMON 46612J101 737 84,860 X 123 71,000 6,100 7,760 JDA SOFTWARE GROUP INC COMMON 46612K108 14,410 644,750 X 123 605,800 38,950 JP MORGAN CHASE & CO COMMON 46625H100 51,732 1,423,153 X 123 1,187,488 7,550 228,115 JSC MINING & SMELTING - SP ADR ADR 46626D108 345 20,000 X 123 20,000 JABIL CIRCUIT INC COMMON 466313103 40 1,740 X 123 1,740 JACOBSON'S STORE SUB CONV DEB CV BND 469834AC9 873 178,162 X 123 175,101 3,061 JANUS WORLDWIDE FUND MUT FND 471023309 522 11,918 X 123 11,918 JEFFERIES GROUP INC NEW COMMON 472319102 5,310 125,500 X 123 84,700 2,000 38,800 JOHNSON & JOHNSON COMMON 478160104 90,330 1,528,418 X 123 464,805 19,775 1,043,838 JOHNSON CONTROLS COMMON 478366107 145 1,800 X 123 1,800 JONES APPAREL GROUP INC COMMON 480074103 93,405 2,815,935 X 123 1,703,110 22,300 1,090,525 JOY GLOBAL INC COMMON 481165108 6,043 359,700 X 123 243,000 5,800 110,900 JUNIPER NETWORKS COMMON 48203R104 3,438 181,400 X 123 172,700 700 8,000 JUNIPER NETWORKS CVT CV BND 48203RAA2 41,190 346,520 X 123 260,924 49,031 36,565 KLA-TENCOR CORPORATION COMMON 482480100 5,806 117,150 X 123 114,450 400 2,300 THERMO FIBERTEK INC COMMON 48282T104 4 310 X 123 310 KAMAN CORP SUB DEB CONV CV BND 483548AC7 1,567 69,863 X 123 69,863 UNITS KEMPER TE INSD INCM #A-9 MUT FND 488902362 5 50 X 123 50 KERR MCGEE COMMON 492386107 3,806 69,459 X 123 41,650 27,809 KEY ENERGY GROUP COMMON 492914106 2,139 232,500 X 123 232,500 KEYCORP (NEW) COMMON 493267108 2,270 93,258 X 123 81,504 11,754 KEYSPAN ENERGY COMMON 49337W100 619 17,850 X 123 8,050 9,800 KIMBERLY CLARK COMMON 494368103 33,791 565,060 X 123 370,376 3,200 191,484 KINDER MORGAN INC COMMON 49455P101 113 2,025 X 123 2,025 KING PHARMACEUTICALS INC COMMON 495582108 23,126 548,929 X 123 224,132 12,524 312,273 KMART FIN CONV PFD 7.75% CV PFD 498778208 18,311 2,104,646 X 123 1,511,652 486,328 106,666 KNIGHT RIDDER INC COMMON 499040103 26,427 407,015 X 123 344,545 1,900 60,570 KOHLS CORP COMMON 500255104 7,575 107,540 X 123 65,400 900 41,240 KONINKLIJKE AHOLD AV ADR ADR 500467303 192 6,548 X 123 6,548 INVESTMENT DISCRETION A = SOLE B = SHARED-AS DEFINED IN INSTR Y C = SHARED-OTHER PG 14 FORM 13F NAME OF REPORTING MANAGER LOOMIS SAYLES & CO., INC 12/31/01 VOTING AUTHORITY (SHARES) ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 INVEST DISCRETION NAME OF ISSUER CLASS CUSIP MKT VAL SHARES A B C MANAGERS (A)SOLE (B)SHARED (C)NONE (000) --------- --------- --------- PHILIPS ELECTRONICS -NY REG SH ADR 500472303 6,495 223,104 X 123 171,723 51,381 KOPIN CORP COMMON 500600101 11,657 832,650 X 123 416,850 101,400 314,400 KOS PHARMACEUTICALS INC COMMON 500648100 9,800 283,250 X 123 142,050 35,200 106,000 KRAFT FOODS INC COMMON 50075N104 544 15,975 X 123 13,775 550 1,650 KROGER COMMON 501044101 20,062 961,274 X 123 756,539 27,700 177,035 KRONOS INC COMMON 501052104 12,564 259,700 X 123 241,250 18,450 LSI LOGIC COMMON 502161102 252 16,000 X 123 15,200 800 LSI LOGIC CVT CV BND 502161AE2 3,502 55,830 X 123 52,984 2,846 L-3 COMMUNICATIONS CORP COMMON 502424104 36,861 409,565 X 123 152,390 6,450 250,725 LABORATORY CORP OF AMERICA HLD COMMON 50540R409 6,690 82,750 X 123 81,050 1,700 LABRANCHE & CO INC COMMON 505447102 4,783 138,800 X 123 135,800 3,000 LADISH COMPANY INC COMMON 505754200 5,463 500,300 X 123 337,100 8,100 155,100 LAM RESEARCH CONV CV BND 512807AE8 1,773 44,514 X 123 40,953 3,561 LAMAR ADVERTISING CO COMMON 512815101 7,738 182,750 X 123 135,750 47,000 LATTICE SEMICONDUCTOR CORP COMMON 518415104 3,312 161,000 X 123 138,700 22,300 LEAP WIRELESS INTL INC COMMON 521863100 16 750 X 123 750 LEAR CORP COMMON 521865105 16,885 442,700 X 123 309,950 4,500 128,250 LEGGETT & PLATT INC COMMON 524660107 31,651 1,376,110 X 123 1,040,110 3,000 333,000 LEHMAN BROS HOLDING INC COMMON 524908100 51,716 774,186 X 123 231,685 8,050 534,451 LEVEL 3 COMM CVT CV BND 52729NAS9 8,454 230,081 X 123 170,197 22,619 37,265 LEXMARK INTL INC COMMON 529771107 19,373 328,350 X 123 221,910 2,075 104,365 LIBERTY MEDIA CORP COMMON 530718105 206 14,700 X 123 14,200 500 LIBERTY PPTY TRUST COMMON 531172104 21,343 715,000 X 123 539,100 7,600 168,300 LIGHTBRIDGE INC COMMON 532226107 2,803 230,700 X 123 132,000 9,000 89,700 LILLY ELI COMMON 532457108 12,794 162,893 X 123 71,798 1,160 89,935 LINCARE HLDG COMMON 532791100 6 200 X 123 200 LINCOLN ELECTRIC HOLDINGS COMMON 533900106 98 4,000 X 123 4,000 LINCOLN NATL CORP COMMON 534187109 34,919 718,940 X 123 613,940 2,500 102,500 LINEAR TECHNOLOGY CORP COMMON 535678106 863 22,100 X 123 17,300 1,000 3,800 LINEN N THINGS INC COMMON 535679104 8,907 349,300 X 123 238,800 5,100 105,400 LIZ CLAIBORNE COMMON 539320101 15,440 310,350 X 123 216,400 2,900 91,050 LOCKHEED MARTIN CORP COMMON 539830109 275 5,900 X 123 3,200 2,700 LOEWS CORP SUB CONV NTS CV BND 540424AL2 361,426 6,485,962 X 123 5,626,768 391,542 467,652 LOGITECH INTL ADR ADR 541419107 36 1,000 X 123 1,000 LONGVIEW FIBRE COMMON 543213102 236 20,000 X 123 20,000 LS GROWTH FUND I MUT FN 543487102 4,984 998,877 X 123 254,546 744,331 LS VALUE FUND I MUT FN 543487201 23,370 1,594,165 X 123 523,964 1,070,201 LS SMALL CAP VALUE FUND I MUT FN 543487300 89,794 4,304,601 X 123 1,995,673 2,308,928 LS INTL EQUITY FUND I MUT FN 543487409 33,154 3,305,530 X 123 1,725,919 6,713 1,572,898 LS RESEARCH FUND I MUT FN 543487482 14,963 1,925,710 X 123 1,925,710 LS GLOBAL TECHNOLOGY FD I MUT FN 543487540 500 114,679 X 123 114,679 LS AGGRESSIVE GROWTH FD I MUT FN 543487797 3,720 223,844 X 123 8,632 215,212 LS SMALL CAP GROWTH FUND I MUT FN 543487854 11,804 1,071,123 X 123 421,237 649,885 LS WORLDWIDE FUND I MUT FN 543487870 6,698 826,947 X 123 826,947 LS SMALL COMPANY VALUE FD-LSIT MUT FN 543495881 48,136 4,962,497 X 123 4,962,497 LOWES COS COMMON 548661107 53,326 1,149,025 X 123 366,250 11,825 770,950 LUCENT TECHNOLOGIES INC COMMON 549463107 9,131 1,449,339 X 123 1,227,777 6,300 215,262 MBNA CORP COMMON 55262L100 103 2,915 X 123 2,250 665 MDC COMMUNICATIONS COMMON 55267W309 24 7,000 X 123 1,000 6,000 MDU RESOURCES GROUP INC COMMON 552690109 15,983 567,775 X 123 389,900 6,500 171,375 MCSI INC COMMON 55270M108 6,496 277,000 X 123 257,550 19,450 MGIC INVT CORP WIS COMMON 552848103 22,828 369,870 X 123 314,760 1,100 54,010 MKS INSTRUMENTS INC COMMON 55306N104 13,630 504,250 X 123 471,700 32,550 MRO SOFTWARE INC COMMON 55347W105 13,306 569,100 X 123 290,700 61,600 216,800 MAGNA INTL SUB CONV CV BND 559222AG9 52,307 671,602 X 123 572,678 81,200 17,723 INVESTMENT DISCRETION A = SOLE B = SHARED-AS DEFINED IN INSTR Y C = SHARED-OTHER PG 15 FORM 13F NAME OF REPORTING MANAGER LOOMIS SAYLES & CO., INC 12/31/01 VOTING AUTHORITY (SHARES) ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 INVEST DISCRETION NAME OF ISSUER CLASS CUSIP MKT VAL SHARES A B C MANAGERS (A)SOLE (B)SHARED (C)NONE (000) --------- --------- --------- MANDALAY RESORT GROUP COMMON 562567107 11 500 X 123 500 MANHATTAN ASSOCIATES INC COMMON 562750109 14,572 499,900 X 123 249,150 64,500 186,250 MANOR CARE INC COMMON 564055101 12,692 535,300 X 123 418,500 116,800 MANPOWER INC COMMON 56418H100 2,023 60,000 X 123 59,000 1,000 MANULIFE FINANCIAL CORP COMMON 56501R106 18 699 X 123 699 MARCUS CORP COMMON 566330106 555 39,225 X 123 39,225 MARSH & MCLENNAN COMMON 571748102 13,835 128,755 X 123 90,399 200 38,156 MARSHALL & ILSLEY COMMON 571834100 3,003 47,456 X 123 19,400 1,000 27,056 MARRIOTT INTERNATIONAL COMMON 571903202 134 3,300 X 123 2,500 800 MARTIN MARIETTA MATERIALS COMMON 573284106 47 1,000 X 123 1,000 MASCO CORP COMMON 574599106 19,722 804,965 X 123 579,035 31,400 194,530 MASCOTECH SUB DEB CONV CV BND 574670AB1 84,016 51,466,107 X 123 41,937,885 6,958,958 2,569,265 MASSEY ENERGY CO COMMON 576206106 140 6,750 X 123 6,750 MATTEL INC COMMON 577081102 58 3,400 X 123 3,400 MAXTOR CORP COMMON 577729205 14,421 2,274,600 X 123 1,536,700 37,000 700,900 MAXIM INTEGRATED PRODUCTS COMMON 57772K101 42,177 803,226 X 123 260,160 9,300 533,766 MAY DEPT STORES CO COMMON 577778103 862 23,300 X 123 200 23,100 MAXIMUS INC COMMON 577933104 15,419 366,600 X 123 263,200 4,500 98,900 MCAFEE.COM CORP COMMON 579062100 26,541 782,700 X 123 574,950 54,000 153,750 MCDATA CORP COMMON 580031102 8 300 X 123 300 MCDATA CORP COMMON 580031201 103 4,186 X 123 2,470 1,716 MCDONALDS COMMON 580135101 40,113 1,515,403 X 123 1,222,476 10,025 282,902 MCG CAPITAL CORP COMMON 58047P107 14,315 804,200 X 123 570,350 10,700 223,150 MCGRAW HILL COS INC COMMON 580645109 65,140 1,068,225 X 123 491,060 9,425 567,740 MCKESSON CORP COMMON 58155Q103 82 2,200 X 123 600 1,600 MEDAREX INC COMMON 583916101 6,781 377,550 X 123 296,450 81,100 MEDIACOM COMMUNICATIONS CORP COMMON 58446K105 6,010 329,150 X 123 236,150 93,000 MEDICIS PHARMACEUTICAL -CL A COMMON 584690309 31,349 485,350 X 123 296,000 37,100 152,250 MEDIMMUNE INC COMMON 584699102 189 4,070 X 123 100 3,970 MEDTRONIC INC COMMON 585055106 51,486 1,005,396 X 123 497,707 13,100 494,589 THE MENS WEARHOUSE INC COMMON 587118100 14,698 711,750 X 123 512,750 9,200 189,800 MERCANTILE BANK CORP COMMON 587376104 3,445 194,100 X 123 165,100 29,000 MERCK & CO COMMON 589331107 61,000 1,037,412 X 123 759,390 13,550 264,472 MERCURY INTERACTIVE CORP COMMON 589405109 5,685 167,300 X 123 163,300 600 3,400 MERRILL LYNCH EUROFUND CL B MUT FND 589922103 29 2,663 X 123 2,663 MERRILL LYNCH EUROFUND CL D MUT FND 589922400 85 6,877 X 123 6,877 MERRILL LYNCH GLOBAL B MUT FND 589939206 24 1,920 X 123 1,920 MERRILL LYNCH GLOBAL ALLOCATIO MUT FND 589939404 188 14,651 X 123 14,651 MERRILL LYNCH & CO COMMON 590188108 411 7,890 X 123 6,100 890 900 MERRILL LYNCH BASIC VALUE FD B MUT FND 590190203 28 962 X 123 962 MERRILL LYNCH BASIC VALUE D MUT FND 590190401 12 417 X 123 417 MERRILL LYNCH PACIFIC FUND-B MUT FND 590906202 5 314 X 123 314 MERRILL LYNCH PACIFIC FUND - D MUT FND 590906400 53 3,191 X 123 3,191 MERRILL LYNCH CORP HI CL B MUT FND 590907408 41 8,717 X 123 8,717 METRIS COMPANIES INC COMMON 591598107 14,481 563,250 X 123 399,000 7,500 156,750 MICHAELS STORES INC COMMON 594087108 23,075 700,300 X 123 389,300 65,800 245,200 MICROSOFT CORP COMMON 594918104 142,567 2,151,957 X 123 775,068 28,242 1,348,647 MICROCHIP TECHNOLOGY INC COMMON 595017104 3,791 97,850 X 123 83,400 14,450 MICROMUSE INC COMMON 595094103 21,091 1,406,050 X 123 968,850 99,300 337,900 MICRON TECHNOLOGY COMMON 595112103 360 11,600 X 123 10,800 800 MICROSEMI CORP COMMON 595137100 20,615 694,100 X 123 376,400 66,700 251,000 MICROTUNE INC COMMON 59514P109 25,108 1,070,250 X 123 814,700 38,200 217,350 S & P MID-CAP DEP RECPT COMMON 595635103 46 500 X 123 500 MILLER (HERMAN) INC COMMON 600544100 43 1,800 X 123 1,800 MILLIPORE CORP COMMON 601073109 64 1,050 X 123 650 400 INVESTMENT DISCRETION A = SOLE B = SHARED-AS DEFINED IN INSTR Y C = SHARED-OTHER PG 16 FORM 13F NAME OF REPORTING MANAGER LOOMIS SAYLES & CO., INC 12/31/01 VOTING AUTHORITY (SHARES) ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 INVEST DISCRETION NAME OF ISSUER CLASS CUSIP MKT VAL SHARES A B C MANAGERS (A)SOLE (B)SHARED (C)NONE (000) --------- --------- --------- MINNESOTA MNG & MFG COMMON 604059105 23,259 196,759 X 123 125,842 4,350 66,567 MIRANT CORP COMMON 604675108 504 31,487 X 123 25,207 6,280 MISSISSIPPI VALLEY BANCSHRS COMMON 605720101 10,619 270,900 X 123 182,600 4,400 83,900 MOHAWK INDS INC COMMON 608190104 17,678 322,125 X 123 231,350 3,600 87,175 MOLDFLOW CORP COMMON 608507109 3,075 214,700 X 123 161,000 53,700 MONACO COACH CORP COMMON 60886R103 5,934 271,350 X 123 154,800 10,700 105,850 MONTANA POWER CO COMMON 612085100 24 X 123 24 MOODYS CORP COMMON 615369105 22,380 561,466 X 123 329,210 3,500 228,756 MORAN ENERGY SUB DEB CONV CV BND 616457AC1 3,302 202,394 X 123 94,071 48,461 59,863 MORGAN ST DEAN WITTER DISCOV COMMON 617446448 52,319 935,271 X 123 758,021 5,300 171,950 MOTHERS WORK INC COMMON 619903107 15 1,659 X 123 1,600 59 MOTOROLA INC COMMON 620076109 33,227 2,212,190 X 123 1,918,450 8,100 285,640 MOVADO CORP INC COMMON 624580106 1,206 62,800 X 123 35,700 2,500 24,600 MOVIE GALLERY INC COMMON 624581104 5,598 229,800 X 123 213,350 16,450 MUELLER INDUSTTRIES INC COMMON 624756102 13,396 402,900 X 123 275,200 6,100 121,600 MULTIMEDIA GAMES INC COMMON 625453105 4,564 120,150 X 123 110,300 9,850 MYLAN LABS COMMON 628530107 3,724 99,300 X 123 80,800 18,500 MYRIAD GENETICS INC COMMON 62855J104 21,203 402,800 X 123 286,000 26,700 90,100 NABI INC SUB CONV NTS CV BND 628716AB8 26,496 1,948,572 X 123 1,707,144 180,357 61,071 NCO GROUP INC COMMON 628858102 9,341 407,900 X 123 278,100 6,100 123,700 NCR CORP COMMON 62886E108 12 X 123 12 NPS PHARMACEUTICALS INC COMMON 62936P103 4,221 110,200 X 123 54,700 13,900 41,600 NTT DOCOMO -SP ADR ADR 62942M201 73 1,250 X 123 1,250 NABORS INDS INC COMMON 629568106 21,811 635,325 X 123 228,600 5,325 401,400 NASDAQ-100 SHARES COMMON 631100104 27 700 X 123 700 NATIONAL CITY CORP COMMON 635405103 199 6,796 X 123 6,796 NATIONAL INSTRUMENTS CORP COMMON 636518102 9,537 254,600 X 123 173,200 4,100 77,300 NATIONAL PROCESSING INC COMMON 637229105 5,918 182,100 X 123 154,650 27,450 NATIONAL SEMICONDUCTOR CORP COMMON 637640103 878 28,500 X 123 28,500 NEIMAN MARCUS GRP CL A COMMON 640204202 857 27,594 X 123 21,594 6,000 NETWORKS ASSOCIATES INC COMMON 640938106 5,956 230,400 X 123 225,500 4,900 NETEGRITY INC COMMON 64110P107 10,623 548,700 X 123 269,200 70,100 209,400 NETIQ CORP COMMON 64115P102 14,157 401,500 X 123 199,000 51,000 151,500 NETWORK APPLIANCE INC COMMON 64120L104 3,632 166,050 X 123 162,100 450 3,500 NEUBERGER BERMAN INC COMMON 641234109 165 3,750 X 123 3,750 NEUROCRINE BIOSCIENCES INC COMMON 64125C109 8,405 163,800 X 123 150,950 12,850 NEW JERSEY RESOURCES COMMON 646025106 13,029 278,400 X 123 205,800 3,600 69,000 AMERICAN NEW PERSPECTIVE-A MUT FND 648018109 15 715 X 123 715 NEW YORK COMMUNITY BANCORP COMMON 649445103 30,045 1,313,725 X 123 793,175 84,450 436,100 NEW YORK TIMES CL A COMMON 650111107 1,795 41,500 X 123 24,100 17,400 NEWELL RUBBERMAID INC COMMON 651229106 9,980 361,983 X 123 174,370 7,100 180,513 NEWFIELD EXPLORATION CO COMMON 651290108 1,499 42,200 X 123 42,200 NEWMONT MNG COMMON 651639106 2,321 121,435 X 123 95,735 25,700 NEWS CORP LTD SPONS ADR ADR 652487703 89 2,800 X 123 2,800 NEXTEL COMMUNICATIONS CL A COMMON 65332V103 1,371 125,050 X 123 107,450 17,600 NIAGARA MOHAWK HOLDINGS INC COMMON 653520106 3,294 185,800 X 123 184,700 1,100 NICHOLAS LTD EDITION INC MUT FND 653738104 1,311 80,080 X 123 80,080 NICHOLAS FUND II INC MUT FND 653740100 490 24,398 X 123 24,398 NICOR INC COMMON 654086107 25 600 X 123 600 NIKE INC CL B COMMON 654106103 10,213 181,601 X 123 18,250 2,375 160,976 99 CENTS ONLY STORES COMMON 65440K106 9,211 240,800 X 123 120,000 29,500 91,300 NINTENDO CO LTD ADR ADR 654445303 198 9,200 X 123 9,200 NISOURCE INC SAILS COMMON 65473P600 127 54,700 X 123 52,200 2,500 NOKIA CORP SPON ADR A ADR 654902204 16,459 670,961 X 123 417,061 25,350 228,550 NOBLE DRILLING COMMON 655042109 1,660 48,767 X 123 46,522 2,245 INVESTMENT DISCRETION A = SOLE B = SHARED-AS DEFINED IN INSTR Y C = SHARED-OTHER PG 17 FORM 13F NAME OF REPORTING MANAGER LOOMIS SAYLES & CO., INC 12/31/01 VOTING AUTHORITY (SHARES) ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 INVEST DISCRETION NAME OF ISSUER CLASS CUSIP MKT VAL SHARES A B C MANAGERS (A)SOLE (B)SHARED (C)NONE (000) --------- --------- --------- NORAM ENERGY SUB CONV CV BND 655419AC3 5,962 83,475 X 123 73,688 9,786 NORDSON CORP COMMON 655663102 211 8,000 X 123 8,000 NORFOLK SOUTHN CORP COMMON 655844108 334 18,200 X 123 5,100 13,100 NORTEL NETWORKS CORP COMMON 656568102 182 24,450 X 123 13,450 11,000 NORTH FORK BANCORP COMMON 659424105 5,106 159,600 X 123 110,250 49,350 NORTHERN TR CORP COMMON 665859104 4,485 74,485 X 123 52,650 3,125 18,710 NORTHROP GRUMMAN CORP COMMON 666807102 24,650 244,515 X 123 208,790 1,100 34,625 NOVARTIS AG SPON ADR ADR 66987V109 4 120 X 123 120 NOVELLUS SYSTEMS INC COMMON 670008101 1,712 43,400 X 123 40,800 2,600 NOVO-NORDISK A/S SPONS ADR ADR 670100205 181 4,520 X 123 4,520 NSTAR COMMON 67019E107 385 8,575 X 123 3,075 5,500 NUMERICAL TECHNOLOGIES INC COMMON 67053T101 10,338 293,700 X 123 272,350 750 20,600 NVIDIA CORP COMMON 67066G104 33,643 502,883 X 123 217,040 4,200 281,643 OGE ENERGY CORP COMMON 670837103 46 2,000 X 123 2,000 OSI PHARMACEUTICALS INC COMMON 671040103 8,071 176,450 X 123 87,050 21,800 67,600 RED OAK TECHNOLOGY SELECT FD MUT FND 671081305 65 6,830 X 123 6,830 OAK TECHNOLOGY INC COMMON 671802106 9,854 716,650 X 123 353,250 91,600 271,800 OFFICE DEPOT COMMON 676220106 74 4,000 X 123 3,250 750 OFFSHORE LOGISTICS COMMON 676255102 7,871 443,200 X 123 411,800 31,400 OLD REPUBLIC INTL CORP COMMON 680223104 4,574 163,300 X 123 138,650 24,650 OLIN COMMON 680665205 1,578 97,800 X 123 97,800 OMNICARE INC COMMON 681904108 17,045 685,100 X 123 464,500 11,100 209,500 OMNICARE CVT CV BND 681904AD0 32,018 871,102 X 123 845,218 25,884 OMNICOM GROUP COMMON 681919106 35,770 400,331 X 123 159,450 9,575 231,306 OMNOVA SOLUTIONS INC COMMON 682129101 9,134 1,343,200 X 123 912,600 21,600 409,000 ONI SYSTEMS CORP COMMON 68273F103 6,390 1,019,200 X 123 645,850 90,800 282,550 ONI SYSTEMS CORP CVT CV BND 68273FAA1 5,327 85,011 X 123 57,293 17,188 10,531 OPENWAVE SYSTEMS COMMON 683718100 2 200 X 123 200 ORACLE CORP COMMON 68389X105 35,284 2,554,925 X 123 758,010 46,350 1,750,565 OREILLY AUTOMOTIVE INC COMMON 686091109 9,785 268,300 X 123 133,000 33,800 101,500 ORIX CORP -SP ADR ADR 686330101 90 2,020 X 123 2,020 OVERTURE SERVICES INC COMMON 69039R100 16,259 458,900 X 123 280,200 44,200 134,500 OWENS CORNING CAP LLC CONV PFD CV PFD 690733209 1,410 1,609,255 X 123 1,435,252 138,632 35,371 OWENS-ILLINOIS INC COMMON 690768403 262 26,200 X 123 25,800 400 P G & E CORP COMMON 69331C108 65 3,399 X 123 200 3,199 P F CHANGS CHINA BISTRO INC COMMON 69333Y108 24 500 X 123 500 THE PMI GROUP COMMON 69344M101 2,972 44,350 X 123 32,300 12,050 PNC FINANCIAL SERVICES COMMON 693475105 10,360 184,340 X 123 179,040 5,300 PPG INDS COMMON 693506107 336 6,500 X 123 6,500 PPL CORPORATION COMMON 69351T106 49 1,400 X 123 1,400 PRI AUTOMATION INC COMMON 69357H106 6,335 309,800 X 123 288,050 21,750 PACIFIC SUNWEAR OF CALIFORNIA COMMON 694873100 8 400 X 123 400 PACKAGING CORP OF AMERICA COMMON 695156109 5,901 325,150 X 123 228,950 96,200 PAINEWEBBER PACE INTL EQUITY F MUT FND 695740548 2 138 X 123 138 PW EQUITY PTNRS LTD 2 MUT FND 69574C203 2 7,000 X 123 7,000 PAINEWEBBER GEODYNE ENERGY IIE MUT FND 695923862 13 500 X 123 500 PW GEODYNE ENERGY PTNR 11C MUT FND 695923888 22 750 X 123 750 PALM INC COMMON 696642107 191 49,151 X 123 25,280 16,621 7,250 PANCANADIAN ENERGY CORP COMMON 69831A107 2,798 107,631 X 123 79,111 28,520 PANERA BREAD CO CL A COMMON 69840W108 19,335 371,550 X 123 345,050 26,500 PARK ELECTROCHEMICAL CORP COMMON 700416209 17,035 645,266 X 123 551,617 88,348 5,301 PARK PLACE ENTERTAINMENT COMMON 700690100 4,410 480,950 X 123 366,400 114,550 PARKER DRILLING CVT SUB NTS CV BND 701081AD3 2,569 187,005 X 123 134,828 47,303 4,873 PARKER HANNIFIN COMMON 701094104 3,407 74,206 X 123 48,706 25,500 PATTERSON-UTI ENERGY INC COMMON 703481101 15,918 682,900 X 123 357,800 81,500 243,600 INVESTMENT DISCRETION A = SOLE B = SHARED-AS DEFINED IN INSTR Y C = SHARED-OTHER PG 18 FORM 13F NAME OF REPORTING MANAGER LOOMIS SAYLES & CO., INC 12/31/01 VOTING AUTHORITY (SHARES) ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 INVEST DISCRETION NAME OF ISSUER CLASS CUSIP MKT VAL SHARES A B C MANAGERS (A)SOLE (B)SHARED (C)NONE (000) --------- --------- --------- PAYCHEX INC COMMON 704326107 1,851 53,100 X 123 48,900 2,500 1,700 PECO II INC COMMON 705221109 6 1,000 X 123 1,000 PEGASUS SOLUTIONS INC COMMON 705906105 9,995 703,900 X 123 480,900 10,400 212,600 PEMSTAR INC COMMON 706552106 10,412 867,650 X 123 806,100 61,550 PENN VIRGINIA CORP COMMON 707882106 8,245 241,800 X 123 164,400 3,900 73,500 PENNEY JC CO INC COMMON 708160106 27 1,000 X 123 1,000 PENTAIR INC COMMON 709631105 1,869 51,200 X 123 51,200 PENTASTAR COMMUNICATIONS INC COMMON 709632103 60 12,000 X 123 12,000 PEOPLES ENERGY CORP COMMON 711030106 30 783 X 123 533 250 PEOPLE SOFT INC COMMON 712713106 16,392 407,765 X 123 202,965 3,925 200,875 PEPSI BOTTLING GROUP INC COMMON 713409100 4,418 188,000 X 123 188,000 PEPSIAMERICAS INC COMMON 71343P200 7 500 X 123 500 PEPSICO INC COMMON 713448108 76,060 1,562,118 X 123 663,626 32,125 866,367 PERKINELMER INC COMMON 714046109 1,709 48,800 X 123 47,100 300 1,400 PEROT SYSTEMS CORP CL A COMMON 714265105 11,101 543,650 X 123 296,250 59,900 187,500 TELEKOMUNIK INDONESIA ADR ADR 715684106 258 44,400 X 123 44,400 PETRO -CANADA COMMON 71644E102 78 3,190 X 123 3,190 PETSMART INC COMMON 716768106 4 400 X 123 400 PFIZER INC COMMON 717081103 120,096 3,013,703 X 123 919,113 47,930 2,046,660 PHARMACEUTICAL PRODUCT DEV COMMON 717124101 28,777 890,650 X 123 662,350 47,000 181,300 PHARMACIA CORP COMMON 71713U102 6,459 151,439 X 123 127,191 24,248 PHELPS DODGE COMMON 717265102 32 1,000 X 123 1,000 PHILIP MORRIS COS INC COMMON 718154107 67,258 1,466,915 X 123 636,205 14,400 816,310 PHILIPPINE LONG DIST TEL CNV P CV PFD 718252703 40,720 3,531,818,862 X 123 2,522,176,662 726,140,700 283,501,500 PHILLIPS PETE COMMON 718507106 1,659 27,528 X 123 3,000 900 23,628 PHOTRONICS INC COMMON 719405102 11,521 367,500 X 123 248,100 6,000 113,400 PIER 1 IMPORTS INC DEL COMMON 720279108 19,053 1,098,800 X 123 743,000 18,300 337,500 PILGRAM MID CAP GROWTH FD MUT FND 72146E558 210 18,365 X 123 18,365 PINNACLE ENTERTAINMENT INC COMMON 723456109 3 475 X 123 475 PINNACLE WEST CAPITAL CORP COMMON 723484101 617 14,750 X 123 3,800 10,950 PIONEER STD ELECTRS COMMON 723877106 114 9,003 X 123 9,003 PITNEY BOWES COMMON 724479100 688 18,300 X 123 18,300 PLEXUS CORP COMMON 729132100 20,346 766,052 X 123 594,052 55,000 117,000 PLUM CREEK TIMBER CO INC COMMON 729251108 3,327 117,339 X 123 114,668 2,671 POGO PRODUCING CO CVT SUB NTS CV BND 730448AE7 14,990 365,699 X 123 325,163 40,536 POLYCOM INC COMMON 73172K104 18,507 543,200 X 123 340,100 55,400 147,700 PORT FINANCIAL CORP COMMON 734119100 7,662 293,900 X 123 199,600 4,600 89,700 PORTUGAL TELECOM SGPS ADR ADR 737273102 143 18,782 X 123 18,782 POST PROPERTIES INC COMMON 737464107 121 3,400 X 123 3,400 POWER INTEGRATIONS INC COMMON 739276103 11,968 524,000 X 123 314,500 79,000 130,500 PRAXAIR INC COMMON 74005P104 55,780 1,009,596 X 123 808,456 3,600 197,540 PRECISION CASTPARTS COMMON 740189105 3,636 128,700 X 123 109,250 19,450 PREMIER FARNELL PLC CVT PFD CV PFD 74050U206 24 2,590 X 123 2,590 PRENTISS PROPERTIES TRUST COMMON 740706106 11,699 426,200 X 123 279,400 6,000 140,800 PRESTON CORP SUB DEB CONV CV BND 741130AA6 8,835 1,730,554 X 123 1,151,482 483,883 95,190 PRIMUS TELECOM GRP COMMON 741929103 22 33,600 X 123 33,600 PRINCIPAL FINANCIAL GROUP COMMON 74251V102 3,095 128,973 X 123 75,400 53,573 PRIORITY HEALTHCARE CORP CL B COMMON 74264T102 14,926 424,150 X 123 210,050 53,900 160,200 PROCTER & GAMBLE COMMON 742718109 24,578 310,608 X 123 72,439 3,200 234,969 PROGRESS ENERGY INC COMMON 743263105 128 2,850 X 123 2,850 PROGRESS SOFTWARE CORP COMMON 743312100 8,054 466,100 X 123 318,800 7,900 139,400 PROQUEST CO COMMON 74346P102 5,666 167,100 X 123 112,900 2,700 51,500 PROTECTIVE LIFE CORP COMMON 743674103 7,703 266,250 X 123 167,750 4,000 94,500 PROTEIN DESIGN LABS INC COMMON 74369L103 3,764 114,750 X 123 112,750 2,000 PROVIDIAN FINANCIAL CORP COMMON 74406A102 107 30,200 X 123 30,200 INVESTMENT DISCRETION A = SOLE B = SHARED-AS DEFINED IN INSTR Y C = SHARED-OTHER PG 19 FORM 13F NAME OF REPORTING MANAGER LOOMIS SAYLES & CO., INC 12/31/01 VOTING AUTHORITY (SHARES) ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 INVEST DISCRETION NAME OF ISSUER CLASS CUSIP MKT VAL SHARES A B C MANAGERS (A)SOLE (B)SHARED (C)NONE (000) --------- --------- --------- PRUDENTIAL FINANCIAL INC COMMON 744320102 17,960 541,120 X 123 379,825 3,150 158,145 PUB SVC ENTERPRISE GROUP INC COMMON 744573106 42 1,000 X 123 1,000 PUTNAM GRWTH & INC FD CL B MUT FND 746761204 118 6,758 X 123 6,758 PUTNAM NEW OPPTYS A MUT FND 746916105 18 429 X 123 429 PUTNAM INTL GROWTH FD B MUT FND 746932201 287 14,912 X 123 14,912 QLOGIC CORP COMMON 747277101 6,160 138,400 X 123 132,450 400 5,550 QUALCOMM INC COMMON 747525103 16,019 317,207 X 123 36,500 3,975 276,732 QUANEX CORP COMMON 747620102 7,420 262,200 X 123 175,700 4,200 82,300 QUANTUM CORP SUB CONV NTS CV BND 747906AC9 70,424 1,681,272 X 123 1,352,724 231,192 97,356 QUEST DIAGNOSTICS INC COMMON 74834L100 385 5,374 X 123 1,100 50 4,224 QUEST SOFTWARE INC COMMON 74834T103 20,243 915,550 X 123 544,100 91,450 280,000 QUESTAR CORP COMMON 748356102 2,658 106,100 X 123 90,450 15,650 QUINTILES TRANSNATIONAL COMMON 748767100 13,643 850,000 X 123 618,050 10,100 221,850 QWEST COMMUNICATIONS INTL COMMON 749121109 18,410 1,302,878 X 123 1,118,145 5,100 179,633 R & B FALCON WTS 144A W/RTS WTS 74912E119 350 1,750 X 123 1,750 DRESDNER RCM GLBL TECH FD MUT FND 74935P703 20 675 X 123 675 RFS HOTEL INVESTORS INC COMMON 74955J108 6,452 567,000 X 123 382,000 9,400 175,600 R H DONNELLEY COMMON 74955W307 27,277 938,980 X 123 706,880 10,700 221,400 RGS ENERGY GROUP INC COMMON 74956K104 124 3,300 X 123 3,300 RPM INC OHIO COMMON 749685103 50 3,432 X 123 3,432 RSA SECURITY INC COMMON 749719100 4,875 279,200 X 123 188,300 4,700 86,200 RF MICRO DEVICES INC COMMON 749941100 2,924 152,050 X 123 147,950 800 3,300 RF MICRO DEVICES SUB CONV DEB CV BND 749941AB6 4,365 115,780 X 123 75,257 27,215 13,308 RADIAN GROUP INC COMMON 750236101 1,486 34,600 X 123 34,600 RADIO ONE INC CL D NON VTG COMMON 75040P405 15,771 875,700 X 123 430,000 109,500 336,200 RADIOSHACK CORP COMMON 750438103 181 6,000 X 123 6,000 RALCORP HOLDINGS INC COMMON 751028101 9,961 438,800 X 123 296,300 7,200 135,300 RAYTHEON CO COMMON 755111507 612 18,839 X 123 10,497 8,342 READERS DIGEST ASSN CL A COMMON 755267101 5,303 229,750 X 123 186,550 43,200 REED INTL PLC SPON ADR ADR 758212872 160 4,800 X 123 4,800 REGAL COMMUNICATIONS CORP COMMON 758756308 7,000 X 123 7,000 REGENT COMMUNICATIONS INC COMMON 758865109 545 80,800 X 123 80,800 RELIANCE STEEL & ALUMINUM COMMON 759509102 7,825 298,100 X 123 202,700 4,800 90,600 RELIANT ENERGY INC COMMON 75952J108 281 10,600 X 123 4,800 5,800 REMINGTON OIL & GAS CORP COMMON 759594302 8,339 482,000 X 123 324,800 7,800 149,400 REPSOL ADR ADR 76026T205 216 14,850 X 123 9,150 5,700 REPUBLIC BANCORP COMMON 760282103 11,647 840,920 X 123 568,530 13,530 258,860 REPUBLIC SERVICES INC COMMON 760759100 3,209 160,700 X 123 160,700 RESMED INC COMMON 761152107 101 1,875 X 123 1,875 REUTERS HLDGS PLC ADS ADR 76132M102 1,650 27,497 X 123 4,132 23,365 RJ REYNOLDS TOBACCO HLDGS COMMON 76182K105 227 4,031 X 123 4,031 RICHARDSON ELEC SUB DEB CONV CV BND 763165AB3 15,135 899,147 X 123 631,645 212,393 55,109 RIO TINTO PLC-SPON ADR ADR 767202104 23 300 X 123 300 RIO TINTO PLC SPON ADR ADR 767204100 188 2,400 X 123 2,400 RIVERSTONE NETWORKS INC COMMON 769320102 3,211 193,452 X 123 121,952 71,500 ROADWAY CORP COMMON 769742107 6 175 X 123 175 ROCK-TENN CO CL A COMMON 772739207 3,835 266,300 X 123 151,500 10,500 104,300 ROCKWELL INTL CORP COMMON 773903109 74 4,160 X 123 4,160 ROCKWELL COLLINS COMMON 774341101 81 4,160 X 123 4,160 ROGERS COMMUNICATION CL B COMMON 775109200 144 8,600 X 123 8,600 ROGERS COMM INC CONV CV BND 775109AE1 69,215 3,012,630 X 123 2,856,256 25,776 130,598 ROGERS CORP COMMON 775133101 2,056 67,850 X 123 57,400 10,450 ROHM & HAAS COMMON 775371107 3,404 98,300 X 123 68,500 11,800 18,000 ROPER INDUSTRIES INC COMMON 776696106 7,190 145,250 X 123 103,250 2,000 40,000 ROSS STORES INC COMMON 778296103 3,999 124,650 X 123 97,050 27,600 INVESTMENT DISCRETION A = SOLE B = SHARED-AS DEFINED IN INSTR Y C = SHARED-OTHER PG 20 FORM 13F NAME OF REPORTING MANAGER LOOMIS SAYLES & CO., INC 12/31/01 VOTING AUTHORITY (SHARES) ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 INVEST DISCRETION NAME OF ISSUER CLASS CUSIP MKT VAL SHARES A B C MANAGERS (A)SOLE (B)SHARED (C)NONE (000) --------- --------- --------- ROSTELECOM SPON ADR ADR 778529107 279 53,100 X 123 53,100 ROWAN COS COMMON 779382100 33 1,700 X 123 1,700 ROYAL BANK OF CANADA COMMON 780087102 88 2,690 X 123 2,690 ROYAL DUTCH PETROLEUM CO ADR ADR 780257804 5,523 112,659 X 123 57,003 500 55,156 RUDDICK CORP COMMON 781258108 3,652 228,400 X 123 154,300 3,800 70,300 RUSSELL CORP COMMON 782352108 5,528 368,300 X 123 248,700 5,900 113,700 RYANAIR HLDGS ADR ADR 783513104 113 3,540 X 123 3,540 SBC COMMUNICATIONS INC COMMON 78387G103 48,898 1,248,362 X 123 674,636 20,600 553,126 SCI SYSTEMS INC COMMON 783890106 1,866 57,400 X 123 57,400 SK TELECOM CO LTD -ADR ADR 78440P108 214 9,900 X 123 7,900 2,000 S & P 500 DEPOSITARY RCPT COMMON 78462F103 674 5,900 X 123 5,900 SPX CORP COMMON 784635104 9,463 69,125 X 123 57,725 11,400 S1 CORPORATION COMMON 78463B101 7,791 481,550 X 123 447,400 34,150 S3 INC SUB DEB CONV CV BND 784849AC5 19,586 1,509,676 X 123 1,112,434 278,876 118,366 SABRE HOLDINGS CORP COMMON 785905100 4,205 99,300 X 123 67,400 31,900 SAFEWAY INC COMMON 786514208 324 7,750 X 123 1,000 6,750 SAGA COMMUNICATIONS INC-CL A COMMON 786598102 11,112 536,800 X 123 344,200 13,300 179,300 ST JUDE MEDICAL INC COMMON 790849103 29 369 X 123 369 ST PAUL COS COMMON 792860108 4,872 110,807 X 123 59,300 51,507 SALOMON BROTHERS FUND MUT FND 795477108 56 4,518 X 123 359 4,159 SAPPI LTD -SPONS ADR ADR 803069202 11,578 1,129,550 X 123 530,250 10,000 589,300 SARA LEE COMMON 803111103 8,967 403,372 X 123 281,442 23,100 98,830 SATYAM COMPUTER SERVICES ADR ADR 804098101 334 30,400 X 123 27,400 3,000 HENRY SCHEIN INC COMMON 806407102 93 2,500 X 123 2,500 SCHERING-PLOUGH COMMON 806605101 12,968 362,143 X 123 187,746 5,000 169,397 SCHLUMBERGER LTD COMMON 806857108 4,070 74,069 X 123 39,725 950 33,394 SCHWAB CHARLES CORP COMMON 808513105 128 8,250 X 123 8,250 SCIENTIFIC ATL COMMON 808655104 292 12,200 X 123 11,400 800 SCIOS INC COMMON 808905103 5 200 X 123 200 SCOTTS COMPANY COMMON 810186106 12,466 261,900 X 123 176,400 4,300 81,200 SCUDDER INTERNATIONAL FUND MUT FND 811165109 130 3,551 X 123 3,551 SCUDDER GREATER EURO GRWTH FD MUT FND 811165406 30 1,298 X 123 1,298 SCUDDER EMRG MRKS GRWITH MUT FND 811165505 16 1,601 X 123 1,601 SCUDDER STRATEGIC INC TRUST FD Closed E 81123W101 35 3,000 X 123 3,000 SEACHANGE INTERNATIONAL INC COMMON 811699107 9,047 265,150 X 123 246,550 18,600 SEABULK INTL INC COMMON 81169P101 18,770 5,287,250 X 123 4,730,284 373,555 183,411 SEABULK INTL INC WTS WTS 81169P119 19 50,105 X 123 45,451 4,030 624 SEABULK 144A WTS 6/30/07 WTS 81169P127 288 143,866 X 123 126,428 11,994 5,444 SEALED AIR CORP COMMON 81211K100 1,178 28,850 X 123 23,250 5,600 SEALED AIR CORP CONV PFD $2.00 CV PFD 81211K209 12 252 X 123 252 SEARS ROEBUCK & CO COMMON 812387108 320 6,709 X 123 6,709 SECURE COMPUTING CORP COMMON 813705100 7,992 388,900 X 123 361,350 27,550 SECURITY NATL CORP SIOUX CITY COMMON 814784104 985 16,984 X 123 16,984 SELIGMAN COMM & INFO FUND MUT FND 816333306 40 1,771 X 123 1,771 SELIGMAN GLOBAL TECHNOLOGY A MUT FND 81633C504 44 3,291 X 123 3,291 SEMTECH CORP COMMON 816850101 4,136 115,900 X 123 112,900 500 2,500 SENIOR HOUSING PROP TR COMMON 81721M109 4,855 349,000 X 123 229,200 5,700 114,100 SEPRACOR INC COMMON 817315104 3,523 61,750 X 123 60,250 1,500 SHELL TRNSPORT & TRADING ADR ADR 822703609 25 600 X 123 600 SHIRE PHARMACEUTICALS GR -ADR ADR 82481R106 145 3,970 X 123 3,970 SHOPKO STORES INC COMMON 824911101 190 20,000 X 123 20,000 SIEBEL SYSTEMS INC COMMON 826170102 21,494 768,190 X 123 413,355 10,975 343,860 SIERRA PACIFIC RESOURCES COMMON 826428104 6,125 407,000 X 123 274,200 6,700 126,100 SILICON STORAGE TECH INC COMMON 827057100 9,432 978,400 X 123 478,800 125,000 374,600 SILICONWARE PRECISION-ADR ADR 827084864 172 40,000 X 123 40,000 INVESTMENT DISCRETION A = SOLE B = SHARED-AS DEFINED IN INSTR Y C = SHARED-OTHER PG 21 FORM 13F NAME OF REPORTING MANAGER LOOMIS SAYLES & CO., INC 12/31/01 VOTING AUTHORITY (SHARES) ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 INVEST DISCRETION NAME OF ISSUER CLASS CUSIP MKT VAL SHARES A B C MANAGERS (A)SOLE (B)SHARED (C)NONE (000) --------- --------- --------- SIMON PROPERTY GROUP INC COMMON 828806109 5,772 196,808 X 123 46,500 11,000 139,308 SIZELER PROP INV SUB CONV DEB CV BND 830137AA3 6,078 471,154 X 123 336,539 76,923 57,692 AMERICAN SMALLCAP WORLD FD A MUT FND 831681101 285 12,446 X 123 12,446 SMITH INTL COMMON 832110100 16 300 X 123 300 SOLECTRON CORP COMMON 834182107 291 25,775 X 123 20,275 3,400 2,100 SOLECTRON CORP SUB CONV ZERO C CV BND 834182AK3 18,197 422,333 X 123 323,070 53,023 46,241 SOLUTIA INC COMMON 834376105 311 22,200 X 123 22,200 SONICWALL INC COMMON 835470105 15,298 786,950 X 123 389,050 99,700 298,200 SONY CORP ADR ADR 835699307 99 2,190 X 123 2,190 SOUTH AFRICAN BREWER SP ADR ADR 836216309 9 X 123 9 SOUTHERN CO COMMON 842587107 3,247 128,100 X 123 76,300 51,800 SOUTHTRUST CORP COMMON 844730101 10 400 X 123 400 SOUTHWEST AIRLINES COMMON 844741108 1,569 84,912 X 123 55,212 450 29,250 SOUTHWEST BANCORP OF TEXAS COMMON 84476R109 10,915 360,600 X 123 271,700 88,900 SPANISH BROADCASTING SYS CL A COMMON 846425882 8,006 809,550 X 123 753,000 56,550 SPARTECH CORP COMMON 847220209 9,015 438,700 X 123 299,200 7,100 132,400 SPEECHWORKS INTERNATIONAL INC COMMON 84764M101 2,271 201,900 X 123 187,500 14,400 SPINNAKER EXPLORATION CO COMMON 84855W109 27,970 679,550 X 123 487,100 36,250 156,200 SPRINT CORP COMMON 852061100 47,060 2,343,610 X 123 1,400,725 16,600 926,285 SPRINT CORP (PCS GROUP) COMMON 852061506 114 4,684 X 123 1,050 3,634 STANLEY WORKS COMMON 854616109 1,262 27,100 X 123 4,500 22,600 STAPLES INC COMMON 855030102 50 2,700 X 123 1,700 1,000 STARWOOD HOTELS & RESORTS TR COMMON 85590A203 34,048 1,140,640 X 123 577,000 9,575 554,065 STATE STREET CORP COMMON 857477103 543 10,398 X 123 5,000 5,398 STATE STR INVT CORP MUT FND 857483101 149 15,147 X 123 15,147 THE STEAK N SHAKE CO COMMON 857873103 3,838 347,600 X 123 198,700 14,100 134,800 STEARNS & LEHMAN INC COMMON 857890107 6 1,000 X 123 1,000 STEINWAY MUSICAL INSTRUMENTS I COMMON 858495104 2,370 142,700 X 123 79,600 5,800 57,300 STELLENT INC COMMON 85856W105 20,809 703,950 X 123 475,700 62,450 165,800 STERIS CORP COMMON 859152100 8,128 444,900 X 123 303,600 7,300 134,000 STEWART INFO SVCS COMMON 860372101 16 800 X 123 800 STILWELL FINANCIAL INC COMMON 860831106 318 11,700 X 123 8,700 3,000 STMICROELECTRONICS NV-NY SHS COMMON 861012102 2,546 80,400 X 123 67,400 1,400 11,600 STORA ENSO OYJ SPON ADR ADR 86210M106 168 13,700 X 123 13,700 STRATTEC SECURITY CORP COMMON 863111100 11 300 X 123 300 STRYKER CORP COMMON 863667101 17,369 297,560 X 123 161,015 2,500 134,045 SUN LIFE FINL SVCS CAN COMMON 866796105 171 7,900 X 123 7,900 SUN MICROSYSTEMS COMMON 866810104 2,722 221,340 X 123 129,200 1,500 90,640 SUNGARD DATA SYSTEMS COMMON 867363103 55,464 1,917,190 X 123 1,083,326 66,375 767,489 SUNOCO INC COMMON 86764P109 75 2,000 X 123 1,000 1,000 SUNTRUST BANK COMMON 867914103 554 8,840 X 123 8,340 500 SUPERVALU INC COMMON 868536103 4,305 194,600 X 123 166,950 27,650 SUPREMA SPECIALITIES INC COMMON 86859F107 1,411 155,000 X 123 131,400 23,600 SUREWEST COMMUNICATIONS COMMON 868733106 50 1,017 X 123 1,017 SYBASE INC COMMON 871130100 10 624 X 123 624 SYBRON DENTAL SPECIALTIES INC COMMON 871142105 18,929 877,138 X 123 644,058 10,300 222,780 SYKES DATATRONICS COMMON 871235107 500 X 123 500 SYMANTEC CORP COMMON 871503108 10,975 165,460 X 123 139,820 700 24,940 SYNOVUS FINANCIAL CORP COMMON 87161C105 636 25,400 X 123 25,400 SYNTHES STRATEC INC COMMON 87162M102 5,055 7,260 X 123 6,010 1,250 SYSCO CORP COMMON 871829107 14,288 544,929 X 123 91,400 5,225 448,304 TBS INTL LTD SER B WARRANTS WTS 8722199A0 1 76,926 X 123 75,522 1,404 TBS INTL LTD SER C WARRANTS WTS 8722199B8 1 90,733 X 123 89,077 1,656 TBS INTL LTD SER A WARRANTS WTS 8722199C6 3 330,524 X 123 324,493 6,031 TBS INTL CL C COMMON 8722199E2 2 186,817 X 123 183,408 3,409 INVESTMENT DISCRETION A = SOLE B = SHARED-AS DEFINED IN INSTR Y C = SHARED-OTHER PG 22 FORM 13F NAME OF REPORTING MANAGER LOOMIS SAYLES & CO., INC 12/31/01 VOTING AUTHORITY (SHARES) ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 INVEST DISCRETION NAME OF ISSUER CLASS CUSIP MKT VAL SHARES A B C MANAGERS (A)SOLE (B)SHARED (C)NONE (000) --------- --------- --------- TCF FINANCIAL CORP COMMON 872275102 1,617 33,700 X 123 33,700 TEPPCO PARTNERS L P COMMON 872384102 84 2,800 X 123 2,800 THQ INC COMMON 872443403 23,581 486,500 X 123 324,850 37,400 124,250 TJX COMPANIES INC COMMON 872540109 13,028 326,850 X 123 287,550 39,300 TRW INC COMMON 872649108 578 15,600 X 123 15,600 TMP WORLDWIDE INC COMMON 872941109 4,350 101,400 X 123 99,200 2,200 TXU CORP COMMON 873168108 5,443 115,450 X 123 76,850 38,600 TAIWAN SEMICONDUCTOR ADR ADR 874039100 141 8,200 X 123 8,200 TALBOTS INC COMMON 874161102 2 50 X 123 50 TARGET CORP COMMON 87612E106 25,534 622,029 X 123 415,045 11,225 195,759 TECH DATA COMMON 878237106 13 300 X 123 300 TECHNE CORP COMMON 878377100 2,939 79,750 X 123 4,100 75,650 TECHNIP-COFLEXIP ADR ADR 878546209 144 4,275 X 123 4,275 TECHNITROL INC COMMON 878555101 12,205 441,900 X 123 300,700 7,100 134,100 TEKTRONIX COMMON 879131100 1,619 62,800 X 123 62,800 TELE NORTE LESTE PART -ADR ADR 879246106 287 18,380 X 123 18,300 80 TELEBRAS SPON ADR ADR 879287100 1,410 X 123 710 700 TELEBRAS SPON ADR PFD BLOCK ADR 879287308 28 700 X 123 700 TELEFLEX INC COMMON 879369106 407 8,600 X 123 5,800 2,800 TELEFONICA DE ESPANA ADS COMMON 879382208 174 4,333 X 123 3,915 418 TELEFONOS DE MEXICO S P ADR L ADR 879403780 98 2,800 X 123 2,800 TELEPHONE & DATA SYSTEM COMMON 879433100 49 550 X 123 550 TELESP CELULAR PARTICIPA-ADR ADR 87952L108 167 18,000 X 123 18,000 TELLABS INC COMMON 879664100 12 800 X 123 800 TELXON CORP SUB CONV NTS CV BND 879700AC6 9,722 366,363 X 123 211,818 150,909 3,636 TEMPLE INLAND INC COMMON 879868107 5,913 104,224 X 123 83,750 20,474 TEMPLETON DEV MKTS TR CL I MUT FND 88018W104 214 21,654 X 123 21,654 TEMPLETON EMERG MKTS INC FD MUT FND 880192109 24 2,281 X 123 2,281 TENET HEALTHCARE CORP COMMON 88033G100 70,040 1,192,783 X 123 787,889 41,650 363,244 TERADYNE INC COMMON 880770102 338 11,200 X 123 11,200 TERAYON COMMUNICATIONS SYS COMMON 880775101 8 1,000 X 123 1,000 TERRAMAR CORP COMMON 881027106 133 X 123 133 TEVA PHARMACEUTICALS -SP ADR ADR 881624209 4,649 75,440 X 123 69,840 5,600 TETRA TECH INC COMMON 88162G103 151 7,564 X 123 5,376 2,188 TEXAS INSTRUMENTS COMMON 882508104 4,897 174,900 X 123 99,760 300 74,840 TEXTRON INC COMMON 883203101 46 1,100 X 123 1,100 TEXTRON INC CV PFD A CV PFD 883203200 72 2,108 X 123 2,108 THERAGENICS CORP COMMON 883375107 44 4,500 X 123 4,500 THERMO ELECTRON CORP COMMON 883556102 122 5,100 X 123 5,100 THERMO ELECTRON DEB CONV 144A CV BND 883556AF9 72,339 1,915,263 X 123 1,502,829 298,280 114,153 THERMO INSTRUMENT 144A CVT DEB CV BND 883559AC0 11,248 280,168 X 123 255,501 24,667 THERMO TERRATECH SUB CONV 144A CV BND 883598AA2 14,726 946,290 X 123 832,705 113,585 THERMEDICS INC SUB CONV CV BND 883901AD2 46 3,148 X 123 3,148 THOMAS & BETTS COMMON 884315102 17 800 X 123 800 THISTLE MINING INC COMMON 88431N103 300 X 123 300 3COM COMMON 885535104 199 31,225 X 123 16,500 11,200 3,525 THREE FIVE SYSTEMS INC COMMON 88554L108 6,099 383,350 X 123 366,450 16,900 TIBCO SOFTWARE INC COMMON 88632Q103 4,889 327,450 X 123 320,350 7,100 TIDEWATER COMMON 886423102 1,573 46,400 X 123 41,200 5,200 TIER TECHNOLOGIES INC CL B COMMON 88650Q100 2,600 120,600 X 123 72,100 48,500 TOO INC COMMON 890333107 8 292 X 123 292 TORCHMARK CORP COMMON 891027104 374 9,500 X 123 1,500 8,000 TOTAL FINA ELF SA -SP ADR ADR 89151E109 175 2,490 X 123 2,490 TOWER AUTOMOTIVE INC COMMON 891707101 5,825 645,100 X 123 470,000 9,100 166,000 TOYOTA MOTOR CORP UNSP ADR COMMON 892331307 23 457 X 123 457 INVESTMENT DISCRETION A = SOLE B = SHARED-AS DEFINED IN INSTR Y C = SHARED-OTHER PG 23 FORM 13F NAME OF REPORTING MANAGER LOOMIS SAYLES & CO., INC 12/31/01 VOTING AUTHORITY (SHARES) ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 INVEST DISCRETION NAME OF ISSUER CLASS CUSIP MKT VAL SHARES A B C MANAGERS (A)SOLE (B)SHARED (C)NONE (000) --------- --------- --------- TRANSCANADA COMMON 893526103 163 13,030 X 123 13,030 TRI CONTL CORP MUT FND 895436103 977 52,081 X 123 43,861 8,220 TRICON GLOBAL RESTAURANTS COMMON 895953107 44 900 X 123 900 TRIBUNE CO COMMON 896047107 32,512 868,606 X 123 123,200 745,406 TRICO MARINE SERVICES INC COMMON 896106101 19,513 2,584,486 X 123 2,328,072 256,414 TRIGON HEALTHCARE INC COMMON 89618L100 2,653 38,200 X 123 38,200 TRIMERIS INC COMMON 896263100 9,142 203,300 X 123 104,100 26,600 72,600 TRIQUINT SEMICONDUCTOR CVT SUB CV BND 89674KAB9 5,456 109,882 X 123 87,020 18,437 4,425 TRIUMPH GROUP INC COMMON 896818101 1,333 41,000 X 123 35,000 6,000 TULARIK INC COMMON 899165104 26,088 1,086,100 X 123 697,650 53,900 334,550 TV AZTECA S.A. -SP ADR ADR 901145102 357 52,600 X 123 52,600 TWEETER HOME ENTERTAINMENT COMMON 901167106 11,206 386,400 X 123 347,150 39,250 TYCO INTERNATIONAL LTD COMMON 902124106 163,753 2,780,183 X 123 1,306,320 24,793 1,449,069 TYLER TECHNOLOGIES INC COMMON 902252105 637 140,100 X 123 118,550 21,550 UMB FINANCIAL CORP COMMON 902788108 5 115 X 123 115 USX-MARATHON GRP COM NEW COMMON 902905827 4,644 154,800 X 123 149,700 5,100 US BANCORP COMMON 902973304 53,481 2,555,237 X 123 1,646,065 61,061 848,111 USAA INTERNATIONAL MUT FND 903287308 646 38,508 X 123 38,508 US UNWIRED INC CL A COMMON 90338R104 6,331 621,900 X 123 321,300 79,600 221,000 USA EDUCATION INC COMMON 90390U102 31,054 369,606 X 123 140,570 7,525 221,511 ULTRAMAR DIAMOND SHAMROCK CORP COMMON 904000106 2 40 X 123 40 UNIBANCO SPON GDR Global D 90458E107 386 17,300 X 123 17,300 UNION PACIFIC COMMON 907818108 787 13,800 X 123 1,000 12,800 UNISYS CORP COMMON 909214108 633 50,500 X 123 31,100 19,400 UNITED DEFENSE INDUSTRIES INC COMMON 91018B104 14,735 700,000 X 123 473,600 11,700 214,700 UNITED MICROELECTRONICS ADR ADR 910873207 164 17,100 X 123 17,100 UNITED PARCEL SERIVCE CL B COMMON 911312106 38 700 X 123 200 500 UNITED RENTALS INC COMMON 911363109 32 1,400 X 123 1,400 U S WEST INC COMMON 91273H101 566 6,600 X 123 6,600 UNITED TECHNOLOGIES COMMON 913017109 51,371 794,853 X 123 230,392 9,025 555,436 UNITEDHEALTH GROUP COMMON 91324P102 20,524 290,010 X 123 136,335 3,275 150,400 UNIVERSAL HEALTH SERVICES CL B COMMON 913903100 5,031 117,600 X 123 95,600 22,000 UNIVISION COMMUNICATIONS CL A COMMON 914906102 146 3,600 X 123 3,600 UNOCAL CORP COMMON 915289102 14,685 407,114 X 123 277,414 7,050 122,650 UNUMPROVIDENT CORP COMMON 91529Y106 93 3,500 X 123 3,500 USFREIGHTWAYS CORP COMMON 916906100 9,803 312,200 X 123 229,400 4,200 78,600 UTSTARCOM INC COMMON 918076100 4,836 169,700 X 123 110,400 600 58,700 V F CORP COMMON 918204108 1,857 47,600 X 123 47,600 VALASSIS COMMUNICATIONS INC COMMON 918866104 1,450 40,700 X 123 40,700 VALSPAR CORP COMMON 920355104 15,349 387,600 X 123 279,900 4,900 102,800 VANGUARD U.S. GROWTH FUND MUT FND 921910600 442 9,066 X 123 3,939 5,128 VANGUARD PRIMECAP FUND-ADM MUT FND 921936209 234 4,386 X 123 1,797 2,588 VANGUARD WINDSOR II MUT FND 922018205 255 9,977 X 123 9,977 VANGUARD HIGH YIELD CORP-ADM MUT FND 922031760 109 17,364 X 123 17,364 VARIAN SEMICONDUCTOR EQUIPMENT COMMON 922207105 2,025 58,550 X 123 53,950 4,600 VARIAN MEDICAL SYSTEMS INC COMMON 92220P105 10,917 153,200 X 123 110,600 1,900 40,700 VECTREN CORP COMMON 92240G101 17,040 710,600 X 123 483,700 11,400 215,500 VENTANA MEDICAL SYSTEMS INC COMMON 92276H106 7,116 314,600 X 123 212,500 5,100 97,000 VANGUARD INDEX TR 500 PORT MUT FND 922908108 94 892 X 123 892 VANGUARD SMALL CAP GRWTH FD MUT FND 922908827 369 33,983 X 123 14,473 19,509 VENTURE STORES INC COMMON 923275101 13 X 123 13 VERITAS SOFTWARE CORP COMMON 923436109 42,414 946,108 X 123 318,258 8,650 619,200 VERITY INC COMMON 92343C106 7,125 351,850 X 123 172,650 44,800 134,400 VERISIGN INC COMMON 92343E102 38 1,000 X 123 1,000 VERITAS DGC INC COMMON 92343P107 6 300 X 123 300 INVESTMENT DISCRETION A = SOLE B = SHARED-AS DEFINED IN INSTR Y C = SHARED-OTHER PG 24 FORM 13F NAME OF REPORTING MANAGER LOOMIS SAYLES & CO., INC 12/31/01 VOTING AUTHORITY (SHARES) ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 INVEST DISCRETION NAME OF ISSUER CLASS CUSIP MKT VAL SHARES A B C MANAGERS (A)SOLE (B)SHARED (C)NONE (000) --------- --------- --------- VERIZON COMMUNICATIONS COMMON 92343V104 31,477 663,231 X 123 501,366 3,032 158,833 VIACOM INC COMMON 925524100 358 8,081 X 123 3,256 4,825 VIACOM INC CL B COMMON 925524308 29,622 670,943 X 123 492,757 21,725 156,461 VIAD CORP COMMON 92552R109 12,262 517,815 X 123 380,765 19,200 117,850 VIASYSTEMS GROUP INC COMMON 92553H100 149 235,900 X 123 235,900 VIASYS HEALTHCARE INC COMMON 92553Q209 15 744 X 123 744 VIDESH SANCHAR NIGAM SP ADR ADR 92659G600 288 30,000 X 123 30,000 VINTAGE PETROLEUM INC COMMON 927460105 1,645 113,850 X 123 96,650 17,200 VIRAGEN INC COMMON 927638106 27 22,250 X 123 22,250 VIRAGE LOGIC CORP COMMON 92763R104 9,647 501,650 X 123 464,700 1,200 35,750 VISHAY INTERTECHNOLOGY INC COMMON 928298108 1,117 57,300 X 123 57,300 VISTEON CORP COMMON 92839U107 16 1,071 X 123 157 914 VITESSE SEMICONDUCTOR CORP COMMON 928497106 56 4,500 X 123 500 4,000 VITESSE SEMICONDUCTOR CVT CV BND 928497AB2 45,222 512,648 X 123 417,941 57,716 36,991 VIVENDI UNIVERSAL ADR 92851S204 246 4,570 X 123 4,570 VODAFONE GROUP PLC ADR 92857W100 256 9,980 X 123 8,980 1,000 VORNADO REALTY TRUST COMMON 929042109 524 12,600 X 123 12,600 VULCAN MATER COMMON 929160109 1,640 34,200 X 123 34,200 WABTEC COMMON 929740108 2,067 168,050 X 123 144,150 23,900 WACHOVIA CORP (NEW) COMMON 929903102 1,136 36,213 X 123 23,612 12,601 WADDELL & REED FINANCIAL A COMMON 930059100 145 4,491 X 123 4,491 WAL-MART STORES INC COMMON 931142103 10,176 176,818 X 123 93,500 2,950 80,368 WALGREEN CO COMMON 931422109 3,519 104,550 X 123 1,300 103,250 WASATCH SMALL CAP GROWTH FUN MUT FND 936772102 606 17,835 X 123 17,835 WASHINGTON MUTUAL INC COMMON 939322103 40,233 1,230,362 X 123 707,695 9,525 513,142 WASHINGTON POST CL B COMMON 939640108 46 87 X 123 87 WASHINGTON TRUST BANCORP COMMON 940610108 203 10,680 X 123 10,680 WASTE MANAGEMENT INC COMMON 94106L109 61,592 1,930,171 X 123 1,609,890 47,720 272,561 WATER PIK TECHNOLOGIES COMMON 94113U100 4,551 523,700 X 123 466,400 57,300 WATERS CORP COMMON 941848103 2,689 69,400 X 123 69,400 WATSON PHARM COMMON 942683103 33 1,055 X 123 1,055 WEATHERFORD INTL COMMON 947074100 2,150 57,700 X 123 48,100 9,600 WEBEX COMMUNICATIONS INC COMMON 94767L109 24,881 1,001,250 X 123 735,400 57,500 208,350 WEBSENSE INC COMMON 947684106 17,000 530,100 X 123 389,000 30,650 110,450 WEITZ SERIES VALUE FUND MUT FND 949045108 478 13,932 X 123 13,932 WELLPOINT HEALTH NETWORKS COMMON 94973H108 2,033 17,400 X 123 14,400 3,000 WELLS FARGO COMPANY COMMON 949746101 49,310 1,134,352 X 123 815,562 5,125 313,665 WENDYS INTL COMMON 950590109 5,178 177,500 X 123 177,500 WESTERN DIGITAL CONV 144A W/RT CV BND 958102AF2 27,533 1,002,930 X 123 786,149 124,558 92,224 WESTERN DIGITAL SUB CNV ZERO C CV BND 958102AH8 18,208 663,263 X 123 546,830 90,058 26,375 WESTERN GAS RES CONV PFD 5.25% CV PFD 958259301 7,289 191,025 X 123 148,253 15,348 27,424 WESTPAC BANKING SPON ADR ADR 961214301 178 4,400 X 123 4,400 WESTVACO CORP COMMON 961548104 3,056 107,400 X 123 107,400 WESTWOOD ONE COMMON 961815107 14,974 498,300 X 123 399,150 99,150 WET SEAL INC CL A COMMON 961840105 2 100 X 123 100 WEYERHAEUSER CO COMMON 962166104 803 14,848 X 123 14,848 WHOLE FOODS MARKET INC COMMON 966837106 1,769 40,600 X 123 24,800 15,800 WILEY JOHN & SONC CL A COMMON 968223206 16,297 707,650 X 123 513,900 8,700 185,050 WILLAMETTE INDS INC COMMON 969133107 4,529 86,900 X 123 84,400 2,500 WILLIAMS COMMUNICATIONS GRP COMMON 969455104 8 3,393 X 123 2,983 410 WILLIAMS COMM 144A CVT PFD CV PFD 969455203 2,466 299,546 X 123 286,339 13,208 WILLIAMS COMM CVT PFD REG CV PFD 969455401 1,566 190,188 X 123 136,478 36,101 17,610 WILLIAMS COS INC COMMON 969457100 209 8,191 X 123 6,592 1,599 WILMINGTON TRUST CORP COMMON 971807102 10,984 173,500 X 123 119,300 2,000 52,200 WILSON GREATBATCH TECHNOLOGIES COMMON 972232102 6,130 169,800 X 123 114,800 2,800 52,200 INVESTMENT DISCRETION A = SOLE B = SHARED-AS DEFINED IN INSTR Y C = SHARED-OTHER PG 25 FORM 13F NAME OF REPORTING MANAGER LOOMIS SAYLES & CO., INC 12/31/01 VOTING AUTHORITY (SHARES) ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 INVEST DISCRETION NAME OF ISSUER CLASS CUSIP MKT VAL SHARES A B C MANAGERS (A)SOLE (B)SHARED (C)NONE (000) --------- --------- --------- WILSONS THE LEATHER EXPERTS COMMON 972463103 7 600 X 123 600 WIND RIVER SYSTEMS COMMON 973149107 473 26,400 X 123 26,400 WINTRUST FINANCIAL CORP COMMON 97650W108 4,913 160,700 X 123 90,300 6,400 64,000 WIPRO LTD ADR ADR 97651M109 633 17,300 X 123 14,700 1,500 1,100 WISCONSIN ENERGY CORP COMMON 976657106 228 10,125 X 123 10,125 WITNESS SYSTEMS INC COMMON 977424100 3,675 275,900 X 123 186,000 4,600 85,300 WORLDCOM INC - WORLDCOM GROUP COMMON 98157D106 9,691 688,310 X 123 490,536 6,000 191,774 WORLDCOM INC - MCI GROUP COMMON 98157D304 318 25,043 X 123 17,583 261 7,199 WORTHINGTON INDUSTRIES COMMON 981811102 1,245 87,700 X 123 87,700 WRIGHT MEDICAL GROUP INC COMMON 98235T107 11,198 625,600 X 123 421,300 10,400 193,900 WRIGLEY W M JR COMMON 982526105 556 10,824 X 123 10,824 XTO ENERGY INC COMMON 98385X106 459 26,250 X 123 26,250 XCEL ENERGY INC COMMON 98389B100 556 20,050 X 123 7,000 13,050 XILINX INC COMMON 983919101 5,608 143,600 X 123 77,000 500 66,100 XEROX CORP COMMON 984121103 535 51,300 X 123 28,700 18,600 4,000 XEROX CORP SUB DEB CONV CV BND 984121BB8 176,398 2,604,850 X 123 2,241,544 230,961 132,346 XYVISION SERIES B PFD P/P CV PFD 9841809D3 2 2,816,664 X 123 2,816,664 XICOR INC COMMON 984903104 2,320 209,000 X 123 118,800 8,300 81,900 YELLOW CORP COMMON 985509108 8,343 332,400 X 123 223,700 5,400 103,300 YUKOS ADR ADR 98849W108 397 5,100 X 123 5,100 ZALE CORP COMMON 988858106 32,385 773,280 X 123 503,580 37,100 232,600 ZIMMER HOLDINGS INC COMMON 98956P102 6,533 213,902 X 123 111,718 1,055 101,129 ZORAN CORP COMMON 98975F101 18,979 581,450 X 123 544,000 37,450 THERMEDICS INC CONV ZERO CPN CV BND 99FUUGII4 1,855 61,045 X 123 53,395 7,650 LERNOUT & HAUSPIE SPEECH PRODS COMMON B5628B104 1,688 X 123 1,688 DAIMLERCHRYSLER AG COMMON D1668R123 19 455 X 123 455 ACE LTD COMMON G0070K103 37,308 929,223 X 123 305,525 7,550 616,148 AMDOCS LTD COMMON G02602103 2,935 86,400 X 123 71,100 1,100 14,200 ANNUITY AND LIFE RE HLDGS COMMON G03910109 17,755 707,100 X 123 530,050 7,600 169,450 APW LTD COMMON G04397108 29 17,622 X 123 17,622 EVEREST RE GROUP LTD COMMON G3223R108 2,337 33,050 X 123 17,250 15,800 GLOBAL CROSSING LTD COMMON G3921A100 40 X 123 40 GLOBALSANTAFE CORP COMMON G3930E101 26,719 936,850 X 123 709,250 3,625 223,975 MARVELL TECHNOLOGY GROUP LTD COMMON G5876H105 19,049 531,800 X 123 399,900 48,500 83,400 TRANSOCEAN SEDCO FOREX INC COMMON G90078109 3,436 101,582 X 123 94,437 7,145 WILLIS GROUP HOLDINGS LTD COMMON G96655108 1,413 60,000 X 123 60,000 XL CAPITAL CORP ADR G98255105 18,927 207,165 X 123 175,940 900 30,325 CHECK POINT SOFTWARE TECH COMMON M22465104 23,603 591,700 X 123 159,625 6,650 425,425 PRECISE SOFTWARE SOLUTIONS COMMON M41450103 14,272 690,800 X 123 522,300 54,000 114,500 GIVEN IMAGING LTD COMMON M52020100 4,708 263,600 X 123 244,950 18,650 ORBOTECH LTD COMMON M75253100 237 7,600 X 123 7,600 RADWARE LTD COMMON M81873107 34 2,600 X 123 2,600 TARO PHARMACEUTICAL INDS LTD COMMON M8737E108 1,678 42,000 X 123 34,300 800 6,900 ASM LITHOGRAPHY HLDG COMMON N07059111 2,935 172,120 X 123 143,720 2,400 26,000 ROYAL CARIBBEAN CRUISES LTD COMMON V7780T103 14,279 881,450 X 123 65,725 11,900 803,825 FLEXTRONICS INTL LTD COMMON Y2573F102 3,091 128,855 X 123,905 2,250 2,700
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