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

                                    Form 13F

                               Form 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: March 31, 2002

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

Institutional Investment Manager Filing this Report:

Name:    BP p.l.c.
Address: Britannic House
         1 Finsbury Circus
         London EC2m 7BA
         England

Form 13F File Number:  28-05353
                       --------

The institutional investment manager filing this report and the person by whom
it is signed hereby represent that the person signing the report is authorized
to submit it, that all information contained herein is true, correct and
complete, and that it is understood that all required items, statements,
schedules, lists, and tables, are considered integral parts of this form.

Person Signing this Report on Behalf of Reporting Manager:

Name:  Dr. J. G. S. Buchanan
Title: Group Chief Financial Officer and Executive Director
Phone: 020 7496 4157

Signature, Place, and Date of Signing:

/s/ J. Buchanan                London                   13 May, 2002
---------------------------    --------------------     --------------------
[Signature]                    [City,State]             [Date]

Report Type (Check only one.):

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

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

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

List of Other Managers Reporting for this Manager:

Form 13F File Number               Name

28-________________                _______________





                              Form 13F SUMMARY PAGE


Report Summary:

Number of Other Included Managers:           2
                                          -----------

Form 13F Information Table Entry Total:     343
                                          -----------

Form 13F Information Table Value Total:   $1,151,178
                                          ----------
                                          (thousands)

List of Other Included Managers:

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

No.      Form 13F File Number               Name
01       28-05357                           BP Investment Management Limited
02       28-00312                           BP Corporation North America Inc.







BP P.L.C.
FORM 13F INFORMATION TABLE
MARCH 31, 2002


                                 TITLE             MARKET
                                 OF                VALUE        SHARES/   SH/ INVESTMENT OTHER     VOTING AUTHORITY
ISSUER                           CLASS    CUSIP    ($000)       PRN AMT   PRN DISCRETION MANAGERS  SOLE       SHARED    NONE
                                                                                          
ABBOTT LABORATORIES COM NPV         COM   002824100    7,627     145,000   SH   DEFINED     01     145,000
ADC TELECOMMS                       COM   000886101      305      75,000   SH   DEFINED     01      75,000
ADOBE SYSTEMS COM NPV               COM   00724F101      806      20,000   SH   DEFINED     01      20,000
AES COM $US0.01                     COM   00130H105      405      45,000   SH   DEFINED     01      45,000
AFLAC COM $US0.10                   COM   001055102    1,475      50,000   SH   DEFINED     01      50,000
AGILENT TECHNOLOGIES                COM   00846U101    1,333      38,140   SH   DEFINED     01      38,140
AIR PRODUCTS & CHEMS COM $US1       COM   009158106    2,066      40,000   SH   DEFINED     01      40,000
ALBERTSONS COM $US1                 COM   013104104    1,657      50,000   SH   DEFINED     01      50,000
ALCOA COM $US1                      COM   013817101    3,585      95,000   SH   DEFINED     01      95,000
ALLOS THERAPEUTICS INC COM          COM   019777101      446      64,172   SH   DEFINED     02      64,172
ALLSTATE COM $US0.01                COM   020002101    2,455      65,000   SH   DEFINED     01      65,000
ALLTEL COM $US1                     COM   020039103    1,667      30,000   SH   DEFINED     01      30,000
ALTERA                              COM   021441100      875      40,000   SH   DEFINED     01      40,000
ALVARION LTD SHS                    COM   M0861T100      235      94,082   SH   DEFINED     02      94,082
AMAZON                              COM   023135106      286      20,000   SH   DEFINED     01      20,000
AMBAC FINANCIAL GRP                 COM   023139108      886      15,000   SH   DEFINED     01      15,000
AMER ELEC POWER COM $US6.50         COM   025537101    2,765      60,000   SH   DEFINED     01      60,000
AMER HOME PRODUCTS COM $US0.333     COM   026609107    7,878     120,000   SH   DEFINED     01     120,000
AMERICA MOVIL A ADR                 ADR   02364W204    1,949     100,000   SH   DEFINED     01     100,000
AMERICA MOVIL L ADR 20ORD           ADR   02364W105      993      50,000   SH   DEFINED     01      50,000
AMERICAN EXPRESS COM $US0.60        COM   025816109    4,915     120,000   SH   DEFINED     01     120,000
AMERICAN INTL GROUP COM $US2.50     COM   026874107   18,064     250,405   SH   DEFINED     01     250,405
AMGEN COM $US0.0001                 COM   031162100    7,460     125,000   SH   DEFINED     01     125,000
AMR CORP COM $US1                   COM   001765106      370      14,000   SH   DEFINED     01      14,000
AMSOUTH BANCORP                     COM   032165102      769      35,000   SH   DEFINED     01      35,000
ANADARKO PETROLEUM COM $US0.10      COM   032511107    1,411      25,000   SH   DEFINED     01      25,000
ANALOG DEVICES COM $US0.1667        COM   032654105    1,802      40,000   SH   DEFINED     01      40,000
ANHEUSER BUSCH COM $US1             COM   035229103    4,374      83,800   SH   DEFINED     01      83,800
AOL TIME WARNER                     COM   00184A105    9,342     395,000   SH   DEFINED     01     395,000
APACHE COM $US1.25                  COM   037411105    1,877      33,000   SH   DEFINED     01      33,000
APPLE COMPUTER COM NPV              COM   037833100      947      40,000   SH   DEFINED     01      40,000
APPLIED IMAGING CORP COM            COM   03820G106      110      45,500   SH   DEFINED     02      45,500
APPLIED MATERIALS COM NPV           COM   038222105    4,287      79,000   SH   DEFINED     01      79,000
ASPECT MED SYS INC COM              COM   045235108    1,059     119,036   SH   DEFINED     02     119,036
AT & T CORP $US1                    COM   001957109    4,860     309,547   SH   DEFINED     01     309,547
AT & T WIRELESS SERVICES            COM   00209A106    2,685     300,000   SH   DEFINED     01     300,000
AUTO DATA PROCESS COM $US0.10       COM   053015103    3,205      55,000   SH   DEFINED     01      55,000
AVANEX CORP COM                     COM   05348W109      237      59,116   SH   DEFINED     02      59,116
AVAYA COM                           COM   053499109      188      25,416   SH   DEFINED     01      25,416
BAKER HUGHES COM $US1               COM   057224107    1,148      30,000   SH   DEFINED     01      30,000
BANK OF AMERICA COM $US0.01         COM   060505104   10,203     150,000   SH   DEFINED     01     150,000
BANK OF NEW YORK COM $US7.50        COM   064057102    3,362      80,000   SH   DEFINED     01      80,000
BANK ONE COM $US0.01                COM   06423A103    4,596     110,000   SH   DEFINED     01     110,000
BARRICK GOLD ($US)                  COM   067901108      371      20,000   SH   DEFINED     01      20,000
BAXTER INTERNATIONAL COM $US1       COM   071813109    3,571      60,000   SH   DEFINED     01      60,000
BB&T                                COM   054937107    2,287      60,000   SH   DEFINED     01      60,000
BE FREE INC COM                     COM   073308108      550     333,088   SH   DEFINED     02     333,088
BECTON DICKINSON COM $US1           COM   075887109      943      25,000   SH   DEFINED     01      25,000
BELL ATLANTIC COM $US0.10           COM   077853109   11,977     259,800   SH   DEFINED     01     259,800
BELLSOUTH COM $US1                  COM   079860102    5,898     160,000   SH   DEFINED     01     160,000
BERKSHIRE HATHAWAY A                COM   084670108    9,954         140   SH   DEFINED     01         140
BEST BUY                            COM   086516101    1,584      20,000   SH   DEFINED     01      20,000
BIOGEN COM $US0.01                  COM   090597105      687      14,000   SH   DEFINED     01      14,000
BJ'S WHOLESALE CLUB                 COM   05548J106      447      10,000   SH   DEFINED     01      10,000
BLACK & DECKER COM $US0.50          COM   091797100      465      10,000   SH   DEFINED     01      10,000
BMC SOFTWARE COM $US0.01            COM   055921100      584      30,000   SH   DEFINED     01      30,000
BOEING COM $US5                     COM   097023105    3,378      70,000   SH   DEFINED     01      70,000
BOSTON SCIENTIFIC COM $US0.01       COM   101137107      753      30,000   SH   DEFINED     01      30,000
BRISTOL MYERS SQUIBB COM $US0.10    COM   110122108    7,086     175,000   SH   DEFINED     01     175,000
BROADCOM CL A                       COM   111320107      754      21,000   SH   DEFINED     01      21,000
BURLINGTON NTH SANTA COM $US0.01    COM   12189T104    1,811      60,000   SH   DEFINED     01      60,000
CABLEVISION                         COM   12686C844      370      15,000   SH   DEFINED     01      15,000
CAP ONE FINL                        COM   14040H105    1,277      20,000   SH   DEFINED     01      20,000
CARDINAL HEALTH                     COM   14149Y108    3,367      47,500   SH   DEFINED     01      47,500
CARNIVAL CORP CL A $US0.01          COM   143658102    1,469      45,000   SH   DEFINED     01      45,000
CARSO GLOBAL TELECOM ADR (2 ORD)    ADR   14574P107    3,264     640,000   SH   DEFINED     01     640,000
CATERPILLAR COM $US1                COM   149123101    2,814      49,500   SH   DEFINED     01      49,500
CEMEX ADR PART CER(5 CPO)           ADR   151290889    2,511      85,000   SH   DEFINED     01      85,000
CENDANT COM $US0.01                 COM   151313103    1,728      90,000   SH   DEFINED     01      90,000
CENTURYTEL COM $US1                 COM   156700106      680      20,000   SH   DEFINED     01      20,000
CERIDIAN                            COM   15677T106      221      10,000   SH   DEFINED     01      10,000
CHASE MANHATTAN                     COM   16161A108   12,688     356,507   SH   DEFINED     01     356,507
CHASE MANHATTAN COM $US1.00         COM   16161A108    6,613     185,500   SH   DEFINED     01     185,500
CHEVRON COM $US1.50                 COM   166751107    9,483     105,050   SH   DEFINED     01     105,050
CHUBB                               COM   171232101    1,097      15,000   SH   DEFINED     01      15,000
CIENA                               COM   171779101      270      30,000   SH   DEFINED     01      30,000
CIGNA COM $US1                      COM   125509109    1,724      17,000   SH   DEFINED     01      17,000
CISCO SYS INC COM                   COM   17275R102    2,348     138,710   SH   DEFINED     02     138,710
CISCO SYSTEMS COM $US0.001          COM   17275R102   12,359     730,000   SH   DEFINED     01     730,000
CITIGROUP COM $US0.01               COM   172967101   24,744     499,669   SH   DEFINED     01     499,669
CITRIX SYSTEMS COM $US0.001         COM   177376100      518      30,000   SH   DEFINED     01      30,000
CLEAR CHANNEL COMM COM $US0.10      COM   184502102    3,599      70,000   SH   DEFINED     01      70,000
CMGI INC COM                        COM   125750109      170     125,869   SH   DEFINED     02     125,869
COCA COLA $US0.25                   COM   191216100   12,020     230,000   SH   DEFINED     01     230,000
COLGATE-PALMOLIVE COM $US1          COM   194162103    4,572      80,000   SH   DEFINED     01      80,000
COMCAST A SPECIAL COM $US1          COM   200300200    3,180     100,000   SH   DEFINED     01     100,000
COMERICA                            COM   200340107    1,877      30,000   SH   DEFINED     01      30,000
COMPAQ COMPUTER COM $US0.01         COM   204493100    1,829     175,000   SH   DEFINED     01     175,000
COMPUTER ASSOC INTL COM $US0.10     COM   204912109    1,423      65,000   SH   DEFINED     01      65,000
COMPUTER SCIENCES COM $US1          COM   205363104    1,523      30,000   SH   DEFINED     01      30,000
COMPUWARE COM $US0.01               COM   205638109      516      40,000   SH   DEFINED     01      40,000
COMVERSE TECHNOLOGY COM $US0.1      COM   205862402      380      30,000   SH   DEFINED     01      30,000
CONCORD COMMUNICATIONS INC COM      COM   206186108    1,530      72,363   SH   DEFINED     02      72,363
CONCORD EFS                         COM   206197105    1,829      55,000   SH   DEFINED     01      55,000
CONEXANT SYS INC COM                COM   207142100    1,008      83,659   SH   DEFINED     02      83,659
CONEXANT SYSTEMS COM $US0.01        COM   207142100      217      18,000   SH   DEFINED     01      18,000
CONNETICS CORP COM                  COM   208192104      125      12,890   SH   DEFINED     02      12,890
CONOCO                              COM   208251504    2,189      75,000   SH   DEFINED     01      75,000
CONS EDISON NY COM $US0.10          COM   209115104    1,886      45,000   SH   DEFINED     01      45,000
COSTCO WHOLESALE COM $US0.10        COM   22160K105    1,672      42,000   SH   DEFINED     01      42,000
COX COMMUNICATIONS CL A             COM   224044107    1,129      30,000   SH   DEFINED     01      30,000
CP&L ENERGY COM NPV                 COM   144141108    2,002      40,000   SH   DEFINED     01      40,000
CREATIVE TECHNOLOGY COM $S0.25      COM   225290402    1,823     150,000   SH   DEFINED     01     150,000
DARDEN RESTAURANTS                  COM   237194105    1,218      30,000   SH   DEFINED     01      30,000
DAYTON HUDSON COM $US0.1667         COM   239753106    5,174     120,000   SH   DEFINED     01     120,000
DEERE & CO COM $US1                 COM   244199105    1,367      30,000   SH   DEFINED     01      30,000
DELL COMPUTERS COM $US0.01          COM   247025109    6,136     235,000   SH   DEFINED     01     235,000
DELPHI AUTO SYSTEMS COM $US0.01     COM   247126105    1,846     115,430   SH   DEFINED     01     115,430
DISNEY(WALT) COM $US0.01            COM   254687106    4,616     200,000   SH   DEFINED     01     200,000
DOLLAR GENERAL COM $US0.50          COM   256669102      427      26,250   SH   DEFINED     01      26,250
DOMINION RESCOM (NEW)               COM   257470104    2,281      35,000   SH   DEFINED     01      35,000
DOW CHEMICAL COM $US2.50            COM   260543103    3,272     100,000   SH   DEFINED     01     100,000
DTE ENERGY COM NPV                  COM   233331107    1,365      30,000   SH   DEFINED     01      30,000
DU PONT (EI) DE NEMOURS $US0.30     COM   263534109    4,951     105,000   SH   DEFINED     01     105,000
DUKE ENERGY COM NPV                 COM   264399106    3,024      80,000   SH   DEFINED     01      80,000
EBAY                                COM   278642103      963      17,000   SH   DEFINED     01      17,000
EL PASO ENERGY COM $US3             COM   28368B102    3,386      76,900   SH   DEFINED     01      76,900
ELECTRONIC DATA SYST COM $US0.01    COM   285661104    2,465      42,500   SH   DEFINED     01      42,500
E-LOAN INC COM                      COM   26861P107       29      15,850   SH   DEFINED     02      15,850
EMC COM $US0.01                     COM   268648102    2,384     200,000   SH   DEFINED     01     200,000
EMERSON ELECTRIC COM $US1           COM   291011104    1,722      30,000   SH   DEFINED     01      30,000
ENGELHARD                           COM   292845104      621      20,000   SH   DEFINED     01      20,000
EQ OFFICE PROP TST                  COM   294741103    1,500      50,000   SH   DEFINED     01      50,000
EXULT INC                           COM   302284104   64,019   5,867,892   SH   SOLE             5,867,892
EXXON MOBIL COM NPV                 COM   30231G102   30,243     690,000   SH   DEFINED     01     690,000
FANNIE MAE COM NPV                  COM   313586109    8,387     105,000   SH   DEFINED     01     105,000
FDX COM $US0.10                     COM   31428X106    1,743      30,000   SH   DEFINED     01      30,000
FEDERATED DEPT STORES $US0.01       COM   31410H101      817      20,000   SH   DEFINED     01      20,000
FIFTH THIRD BANCORP COM NPV         COM   316773100    5,061      75,000   SH   DEFINED     01      75,000
FIRST DATA COM $US0.01              COM   319963104    3,490      40,000   SH   DEFINED     01      40,000
FIRST UNION COM $US3.333            COM   337358105    4,450     120,000   SH   DEFINED     01     120,000
FLEET BOSTON FINANCE COM $US0.01    COM   339030108    4,515     129,000   SH   DEFINED     01     129,000
FLUOR                               COM   343861100      816      20,000   SH   DEFINED     01      20,000
FOMENTO ECO MEX ADR (1B/2DB/2DL)    ADR   344419106    2,225      47,200   SH   DEFINED     01      47,200
FORD MOTOR (NEW)                    COM   345370860    3,333     202,097   SH   DEFINED     01     202,097
FPL GROUP COM $US0.01               COM   302571104    1,012      17,000   SH   DEFINED     01      17,000
FRANKLIN RESOURCES                  COM   354613101      838      20,000   SH   DEFINED     01      20,000
FREDDIE MAC COM $US0.21             COM   313400301    4,246      67,000   SH   DEFINED     01      67,000
GANNETT                             COM   364730101    3,425      45,000   SH   DEFINED     01      45,000
GAP COM $US0.05                     COM   364760108      978      65,000   SH   DEFINED     01      65,000
GEDEON RICHTER GDR                  GDR   368467304    5,888      92,000   SH   DEFINED     01      92,000
GENERAL ELECTRIC COM $US0.16        COM   369604103   36,327     970,000   SH   DEFINED     01     970,000
GENERAL MILLS                       COM   370334104    2,931      60,000   SH   DEFINED     01      60,000
GENERAL MOTORS COM $US1.67          COM   370442105    3,183      52,647   SH   DEFINED     01      52,647
GILLETTE COM $US1                   COM   375766102    3,401     100,000   SH   DEFINED     01     100,000
GLOBALSANTAFE                       COM   G3930E101      870      26,600   SH   DEFINED     01      26,600
GOLDEN WEST FINL                    COM   381317106      953      15,000   SH   DEFINED     01      15,000
GPO CARSO ADR (2 A1)                ADR   400485207      803     100,000   SH   DEFINED     01     100,000
GPO TELEVISA GDR (2 PTG CERT)       GDR   40049J206    1,455      30,000   SH   DEFINED     01      30,000
GUIDANT SHS NPV                     COM   401698105    1,213      28,000   SH   DEFINED     01      28,000
HARLEY DAVIDSON                     COM   412822108    1,378      25,000   SH   DEFINED     01      25,000
HARRAHS ENTERTAINMENT               COM   413619107      885      20,000   SH   DEFINED     01      20,000
HARTFORD FINL SERV COM $US0.01      COM   416515104    3,372      49,500   SH   DEFINED     01      49,500
HCA - THE HEALTHCARE COM $US0.01    COM   404119109    2,645      60,000   SH   DEFINED     01      60,000
HEINZ (HJ) COM $US0.25              COM   423074103    1,868      45,000   SH   DEFINED     01      45,000
HELLENIC TELECOM ADR (OTE)          ADR   423325307      208      27,778   SH   DEFINED     01      27,778
HEWLETT PACKARD COM $US0.01         COM   428236103    2,243     125,000   SH   DEFINED     01     125,000
HILTON HOTELS                       COM   432848109      715      50,000   SH   DEFINED     01      50,000
HOME DEPOT COM $US0.05              COM   437076102   10,694     220,000   SH   DEFINED     01     220,000
HONEYWELL INTL COM $US1             COM   438516106    2,679      70,000   SH   DEFINED     01      70,000
HOUSEHOLD INTERNATIONAL COM $US1    COM   441815107    2,414      42,500   SH   DEFINED     01      42,500
HYBRID NETWORKS INC COM             COM   44860K102        1      63,945   SH   DEFINED     02      63,945
IBASIS INC COM                      COM   450732102      202     237,264   SH   DEFINED     02     237,264
ILLINOIS TOOL WKS COM NPV           COM   452308109    1,990      27,500   SH   DEFINED     01      27,500
INDIA FUND COM $US0.001             COM   454089103    3,699     354,000   SH   DEFINED     01     354,000
INDOSAT ADR (10 B)                  ADR   715680104    3,105     300,000   SH   DEFINED     01     300,000
INDUSTRIE NATUZZI ADR (1 ORD)       COM   456478106    2,675     181,340   SH   DEFINED     01     181,340
INGERSOLL RAND CLASS A              COM   G4776G101    1,100      22,000   SH   DEFINED     01      22,000
INKTOMI CORP COM                    COM   457277101       58      16,888   SH   DEFINED     02      16,888
INTEL COM $US0.001                  COM   458140100   20,071     660,000   SH   DEFINED     01     660,000
INTERNATIONAL PAPER COM $US1        COM   460146103    1,935      45,000   SH   DEFINED     01      45,000
INTERPUBLIC COM $US0.10             COM   460690100    1,371      40,000   SH   DEFINED     01      40,000
INTL BUSINESS MACHN COM $US0.20     COM   459200101   16,744     161,000   SH   DEFINED     01     161,000
IONA TECH ADR (1 ORD)               ADR   46206P109    1,100      65,000   SH   DEFINED     01      65,000
JDS UNIPHASE                        COM   46612J101      634     107,700   SH   DEFINED     01     107,700
JOHN HANCOCK FIN SVS COM $US0.01    COM   410145106    1,146      30,000   SH   DEFINED     01      30,000
JOHNSON & JOHNSON COM $US1          COM   478160104   18,485     284,600   SH   DEFINED     01     284,600
KELLOGG                             COM   487836108    1,679      50,000   SH   DEFINED     01      50,000
KERR MCGEE COM $US1                 COM   492386107      629      10,000   SH   DEFINED     01      10,000
KEYCORP                             COM   493267108    1,399      52,500   SH   DEFINED     01      52,500
KIMBERLY CLARK ADR (5A)             ADR   494368204      850      50,000   SH   DEFINED     01      50,000
KIMBERLY CLARK COM $US1.25          COM   494368103    3,233      50,000   SH   DEFINED     01      50,000
KLA TENCOR COM $US0.001             COM   482480100    1,131      17,000   SH   DEFINED     01      17,000
KOHLS                               COM   500255104    2,561      36,000   SH   DEFINED     01      36,000
KROGER COM $US1                     COM   501044101    2,438     110,000   SH   DEFINED     01     110,000
LEHMAN BROS HDG                     COM   524908100    1,616      25,000   SH   DEFINED     01      25,000
LEXMARK INT CLASS A                 COM   529771107      572      10,000   SH   DEFINED     01      10,000
LIBERTY MEDIA CL A                  COM   530718105    3,539     280,000   SH   DEFINED     01     280,000
LILLY(ELI) & CO COM NPV             COM   532457108    8,382     110,000   SH   DEFINED     01     110,000
LIMITED COM $US0.50                 COM   532716107      716      40,000   SH   DEFINED     01      40,000
LINCOLN NATIONAL COM                COM   534187109    1,522      30,000   SH   DEFINED     01      30,000
LINEAR TECHNOLOGY                   COM   535678106    1,327      30,000   SH   DEFINED     01      30,000
LOCKHEED MARTIN COM                 COM   539830109    2,879      50,000   SH   DEFINED     01      50,000
LOWES COM $US0.50                   COM   548661107    3,479      80,000   SH   DEFINED     01      80,000
LSI LOGIC COM $US0.01               COM   502161102      595      35,000   SH   DEFINED     01      35,000
LUCENT TECHNOLOGIES COM $US0.01     COM   549463107    1,041     220,000   SH   DEFINED     01     220,000
MANULIFE FINL CORP COM (ARCO)       COM   56501R106   66,124   2,408,906   SH      SOLE          2,408,906
MARRIOTT                            COM   571903202      899      20,000   SH   DEFINED     01      20,000
MARSH & MCLENNAN COM $US1           COM   571748102    3,382      30,000   SH   DEFINED     01      30,000
MASCO COM $US1                      COM   574599106    1,647      60,000   SH   DEFINED     01      60,000
MATAV RT ADR (5B)                   ADR   576561104      874      50,000   SH   DEFINED     01      50,000
MAXIM INTEGRATED                    COM   57772K101    1,504      27,000   SH   DEFINED     01      27,000
MBIA                                COM   55262C100      820      15,000   SH   DEFINED     01      15,000
MBNA                                COM   55262L100    3,471      90,000   SH   DEFINED     01      90,000
MCDONALDS COM $US0.01               COM   580135101    3,746     135,000   SH   DEFINED     01     135,000
MCGRAW HILL                         COM   580645109    1,229      18,000   SH   DEFINED     01      18,000
MCI WORLDCOM COM $US0.01            COM   55268B106    2,089     310,000   SH   DEFINED     01     310,000
MCKESSON HBOC COM $US0.01           COM   58155Q103    1,497      40,000   SH   DEFINED     01      40,000
MEADWEST                            COM   583334107      663      20,000   SH   DEFINED     01      20,000
MEDIMMUNE SYSTEMS                   COM   584699102    1,180      30,000   SH   DEFINED     01      30,000
MEDTRONIC COM $US0.10               COM   585055106    5,199     115,000   SH   DEFINED     01     115,000
MELLON FINANCIAL COM $US0.5         COM   58551A108    1,717      44,500   SH   DEFINED     01      44,500
MERANT GROUP ADR (5 ORD)            ADR   587336108      812      99,000   SH   DEFINED     01      99,000
MERCK COM NPV                       COM   589331107   12,236     212,500   SH   DEFINED     01     212,500
MERRILL LYNCH COM $US1.333          COM   590188108    4,430      80,000   SH   DEFINED     01      80,000
METLIFE                             COM   59156R108    2,205      70,000   SH   DEFINED     01      70,000
MICRON TECHNOLOGY COM $US0.10       COM   595112103    1,974      60,000   SH   DEFINED     01      60,000
MICROSOFT COM $US0.000012           COM   594918104   31,964     530,000   SH   DEFINED     01     530,000
MILLENIUM PHARM                     COM   599902103      669      30,000   SH   DEFINED     01      30,000
MINNESOTA MINING COM NPV            COM   604059105    4,600      40,000   SH   DEFINED     01      40,000
MOLEX COM $US0.05                   COM   608554101      520      15,000   SH   DEFINED     01      15,000
MOODY'S COM                         COM   615369105      822      20,000   SH   DEFINED     01      20,000
MORGAN ST DEAN WIT COM $US0.01      COM   617446448    6,304     110,000   SH   DEFINED     01     110,000
MOTOROLA COM $US3                   COM   620076109    2,975     209,500   SH   DEFINED     01     209,500
MOTOROLA INC COM                    COM   620076109    1,209      85,163   SH   DEFINED     02      85,163
NATIONAL CITY COM $US4              COM   635405103    1,692      55,000   SH   DEFINED     01      55,000
NATL SEMICONDUCTOR COM $US0.50      COM   637640103      674      20,000   SH   DEFINED     01      20,000
NEW YORK TIMES A COM $US0.10        COM   650111107    1,675      35,000   SH   DEFINED     01      35,000
NEWELL RUBBERMAID COM $US1          COM   651229106      959      30,000   SH   DEFINED     01      30,000
NEXTEL COMMS CL A $US0.001          COM   65332V103      377      70,000   SH   DEFINED     01      70,000
NIKE B COM NPV                      COM   654106103      900      15,000   SH   DEFINED     01      15,000
NORFOLK SOUTHERN                    COM   655844108    1,197      50,000   SH   DEFINED     01      50,000
NORTEL NETWORKS CORP NEW COM        COM   656568102      357      79,568   SH   DEFINED     02      79,568
NORTH FORK BANCORP COM $US2.50      COM   659424105    2,685      75,500   SH   DEFINED     01      75,500
NORTHERN TRUST                      COM   665859104    1,352      22,500   SH   DEFINED     01      22,500
NORTHROP GRUMMAN COM $US1.00        COM   666807102    1,809      16,000   SH   DEFINED     01      16,000
OMNICOM GRP                         COM   681919106    2,039      21,600   SH   DEFINED     01      21,600
ORACLE COM $US0.01                  COM   68389X105    8,192     640,000   SH   DEFINED     01     640,000
ORBOTECH COM                        COM   M75253100    3,849     122,500   SH   DEFINED     01     122,500
PARAMETRIC TECHNOLOGY CORP COM      COM   699173100      175      28,931   SH   DEFINED     02      28,931
PARKER HANNIFIN COM $US0.50         COM   701094104      963      19,300   SH   DEFINED     01      19,300
PAYCHEX                             COM   704326107    1,787      45,000   SH   DEFINED     01      45,000
PE CORP-PE BIOSYSTEMS GRP $US1      COM   693325102      447      20,000   SH   DEFINED     01      20,000
PEPSICO CAP $US0.016666             COM   713448108    9,522     184,900   SH   DEFINED     01     184,900
PFIZER COM $US0.05                  COM   717081103   24,838     625,000   SH   DEFINED     01     625,000
PHARMACIA                           COM   71713U102    5,912     131,150   SH   DEFINED     01     131,150
PHILIP MORRIS COM $US0.33           COM   718154107   11,587     220,000   SH   DEFINED     01     220,000
PHILLIPS PETROLEUM COM $US1.25      COM   718507106    2,198      35,000   SH   DEFINED     01      35,000
PHOENIX COS INC NEW                 COM   71902E109    1,955     101,817   SH      SOLE            101,817
PITNEY BOWES COM $US1.00            COM   724479100    1,070      25,000   SH   DEFINED     01      25,000
PPG INDUSTRIES COM $US1.6667        COM   693506107    1,098      20,000   SH   DEFINED     01      20,000
PPL                                 COM   69351T106      495      12,500   SH   DEFINED     01      12,500
PRAXAIR COM $US0.01                 COM   74005P104      897      15,000   SH   DEFINED     01      15,000
PRINCIPAL FINANCIAL GROUP IN        COM   74251V102      262      10,354   SH      SOLE             10,354
PROCTER & GAMBLE COM NPV            COM   742718109   11,892     132,000   SH   DEFINED     01     132,000
PROKOM SOFTWARE GDR (1/2) REG S     GDR   743394207      644      35,000   SH   DEFINED     01      35,000
PROVIDIAN FINANCIAL                 COM   74406A102      189      25,000   SH   DEFINED     01      25,000
PUBLIC SERVICE ENT COM NPV          COM   744573106    1,374      30,000   SH   DEFINED     01      30,000
QUALCOMM COM $US0.0001              COM   747525103    2,258      60,000   SH   DEFINED     01      60,000
QWEST COMMS INTL                    COM   749121109      822     100,000   SH   DEFINED     01     100,000
RADIOSHACK                          COM   750438103      601      20,000   SH   DEFINED     01      20,000
RAYTHEON                            COM   755111507    1,026      25,000   SH   DEFINED     01      25,000
RELIANT ENERGY COM NPV              COM   75952J108    1,547      60,000   SH   DEFINED     01      60,000
ROC TAIWAN FUND SBI NPV             COM   749651105    1,119     220,284   SH   DEFINED     01     220,284
ROCKWELL COLLINS                    COM   774341101      757      30,000   SH   DEFINED     01      30,000
ROCKWELL INTL                       COM   773903109      602      30,000   SH   DEFINED     01      30,000
ROHM & HAAS                         COM   775371107    1,268      30,000   SH   DEFINED     01      30,000
SABA SOFTWARE INC COM               COM   784932105      397      95,570   SH   DEFINED     02      95,570
SAFEWAY                             COM   786514208      900      20,000   SH   DEFINED     01      20,000
SANMINA                             COM   800907107    1,175     100,000   SH   DEFINED     01     100,000
SARA LEE COM $US1.3333              COM   803111103    2,387     115,000   SH   DEFINED     01     115,000
SBC COMMUNICATIONS COM $US1         COM   78387G103   11,232     300,000   SH   DEFINED     01     300,000
SCHERING PLOUGH COM $US0.50         COM   806605101    4,226     135,000   SH   DEFINED     01     135,000
SCHLUMBERGER COM $US0.01            COM   806857108    3,235      55,000   SH   DEFINED     01      55,000
SCHOLASTIC                          COM   807066AA3      488       9,000   SH   DEFINED     01       9,000
SCHWAB (CHARLES) COM $US0.01        COM   808513105    1,702     130,000   SH   DEFINED     01     130,000
SCIENT INC COM                      COM   808649107        5      44,153   SH   DEFINED     02      44,153
SEALED AIR (NEW)                    COM   81211K100      942      20,000   SH   DEFINED     01      20,000
SEARS ROEBUCK                       COM   812387108    1,538      30,000   SH   DEFINED     01      30,000
SIEBEL SYSCOM                       COM   826170102    1,957      60,000   SH   DEFINED     01      60,000
SIGMA ALDRICH                       COM   826552101      470      10,000   SH   DEFINED     01      10,000
SIMON PROPERTY GROUP                COM   828806109      848      26,000   SH   DEFINED     01      26,000
SOLECTRON COM $US0.001              COM   834182107      995     127,550   SH   DEFINED     01     127,550
SONUS NETWORKS INC COM              COM   835916107    1,557     594,366   SH   DEFINED     02     594,366
SOUTHERN CO COM $US5                COM   842587107    3,974     150,000   SH   DEFINED     01     150,000
SOUTHWEST AIRLINES                  COM   844741108    1,742      90,000   SH   DEFINED     01      90,000
SPEECHWORKS INTL INC COM            COM   84764M101    1,607     205,026   SH   DEFINED     02     205,026
SPRINT (PCS GRP) COM $US1.00        COM   852061506      823      80,000   SH   DEFINED     01      80,000
SPRINT COM (FON GROUP) $US2.50      COM   852061100      765      50,000   SH   DEFINED     01      50,000
SPX 0                               COM   784635104      708       5,000   SH   DEFINED     01       5,000
ST PAULS                            COM   792860108    1,376      30,000   SH   DEFINED     01      30,000
STAPLES COM $US0.0006               COM   855030102      999      50,000   SH   DEFINED     01      50,000
STARWOOD HOTEL & RES CLB            COM   85590A203    1,655      44,000   SH   DEFINED     01      44,000
STATE STREET                        COM   857477103    1,301      23,500   SH   DEFINED     01      23,500
STET HELLAS TELECOM ADR             ADR   859823106      398      57,737   SH   DEFINED     01      57,737
STILWELL FINANCIAL                  COM   860831106      732      29,900   SH   DEFINED     01      29,900
SUN MICROSYSTEMS COM $US0.0006      COM   866810104    3,175     360,000   SH   DEFINED     01     360,000
SYNOVUS FINANCIAL                   COM   87161C105      762      25,000   SH   DEFINED     01      25,000
SYSCO COM $US1                      COM   871829107    2,087      70,000   SH   DEFINED     01      70,000
TELEFONOS DE MEXI ADR(1O)           ADR   879403707    5,387     135,000   SH   DEFINED     01     135,000
TELEFONOS MEXICO ADR(20L)           ADR   879403780      909      22,500   SH   DEFINED     01      22,500
TEMPLE INLAND COM $US1              COM   879868107      567      10,000   SH   DEFINED     01      10,000
TENET HEALTHCARE COM $US0.15        COM   88033G103    2,681      40,000   SH   DEFINED     01      40,000
TERADYNE COM $US0.125               COM   880770102      789      20,000   SH   DEFINED     01      20,000
TEXAS INSTRUMENTS COM $US1          COM   882508104    6,289     190,000   SH   DEFINED     01     190,000
TEXTRON                             COM   883203101    1,533      30,000   SH   DEFINED     01      30,000
TJX COM $US1                        COM   872540109    1,400      35,000   SH   DEFINED     01      35,000
TOTAL ACCESS COMMS THB10 ($S)       COM   891490108    3,425   2,500,000   SH   DEFINED     01   2,500,000
TOYS R US HOLDINGS                  COM   892335100      359      20,000   SH   DEFINED     01      20,000
TRANSOCEAN SEDCO FOREX $US0.01      COM   G90078109      997      30,000   SH   DEFINED     01      30,000
TRIBUNE (DEL)                       COM   896047107      455      10,000   SH   DEFINED     01      10,000
TUBOS DE ACERO ADR (1 ORD)          ADR   898592501      567      53,000   SH   DEFINED     01      53,000
TXU                                 COM   873168108    2,180      40,000   SH   DEFINED     01      40,000
TYCO INTL COM $US0.2                COM   902124106    7,110     220,000   SH   DEFINED     01     220,000
UNION PACIFIC                       COM   907818108    1,398      22,500   SH   DEFINED     01      22,500
UNISYS COM $US0.01                  COM   909214108      379      30,000   SH   DEFINED     01      30,000
UNITED HEALTHCARE COM $US0.01       COM   910581107    3,057      40,000   SH   DEFINED     01      40,000
UNITED TECHNOLOGIES COM $US1        COM   913017109    4,081      55,000   SH   DEFINED     01      55,000
UNIVERSAL COMPRESSION HLDGS I COM   COM   913431102    1,430      54,151   SH   DEFINED     02      54,151
US BANCORP                          COM   917292104    4,063     180,000   SH   DEFINED     01     180,000
UST                                 COM   902911106    1,363      35,000   SH   DEFINED     01      35,000
USX-MARATHON GROUP COM $US1         COM   902905827    1,440      50,000   SH   DEFINED     01      50,000
VA SOFTWARE CORP COM                COM   91819B105       99      58,270   SH   DEFINED     02      58,270
VERITAS SOFTWARE CO $US0.001        COM   923436109    2,364      53,930   SH   DEFINED     01      53,930
VERSATA INC COM                     COM   925298101       90     132,019   SH   DEFINED     02     132,019
VIACOM CL B N/VTG COM $US0.01       COM   925524308    7,425     153,500   SH   DEFINED     01     153,500
VIGNETTE CORP COM                   COM   926734104      107      30,974   SH   DEFINED     02      30,974
VINA TECHNOLOGIES INC COM           COM   92719D100       12      16,267   SH   DEFINED     02      16,267
VISHAY INTERTECH                    COM   928298108      509      25,000   SH   DEFINED     01      25,000
VISTEON COM $US1                    COM   92839U107      662      40,000   SH   DEFINED     01      40,000
VITRIA TECHNOLOGY INC COM           COM   92849Q104      463     117,333   SH   DEFINED     02     117,333
VIVENDI UNIVERSAL ADR               ADR   92851S204      431      11,200   SH   DEFINED     01      11,200
WAL MART STORES COM $US0.10         COM   931142103   21,455     350,000   SH   DEFINED     01     350,000
WALGREEN                            COM   931422109    3,715      94,800   SH   DEFINED     01      94,800
WASHINGTON MUTUAL COM NPV           COM   939322103    2,899      87,500   SH   DEFINED     01      87,500
WASTE MANAGEMENT COM $US0.01        COM   94106L109    1,908      70,000   SH   DEFINED     01      70,000
WELLS FARGO COM $US1.6667           COM   949746101    8,892     180,000   SH   DEFINED     01     180,000
WEYERHAEUSER COM $US1.25            COM   962166104    2,336      37,168   SH   DEFINED     01      37,168
WILLIAMS COM $US1                   COM   969457100      942      40,000   SH   DEFINED     01      40,000
WYNDHAM INTL INC CL A               COM   983101106       15      17,014   SH   DEFINED     02      17,014
XILINX                              COM   983919101    1,196      30,000   SH   DEFINED     01      30,000
YAHOO COM $US0.00017                COM   984332106      739      40,000   SH   DEFINED     01      40,000
ZIMMER                              COM   98956P102      596      17,500   SH   DEFINED     01      17,500

TOTAL                                              1,151,178