Name of Selling Security Holder |
Principal Amount of Debentures Beneficially Owned That
May Be Sold |
Percentage of Debentures Outstanding |
Number of Shares of Common Stock That May Be Sold |
Percentage of Common Stock Outstanding | ||||
Aligemeine Pensionskasse Der Snissair Group |
290,000 |
* |
9,000 |
* | ||||
Alta Partners Holdings LDC |
9,000,000 |
* |
279,329 |
* |
Name of Selling Security Holder |
Principal Amount of Debentures Beneficially Owned That
May Be Sold |
Percentage of Debentures Outstanding |
Number of Shares of Common Stock That May Be Sold |
Percentage of Common Stock Outstanding | |||||
Argent Classic Convertible Arbitrage Fund (Bermuda)
Ltd. |
14,500,000 |
1.26 |
% |
450,031 |
* | ||||
Argent Classic Convertible Arbitrage Fund L.P. |
6,000,000 |
* |
|
186,219 |
* | ||||
Arkansas Teachers Retirement System |
3,237,000 |
* |
|
100,465 |
* | ||||
Attorneys Title Insurance Fund Inc. |
200,000 |
* |
|
6,207 |
* | ||||
Bear, Stearns & Co. Inc. |
9,000,000 |
* |
|
279,329 |
* | ||||
CA State Automobile Assn Inter-Insurance |
1,000,000 |
* |
|
31,036 |
* | ||||
Castle Convertible Fund, Inc. |
500,000 |
* |
|
15,518 |
* | ||||
Celina Mutual Insurance Company |
10,000 |
* |
|
310 |
* | ||||
Clinton Multistrategy Master Fund, Ltd. |
5,500,000 |
* |
|
170,701 |
* | ||||
Clinton Riverside Convertible Portfolio Limited |
5,500,000 |
* |
|
170,701 |
* | ||||
Credit Suisse First Boston Corporation |
4,962,000 |
* |
|
154,003 |
* | ||||
Credit Suisse First Boston Corporation, London Branch |
15,575,000 |
1.35 |
% |
483,395 |
* | ||||
Deam Convertible FD |
7,500,000 |
* |
|
232,774 |
* | ||||
Deutsche Banc Alex. Brown Inc. |
84,250,000 |
7.33 |
% |
2,614,835 |
* | ||||
Engineers Joint Pension Fund |
437,000 |
* |
|
13,563 |
* | ||||
Federated Rural Electric Insurance Exchange |
250,000 |
* |
|
7,759 |
* | ||||
Fidelity Advisor Series I: Fidelity Advisor Dividend Growth Fund |
1,287,000 |
* |
|
39,944 |
* | ||||
Fidelity Advisor Series I: Fidelity Advisor Equity Value Fund |
54,000 |
* |
|
1,675 |
* | ||||
Fidelity Financial Trust: Fidelity Equity-Income II Fund |
30,160,000 |
2.62 |
% |
936,064 |
* | ||||
First Union Securities Inc. |
20,000,000 |
1.74 |
% |
620,732 |
* | ||||
FISTFranklin Equity Income Fund |
2,400,000 |
* |
|
74,487 |
* | ||||
FTVIPTFranklin Growth & Income Securities Fund |
2,625,000 |
* |
|
81,471 |
* | ||||
Gemini Sammelstiftung Zur Forderling |
110,000 |
* |
|
3,414 |
* | ||||
Goldman, Sachs & Co. |
5,500,000 |
* |
|
170,701 |
* | ||||
Granville Capital Corporation |
25,000,000 |
2.17 |
% |
775,915 |
* | ||||
Hannover Life Reassurance Company of America |
750,000 |
* |
|
23,277 |
* | ||||
Innovest Finanzdienstleistungs AG |
550,000 |
* |
|
17,070 |
* | ||||
J.P. Morgan Securities Inc. |
37,850,000 |
3.29 |
% |
1,174,736 |
* |
Name of Selling Security Holder |
Principal Amount of Debentures Beneficially Owned That
May Be Sold |
Percentage of Debentures Outstanding |
Number of Shares of Common Stock That May Be Sold |
Percentage of Common Stock Outstanding | |||||
KBC Financial Products USA Inc. |
4,250,000 |
* |
|
131,905 |
* | ||||
Lipper Convertibles L.P. |
17,600,000 |
1.53 |
% |
546,244 |
* | ||||
Lipper Offshore Convertibles, L.P. |
11,400,000 |
* |
|
353,817 |
* | ||||
Lipper Series II, L.P. |
2,000,000 |
* |
|
62,073 |
* | ||||
Lumbermans Mutual Casualty |
627,000 |
* |
|
19,459 |
* | ||||
Morgan Stanley & Co. |
10,000,000 |
* |
|
310,366 |
* | ||||
Morgan Stanley Dean Witter Convertible Securities Trust |
2,500,000 |
* |
|
77,591 |
* | ||||
Motion Pictures Industry |
507,000 |
* |
|
15,735 |
* | ||||
Nicholas Applegate Convertible Fund |
1,460,000 |
* |
|
45,313 |
* | ||||
Nicholas Applegate Global Holdings LP |
35,000 |
* |
|
1,086 |
* | ||||
Nicholas Applegate Investment Grade Convertible |
15,000 |
* |
|
465 |
* | ||||
Nomura Securities International, Inc. |
7,500,000 |
* |
|
232,774 |
* | ||||
Oak Casualty Insurance Company |
30,000 |
* |
|
931 |
* | ||||
Onex Industrial Partners Limited |
5,160,000 |
* |
|
160,148 |
* | ||||
Pacific Life Insurance Co. |
1,500,000 |
* |
|
46,554 |
* | ||||
Palladin Securities LLC |
2,000,000 |
* |
|
62,073 |
* | ||||
Pebble Capital Inc. |
1,760,000 |
* |
|
54,624 |
* | ||||
Pensionskasse Ciba Spezialitatenchemie |
480,000 |
* |
|
14,897 |
* | ||||
Pensionskasse Der Lonza AG |
100,000 |
* |
|
3,103 |
* | ||||
Physicians Life |
169,000 |
* |
|
5,245 |
* | ||||
PIMCO Convertible Fund |
1,150,000 |
* |
|
35,692 |
* | ||||
Radian Asset Guaranty |
2,500,000 |
* |
|
77,591 |
* | ||||
Radian Guaranty Inc. |
3,000,000 |
* |
|
93,109 |
* | ||||
Ram Trading Ltd. |
9,270,000 |
* |
|
287,709 |
* | ||||
RET Pension Plan of the CA State Automobile |
250,000 |
* |
|
7,759 |
* | ||||
San Diego City Retirement |
1,014,000 |
* |
|
31,471 |
* | ||||
San Diego County Convertible |
1,536,000 |
* |
|
47,672 |
* | ||||
Screen Actors Guild Pension Convertible |
465,000 |
* |
|
14,432 |
* | ||||
SG Cowen Securities Corp. |
3,000,000 |
* |
|
93,109 |
* |
Name of Selling Security Holder |
Principal Amount of Debentures Beneficially Owned That
May Be Sold |
Percentage of Debentures Outstanding |
Number of Shares of Common Stock That May Be Sold |
Percentage of Common Stock Outstanding | |||||
Silvercreek II Limited |
380,000 |
* |
|
11,793 |
* | ||||
SunAmerica Style Select Series Equity Income Fund |
529,000 |
* |
|
16,418 |
* | ||||
TD Securities (USA) Inc. |
36,750,000 |
3.20 |
% |
1,140,595 |
* | ||||
Travelers: Travelers Equity Income |
520,000 |
* |
|
16,139 |
* | ||||
UBS OConnor LLC f/b/o UBS Global Equity Arbitrage Master Ltd. |
10,000,000 |
* |
|
310,366 |
* | ||||
Variable Insurance Products Fund: Value Portfolio |
6,000 |
* |
|
186 |
* | ||||
Wachovia Bank National Association |
37,905,000 |
3.30 |
% |
1,176,443 |
* | ||||
Wachovia Securities International Ltd. |
10,000,000 |
* |
|
310,366 |
* | ||||
Wake Forest University |
632,000 |
* |
|
19,615 |
* | ||||
Wake Forest University Convertible Arbitrage |
395,000 |
* |
|
12,259 |
* | ||||
WPG Convertible Arbitrage Overseas Master Fund, L.P. |
3,500,000 |
* |
|
108,628 |
* | ||||
Writers GuildIndustry Health Fund |
274,000 |
* |
|
8,504 |
* | ||||
Wyoming State Treasurer |
904,000 |
* |
|
28,057 |
* | ||||
Zurich Institutional Benchmarks Master Fund Ltd. |
2,500,000 |
* |
|
77,591 |
* | ||||
Any other holder of debentures or future transferee, pledgee, donee or successor of any holder |
34,933,000 |
3.04 |
% |
1,084,202 |
* |
Name of Selling Security Holder |
Principal Amount of Debentures Beneficially Owned That May Be Sold |
Percentage of Debentures Outstanding |
Number of Shares of Common Stock That May Be Sold |
Percentage of Common Stock Outstanding | |||||
Allgemeine Pensionskasse Der SwissAir Group |
$ |
690,000 |
* |
21,415 |
* | ||||
Alta Partners Holdings LDC |
|
9,525,000 |
* |
295,623 |
* | ||||
Amerisure Mutual Insurance Company |
|
330,000 |
* |
10,242 |
* | ||||
Annapurna Convertible (USD) Ltd. |
|
100,000 |
* |
3,103 |
* | ||||
Annapurna I Convertible Ltd. |
|
350,000 |
* |
10,862 |
* | ||||
Argent Classic Convertible Arbitrage Fund (Bermuda) Ltd. |
|
11,400,000 |
* |
353,817 |
* | ||||
Argent Classic Convertible Arbitrage Fund L.P. |
|
4,100,000 |
* |
127,250 |
* |
Name of Selling Security Holder |
Principal Amount of Debentures Beneficially Owned That
May Be Sold |
Percentage of Debentures Outstanding |
Number of Shares of Common Stock That May Be Sold |
Percentage of Common Stock Outstanding | |||||
Auspicis Ltd. |
400,000 |
* |
|
12,414 |
* | ||||
Beamtenversigherungskasse Des Kantons Zurich |
3,800,000 |
* |
|
117,939 |
* | ||||
Bear, Stearns & Co. Inc. |
4,000,000 |
* |
|
124,146 |
* | ||||
Celina Mutual Insurance Company |
15,000 |
* |
|
465 |
* | ||||
Clinton Multistrategy Master Fund, Ltd. |
6,500,000 |
* |
|
201,738 |
* | ||||
Clinton Riverside Convertible Portfolio Limited |
6,500,000 |
* |
|
201,738 |
* | ||||
Convertible Securities Fund |
110,000 |
* |
|
3,414 |
* | ||||
Credit Suisse First Boston Corporation, London Branch |
9,949,000 |
* |
|
308,783 |
* | ||||
Deam Convertible FD |
4,500,000 |
* |
|
139,664 |
* | ||||
Deutsche Banc Alex. Brown Inc. |
9,500,000 |
* |
|
294,847 |
* | ||||
Engineers Joint Pension Fund |
123,000 |
* |
|
3,817 |
* | ||||
Equity & Convertible Fund |
1,460,000 |
* |
|
45,313 |
* | ||||
Equity Income Fund |
225,000 |
* |
|
6,983 |
* | ||||
Experta Hybrid Fund |
300,000 |
* |
|
9,310 |
* | ||||
Experta Hybrid International Fund |
1,000,000 |
* |
|
31,036 |
* | ||||
Experta International Convertible Expert |
3,550,000 |
* |
|
110,180 |
* | ||||
Federated Rural Electric Insurance Exchange |
300,000 |
* |
|
9,310 |
* | ||||
Financial American Life Insurance Company |
15,000 |
* |
|
465 |
* | ||||
First American Properties and Casualty |
15,000 |
* |
|
465 |
* | ||||
First American Specialty |
30,000 |
* |
|
931 |
* | ||||
First Union Securities Inc. |
17,500,000 |
1.52 |
% |
543,140 |
* | ||||
Gemini Sammelstiftung Zur Forderling Der Personalvorsorge |
260,000 |
* |
|
8,069 |
* | ||||
General Motors Employees Global Group Pension Trust |
2,069,000 |
* |
|
64,214 |
* | ||||
Goldman, Sachs & Co. |
7,000,000 |
* |
|
217,256 |
* | ||||
Granville Capital Corporation |
22,000,000 |
1.91 |
% |
682,805 |
* | ||||
Hannover Life Reassurance Company of America |
950,000 |
* |
|
29,484 |
* | ||||
HSBC Trustee Zola Managed Trust |
1,100,000 |
* |
|
34,140 |
* | ||||
J.P. Morgan Securities Inc. |
14,800,000 |
1.29 |
% |
459,342 |
* | ||||
Jefferies & Co. |
5,500,000 |
* |
|
170,701 |
* | ||||
Jefferies Umbrella Fund Global Convertible Bonds |
500,000 |
* |
|
15,518 |
* | ||||
Jefferies Umbrella Fund US Convertible Bonds |
300,000 |
* |
|
9,310 |
* | ||||
KBC Financial Products (Cayman Islands) |
33,500,000 |
2.91 |
% |
1,039,726 |
* |
Name of Selling Security Holder |
Principal Amount of Debentures Beneficially Owned That
May Be Sold |
Percentage of Debentures Outstanding |
Number of Shares of Common Stock That May Be Sold |
Percentage of Common Stock Outstanding | |||||
KBC Financial Products USA Inc. |
3,000,000 |
* |
|
93,109 |
* | ||||
LLT Limited |
673,000 |
* |
|
20,887 |
* | ||||
Lyxor Master Fund |
2,400,000 |
* |
|
74,487 |
* | ||||
Midwest Family Mutual Insurance Company |
120,000 |
* |
|
3,724 |
* | ||||
Midwest Security Life |
250,000 |
* |
|
7,759 |
* | ||||
Morgan Stanley & Co. |
6,078,000 |
* |
|
188,640 |
* | ||||
Nations Convertible Securities Fund |
7,140,000 |
* |
|
221,601 |
* | ||||
Nations Equity Income Fund |
920,000 |
* |
|
28,553 |
* | ||||
Nomura Securities International, Inc. |
5,000,000 |
* |
|
155,183 |
* | ||||
Oak Casualty Insurance Company |
40,000 |
* |
|
1,241 |
* | ||||
Oppenheimer Convertible Securities Fund |
5,000,000 |
* |
|
155,183 |
* | ||||
Palladin Securities LLC |
1,000,000 |
* |
|
31,036 |
* | ||||
Pebble Capital Inc. |
1,860,000 |
* |
|
57,728 |
* | ||||
Pensionskasse Ciba Specialty Chemicals |
530,000 |
* |
|
16,449 |
* | ||||
Pensionskasse Der Antalis AG |
140,000 |
* |
|
4,345 |
* | ||||
Pensionskasse Der Ems Chemie AG |
140,000 |
* |
|
4,345 |
* | ||||
Pensionskasse Der Ems Dottikon AG |
250,000 |
* |
|
7,759 |
* | ||||
Pensionskasse Der Lonza AG |
240,000 |
* |
|
7,448 |
* | ||||
Pensionskasse Der Rockwell Automation AG |
180,000 |
* |
|
5,586 |
* | ||||
Pensionskasse PlussStaufer AG |
150,000 |
* |
|
4,655 |
* | ||||
Pensionskasse Vantico |
250,000 |
* |
|
7,759 |
* | ||||
Personalfursorgestiftung Der GeraudeVersicherung Des Kantons Bern |
550,000 |
* |
|
17,070 |
* | ||||
Personalvorsorge Der PV Promea |
320,000 |
* |
|
9,931 |
* | ||||
Quattro Fund Ltd. |
9,000,000 |
* |
|
279,329 |
* | ||||
R2
Investments, LDC |
10,000,000 |
* |
|
310,366 |
* | ||||
Ram Trading Ltd. |
7,270,000 |
* |
|
225,636 |
* | ||||
SG Cowen Securities Corp.Convertible Arbitrage |
15,000,000 |
1.30 |
% |
465,549 |
* | ||||
SunAmerica Style Select Series Equity Income Fund |
759,000 |
* |
|
23,556 |
* | ||||
Susquehanna Capital Group |
10,000,000 |
* |
|
310,366 |
* |
Name of Selling Security Holder |
Principal Amount of Debentures Beneficially Owned That
May Be Sold |
Percentage of Debentures Outstanding |
Number of Shares of Common Stock That May Be Sold |
Percentage of Common Stock Outstanding | |||||
TD Securities (USA) Inc. |
42,750,000 |
3.72 |
% |
1,326,815 |
* | ||||
The Philanthropic Pension |
130,000 |
* |
|
4,034 |
* | ||||
Tribeca Investments L.L.C. |
12,000,000 |
1.04 |
% |
372,439 |
* | ||||
UBS OConnor LLC f/b/o UBS Global Equity Arbitrage Master Ltd. |
6,000,000 |
* |
|
186,219 |
* | ||||
UBS Warburg LLC |
1,111,000 |
* |
|
34,481 |
* | ||||
US Bancorp Piper Jaffray |
2,000,000 |
* |
|
62,073 |
* | ||||
Wachovia Bank National Association |
39,000,000 |
3.39 |
% |
1,210,428 |
* | ||||
Wake Forest University |
138,000 |
* |
|
4,283 |
* | ||||
WPG Convertible Arbitrage Overseas Master Fund, L.P. |
4,500,000 |
* |
|
139,664 |
* | ||||
Zazove Convertible Arbitrage Fund L.P. |
350,000 |
* |
|
10,862 |
* | ||||
Zurich Institutional Benchmark Master Fund c/o Quattro Fund |
8,000,000 |
* |
|
248,292 |
* | ||||
Zurich Institutional Benchmarks Master Fund Ltd. |
1,750,000 |
* |
|
54,314 |
* |
|
Convertible Securities Fund, Equity & Convertible Fund, Equity Income Fund, Nations Convertible Securities Fund and Nations Equity Income Fund are affiliates of Banc of
America Securities LLC, and Banc of America Securities LLC acted as a co-manager in the private placement of our debentures; |
|
Credit Suisse First Boston Corporation acted as a lead manager in the private placement of our debentures, and its affiliate, Credit Suisse First Boston, is the documentation
agent and a lender under our Five Year Credit Agreement, dated as of November 5, 1999, as amended, and the documentation agent and a lender under our Amended and Restated 364-Day Credit Agreement, dated as of November 3, 2000, as renewed and
amended; |
|
Deutsche Banc Alex. Brown Inc. acted as a co-manager in the private placement of our debentures, and its affiliate, Deutsche Bank AG, is a lender under our Five Year Credit
Agreement, dated as of November 5, 1999, as amended, and a lender under our Amended and Restated 364-Day Credit Agreement, dated as of November 3, 2000, as renewed and amended; |
|
First Union Securities Inc. is an affiliate of Wachovia Bank National Association, and Wachovia Bank National Association is a lender under our Five Year Credit Agreement,
dated as of November 5, 1999, as amended; |
|
Goldman, Sachs & Co. served as a lead underwriter in our initial public offering and has, from time to time, provided other financial advisory services to us;
|
|
HSBC Trustee Zola Managed Trust is an affiliate of HSBC, and HSBC acted as a co-manager in the private placement of our debentures; |
|
J.P. Morgan Securities Inc. acted as a lead manager in the private placement of our debentures and is the syndication agent under our Five Year Credit Agreement, dated as of
November 5, 1999, as amended, and the syndication agent under our Amended and Restated 364-Day Credit Agreement, dated as of November 3, 2000, as renewed and amended, and its affiliate, JP Morgan Chase Bank (formerly known as The Chase Manhattan
Bank), is a lender under our Five Year Credit Agreement, dated as of November 5, 1999, as amended, and a lender under our Amended and Restated 364-Day Credit Agreement, dated as of November 3, 2000, as renewed and amended;
|
|
Morgan Stanley & Co. served as a lead underwriter in our initial public offering and has, from time to time, provided other financial advisory services to us;
|
|
SG Cowen Securities Corp. is an affiliate of Societe Generale, and Societe Generale is a lender under our Five Year Credit Agreement, dated as of November 5, 1999, as amended;
and |
|
Wachovia Bank National Association is a lender under our Five Year Credit Agreement, dated as of November 5, 1999, as amended. |