1 SECURITIES AND EXCHANGE COMMISSION WASHINGTON, D.C. 20549 FORM 11-K ANNUAL REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934 (Mark one) [x] ANNUAL REPORT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934 (NO FEE REQUIRED) For the fiscal year ended December 31, 1998 OR [ ] TRANSITION REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934 (NO FEE REQUIRED) For the transition period from _________________ to _________________. Commission file number : 0-19786 PhyCor, Inc. Savings and Profit Sharing Plan -------------------------------------------- (Full title of the plan and the address of the plan, if different from that of the issuer named below) PhyCor, Inc. 30 Burton Hills Blvd., Suite 400 Nashville, Tennessee 37215 -------------------------- (Name of the issuer of the securities held pursuant to the plan and the address of its principal executive office) 2 Items 1-3 Not applicable Item 4 See pages 3-50. 2 3 PHYCOR, INC. SAVINGS AND PROFIT SHARING PLAN Financial Statements and Schedules December 31, 1998 and 1997 (With Independent Auditors' Report Thereon) 3 4 PHYCOR, INC. SAVINGS AND PROFIT SHARING PLAN Table of Contents PAGE Independent Auditors' Report 5 Statements of Net Assets Available for Plan Benefits 6 Statements of Changes in Net Assets Available for Plan Benefits 7 Notes to Financial Statements 8 SCHEDULES: 1 Schedule 1 - Item 27(a) Schedule of Assets Held for Investment Purposes 24 2 Schedules 2, 3, 4, and 5 - Item 27(d) Schedule of Reportable Transactions 47 4 5 INDEPENDENT AUDITORS' REPORT Trustees of the PhyCor, Inc. Savings and Profit Sharing Plan: We have audited the accompanying statements of net assets available for plan benefits of the PhyCor, Inc. Savings and Profit Sharing Plan (Plan) as of December 31, 1998 and 1997, and the related statements of changes in net assets available for plan benefits for the years then ended. These financial statements are the responsibility of the Plan's management. Our responsibility is to express an opinion on these financial statements based on our audits. We conducted our audits in accordance with generally accepted auditing standards. Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement. An audit includes examining, on a test basis, evidence supporting the amounts and disclosures in the financial statements. An audit also includes assessing the accounting principles used and significant estimates made by management, as well as evaluating the overall financial statement presentation. We believe that our audits provide a reasonable basis for our opinion. In our opinion, the financial statements referred to above present fairly, in all material respects, the net assets available for plan benefits of the PhyCor, Inc. Savings and Profit Sharing Plan as of December 31, 1998 and 1997, and the changes in net assets available for plan benefits for the years then ended in conformity with generally accepted accounting principles. Our audits were performed for the purpose of forming an opinion on the basic financial statements taken as a whole. The schedules of assets held for investment purposes and reportable transactions are presented for the purpose of additional analysis and are not a required part of the basic financial statements but are supplementary information required by the Department of Labor's Rules and Regulations for Reporting and Disclosure under the Employee Retirement Income Security Act of 1974. These supplemental schedules are the responsibility of the Plan's management. The schedules have been subjected to the auditing procedures applied in the audits of the basic financial statements and, in our opinion, are fairly stated in all material respects in relation to the basic financial statements taken as a whole. KPMG LLP June 18, 1999 5 6 PHYCOR, INC. SAVINGS AND PROFIT SHARING PLAN Notes to Financial Statements December 31, 1998 and 1997 ASSETS 1998 1997 ------ ------------- ------------ Assets held by custodians, at fair value: Money market funds $ 12,441,512 21,203,430 U.S. Government securities 8,297,190 1,728,830 Mutual funds and common trust funds 301,403,315 240,203,830 Corporate debt instruments 248,244 214,859 Common stock 120,914,986 121,876,684 Investments in securities of participating employer 5,859,595 16,273,953 Preferred stock 147,925 144,034 Guaranteed insurance contracts 6,221 1,103,075 Life insurance policies and annuities and other 1,029,334 1,184,686 Loans to participants 3,675,194 3,351,995 Partnership/Joint venture interests 2,420,513 2,763,533 ------------- ------------ Total investments 456,444,029 410,048,909 Accrued investment income 77,505 81,478 Cash 385,572 1,523 ------------- ------------ Total assets held by custodians 456,907,106 410,131,910 ------------- ------------ Contributions receivable: Employees and participating physicians 848,384 4,161,071 Employer 7,044,759 8,785,170 ------------- ------------ Total contributions receivable 7,893,143 12,946,241 ------------- ------------ Total assets 464,800,249 423,078,151 LIABILITIES ----------- Refundable contributions, including investment income (2,038,960) (3,782,653) Accrued administrative fees (1,596,893) (89,649) Other liabilities -- (194,083) ------------- ------------ Net assets available for plan benefits $ 461,164,396 419,011,766 ============= ============ See accompanying notes to financial statements. 6 7 PHYCOR, INC. SAVINGS AND PROFIT SHARING PLAN Statements of Changes in Net Assets Available for Plan Benefits For the year ended December 31, 1998 and 1997 1998 1997 ------------ ----------- Additions: Contributions: Employees and participating physicians $ 27,763,383 28,783,168 Employer 38,996,689 36,067,440 Rollovers and transfers received from other plans 1,386,570 17,241,729 ------------ ----------- Total contributions 68,146,642 82,092,337 ------------ ----------- Investment income: Interest 4,117,585 3,025,345 Dividends 4,684,557 6,710,019 Other -- 60,326 ------------ ----------- Total investment income 8,802,142 9,795,690 ------------ ----------- Net appreciation of investments: Realized 10,784,564 29,818,045 Unrealized 12,649,204 25,090,967 ------------ ----------- Net realized and unrealized appreciation of investments 23,433,768 54,909,012 ------------ ----------- Total additions 100,382,552 146,797,039 Deductions: Benefit payments 53,308,582 21,932,376 Administrative expenses 2,882,380 1,639,368 Refund of excess contributions 2,038,960 3,832,568 ------------ ----------- Total deductions 58,229,922 27,404,312 ------------ ----------- Increase in net assets available for plan benefits 42,152,630 119,392,727 Net assets available for plan benefits: Beginning of year 419,011,766 299,619,039 ------------ ----------- End of year $461,164,396 419,011,766 ============ =========== See accompanying notes to financial statements. 7 8 PHYCOR, INC. SAVINGS AND PROFIT SHARING PLAN Notes to Financial Statements December 31, 1998 and 1997 (1) DESCRIPTION OF THE PLAN The following description of the PhyCor, Inc. Savings and Profit Sharing Plan (the Plan) provides only general information. Participants should refer to the Plan agreement for a more complete description of the Plan's provisions. (A) GENERAL The Plan is a defined contribution retirement income plan covering most full-time employees and certain part-time employees of PhyCor, Inc. (the Sponsor) or its subsidiaries who have completed one year of service. Certain physicians and other employees at medical clinics operated by the Sponsor are also eligible (Participating Physicians). Participating Physician contributions are either made by the participating physician group or individually. The Plan became effective January 1, 1989 and is subject to and is believed to comply with the provisions of the Employee Retirement Income Security Act of 1974 (ERISA). (B) PLAN ADMINISTRATION The Northern Trust Company (Northern Trust) replaced Equitable Trust Company as Plan Trustee effective April 1, 1997. Individual participant accounts are maintained by Northern Trust Retirement Consulting, Inc. based upon information provided by the Sponsor. Contributions are paid into a trust administered by Northern Trust. The Plan provides that all necessary expenses of the Plan may be paid by the Sponsor or out of the assets of the Plan. As allowed by the Plan, such expenses reduce the investment income allocated to the respective separate investment accounts. (C) CONTRIBUTIONS Participants may make pre-tax contributions ranging from 1% to 15% of the first $160,000 of their annual compensation into the Plan subject to limitations set forth in the Internal Revenue Code (IRC) of 1986. All participant contributions are 100% vested and nonforfeitable. (Continued) 8 9 PHYCOR, INC. SAVINGS AND PROFIT SHARING PLAN Notes to Financial Statements December 31, 1998 and 1997 The Sponsor and Participating Physicians may make discretionary profit sharing contributions. First, any profit sharing contribution is allocated to active participants on the basis of a participant's total compensation, up to 3% of compensation. Second, any remaining amount will be allocated based on a participant's compensation in excess of the FICA taxable wage base in proportion to the total of such compensation for all participants who are actively employed at the end of the plan year. Such amount is limited to the lesser of 10% of the excess compensation or the maximum permitted under the IRC. Finally, any remaining amount will be allocated to any participant who has attained age forty-one based on the participant's compensation in excess of the FICA taxable wage base in proportion to the total of such compensation, limited to the maximum permitted under the IRC. Profit sharing contributions made by the sponsor along with related investment income are subject to the following vesting schedule: YEARS OF SERVICE VESTING PERCENTAGE ------------------------------------------------------------------------------------ Less than 2 years 0% 2 20% 3 40% 4 60% 5 80% 6 100% In the event of retirement (on or after the normal retirement date), death, or disability, a participant becomes 100% vested in all amounts credited to the participant's account. In addition, the Sponsor and Participating Physicians may make, at their discretion, a contribution of up to 2% of compensation for all employees eligible to participate in the Plan at any time during the year. This contribution, referred to as a nonelective contribution, is allocated on the basis of each eligible employee's compensation in proportion to the total of eligible employees' compensation and is fully vested when made. (D) INVESTMENT OPTIONS Contributions to the Plan are deposited at the participant's direction in one or more of the following Northern Trust investment funds: CONSERVATIVE LIFESTYLE PORTFOLIO: This is a moderately conservative fund which invests in a combination of other "core" investment funds offered through the Plan. The fund is composed of five of the Plan's investment options which include the Stable Value, Core Fixed Income, Value, Growth, and Foreign funds. (Continued) 9 10 PHYCOR, INC. SAVINGS AND PROFIT SHARING PLAN Notes to Financial Statements December 31, 1998 and 1997 MODERATE LIFESTYLE PORTFOLIO: This is a moderately aggressive fund which invests in a combination of other "core" investment funds offered through the Plan. The fund is composed of six of the Plan's investment options which include the Stable Value, Core Fixed Income, Value, Growth, Foreign and Aggressive Equity funds. AGGRESSIVE LIFESTYLE PORTFOLIO: This is an aggressive growth oriented fund which invests in a combination of other "core" investment funds offered through the Plan. The fund is composed of four of the Plan's investment options which include the Value, Growth, Foreign and Aggressive Equity funds. STABLE VALUE FUND: This fund invests primarily in U.S. Treasury and agency securities, guaranteed investment contracts and asset backed securities. CORE FIXED INCOME FUND: This fund invests primarily in bonds of U.S. and foreign companies and U.S. Treasury securities. INDEX FUND: This fund invests primarily in common stock of the companies listed on the S&P 500. Additionally, the fund invests in index futures. VALUE FUND: This fund invests primarily in the common stock of mid-to-large sized companies considered to be under-valued. GROWTH FUND: This fund invests primarily in the common stock of mid-to-large-sized U.S. companies that are believed to have potential for significant growth. FOREIGN FUND: This fund invests primarily in stocks, bonds, and money market instruments of companies located outside the U.S. AGGRESSIVE EQUITY FUND: This fund invests primarily in the common stock of small-to-medium-sized companies which are believed to have the potential for significant capital appreciation and strong growth earnings. PHYCOR STOCK FUND: This fund invests primarily in the common stock of the Plan sponsor. (E) FUNDING POLICY The Plan provides that all employee contributions are funded as soon as practicable, no later than the date required by applicable Department of Labor (DOL) regulations. The Participating Physicians' contributions are funded in accordance with Internal Revenue Service (IRS) and DOL regulations. Employer contributions are funded no later than September 15 of the year following the year the contribution is accrued. (Continued) 10 11 PHYCOR, INC. SAVINGS AND PROFIT SHARING PLAN Notes to Financial Statements December 31, 1998 and 1997 The DOL is currently conducting an investigation of the administration of the Plan primarily related to timing of participant contributions. The Sponsor does not believe that such investigation will have a material impact on the Plan's financial position or results of operations. (F) PLAN EARNINGS AND FORFEITURES Each participant's account is credited with an allocation of Plan earnings daily. Forfeitures, which amounted to approximately $2,584,000 and $43,000 in 1998 and 1997, respectively, reduce the employer's contributions in the year in which the forfeitures arise. Any dividends or other distributions on common stock of the participating employer in the PhyCor stock fund are allocated to each participant's account based on the value of the participant's account balance as of the allocation date. (G) BENEFIT PAYMENTS AND WITHDRAWALS Upon termination of employment for reasons other than retirement (on or after the normal retirement date), death, or disability, participants are entitled to receive the vested balance of their account as of the day preceding the distribution. The distribution of benefit payments normally begins within 60 days following the close of the plan year in which the participant attains his normal retirement age, or if the participant elects, not later than age 70 1/2. The participant may elect to receive benefits in the form of a lump-sum distribution, or monthly installments over a period not to exceed the participant's remaining life expectancy. (H) LOANS TO PARTICIPANTS Participants may borrow from their account a minimum of $1,000 up to a maximum equal to the lesser of $50,000 or 50% of their vested account balance. Loan transactions are treated as a transfer between the individual investment funds and the Participant Loan fund. Loan terms range from a minimum of 1 year up to a maximum of 5 years. The loans are secured by the balance in the participant's account and bear interest at a rate equal to the prime rate, as of the first of the month in which the loan application is made, plus 1.0%. Principal and interest is paid ratably through monthly payroll deductions. (Continued) 11 12 PHYCOR, INC. SAVINGS AND PROFIT SHARING PLAN Notes to Financial Statements December 31, 1998 and 1997 (I) TERMINATION Although it has not expressed any intent to do so, the Sponsor has the right to terminate the Plan at any time. In the event of termination of the Plan, the administrator will distribute the Plan assets, after payment of expenses, to or on behalf of participants in proportion to the amount credited to the account of each participant. (J) FEDERAL INCOME TAXES The Plan obtained its latest determination letter on October 1, 1998, in which the IRS stated that the Plan, as then designed, was in compliance with the applicable requirements of the IRC. The Plan has been amended since receiving the determination letter. However, the Plan Administrator and the Plan's legal counsel believe that the plan is currently designed and being operated in compliance with the applicable requirements of the IRC. Therefore, no provision for income taxes has been included in the Plan's financial statements. (2) SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES (A) BASIS OF PRESENTATION The accompanying financial statements have been prepared on the accrual basis of accounting. (B) INVESTMENT VALUATION AND INCOME RECOGNITION Generally, the Plan's investments are stated at fair value. The fair value of marketable equity and debt securities is based upon quotations obtained from national securities exchanges; where investments are not listed on an exchange, quotations are obtained from brokerage firms. Units of common trust funds, mutual funds, life insurance policies, and annuities are valued at the unit value of the fund or policy at the valuation date. Loans to participants are valued at cost which approximates fair value. Purchase and sales of investment securities are recorded on a trade-date basis. The average cost method is used in determining the cost of investments sold. (C) USE OF ESTIMATES The preparation of financial statements in conformity with generally accepted accounting principles requires the Plan Administrator to make estimates and assumptions that affect the reported amounts of assets and liabilities at the date of the financial statements and the reported amounts of related changes in net assets available for benefits during the reporting period. Actual results could differ from those estimates. (Continued) 12 13 PHYCOR, INC. SAVINGS AND PROFIT SHARING PLAN Notes to Financial Statements December 31, 1998 and 1997 (3) ASSETS HELD BY CUSTODIAN The Plan permits participants to direct the investment of their accounts. The investment assets held in segregated accounts totaled $42,536,856 and $31,820,594 at December 31, 1998 and 1997, respectively. Such accounts are credited only with their respective investment earnings or losses and do not share in the investment earnings of other assets of the Plan. Net investment income on self-directed accounts totaled $67,909 and $1,471,503 for 1998 and 1997, respectively. Net realized and unrealized appreciation (depreciation) in the fair value of investments during 1998 and 1997 was attributable to: 1998 1997 ------------ ----------- Common stock $ 15,461,278 46,131,302 Mutual funds 18,722,223 9,753,156 Securities of participating employer (12,213,099) 854,753 Other 1,463,366 (1,830,199) ------------ ----------- $ 23,433,768 54,909,012 ============ =========== The fair value of the following individual investments represent 5% or more of the Plan's net assets at December 31, 1998 and 1997: 1998 1997 ------------ ---------- Neuberger & Berman Partner Trust Fund $ 38,637,228 42,509,923 Collective Stable Asset Fund 40,600,422 31,670,307 MFS Research Fund 38,129,212 29,259,003 Janus Income Capital Fund 34,232,467 24,700,633 SoGen Overseas Fund 26,270,402 25,612,774 Franklin Strategic Small Cap Growth Fund 21,718,447 16,131,961 Northern Institutional Bond Portfolio 50,523,661 41,801,804 (4) REFUNDABLE CONTRIBUTIONS Refundable contributions as of December 31, 1998 and 1997, consist of $2,038,960 and $3,782,653, respectively, of excess contributions and earnings. These amounts were refunded in 1999 and 1998, respectively. (Continued) 13 14 PHYCOR, INC. SAVINGS AND PROFIT SHARING PLAN Note to Financial Statements December 31, 1998 and 1997 (5) INVESTMENT OPTIONS The following is a summary of net assets available for plan benefits as of December 31, 1998 allocated among the investment alternatives: CONSERVATIVE MODERATE AGGRESSIVE STABLE CORE FIXED LIFESTYLE LIFESTYLE LIFESTYLE VALUE INCOME ASSETS PORTFOLIO PORTFOLIO PORTFOLIO FUND FUND ----------- ------------ ----------- ----------- ----------- Assets held by custodian, at fair value: Money market funds $ 100,565 3,165,113 980,042 -- 550,219 Government securities -- -- -- -- -- Mutual funds and common trust funds 5,760,237 108,027,282 22,120,020 15,074,037 24,012,934 Corporate bonds and notes -- -- -- -- -- Common stock 348,801 27,938,529 10,467,323 -- -- Investments in securities of participating employer -- -- -- -- -- Preferred stock -- -- -- -- -- Guaranteed insurance contracts 284 2,980 -- -- 2,957 Life insurance policies and annuities -- -- -- -- -- Loans to participants -- -- -- -- -- Limited partnerships and real estate 10,400 498,909 187,459 -- -- ----------- ------------ ----------- ----------- ----------- Total investments 6,220,287 139,632,813 33,754,844 15,074,037 24,566,110 Accrued investment income 487 17,728 6,644 -- 86 Cash -- 109,233 40,748 -- -- ----------- ------------ ----------- ----------- ----------- Total assets held by custodians 6,220,774 139,759,774 33,802,236 15,074,037 24,566,196 ----------- ------------ ----------- ----------- ----------- Contributions receivable: Employees and participating physicians 24,928 253,310 134,129 17,909 21,919 Employer 102,890 2,813,169 713,775 148,228 197,013 ----------- ------------ ----------- ----------- ----------- Total contributions receivable 127,818 3,066,479 847,904 166,137 218,932 ----------- ------------ ----------- ----------- ----------- Total assets 6,348,592 142,826,253 34,650,140 15,240,174 24,785,128 LIABILITIES Refundable contributions, including investment income (22,469) (517,795) (266,907) (61,119) (180,366) Accrued administrative fees (13,177) (307,688) (76,566) (33,420) (47,064) Other liabilities -- -- -- -- -- ----------- ------------ ----------- ----------- ----------- Net assets available for plan benefits $ 6,312,946 142,000,770 34,306,667 15,145,635 24,557,698 =========== ============ =========== =========== =========== INDEX VALUE FUND FUND ----------- ----------- Assets held by custodian, at fair value: Money market funds -- 4,413,319 Government securities -- -- Mutual funds and common trust funds 15,104,962 26,064,089 Corporate bonds and notes -- -- Common stock -- 32,253,438 Investments in securities of participating employer -- -- Preferred stock -- -- Guaranteed insurance contracts -- -- Life insurance policies and annuities -- -- Loans to participants -- -- Limited partnerships and real estate -- 961,789 ----------- ----------- Total investments 15,104,962 63,692,635 Accrued investment income -- 44,527 Cash -- -- ----------- ----------- Total assets held by custodians 15,104,962 63,737,162 ----------- ----------- Contributions receivable: Employees and participating physicians 51,097 66,141 Employer 431,376 670,629 ----------- ----------- Total contributions receivable 482,473 736,770 ----------- ----------- Total assets 15,587,435 64,473,932 LIABILITIES Refundable contributions, including investment income (90,156) (301,747) Accrued administrative fees (31,795) (155,920) Other liabilities -- -- ----------- ----------- Net assets available for plan benefits 15,465,484 64,016,265 =========== =========== (Continued) 14 15 AGGRESSIVE PHYCOR GROWTH FOREIGN EQUITY STOCK PARTICIPANT SELF FUND FUND FUND FUND LOANS DIRECTED TOTAL - ----------- ----------- ----------- ---------- ---------- ----------- ------------ -- -- 2,370,927 834,213 -- 27,114 12,441,512 -- -- -- -- -- 8,297,190 8,297,190 39,460,253 13,591,634 13,270,338 -- -- 18,917,529 301,403,315 -- -- -- -- -- 248,244 248,244 2,529 -- 36,432,804 -- -- 13,471,562 120,914,986 -- -- -- 5,859,595 -- -- 5,859,595 -- -- -- -- -- 147,925 147,925 -- -- -- -- -- -- 6,221 -- -- -- -- -- 1,029,334 1,029,334 -- -- -- -- 3,675,194 -- 3,675,194 -- -- 365,694 -- -- 396,262 2,420,513 - ----------- ----------- ----------- ---------- ---------- ----------- ------------ 39,462,782 13,591,634 52,439,763 6,693,808 3,675,194 42,535,160 456,444,029 -- -- 5,159 1,178 -- 1,696 77,505 -- -- 235,591 -- -- -- 385,572 - ----------- ----------- ----------- ---------- ---------- ----------- ------------ 39,462,782 13,591,634 52,680,513 6,694,986 3,675,194 42,536,856 456,907,106 - ----------- ----------- ----------- ---------- ---------- ----------- ------------ 56,755 22,305 72,698 27,483 100,083 (373) 848,384 445,063 237,382 619,393 146,393 -- 519,448 7,044,759 - ----------- ----------- ----------- ---------- ---------- ----------- ------------ 501,818 259,687 692,091 173,876 100,083 519,075 7,893,143 - ----------- ----------- ----------- ---------- ---------- ----------- ------------ 39,964,600 13,851,321 53,372,604 6,868,862 3,775,277 43,055,931 464,800,249 (207,782) (78,012) (276,747) (35,860) -- -- (2,038,960) (74,942) (26,617) (138,307) (618,162) (5,918) (67,317) (1,596,893) -- -- -- -- -- -- -- - ----------- ----------- ----------- ---------- ---------- ----------- ------------ 39,681,876 13,746,692 52,957,550 6,214,840 3,769,359 42,988,614 461,164,396 =========== =========== =========== ========== ========== =========== ============ (Continued) 15 16 PHYCOR, INC. SAVINGS AND PROFIT SHARING PLAN Note to Financial Statements December 31, 1998 and 1997 The following is a summary of net assets available for plan benefits as of December 31, 1997 allocated among the investment alternatives: CONSERVATIVE MODERATE AGGRESSIVE STABLE CORE FIXED LIFESTYLE LIFESTYLE LIFESTYLE VALUE INCOME ASSETS PORTFOLIO PORTFOLIO PORTFOLIO FUND FUND ---------- ----------- ------------ ----------- ----------- ----------- Assets held by custodian, at fair value: Money market funds $ 112,723 3,219,640 388,629 68,841 1,788,066 Government securities -- -- -- -- -- Mutual funds and common trust funds 2,564,932 89,078,278 14,718,304 11,564,703 18,983,438 Corporate bonds and notes -- -- -- -- -- Common stock 153,881 25,636,882 7,358,304 -- -- Investments in securities of participating employer -- -- -- -- -- Preferred stock -- -- -- -- -- Guaranteed insurance contracts 27,467 574,702 -- -- 500,906 Life insurance policies and annuities -- -- -- -- -- Loans to participants -- -- -- -- -- Limited partnerships and real estate 5,462 493,285 149,071 -- -- ----------- ------------ ----------- ----------- ----------- Total investments 2,864,465 119,002,787 22,614,308 11,633,544 21,272,410 Accrued investment income 348 18,497 3,855 578 2,782 Cash -- -- -- -- -- ----------- ------------ ----------- ----------- ----------- Total assets held by custodians 2,864,813 119,021,284 22,618,163 11,634,122 21,275,192 ----------- ------------ ----------- ----------- ----------- Contributions receivable: Employees and participating physicians 22,985 1,201,035 461,453 271,741 197,529 Employer 96,392 3,421,851 1,419,919 191,577 362,300 ----------- ------------ ----------- ----------- ----------- Total contributions receivable 119,377 4,622,886 1,881,372 463,318 559,829 ----------- ------------ ----------- ----------- ----------- Total assets 2,984,190 123,644,170 24,499,535 12,097,440 21,835,021 LIABILITIES Refundable contributions, including investment income (20,052) (1,030,427) (415,304) (165,603) (90,188) Accrued administrative fees (142) (20,298) (5,658) (142) (233) Other liabilities -- (29,112) (48,521) -- -- ----------- ------------ ----------- ----------- ----------- Net assets available for plan benefits $ 2,963,996 122,564,333 24,030,052 11,931,695 21,744,600 =========== ============ =========== =========== =========== INDEX VALUE FUND FUND ---------- ----------- Assets held by custodian, at fair value: Money market funds 294,599 1,674,153 Government securities -- -- Mutual funds and common trust funds 4,571,345 30,998,306 Corporate bonds and notes -- -- Common stock -- 35,930,462 Investments in securities of participating employer -- -- Preferred stock -- -- Guaranteed insurance contracts -- -- Life insurance policies and annuities -- -- Loans to participants -- -- Limited partnerships and real estate -- 1,284,896 ---------- ----------- Total investments 4,865,944 69,887,817 Accrued investment income 603 34,204 Cash -- -- ---------- ----------- Total assets held by custodians 4,866,547 69,922,021 ---------- ----------- Contributions receivable: Employees and participating physicians 130,660 569,903 Employer 111,401 1,510,274 ---------- ----------- Total contributions receivable 242,061 2,080,177 ---------- ----------- Total assets 5,108,608 72,002,198 LIABILITIES Refundable contributions, including investment income (69,631) (713,085) Accrued administrative fees (44) (26,065) Other liabilities -- -- ---------- ----------- Net assets available for plan benefits 5,038,933 71,263,048 ========== =========== (Continued) 16 17 AGGRESSIVE PHYCOR GROWTH FOREIGN EQUITY STOCK PARTICIPANT SELF FUND FUND FUND FUND LOANS DIRECTED TOTAL - ----------- ----------- ----------- ----------- --------- ---------- ------------ 1,014,994 214,293 1,957,257 1,271,630 -- 9,198,605 21,203,430 -- -- -- -- -- 1,728,830 1,728,830 28,477,414 15,998,792 11,275,431 -- -- 11,972,887 240,203,830 2,860 -- -- -- -- 211,999 214,859 -- -- 45,863,703 -- -- 6,933,452 121,876,684 -- -- -- 16,273,953 -- -- 16,273,953 -- -- -- -- -- 144,034 144,034 -- -- -- -- -- -- 1,103,075 -- -- -- -- -- 1,184,686 1,184,686 -- -- -- -- 3,351,995 -- 3,351,995 -- -- 395,648 -- -- 435,171 2,763,533 - ----------- ----------- ----------- ----------- --------- ---------- ------------ 29,495,268 16,213,085 59,492,039 17,545,583 3,351,995 31,809,664 410,048,909 2,077 -- 7,933 1,194 -- 9,407 81,478 -- -- -- -- -- 1,523 1,523 - ----------- ----------- ----------- ----------- --------- ---------- ------------ 29,497,345 16,213,085 59,499,972 17,546,777 3,351,995 31,820,594 410,131,910 - ----------- ----------- ----------- ----------- --------- ---------- ------------ 251,503 56,804 625,980 182,878 -- 188,600 4,161,071 336,832 531,232 552,514 226,977 -- 23,901 8,785,170 - ----------- ----------- ----------- ----------- --------- ---------- ------------ 588,335 588,036 1,178,494 409,855 -- 212,501 12,946,241 - ----------- ----------- ----------- ----------- --------- ---------- ------------ 30,085,680 16,801,121 60,678,466 17,956,632 3,351,995 32,033,095 423,078,151 (290,371) (167,011) (600,676) (220,305) -- -- (3,782,653) (329) (189) (35,605) (944) -- -- (89,649) -- -- (116,450) -- -- -- (194,083) - ----------- ----------- ----------- ----------- --------- ---------- ------------ 29,794,980 16,633,921 59,925,735 17,735,383 3,351,995 32,033,095 419,011,766 =========== =========== =========== =========== ========= ========== ============ (Continued) 17 18 PHYCOR, INC. SAVINGS AND PROFIT SHARING PLAN Note to Financial Statements December 31, 1998 and 1997 The following is a summary of the changes in net assets available for plan benefits for the year ended December 31, 1998 allocated among the investment alternatives: -------------------------------------------------------------- STABLE CONSERVATIVE MODERATE AGGRESSIVE VALUE PORTFOLIO PORTFOLIO PORTFOLIO FUND ----------- ----------- ----------- ----------- Additions: Contributions: Employees and participating physicians $ 519,770 8,879,272 4,783,118 302,022 Employer 732,467 16,317,164 4,785,032 646,316 Rollovers and transfers received from other plans 16,587 370,102 192,837 4,003 ----------- ----------- ----------- ----------- Total contributions 1,268,824 25,566,538 9,760,987 952,341 ----------- ----------- ----------- ----------- Investment income: Interest 157,930 1,719,440 29,266 14 Dividends 57,830 1,766,419 669,189 -- Other -- -- -- -- ----------- ----------- ----------- ----------- Total investment income 215,760 3,485,859 698,455 14 ----------- ----------- ----------- ----------- Net appreciation (depreciation) of investments: Realized 245,385 3,848,644 823,580 346,211 Unrealized 44,546 2,685,653 897,318 529,684 ----------- ----------- ----------- ----------- Net realized and unrealized appreciation (depreciation) of investments 289,931 6,534,297 1,720,898 875,895 ----------- ----------- ----------- ----------- Total additions 1,774,515 35,586,694 12,180,340 1,828,250 Deductions: Benefit payments 751,106 14,010,853 2,533,268 7,671,241 Administrative expenses 26,807 870,457 252,678 68,903 Refund of excess contributions 22,469 517,795 266,907 61,119 Transfer to (from) other funds (2,374,817) 751,152 (1,149,128) (9,186,953) ----------- ----------- ----------- ----------- Total deductions (1,574,435) 16,150,257 1,903,725 (1,385,690) ----------- ----------- ----------- ----------- Increase (decrease) in net assets available for plan benefits 3,348,950 19,436,437 10,276,615 3,213,940 Net assets available for plan benefits: Beginning of year 2,963,996 122,564,333 24,030,052 11,931,695 ----------- ----------- ----------- ----------- End of year $ 6,312,946 142,000,770 34,306,667 15,145,635 =========== =========== =========== =========== ---------------------------- FIXED S & P INCOME INDEX FUND FUND ----------- ----------- Additions: Contributions: Employees and participating physicians 653,234 1,150,834 Employer 829,591 1,399,097 Rollovers and transfers received from other plans 13,421 426,698 ----------- ----------- Total contributions 1,496,246 2,976,629 ----------- ----------- Investment income: Interest 1,625,779 299 Dividends -- -- Other -- -- ----------- ----------- Total investment income 1,625,779 299 ----------- ----------- Net appreciation (depreciation) of investments: Realized 1,088,396 521,764 Unrealized (616,573) 1,808,831 ----------- ----------- Net realized and unrealized appreciation (depreciation) of investments 471,823 2,330,595 ----------- ----------- Total additions 3,593,848 5,307,523 Deductions: Benefit payments 4,366,272 1,855,299 Administrative expenses 82,907 42,930 Refund of excess contributions 180,366 90,156 Transfer to (from) other funds (3,848,795) (7,107,413) ----------- ----------- Total deductions 780,750 (5,119,028) ----------- ----------- Increase (decrease) in net assets available for plan benefits 2,813,098 10,426,551 Net assets available for plan benefits: Beginning of year 21,744,600 5,038,933 ----------- ----------- End of year 24,557,698 15,465,484 =========== =========== (Continued) 18 19 1998 INVESTMENT ALTERNATIVES - ----------------------------------------------------------------------------------------------------------------------------- VALUE GROWTH FOREIGN AGGRESSIVE PHYCOR EQUITY EQUITY EQUITY GROWTH EQUITY STOCK PARTICIPANT SELF FUND FUND FUND FUND FUND LOANS DIRECTED TOTAL - ----------- ---------- ----------- ----------- ----------- ---------- ---------- ----------- 3,264,997 2,066,931 1,097,100 3,236,917 1,164,790 -- 644,398 27,763,383 3,390,294 2,497,357 1,015,682 4,228,291 1,529,562 -- 1,625,836 38,996,689 65,891 119,435 25,370 41,820 5,752 -- 104,654 1,386,570 - ----------- ---------- ----------- ----------- ----------- ---------- ---------- ----------- 6,721,182 4,683,723 2,138,152 7,507,028 2,700,104 -- 2,374,888 68,146,642 - ----------- ---------- ----------- ----------- ----------- ---------- ---------- ----------- 170,960 145 84 36,060 21,694 355,202 712 4,117,585 959,709 490,699 812,910 (139,396) -- -- 67,197 4,684,557 - ----------- ---------- ----------- ----------- ----------- ---------- ---------- ----------- 1,130,669 490,844 812,994 (103,336) 21,694 355,202 67,909 8,802,142 - ----------- ---------- ----------- ----------- ----------- ---------- ---------- ----------- 4,139,031 1,947,960 391,060 (2,109,760) (508,942) -- 51,235 10,784,564 (1,373,639) 6,561,837 (1,430,757) 2,475,972 (11,704,151) -- 12,770,483 12,649,204 - ----------- ---------- ----------- ----------- ----------- ---------- ---------- ----------- 2,765,392 8,509,797 (1,039,697) 366,212 (12,213,093) -- 12,821,718 23,433,768 - ----------- ---------- ----------- ----------- ----------- ---------- ---------- ----------- 10,617,243 13,684,364 1,911,449 7,769,904 (9,491,295) 355,202 15,264,515 100,382,552 8,134,286 3,062,001 1,491,701 5,471,114 707,336 -- 3,254,105 53,308,582 657,860 103,949 41,085 698,180 32,418 -- 4,206 2,882,380 301,747 207,782 78,012 276,747 35,860 -- -- 2,038,960 8,770,133 423,736 3,187,880 8,292,048 1,253,634 (62,162) 1,050,685 -- - ----------- ---------- ----------- ----------- ----------- ---------- ---------- ----------- 17,864,026 3,797,468 4,798,678 14,738,089 2,029,248 (62,162) 4,308,996 58,229,922 - ----------- ---------- ----------- ----------- ----------- ---------- ---------- ----------- (7,246,783) 9,886,896 (2,887,229) (6,968,185) (11,520,543) 417,364 10,955,519 42,152,630 71,263,048 29,794,980 16,633,921 59,925,735 17,735,383 3,351,995 32,033,095 419,011,766 - ----------- ---------- ----------- ----------- ----------- ---------- ---------- ----------- 64,016,265 39,681,876 13,746,692 52,957,550 6,214,840 3,769,359 42,988,614 461,164,396 =========== ========== =========== =========== =========== ========== ========== =========== (Continued) 19 20 PHYCOR, INC. SAVINGS AND PROFIT SHARING PLAN Note to Financial Statements December 31, 1998 and 1997 The following is a summary of the changes in net assets available for plan benefits for the year ended December 31, 1997 allocated among the investment alternatives: ----------------------------------------------------------------------------- GIC FIXED FIXED MANAGED BALANCED FUND INCOME #1 INCOME #2 FUND FUND #1 ----------- ---------- ---------- ----------- ----------- Additions: Contributions: Employees and participating physicians $ 71,122 85,379 98,558 1,284,599 86,733 Employer 122,283 134,644 125,616 2,252,301 193,221 Rollovers and transfers received from other plans 11,576 3,271 8,931 34,594 441 ----------- ---------- ---------- ----------- ----------- Total contributions 204,981 223,294 233,105 3,571,494 280,395 ----------- ---------- ---------- ----------- ----------- Investment income: Interest 8,740 356,354 256,077 178,435 178,573 Dividends -- -- -- 35,598 38,618 Other -- -- -- -- -- ----------- ---------- ---------- ----------- ----------- Total investment income 8,740 356,354 256,077 214,033 217,191 ----------- ---------- ---------- ----------- ----------- Net appreciation (depreciation) of investments: Realized 109,824 (269,484) (57,845) (392,376) 109,217 Unrealized -- -- -- -- -- ----------- ---------- ---------- ----------- ----------- Net realized and unrealized appreciation (depreciation) of investments 109,824 (269,484) (57,845) (392,376) 109,217 ----------- ---------- ---------- ----------- ----------- Total additions 323,545 310,164 431,337 3,393,151 606,803 Deductions: Benefit payments 127,444 102,282 19,831 1,738,148 9,065 Administrative expenses 12,117 35,877 11,305 141,464 23,957 Refund of excess contributions -- -- -- -- -- Transfer to (from) other funds 7,298,018 7,407,667 9,722,397 71,734,358 12,919,000 ----------- ---------- ---------- ----------- ----------- Total deductions 7,437,579 7,545,826 9,753,533 73,613,970 12,952,022 ----------- ---------- ---------- ----------- ----------- Increase (decrease) in net assets available for plan benefits (7,114,034) (7,235,662) (9,322,196) (70,220,819) (12,345,219) Net assets available for plan benefits: Beginning of year 7,114,034 7,235,662 9,322,196 70,220,819 12,345,219 ----------- ---------- ---------- ----------- ----------- End of year $ -- -- -- -- -- =========== ========== ========== =========== =========== ---------------------------- BALANCED VALUE FUND #2 FUND ----------- ----------- Additions: Contributions: Employees and participating physicians 250,965 566,243 Employer 313,084 762,070 Rollovers and transfers received from other plans 36,712 33,358 ----------- ----------- Total contributions 600,761 1,361,671 ----------- ----------- Investment income: Interest 1,843 43,107 Dividends 130,724 78,450 Other 3,055 129 ----------- ----------- Total investment income 135,622 121,686 ----------- ----------- Net appreciation (depreciation) of investments: Realized 431,377 853,423 Unrealized -- -- ----------- ----------- Net realized and unrealized appreciation (depreciation) of investments 431,377 853,423 ----------- ----------- Total additions 1,167,760 2,336,780 Deductions: Benefit payments 819,502 174,250 Administrative expenses 7,985 80,869 Refund of excess contributions -- -- Transfer to (from) other funds 16,313,687 26,694,277 ----------- ----------- Total deductions 17,141,174 26,949,396 ----------- ----------- Increase (decrease) in net assets available for plan benefits (15,973,414) (24,612,616) Net assets available for plan benefits: Beginning of year 15,973,414 24,612,616 ----------- ----------- End of year -- -- =========== =========== (Continued) 20 21 1997 INVESTMENT ALTERNATIVES - --------------------------------------------------------------------------------------------------------------- AGGRESSIVE PHYCOR EQUITY EQUITY FOREIGN GROWTH GROWTH STOCK PARTICIPANT FUND #1 FUND #2 FUND FUND FUND FUND LOANS - ---------- ----------- ----------- ----------- ----------- ----------- ---------- 99,662 238,566 327,176 447,750 989,843 525,838 -- 114,500 264,312 443,987 566,277 1,417,621 700,320 -- 3,550 35,712 36,577 29,034 43,118 39,207 62,542 - ---------- ----------- ----------- ----------- ----------- ----------- ---------- 217,712 538,590 807,740 1,043,061 2,450,582 1,265,365 62,542 - ---------- ----------- ----------- ----------- ----------- ----------- ---------- 1,193 3,362 666 8,111 10,398 1,063 42,619 22,646 -- -- 46,358 15,863 -- -- 8,053 7,532 3,546 -- -- 4,025 11,128 - ---------- ----------- ----------- ----------- ----------- ----------- ---------- 31,892 10,894 4,212 54,469 26,261 5,088 53,747 - ---------- ----------- ----------- ----------- ----------- ----------- ---------- 326,266 301,991 548,841 (926,989) (2,967,445) (725,259) -- -- -- -- -- -- -- -- - ---------- ----------- ----------- ----------- ----------- ----------- ---------- 326,266 301,991 548,841 (926,989) (2,967,445) (725,259) -- - ---------- ----------- ----------- ----------- ----------- ----------- ---------- 575,870 851,475 1,360,793 170,541 (490,602) 545,194 116,289 64,253 113,450 108,749 186,009 597,704 113,963 35,674 24,762 6,394 12,978 50,594 167,278 16,164 7,275 - ---------- ----------- ----------- ----------- ----------- ----------- ---------- 8,976,444 16,635,602 14,805,029 19,107,243 50,042,083 17,106,574 2,124,731 - ---------- ----------- ----------- ----------- ----------- ----------- ---------- 9,065,459 16,755,446 14,926,756 19,343,846 50,807,065 17,236,701 2,167,680 - ---------- ----------- ----------- ----------- ----------- ----------- ---------- (8,489,589) (15,903,971) (13,565,963) (19,173,305) (51,297,667) (16,691,507) (2,051,391) 8,489,589 15,903,971 13,565,963 19,173,305 51,297,667 16,691,507 2,051,391 - ---------- ----------- ----------- ----------- ----------- ----------- ---------- -- -- -- -- -- -- -- ========== =========== =========== =========== =========== =========== ========== (Continued) 21 22 PHYCOR, INC. SAVINGS AND PROFIT SHARING PLAN Note to Financial Statements December 31, 1998 and 1997 The following is a summary of the changes in net assets available for plan benefits for the year ended December 31, 1997 allocated among the investment alternatives: -------------------------------------------------------------------------------- CONSERVATIVE MODERATE AGGRESSIVE STABLE SELF LIFESTYLE LIFESTYLE LIFESTYLE VALUE DIRECTED PORTFOLIO PORTFOLIO PORTFOLIO FUND ------------ ---------- ------------ ----------- ----------- Additions: Contributions: Employees and participating physicians $ 309,652 251,764 9,037,392 2,598,809 530,903 Employer 345,294 271,922 9,695,170 3,969,031 499,871 Rollovers and transfers received from other plans 11,340 141,910 2,756,530 363,564 215,373 ------------ ---------- ------------ ----------- ----------- Total contributions 666,286 665,596 21,489,092 6,931,404 1,246,147 ------------ ---------- ------------ ----------- ----------- Investment income: Interest 67,205 2,574 281,965 21,732 3,633 Dividends 265,934 69,227 2,440,786 443,668 32,870 Other -- -- -- -- -- ------------ ---------- ------------ ----------- ----------- Total investment income 333,139 71,801 2,722,751 465,400 36,503 ------------ ---------- ------------ ----------- ----------- Net appreciation (depreciation) of investments: Realized 97,613 98,305 7,864,976 2,238,239 40,602 Unrealized -- 65,996 5,516,132 1,447,109 59,330 ------------ ---------- ------------ ----------- ----------- Net realized and unrealized appreciation (depreciation) of investments 97,613 164,301 13,381,108 3,685,348 99,932 ------------ ---------- ------------ ----------- ----------- Total additions 1,097,038 901,698 37,592,951 11,082,152 1,382,582 Deductions: Benefit payments 1,099,238 212,640 5,162,092 631,413 5,496,886 Administrative expenses 23,014 2,301 234,487 60,702 4,230 Refund of excess contributions -- 20,052 1,080,342 415,304 165,603 Transfer to (from) other funds 25,596,472 (2,297,291) (91,448,303) (14,055,319) (16,215,832) ------------ ---------- ------------ ----------- ----------- Total deductions 26,718,724 (2,062,298) (84,971,382) (12,947,900) (10,549,113) ------------ ---------- ------------ ----------- ----------- Increase (decrease) in net assets available for plan benefits (25,621,686) 2,963,996 122,564,333 24,030,052 11,931,695 Net assets available for plan benefits: Beginning of year 25,621,686 -- -- -- -- ------------ ---------- ------------ ----------- ----------- End of year $ -- 2,963,996 122,564,333 24,030,052 11,931,695 ============ ========== ============ =========== =========== --------------------------- CORE FIXED INCOME INDEX FUND FUND ----------- ---------- Additions: Contributions: Employees and participating physicians 718,631 279,270 Employer 863,198 334,613 Rollovers and transfers received from other plans 2,748,508 459,029 ----------- ---------- Total contributions 4,330,337 1,072,912 ----------- ---------- Investment income: Interest 26,770 3,651 Dividends 849,647 -- Other -- -- ----------- ---------- Total investment income 876,417 3,651 ----------- ---------- Net appreciation (depreciation) of investments: Realized 303,964 2,527 Unrealized 377,563 203,146 ----------- ---------- Net realized and unrealized appreciation (depreciation) of investments 681,527 205,673 ----------- ---------- Total additions 5,888,281 1,282,236 Deductions: Benefit payments 1,651,512 7,218 Administrative expenses 12,910 386 Refund of excess contributions 90,188 69,631 Transfer to (from) other funds (17,610,929) (3,833,932) ----------- ---------- Total deductions (15,856,319) (3,756,697) ----------- ---------- Increase (decrease) in net assets available for plan benefits 21,744,600 5,038,933 Net assets available for plan benefits: Beginning of year -- -- ----------- ---------- End of year 21,744,600 5,038,933 =========== ========== (Continued) 22 23 1997 INVESTMENT ALTERNATIVES - --------------------------------------------------------------------------------------------------------------------------------- AGGRESSIVE PHYCOR VALUE GROWTH FOREIGN EQUITY STOCK PARTICIPANT SELF FUND FUND FUND FUND FUND LOANS DIRECTED TOTAL - ----------- ----------- ----------- ----------- ----------- ---------- ----------- ----------- 2,857,000 1,332,719 774,120 2,929,425 1,277,762 -- 813,287 28,783,168 4,135,965 1,654,174 1,410,635 3,282,851 1,565,818 -- 628,662 36,067,440 1,375,710 2,302,395 1,604,999 3,313,087 617,670 -- 952,991 17,241,729 - ----------- ----------- ----------- ----------- ----------- ---------- ----------- ----------- 8,368,675 5,289,288 3,789,754 9,525,363 3,461,250 -- 2,394,940 82,092,337 - ----------- ----------- ----------- ----------- ----------- ---------- ----------- ----------- 169,705 15,577 6,168 47,228 7,228 143,004 1,138,364 3,025,345 375,780 548,069 802,814 512,967 -- -- -- 6,710,019 -- -- -- -- 22,858 -- -- 60,326 - ----------- ----------- ----------- ----------- ----------- ---------- ----------- ----------- 545,485 563,646 808,982 560,195 30,086 143,004 1,138,364 9,795,690 - ----------- ----------- ----------- ----------- ----------- ---------- ----------- ----------- 7,689,046 2,769,611 1,016,747 7,292,371 1,580,012 -- 1,482,491 29,818,045 11,075,237 1,598,580 (1,669,866) 6,416,474 -- -- 1,266 25,090,967 - ----------- ----------- ----------- ----------- ----------- ---------- ----------- ----------- 18,764,283 4,368,191 (653,119) 13,708,845 1,580,012 -- 1,483,757 54,909,012 - ----------- ----------- ----------- ----------- ----------- ---------- ----------- ----------- 27,678,443 10,221,125 3,945,617 23,794,403 5,071,348 143,004 5,017,061 146,797,039 1,007,026 356,554 236,226 1,028,760 473,553 -- 358,934 21,932,376 263,414 7,754 4,947 377,994 5,933 -- 42,277 1,639,368 713,085 290,371 167,011 600,676 220,305 -- -- 3,832,568 (45,568,130) (20,228,534) (13,096,488) (38,138,762) (13,363,826) (3,208,991) (27,417,245) -- - ----------- ----------- ----------- ----------- ----------- ---------- ----------- ----------- (43,584,605) (19,573,855) (12,688,304) (36,131,332) (12,664,035) (3,208,991) (27,016,034) 27,404,312 - ----------- ----------- ----------- ----------- ----------- ---------- ----------- ----------- 71,263,048 29,794,980 16,633,921 59,925,735 17,735,383 3,351,995 32,033,095 119,392,727 -- -- -- -- -- -- -- 299,619,039 - ----------- ----------- ----------- ----------- ----------- ---------- ----------- ----------- 71,263,048 29,794,980 16,633,921 59,925,735 17,735,383 3,351,995 32,033,095 419,011,766 =========== =========== =========== =========== =========== ========== =========== =========== 23 24 SCHEDULE 1 PHYCOR, INC. SAVINGS AND PROFIT SHARING PLAN Item 27(a) Schedule of Assets Held for Investment Purposes December 31, 1998 (C) (B) DESCRIPTION OF INVESTMENT IDENTITY OF ISSUE, INCLUDING MATURITY DATE, BORROWER, LESSOR, RATE OF INTEREST, COLLATERAL (A) OR SIMILAR PARTY PAR OR MATURITY VALUE - ----- ----------------------------- ---------------------------- MONEY MARKET FUNDS Collective Short Term Investment Fund Schwab Total Bond Market Index Fund TOTAL U.S. GOVERNMENT SECURITIES Certificate of Interest Accrual on Treasury Securities Due 11/15/1999 114,000 Par Value Certificate of Interest Accrual on Treasury Securities Due 5/15/1999 62,000 Par Value FHLMC 7.36 Debenture Due 8/28/2007 100,000 Par Value FNMA 7.50% Due 2/11/02 45,000 Par Value Tennessee Valley Authority 0.000% Due 11/1/2025 200,000 Par Value US Treasury Bill Due 1/7/1999 400,000 Par Value US Treasury Bill Due 6/24/1999 400,000 Par Value US Treasury Note 6.250% Due 5/31/2000 20,000 Par Value US Treasury 5.375 Note Due 6/30/2000 400,000 Par Value US Treasury 5.5 Note Due 12/31/2000 400,000 Par Value US Treasury 5.625 Notes Due 12/31/99 400,000 Par Value US Treasury 5.625 Note Due 10/31/99 200,000 Par Value US Treasury 6.00 Bond Due 2/15/2026 20,000 Par Value US Treasury 6.25 Bond Due 8/15/2023 20,000 Par Value US Treasury Note 5.875 Bond Due 11/30/2001 400,000 Par Value US Treasury Securities Bond 6.625% Due 2/15/2027 25,000 Par Value US Treasury Securities Note 6.250% Due 2/15/2007 25,000 Par Value US Treasury Securities Note 6.250% Due 3/31/1999 25,000 Par Value US Treasury Securities Note 6.500% Due 5/15/2005 25,000 Par Value US Treasury Securities Note 6.500% Due 8/15/2005 20,000 Par Value US Treasury Securities Note 6.625% Due 3/31/2002 25,000 Par Value US Treasury Securities Note 6.750% Due 4/30/2000 35,000 Par Value US Treasury Securities Note 6.875% Due 5/15/2006 20,000 Par Value US Treasury 7.0 Note Due 7/15/2006 20,000 Par Value US Treasury 6.125 Note Due 8/15/2007 20,000 Par Value US Treasury Ser B-2002 Note 6.375% Due 8/15/2002 30,000 Par Value US Treasury Ser G-1999 6.375% Due 7/15/99 15,000 Par Value US Treasury Sec Stripped Int Pymt Due 11/1 25,000 Par Value US Treasury Stripped Secs Int Generic Int Pmt Due 8/15 37,000 Par Value US Treasury Strips 0.000% Due 11/15/2000 20,000 Par Value US Treasury Strips 0.000% Due 11/15/2005 100,000 Par Value US Treasury Strips 0.000% Due 8/15/2001 225,000 Par Value US Treasury Strips 0.000% Due 8/15/2002 16,000 Par Value US Treasury Strips 0.000% Due 8/15/2003 17,000 Par Value US Treasury Strips 0.000% Due 8/15/2004 18,000 Par Value (B) IDENTITY OF ISSUE, (E) BORROWER, LESSOR, (D) CURRENT (A) OR SIMILAR PARTY COST VALUE - ----- ----------------------------- ---------- ---------- MONEY MARKET FUNDS Collective Short Term Investment Fund 12,414,667 12,414,667 Schwab Total Bond Market Index Fund 27,587 26,845 ---------- ---------- TOTAL 12,442,254 12,441,512 ---------- ---------- U.S. GOVERNMENT SECURITIES Certificate of Interest Accrual on Treasury Securities Due 11/15/1999 92,597 109,572 Certificate of Interest Accrual on Treasury Securities Due 5/15/1999 51,791 60,961 FHLMC 7.36 Debenture Due 8/28/2007 22,380 2,517,100 FNMA 7.50% Due 2/11/02 46,174 48,052 Tennessee Valley Authority 0.000% Due 11/1/2025 1,139,320 1,564,760 US Treasury Bill Due 1/7/1999 390,014 399,680 US Treasury Bill Due 6/24/1999 380,624 391,500 US Treasury Note 6.250% Due 5/31/2000 20,134 20,425 US Treasury 5.375 Note Due 6/30/2000 400,109 404,125 US Treasury 5.5 Note Due 12/31/2000 400,656 406,688 US Treasury 5.625 Notes Due 12/31/99 401,380 403,875 US Treasury 5.625 Note Due 10/31/99 200,375 201,563 US Treasury 6.00 Bond Due 2/15/2026 20,234 21,816 US Treasury 6.25 Bond Due 8/15/2023 20,866 22,375 US Treasury Note 5.875 Bond Due 11/30/2001 404,812 413,500 US Treasury Securities Bond 6.625% Due 2/15/2027 25,077 29,570 US Treasury Securities Note 6.250% Due 2/15/2007 24,852 27,422 US Treasury Securities Note 6.250% Due 3/31/1999 25,058 25,098 US Treasury Securities Note 6.500% Due 5/15/2005 25,278 27,399 US Treasury Securities Note 6.500% Due 8/15/2005 21,100 21,981 US Treasury Securities Note 6.625% Due 3/31/2002 25,480 26,426 US Treasury Securities Note 6.750% Due 4/30/2000 35,186 35,919 US Treasury Securities Note 6.875% Due 5/15/2006 20,700 22,612 US Treasury 7.0 Note Due 7/15/2006 21,802 22,772 US Treasury 6.125 Note Due 8/15/2007 20,771 21,844 US Treasury Ser B-2002 Note 6.375% Due 8/15/2002 31,226 31,645 US Treasury Ser G-1999 6.375% Due 7/15/99 15,014 15,141 US Treasury Sec Stripped Int Pymt Due 11/1 16,180 19,941 US Treasury Stripped Secs Int Generic Int Pmt Due 8/15 18,292 20,383 US Treasury Strips 0.000% Due 11/15/2000 15,463 18,378 US Treasury Strips 0.000% Due 11/15/2005 57,219 72,146 US Treasury Strips 0.000% Due 8/15/2001 200,279 199,575 US Treasury Strips 0.000% Due 8/15/2002 12,125 13,522 US Treasury Strips 0.000% Due 8/15/2003 12,136 13,723 US Treasury Strips 0.000% Due 8/15/2004 11,982 13,849 See accompanying independent auditors' report. 24 25 SCHEDULE 1 PHYCOR, INC. SAVINGS AND PROFIT SHARING PLAN Item 27(a) Schedule of Assets Held for Investment Purposes December 31, 1998 (C) (B) DESCRIPTION OF INVESTMENT IDENTITY OF ISSUE, INCLUDING MATURITY DATE, (E) BORROWER, LESSOR, RATE OF INTEREST, COLLATERAL (D) CURRENT (A) OR SIMILAR PARTY PAR OR MATURITY VALUE COST VALUE - ----- ----------------------------- ---------------------------- --------- --------- U.S. GOVERNMENT SECURITIES US Treasury Strips 0.000% Due 8/15/2005 135,000 Par Value 100,783 98,615 US Treasury Strips 0.000% Due 8/15/2008 188,000 Par Value 118,315 116,992 US Treasury Strips 0.000% Due 8/15/2009 35,000 Par Value 18,402 20,497 US Treasury Strips 0.000% Due 5/15/1999 195,000 Par Value 145,958 191,781 US Treasury Strips 0.000% Due 5/15/2003 250,000 Par Value 170,525 203,967 --------- --------- TOTAL 5,180,669 8,297,190 --------- --------- INTEREST IN REGISTERED INVESTMENT COMPANIES Acorn Fund, Inc. 310 Shares 5,415 5,225 Advisors Inner Circle White Oak Growth Stock Fund 2,254 Shares 75,000 91,743 Alliance Portfolios 359 Shares 14,809 18,351 Amcap Fund 4,041 Shares 55,830 71,558 American Centy Govt. Income 1,031 Shares 10,999 11,020 American Centy International Bond Fund 106 Shares 1,334 1,324 American Centy Mut Funds 20th Century 178 Shares 5,146 4,839 American Centy Mut Funds 20th Ultra 660 Shares 21,769 22,050 American Centy Quant. Equity Growth 543 Shares 10,687 12,328 American Centy Quant. Equity Income & Growth 1,278 Shares 32,531 37,386 American Centy Target Mats 1,867 Shares 107,973 113,358 American Centy World Mutual Funds 20th Century Intl Growth 819 Shares 7,130 7,842 American Centy World Mut Funds 3,835 Shares 40,560 36,704 Artisan Fds 629 Shares 6,519 5,752 ASA Ltd Fund 951 Shares 20,366 14,802 Babson Value 23 Shares 1,068 1,059 Baron Asset Ben Int 3,752 Shares 183,333 189,629 Baron Asset Small Cap 1,200 Shares 12,023 12,648 Blackrock N. America Govt. Inc. 1,300 Shares 16,108 13,163 Blair William Growth Fund 2,169 Shares 32,996 38,985 Bond Fund of America 3,125 Shares 40,552 42,532 BT Investment Funds International Equity 13,213 Shares 302,725 319,493 Colonial Newport Tiger 371 Shares 5,166 2,883 Crabbe Huson Real Estate 1,067 Shares 14,000 11,211 DFA Invt Dimensions Group Real Estate Portfolio 8,715 Shares 110,523 105,715 DFA Invt Dimensions Group 1 year Fixed Income Portfolio 10,442 Shares 105,357 106,295 Dodge & Cox Stock Fund 233 Shares 23,104 21,167 Dreyfus S & P 500 Index Funds 1,065 Shares 30,388 38,761 Dreyfus Short Term 796 Shares 9,616 9,353 Eclipse Equity Fund 614 Shares 8,337 7,326 Europacific Growth Open End 5,603 Shares 132,961 159,136 Excelsior Value & Restructuring Fund 3,120 Shares 73,019 70,857 See accompanying independent auditors' report. 25 26 SCHEDULE 1 PHYCOR, INC. SAVINGS AND PROFIT SHARING PLAN Item 27(a) Schedule of Assets Held for Investment Purposes December 31, 1998 (C) (B) DESCRIPTION OF INVESTMENT IDENTITY OF ISSUE, INCLUDING MATURITY DATE, (E) BORROWER, LESSOR, RATE OF INTEREST, COLLATERAL (D) CURRENT (A) OR SIMILAR PARTY PAR OR MATURITY VALUE COST VALUE - ----- ----------------------------- ---------------------------- ---------- ---------- INTEREST IN REGISTERED INVESTMENT COMPANIES Fasciano Fund 3,726 Shares 126,723 116,203 Fidelity Contrafund 1,532 Shares 66,294 86,977 Fidelity Fund Open End 1,816 Shares 56,376 66,647 Fidelity Invt Japan Small 516 Shares 5,526 3,739 Fidelity Mt.Vernon Emerging Growth 1,441 Shares 35,446 45,774 Fidelity Select Biotechnology Portfolio 983 Shares 35,283 39,090 Fidelity Select Energy Portfolio 1,929 Shares 53,947 27,913 Fidelity Select Financial Services Portfolio 290 Shares 27,896 28,638 Fidelity Select Electrs Portfolio 861 Shares 25,494 40,086 Fidelity Value Open End 1,103 Shares 50,650 51,120 Founders Balanced Fund 1,212 Shares 14,018 14,778 Franklin Strategic Small Cap Growth Fund 962,271 Shares 19,706,544 21,718,447 Gabelli Asset Fund 481 Shares 14,216 17,059 Gabelli Growth Fund 500 Shares 15,144 17,704 Gabelli Small Cap Open End 736 Shares 16,769 15,467 Gabelli Telecommunications Fund 335 Shares 5,407 5,571 Gam Fds Inc. 370 Shares 8,241 11,101 Hancock John BK & Thrift Opportunity 3,135 Shares 40,392 33,505 Hotchkis & Wiley Small Cap Fund 411 Shares 10,583 8,016 Hotchkis & Wiley International Fund 427 Shares 10,346 9,932 Hotchkis & Wiley Low Duration Fund 625 Shares 6,384 6,298 IDS Trust Inc. Collective Fund 29,301 Shares 1,257,123 1,411,598 Income Fund of America 2,378 Shares 34,997 41,230 Interactive Tech Value Fund 280 Shares 8,376 9,030 Invesco Income Hi Yield Fund 6,113 Shares 44,283 39,369 Invesco Specialty Worldwide Communications Fund 265 Shares 5,097 5,626 Invesco Strategic Portfolios 112 Shares 5,875 6,859 Janus Equity Income Fund 1,281 Shares 14,935 23,987 Janus Income Capital Fund 1,017,310 Shares 24,831,438 34,232,467 Janus Flexible Income Fund 4,780 Shares 46,557 47,557 Janus Growth and Income Fund 1,660 Shares 37,136 48,298 Janus High-Yield Fund 1,243 Shares 14,079 13,188 Janus Investment Balanced Fund 708 Shares 12,319 13,888 Janus Olympus Fund 2,030 Shares 30,156 55,987 Janus Overseas Fund 8,551 Shares 158,946 171,701 Janus SPL Situations Fund 1,158 Shares 17,888 20,158 Janus Twenty Fund 1,801 Shares 63,139 96,006 Janus Worldwide Fund 9,299 Shares 369,587 440,405 Kemper Total Return Fund 1,926 Shares 20,799 20,605 Lexington Gold Fund 130 Shares 450 393 Linder Investments Divided Fund 801 Shares 21,701 18,850 See accompanying independent auditors' report. 26 27 SCHEDULE 1 PHYCOR, INC. SAVINGS AND PROFIT SHARING PLAN Item 27(a) Schedule of Assets Held for Investment Purposes December 31, 1998 (C) (B) DESCRIPTION OF INVESTMENT IDENTITY OF ISSUE, INCLUDING MATURITY DATE, (E) BORROWER, LESSOR, RATE OF INTEREST, COLLATERAL (D) CURRENT (A) OR SIMILAR PARTY PAR OR MATURITY VALUE COST VALUE - ----- ----------------------------- ---------------------------- ---------- ---------- INTEREST IN REGISTERED INVESTMENT COMPANIES Longleaf Partners Sh Ben Int Fund 1,554 Shares 38,865 37,893 Longleaf Partners Small Cap Fund 557 Shares 11,909 12,223 Loomis Sayles Bond Fund 14,169 Shares 184,718 169,321 Loomis Sayles Small Cap Growth Fund 699 Shares 7,890 7,273 Loomis Sayles Small Cap Retail Fund 421 Shares 8,635 7,643 MAS Fixed Income Portfolio 7,113 Shares 85,510 83,294 MAS Mid-Cap Value Portfolio 285 Shares 5,400 5,898 MAS Mid-Cap Growth Portfolio 274 Shares 5,070 5,855 MAS Pooled High Yield Fund 7,362 Shares 66,874 65,225 MFS Research Fund 1,516,072 Shares 31,698,716 38,129,212 MFS Total Return Fund 2,958 Shares 42,806 44,254 Midas Fund 2,333 Shares 3,500 3,523 Montgomery Select 50 Fund 10,145 Shares 192,118 194,074 Mutual Beacon Fund 803 Shares 9,383 10,536 Mutual Discovery Fund 648 Shares 10,673 11,189 Mutual Qualified Fund 1,257 Shares 23,828 20,688 Neuberger & Berman Equity Fund 501 Shares 7,854 7,235 Neuberger & Berman Partner Trust Fund 2,138,197 Shares 37,322,554 38,637,228 Neuberger & Berman Partners Equity Fund 1,929 Shares 51,844 49,179 New Perspective Income Fund 9,123 Shares 138,753 209,379 Nicholas II Inc. 319 Shares 9,656 11,498 Oakmark Harris Associates Trust Fund 2,764 Shares 105,749 99,003 PAPP America Abroad Fund 230 Shares 6,272 7,379 PBHG Growth Fund 280 Shares 6,916 7,149 PBHG Select Equity 248 Shares 5,183 6,176 Robertson Stephens Investment Trust Microcap Growth 551 Shares 9,075 7,864 Rowe Price Small Cap Value Fund 439 Shares 7,421 8,322 Rowe T. Price Blue Chip Growth Fund 636 Shares 15,348 19,447 Rowe T. Price European Fund 202 Shares 4,192 4,390 Rowe T. Price Growth & Income Fund 1,491 Shares 37,522 38,842 Rowe T. Price Growth Stock Fund 354 Shares 11,388 11,338 Rowe T. Price Health Science Fund 1,905 Shares 26,204 30,494 Rowe T. Price International Bond Fund 9,525 Shares 97,220 99,629 Rowe T. Price New ERA Fund 227 Shares 10,801 10,869 Royce Total Return Fund 6,920 Shares 55,000 52,315 Rydex URSA Fund 3,629 Shares 40,177 32,481 Rydex OTC Fund 2,196 Shares 88,275 90,821 Safeco Equity Fund 4,644 Shares 102,612 107,979 Safeco Growth Fund 79 Shares 1,806 1,799 Schwab 1000 Equity Fund 1,708 Shares 51,863 57,236 Schwab Charles Family Funds Value Advantage Money Fund 2,811,712 Shares 2,811,712 2,171,247 See accompanying independent auditors' report. 27 28 SCHEDULE 1 PHYCOR, INC. SAVINGS AND PROFIT SHARING PLAN Item 27(a) Schedule of Assets Held for Investment Purposes December 31, 1998 (C) (B) DESCRIPTION OF INVESTMENT IDENTITY OF ISSUE, INCLUDING MATURITY DATE, (E) BORROWER, LESSOR, RATE OF INTEREST, COLLATERAL (D) CURRENT (A) OR SIMILAR PARTY PAR OR MATURITY VALUE COST VALUE - ----- ----------------------------- ---------------------------- ---------- ---------- INTEREST IN REGISTERED INVESTMENT COMPANIES Schwab Family Fund Money Market Fund 6,414,827 Shares 6,414,827 6,414,827 Schwab S&P 500 Fund 1,492 Shares 24,209 28,279 Scudder International Fund Greater Europe 5,541 Shares 137,208 147,005 Scudder International Fund Open End 2,750 Shares 142,497 133,924 Scudder Gold Fund 598 Shares 3,500 3,668 Scudder Portfolio High Yield Bond Fund 1,293 Shares 16,999 15,873 Scudder Sec Small Co. Value Fund 464 Shares 10,083 9,038 Selected Amer. Open End 1,451 Shares 40,858 45,214 Seligman Communications and Info. Fund 1,293 Shares 31,908 39,719 Small Cap World Fund 1,992 Shares 49,927 49,054 SoGen International Fund 6,422 Shares 172,260 147,907 SoGen Overseas Fund 2,347,668 Shares 30,529,562 26,270,402 Sound Shore Income Fund 90 Shares 2,601 2,671 Stein Roe Growth & Income Fund 383 Shares 8,101 9,948 Stein Roe Intermediate Bond Fund 2,470 Shares 22,089 21,959 Stein Roe Large Company Focus Fund 1,038 Shares 10,200 10,727 Stein Roe Young Investor Fund 3,011 Shares 76,418 80,515 Stratton Small Cap Yield 435 Shares 10,095 8,757 Strong Corp Bond Fund 468 Shares 5,269 5,263 Strong Government Securities Fund 544 Shares 5,804 5,850 Strong High Yield Bond Fund 3,010 Shares 36,219 33,295 Strong Schafer Value Fund 1,013 Shares 64,283 60,070 T Rowe Price Index Fund 338 Shares 10,084 11,273 Templeton Foreign Fund 1,906,519 Shares 19,208,464 15,995,694 Templeton Smaller Growth Fund 502 Shares 4,595 3,522 Torray Sh Ben Int. Fund 138 Shares 4,761 5,051 Transamerica Invs. Premier 624 Shares 8,763 13,992 Tuscarora Investment Trust Oak Value Fund 686 Shares 15,803 18,733 Tweedy Brown Global Income Fund 1,910 Shares 30,180 32,134 UAM Crescent Port Shares 162 Shares 2,569 2,408 Unified-First Lexington Balanced Fund 243,662 Shares 2,668,860 1,731,449 Van Eck Global Hard Asset Fund 367 Shares 4,934 3,796 Vanguard Equity Income Fund 11,032 Shares 254,283 272,831 Vanguard Fixed Income Hi Yield Corp Bond Fund 4,368 Shares 34,316 34,201 Vanguard Fixed Income Intermediate Term Corporate Portfolio 1,597 Shares 15,991 16,021 Vanguard Fixed Income Short Term Bond 9,441 Shares 99,420 102,335 Vanguard Index Bond Fund 3,234 Shares 33,299 33,218 Vanguard Index Trust - 500 Portfolio 254 Shares 18,486 28,939 Vanguard Index Growth Portfolio 617 Shares 17,334 19,543 Vanguard Index Total Stock Market 8,983 Shares 201,796 246,322 Vanguard Index Value Portfolio 225 Shares 5,166 5,076 See accompanying independent auditors' report. 28 29 SCHEDULE 1 PHYCOR, INC. SAVINGS AND PROFIT SHARING PLAN Item 27(a) Schedule of Assets Held for Investment Purposes December 31, 1998 (C) (B) DESCRIPTION OF INVESTMENT IDENTITY OF ISSUE, INCLUDING MATURITY DATE, (E) BORROWER, LESSOR, RATE OF INTEREST, COLLATERAL (D) CURRENT (A) OR SIMILAR PARTY PAR OR MATURITY VALUE COST VALUE - ----- ----------------------------- ---------------------------- ----------- ----------- INTEREST IN REGISTERED INVESTMENT COMPANIES Vanguard Primecap Fund 109 Shares 3,149 5,182 Vanguard Quantitative Portfolios 204 Shares 6,250 6,280 Vanguard Specialized Energy Portfolio 1,158 Shares 30,366 21,324 Vanguard Star Growth Portfolio 49,625 Shares 531,055 797,649 Vanguard U.S. Growth Portfolio 3,462 Shares 80,213 129,779 Vanguard Windsor II Fund 6,744 Shares 168,667 201,308 Vanguard World Fund 2,991 Shares 47,817 56,135 Vontobel Eastern European Fund 569 Shares 9,155 4,633 Warburg Pincus Emerging Growth Fund 992 Shares 36,000 39,662 Warburg Pincus Fixed Income 1,033 Shares 10,712 10,697 Warburg Pincus Global Fixed Income Fund 8,437 Shares 87,639 89,433 Warburg Pincus Japan OTC Fund 586 Shares 5,327 3,779 Washington Mutual Investors Fund 10,466 Shares 246,624 365,350 Weitz Hickory Fund 2,327 Shares 75,224 72,096 Weitz Value Portfolio 383 Shares 10,422 11,147 Westwood Fund Equity Fund N/C MFO Gabelli 800 Shares 7,224 8,037 3rd Ave Fund 633 Shares 20,595 20,417 ----------- ----------- TOTAL 184,095,656 195,236,573 ----------- ----------- COMMON/COLLECTIVE TRUSTS Scudder Invt Growth & Inc. Investment Trust 2,067 Units 60,559 54,390 Collective Daily Stock Index Fund 497,365 Units 13,092,986 14,104,963 Collective Stable Asset Fund 1,514,562 Units 38,331,365 40,600,422 Northern Institutional Bond Portfolio 2,418,557 Units 50,211,563 50,523,661 Harris Assoc. Investment Trust Oakmark Select Fund 1,003 Units 16,689 19,608 Harris Assoc. Investment Trust Oakmark Small Cap Fund 1,941 Units 25,169 28,665 HBR Capital Appreciation Fund 2,774 Units 89,499 105,385 HBR International Growth Fund 1,735 Units 28,889 33,817 Invesco Growth Fund 33,142 Units 204,763 214,096 Templeton Developing Markets 6,322 Units 65,374 64,991 UAM Heitman/PRA Real Estate Portfolio 12,247 Units 102,000 105,572 Aetna Real Estate Assoc. 517 Units 3,919 2,585 SPDR Unit Series 1 2,000 Units 203,233 246,625 Spectra Common Stock Fund 314 Units 6,050 7,914 UIT 1st Trust Special Situations Internet Growth 1,982 Units 20,004 54,048 ----------- ----------- TOTAL 102,462,062 106,166,742 ----------- ----------- See accompanying independent auditors' report. 29 30 SCHEDULE 1 PHYCOR, INC. SAVINGS AND PROFIT SHARING PLAN Item 27(a) Schedule of Assets Held for Investment Purposes December 31, 1998 (C) (B) DESCRIPTION OF INVESTMENT IDENTITY OF ISSUE, INCLUDING MATURITY DATE, (E) BORROWER, LESSOR, RATE OF INTEREST, COLLATERAL (D) CURRENT (A) OR SIMILAR PARTY PAR OR MATURITY VALUE COST VALUE - ----- ----------------------------- ---------------------------- ------- ------- CORPORATE DEBT INSTRUMENTS Alza Corp. 5.000% Due 5/1/2006 61,000 Par Value 71,124 88,145 Detroit Edison Co. 7.740% Due 6/1/2018 20,000 Par Value 19,365 21,683 Sys & Computer Tech Corp 5.0% Conv Sub Due 10/15/2004 15,000 Par Value 14,175 12,075 Countrywide Home Loans Inc Medium Term Notes 50,000 Par Value 50,000 48,771 Mascotech Inc. 4.500% Due 12/15/2003 20,000 Par Value 18,733 16,200 General Foods Corp 6.00% Deb Due 6/15/2001 10,000 Par Value 10,002 10,102 Systems Software Assoc. Inc. 7.000% Due 9/15/2002 10,000 Par Value 10,638 7,150 US West Communications Inc. 7.500% Due 6/15/2023 36,000 Par Value 36,525 38,301 Intl Business Machines Corp 7.5% Deb Due 6/15/2013 5,000 Par Value 5,467 5,817 ------- ------- TOTAL 236,029 248,244 ------- ------- COMMON STOCK 1st Health Group 1,900 Shares 47,257 31,469 1st Tenn National Corp 411 Shares 11,637 15,628 1st Union Corp 586 Shares 33,360 35,644 4 Seasons Hotels 100 Shares 3,609 2,925 Abbott Laboratories 1,434 Shares 36,770 70,273 Aber Res Ltd Com New 1,000 Shares 6,768 5,656 Abrams Inds. 10,613 Shares 54,521 53,065 Access Worldwide Communications Inc 60,200 Shares 722,400 504,175 Acnielsen Corp. 49 Shares 695 1,384 Actrade Intl Ltd 200 Shares 2,267 2,825 Adaptec Inc. 38,500 Shares 737,958 676,156 Ade Corp Mass 16,000 Shares 231,960 208,000 ADR Alcatel Alsthom Sponsored NM Chgd Alcatel 9/16/98 510 Shares 9,513 12,463 ADR Allied Zurich PLC Level 1 59 Shares 1,027 1,766 ADR Banco Frances Del Rio De La Plata S A Sponsored 300 Shares 8,833 6,225 ADR Brit Amern TOB PLC Sponsored 59 Shares 1,027 1,033 ADR Brit Steel PLC ADR 400 Shares 10,209 5,850 ADR BTR PLC Exch ADR BTR Siebe PLC Level 1 Mand 463 Shares 8,644 3,782 ADR Business Objects SA Sponsored ADR 12,400 Shares 179,304 403,000 ADR Centrais Eletr Bras Electrobras ADR 240 Shares 4,799 2,066 ADR Centrais Geradoras Sponsored 24 Shares 153 157 ADR Corporacion Bancaria de Espana 400 Shares 11,938 20,600 ADR De Beers Cons Mines Ltd 690 Shares 17,154 8,798 ADR Den Danske Bk Af 1871 Aktieselskab Denmark 110 Shares 10,486 14,778 ADR Deutsche Telekom Ag 400 Shares 10,425 13,100 ADR Diageo PLC Sponsored 343 Shares 10,175 15,864 ADR Doncasters PLC Sponsored 29,500 Shares 597,471 477,531 See accompanying independent auditors' report. 30 31 SCHEDULE 1 PHYCOR, INC. SAVINGS AND PROFIT SHARING PLAN Item 27(a) Schedule of Assets Held for Investment Purposes December 31, 1998 (C) (B) DESCRIPTION OF INVESTMENT IDENTITY OF ISSUE, INCLUDING MATURITY DATE, (E) BORROWER, LESSOR, RATE OF INTEREST, COLLATERAL (D) CURRENT (A) OR SIMILAR PARTY PAR OR MATURITY VALUE COST VALUE - ----- ----------------------------- ---------------------------- ------ ------- COMMON STOCK ADR Elf Aquitaine Sponsored 240 Shares 8,625 13,590 ADR Ericsson LM Tel Co Cl B Ser10 540 Shares 11,675 12,926 ADR Evn AG 140 Shares 4,223 3,850 ADR Fiat SPA Unsponsored Repst Ord 400 Shares 9,171 7,050 ADR Fletcher Challenge Ltd Forest 725 Shares 6,612 2,266 ADR Fletcher Challenge Paper Div 250 Shares 5,457 1,625 ADR Fuji Photo Film Co. 260 Shares 6,720 9,523 ADR Glaxo Wellcome PLC 324 Shares 13,645 22,518 ADR Groupe Danone Sponsored 620 Shares 18,782 34,875 ADR Hitechi Ltd ADR for 10 Com 150 Shares 15,738 9,066 ADR Hoechst A G Isin 200 Shares 8,910 8,200 ADR Hutchison Whampoa Ltd 200 Shares 6,990 7,067 ADR Imperial Chem Ind PLC 170 Shares 7,790 5,939 ADR Ing Groep NV 150 Shares 4,605 9,328 ADR Instituto Bancario San Paolo 1268 Shares 22,366 45,331 ADR Iscor Ltd 663 Shares 5,215 1,195 ADR Jardine Matheson Hldg Ltd Sponsored 1720 Shares 12,778 4,438 ADR Korea Elec Pwr Co. Sponsored 210 Shares 4,073 3,294 ADR Magellan Pete Australia 4200 Shares 11,900 3,675 ADR Matsushita Elec Indl Co 50 Shares 8,350 8,725 ADR Metrogas S A Sponsored 1000 Shares 10,099 8,250 ADR Nestle SA Sponsored 160 Shares 8,056 17,200 ADR Nice Sys Ltd 1000 Shares 14,655 21,625 ADR Nokia Corp Sponsored Finland 125 Shares 11,249 15,055 ADR Peugeot SA 390 Shares 11,466 15,098 ADR Philips Elec Ex Koninklijke Philip Elec N/C 3- 350 Shares 14,312 23,691 ADR Pohang Iron & Stl Ltd 200 Shares 4,875 3,375 ADR Reuters Group 99 Shares -- 6,274 ADR Shire Pharmaeuticals Group 166 Shares 3,649 3,362 ADR Siemens AG Com Cap 220 Shares 10,962 14,200 ADR Smithkline Beecham PLC Repstg 467 Shares 20,995 32,457 ADR Societe Generale France 310 Shares 7,285 10,045 ADR Tele Danmark A/S Sponsored 730 Shares 19,019 49,549 ADR Tele De Mex SA CV L Rpstg 600 Shares 18,750 29,213 ADR telecom Italia Spa 500 Shares 15,234 43,500 ADR Telefonica S A Sponsored 160 Shares 5,957 21,660 ADR Teva Pharmaceutical Inds 480 Shares 20,004 19,530 ADR Unilever N Y NY Sh 4 Guilders 160 Shares 8,495 13,270 ADR YPF Sociedad Anonima Sponsored 370 Shares 7,360 10,337 Advanced Digital Information Corp 200 Shares 3,025 3,200 See accompanying independent auditors' report. 31 32 SCHEDULE 1 PHYCOR, INC. SAVINGS AND PROFIT SHARING PLAN Item 27(a) Schedule of Assets Held for Investment Purposes December 31, 1998 (C) (B) DESCRIPTION OF INVESTMENT IDENTITY OF ISSUE, INCLUDING MATURITY DATE, (E) BORROWER, LESSOR, RATE OF INTEREST, COLLATERAL (D) CURRENT (A) OR SIMILAR PARTY PAR OR MATURITY VALUE COST VALUE - ----- ----------------------------- ---------------------------- ------- --------- COMMON STOCK Advanced Materials Group Inc 1,686 Shares -- 2,108 Affymetrix Inc 700 Shares 22,462 17,063 AFLAC Inc. 800 Shares 20,382 35,200 Agribiotech Inc 1,000 Shares 16,280 12,938 Air Methods Corp. 230 Shares 995 618 Airtouch Communications Inc 425 Shares 26,103 30,653 Alberto-Culver Co. 695 Shares 20,063 18,548 Albertson's Inc. 203 Shares 10,742 12,908 Alliance Pharmaceutical Corp 74,687 Shares 366,578 245,067 Allstate Corp 630 Shares 28,080 24,334 Alltel Corp 200 Shares 9,865 11,963 Altera Corp. 270 Shares 14,322 16,436 Alza Corp 500 Shares 26,523 26,125 Amazon Com 250 Shares 8,505 80,313 AMBAC Financial Group 200 Shares 3,570 12,038 AMDOCS Ltd 27,100 Shares 452,291 464,088 Amer W. Hldg Corp 42,000 Shares 771,588 714,000 America 1st Mortgage Investments 790 Shares 6,480 3,606 America On-line 4,362 Shares 584,611 697,920 American Buildings Co. 10,600 Shares 181,735 259,700 American Express Co. 985 Shares 64,802 100,716 American Home Prod Corp 425 Shares 19,489 23,959 American International Group, Inc. 1,093 Shares 76,779 105,611 American Media Inc. 60,000 Shares 240,219 333,750 American Power Conversion Corp. 1,100 Shares 400,250 595,781 American Water Works Co., Inc. 471 Shares 8,106 13,863 Americredit Corp. 80,700 Shares 775,071 1,114,669 Ameritech Corp. 410 Shares 13,532 26,006 Ames Dept. Stores Inc. 37,300 Shares 739,519 1,007,100 Amgen Inc. 1,716 Shares 87,882 179,429 Amoco Corp Com Exch ADR BP Amoco PLC @.6616666 100 Shares 4,553 5,900 Analogic Corp. 25,000 Shares 475,665 940,625 Andrew Corp. 16,600 Shares 237,854 273,900 Anicom Inc. 600 Shares 4,509 5,513 Antec Corp. 54,600 Shares 297,440 598,825 Apex PC Solutions Inc. 21,400 Shares 636,443 617,925 Apple Computer, Inc. 200 Shares 5,790 8,188 Applied Magnetics Corp 2,000 Shares 17,625 12,375 Applied Materials Inc 1,280 Shares 43,165 54,640 ASA Holdings Inc. 10,000 Shares 386,273 305,000 See accompanying independent auditors' report. 32 33 SCHEDULE 1 PHYCOR, INC. SAVINGS AND PROFIT SHARING PLAN Item 27(a) Schedule of Assets Held for Investment Purposes December 31, 1998 (C) (B) DESCRIPTION OF INVESTMENT IDENTITY OF ISSUE, INCLUDING MATURITY DATE, (E) BORROWER, LESSOR, RATE OF INTEREST, COLLATERAL (D) CURRENT (A) OR SIMILAR PARTY PAR OR MATURITY VALUE COST VALUE - ----- ----------------------------- ---------------------------- --------- --------- COMMON STOCK Ashland Inc. 200 Shares 9,898 9,675 Astec Ind. 500 Shares 25,934 27,813 AT&T Corp. 611 Shares 30,598 45,955 Atlas Air Inc. 15,500 Shares 582,151 758,531 Authomatic Data Processing, Inc. 393 Shares 13,284 31,514 Autozone Inc. 200 Shares 4,700 6,588 Avigen Inc 1,000 Shares 4,278 7,813 Aviron Corp 39 Shares 1,078 17,004 Avon Products, Inc. 205 Shares 7,243 9,067 Ballys Total Fitness Hldg Corp. 33,500 Shares 772,602 833,313 Bandag Inc. 200 Shares 4,364 7,988 Bandag Inc. CL A 19,700 Shares 964,964 687,038 Bank One Corp 820 Shares 40,509 41,871 BankAmerica Corp 497 Shares 29,263 29,882 Bankers Trust Corp. 7,470 Shares 231,978 638,218 BE Aerospace Inc. 20,400 Shares 644,686 428,400 Bed Bath & Beyond 300 Shares 9,811 10,238 Bell Atlantic Corp 100 Shares 4,939 5,300 Bellsouth Corp. 2,218 Shares 43,360 110,634 Bergen Brunswick Corp Class A 1,050 Shares 30,684 36,619 Berkshire Hathway Inc. 55 Shares 108,216 129,250 Bestfoods 170 Shares 5,591 9,053 Bethlehem Steel Corp 300 Shares 4,605 2,513 BHC Communications Inc. 24,200 Shares 1,678,354 2,395,608 Biochem Pharma Inc. 26 Shares 582,061 682,019 Biogen Inc 200 Shares 16,267 16,600 Biomatrix Inc. 20,400 Shares 663,698 1,188,300 Biomet Inc. 23,800 Shares 373,366 957,950 Blackrock Hi Yield 1,300 Shares -- 19,500 Bldg 1 Svcs Corp 34,000 Shares 680,000 709,750 BMC Software Inc. 18,000 Shares 169,448 802,125 Boeing Co. 201 Shares 10,291 6,546 Borders Group Inc. 19,900 Shares 294,983 496,256 Boston Chicken 663 Shares 9,015 206 Boston PPTYS Inc. 845 Shares 26,406 25,773 Boston Scientific Corp 400 Shares 11,263 10,725 Bristol Myers Squib Co. 586 Shares 40,494 78,438 Brush Wellman Inc. 12,000 Shares 257,457 209,250 Burl Northern Santa Fe Corp 120 Shares 4,273 4,050 Cadence Design System Inc. 21,800 Shares 309,820 648,550 See accompanying independent auditors' report. 33 34 SCHEDULE 1 PHYCOR, INC. SAVINGS AND PROFIT SHARING PLAN Item 27(a) Schedule of Assets Held for Investment Purposes December 31, 1998 (C) (B) DESCRIPTION OF INVESTMENT IDENTITY OF ISSUE, INCLUDING MATURITY DATE, (E) BORROWER, LESSOR, RATE OF INTEREST, COLLATERAL (D) CURRENT (A) OR SIMILAR PARTY PAR OR MATURITY VALUE COST VALUE - ----- ----------------------------- ---------------------------- --------- --------- COMMON STOCK Calenergy Inc Com Exch Midamerican Energy 61,500 Shares 2,004,277 2,133,281 Callaway Golf Co. 12 Shares 217 120 Can So Petro Ltd 1,000 Shares 7,600 5,000 Carnegie International Corp 2,650 Shares 7,681 6,122 Carnival Crop CL A N/C Carnival Corp Com Stk Eff 6/15 560 Shares 3,937 26,880 Caterpillar Inc. 244 Shares 12,822 11,246 Cavalier Homes Inc. 31,000 Shares 290,610 352,625 CDW Computers Ctrs Inc. 8,500 Shares 686,793 815,469 CEC Entmt Inc. 19,700 Shares 557,313 546,675 Celestica Inc. 22,900 Shares 601,977 565,344 Cellstar Corp. 11,400 Shares 122,679 77,663 Cendant Corp. 1,376 Shares 36,713 26,230 Century Tel Enterprises Inc 915 Shares 45,536 61,763 Ceridian Corp. 5,900 Shares 224,185 411,894 Charter 1 Financial Inc. 453 Shares 5,775 12,571 Chase Manhattan Corp 501 Shares 28,673 34,118 Chateau Communities Inc. 300 Shares 8,631 8,794 Checkfree Hldg Corp. 30,400 Shares 509,996 710,600 Chemed Corp. 310 Shares 9,708 10,373 Chevron Corp. 406 Shares 24,303 33,670 Chiron Corp 930 Shares 20,197 24,354 Chittenden Corp. 29,962 Shares 564,218 958,784 Chris-Craft Industries Inc. 37,692 Shares 1,398,229 1,816,283 Cigna Corp. 60 Shares 4,103 4,639 Circus Circus Enterprises Inc. 300 Shares 7,550 3,431 Cisco Systems Inc. 2,983 Shares 201,324 276,860 Citigroup Inc 2,057 Shares 97,303 101,807 Citizens Utils Co. Series B 570 Shares -- 4,633 CKE Restaurants Inc. 600 Shares 432,123 737,174 Claire's Stores Inc. 535 Shares 9,923 10,968 Clorox Co. 80 Shares 4,065 9,345 CMAC Invt Corp 11,200 Shares 706,272 514,500 CMGI Inc. 280 Shares 18,650 29,820 CMP Media Inc. 20,000 Shares 324,980 365,000 Coca Cola Co. 3,084 Shares 159,401 206,214 Coca Cola Enterprises Inc. 201 Shares 8,383 7,170 Cognos Inc. 83,600 Shares 1,752,531 2,090,000 Colgate-Palmolive Co. 410 Shares 22,218 38,079 Columbia/HCA Healthcare Corp. 195 Shares 5,825 4,826 Comair Holdings Inc. 23,200 Shares 593,478 783,000 See accompanying independent auditors' report. 34 35 SCHEDULE 1 PHYCOR, INC. SAVINGS AND PROFIT SHARING PLAN Item 27(a) Schedule of Assets Held for Investment Purposes December 31, 1998 (C) (B) DESCRIPTION OF INVESTMENT IDENTITY OF ISSUE, INCLUDING MATURITY DATE, (E) BORROWER, LESSOR, RATE OF INTEREST, COLLATERAL (D) CURRENT (A) OR SIMILAR PARTY PAR OR MATURITY VALUE COST VALUE - ----- ----------------------------- ---------------------------- ------- --------- COMMON STOCK Commercial Net Lease 500 Shares 6,625 6,625 Commscope Inc. 44,200 Shares 596,700 743,113 Community Bank Systems Inc 530 Shares 18,341 15,549 Compaq Computer Corp. 2,799 Shares 80,981 117,390 Computer Sci Corp 575 Shares 31,742 37,052 CompuWare 600 Shares 37,551 46,875 Comverse Technology Inc. 21,135 Shares 531,166 1,500,585 Conagra Inc. 571 Shares 14,403 17,987 Conmed Corp 30,000 Shares 741,249 990,000 Conseco Inc. 1,687 Shares 82,918 51,559 Corn Products International 21 Shares 413 638 Cortech Inc. 150 Shares 938 936 Cor Therapeutics Inc. 100 Shares 1,136 1,325 Corus Bankshares 600 Shares 10,035 19,350 Corrections Corp Ex Prison Realty @.875 Stk Mgr 700 Shares 16,658 12,338 Cousins Props Inc. 300 Shares 8,538 9,675 CPB Inc. 24,000 Shares 384,460 420,000 Cree Resh Inc. 500 Shares 16,405 23,938 Crescendo Pharmaceuticals 5 Shares 5,092 68 Crescent Oper. Inc. 120 Shares 16,875 570 Crescent Real Estate 1,200 Shares 11,783 27,600 Cubist Pharmaceuticals Inc. 2,000 Shares 11,876 7,625 Cytyc Corp. 500 Shares 12,117 12,875 Daimler Chrysler 90 Shares 4,437 8,646 Datascope Corp. 20,000 Shares 338,929 460,000 Datawatch Corp. 3,000 Shares 11,761 4,125 Dave & Busters Inc. 200 Shares 5,182 4,613 Deere & Company 201 Shares 9,878 6,664 Dell Computer Corp. 4,178 Shares 259,216 305,777 Deltic Timber Corp. 13,000 Shares 356,130 264,875 Diacrin Inc. 1,000 Shares 10,785 5,938 Diebold Inc. 458 Shares 10,032 16,357 Dime Bancorp Inc. 54,800 Shares 689,730 1,448,775 Dollar General Corp 751 Shares 19,190 17,733 Dollar Thrifty Automotive Group Inc. 52,900 Shares 603,589 681,088 Dominion Resources Inc. 750 Shares 28,967 35,085 Dover Downs Entertainment Inc. 1,500 Shares 20,104 18,094 Dow Jones & Co. Inc. 10,000 Shares 429,880 481,250 DSP Communications Inc. 27,000 Shares 429,608 413,438 Du Pont Co. 555 Shares 37,529 29,450 See accompanying independent auditors' report. 35 36 SCHEDULE 1 PHYCOR, INC. SAVINGS AND PROFIT SHARING PLAN Item 27(a) Schedule of Assets Held for Investment Purposes December 31, 1998 (C) (B) DESCRIPTION OF INVESTMENT IDENTITY OF ISSUE, INCLUDING MATURITY DATE, (E) BORROWER, LESSOR, RATE OF INTEREST, COLLATERAL (D) CURRENT (A) OR SIMILAR PARTY PAR OR MATURITY VALUE COST VALUE - ----- ----------------------------- ---------------------------- ------- --------- COMMON STOCK Duke Energy Corp. 1,093 Shares 56,656 70,026 Dun & Bradstreet Corp. 150 Shares 2,739 4,734 DVI Inc. 275 Shares 4,842 4,984 Dycom Industries Inc. 605 Shares 14,632 34,561 E Trade Group Inc. 250 Shares 12,296 11,695 Eastman Chemical Co. 100 Shares 6,269 4,475 Echo Bay Mines Ltd 10,000 Shares 25,405 17,500 Electro Rent Corp. 82,600 Shares 885,365 1,331,925 EMC Corp. 4,325 Shares 606,081 2,110,125 Emerson Electric Co. 100 Shares 2,872 6,050 Enron Corp. 200 Shares 7,530 11,413 Ensco International Inc. 800 Shares 27,946 8,550 Equifax Inc. 2,490 Shares 77,471 85,127 Equity Residential Inc. 317 Shares 16,041 12,838 Express Scripts Inc. 1,140 Shares 25,032 76,523 Exxon Corp. 1,291 Shares 61,442 94,411 FAB Industries Inc. 7,000 Shares 189,217 150,500 Fahnestock Viner Holdings 15,700 Shares 255,054 274,750 Fairfield Communities Inc. 31,100 Shares 617,715 344,044 FDX Corp 100 Shares 4,428 8,900 Federal -Mogul Corp. 22,100 Shares 805,365 1,314,950 FHLMC 1,270 Shares 19,108 81,836 First Community Corp 600 Shares 10,160 9,825 First Data Corp. 828 Shares 28,515 26,237 Fleet Financial Group Inc. 150 Shares 6,143 6,703 FNMA 1,019 Shares 47,079 75,406 Food Lion 400 Shares 3,588 4,250 Ford Motor Company 150 Shares 8,967 8,776 Forest City Enterprises Inc. Class A 39,600 Shares 544,361 1,039,500 Forest City Enterprises Inc. Class B 5,700 Shares 62,796 146,775 Fortune Brands Inc. 200 Shares 7,381 6,325 Franchise Finance Corp. of America 5,388 Shares 122,057 129,305 Franklin Electronic Publishers Inc. 600 Shares 10,205 7,050 Franklin Res. Inc. 600 Shares 7,485 19,200 Frontier Corp. 2,364 Shares 61,603 80,379 Gannett Co., Inc. 770 Shares 39,043 49,665 Garan Inc. 13,000 Shares 222,569 365,625 GDR IRSA Inversiones Y Representaciones 254 Shares 9,550 7,064 Gen Re Corp Com Exch Berkshire Hathaway CL B @ .10 150 Shares 30,811 30,525 See accompanying independent auditors' report. 36 37 SCHEDULE 1 PHYCOR, INC. SAVINGS AND PROFIT SHARING PLAN Item 27(a) Schedule of Assets Held for Investment Purposes December 31, 1998 (C) (B) DESCRIPTION OF INVESTMENT IDENTITY OF ISSUE, INCLUDING MATURITY DATE, (E) BORROWER, LESSOR, RATE OF INTEREST, COLLATERAL (D) CURRENT (A) OR SIMILAR PARTY PAR OR MATURITY VALUE COST VALUE - ----- ----------------------------- ---------------------------- --------- --------- COMMON STOCK General Electric Co. 3,274 Shares 214,390 334,158 General Magic Inc 3,000 Shares 25,638 15,094 General Motors Corp. 239 Shares 12,871 17,123 Genesco Inc 100 Shares 599 569 Genesis MicroChip Inc. 500 Shares 11,051 12,125 Gentex Corp 1,200 Shares 14,734 24,000 Genzyme Corp 200 Shares 5,827 9,950 Gillette Co. 2,036 Shares 44,927 98,355 Global Marine Inc. 1,875 Shares 26,863 16,875 Gold Standard Inc. 125 Shares 7,143 156 Golden Street Bancorp Inc. 210 Shares 3,443 3,491 Golden Street Bancorp Litig Wt 210 Shares 397 958 GTE Corp. 310 Shares 15,621 20,166 Guidant Corp. 455 Shares 29,705 50,164 Gulfstream Aerospace Corp. 15,300 Shares 387,059 814,725 Gyrodyne Co. of America Inc. 4,025 Shares 66,384 53,331 HBR FLA Bancorp Inc. 102 Shares 1,235 1,138 HCR Manor Care Inc. 1,300 Shares 34,580 38,188 Heilig-Meyers Co. 500 Shares 3,811 3,344 Helix Technology Corp. 430 Shares 8,770 5,590 Henry Jack & Assoc. Inc. 300 Shares 13,254 14,925 Hewlett-Packard Co 499 Shares 23,070 34,088 Hibernia Corp -- Shares 9 8 Hilb Rogal & Hamilton Co. 400 Shares 7,175 7,950 Hollywood Entmt Corp 28,000 Shares 588,000 763,000 Home Depot Inc. 2,448 Shares 96,812 149,787 Hrpt Pptys Tr Sh Ben Int 200 Shares 4,038 2,813 Hudson General Corp 1,000 Shares 12,393 63,000 Hyperion Solutions Corp. 31,000 Shares 630,205 558,000 IBP Inc. 200 Shares 4,992 5,825 ICN Pharmaceuticals Inc. 1,245 Shares 18,468 28,168 Imation Corp. 103,100 Shares 1,995,590 1,804,250 IMS Health Inc. 150 Shares 4,006 11,316 INDL Bancorp Inc. 13,000 Shares 140,284 260,000 Informix Corp. 200 Shares 4,375 1,975 Insight Enterprises Inc. 12,900 Shares 437,968 656,288 Integrated Process Equip. Corp. 8,000 Shares 92,240 86,000 Intel Corp. 2,042 Shares 150,939 242,157 International Business Machines 670 Shares 79,302 123,840 International Game Technology 114,300 Shares 1,845,542 2,616,461 See accompanying independent auditors' report. 37 38 SCHEDULE 1 PHYCOR, INC. SAVINGS AND PROFIT SHARING PLAN Item 27(a) Schedule of Assets Held for Investment Purposes December 31, 1998 (C) (B) DESCRIPTION OF INVESTMENT IDENTITY OF ISSUE, INCLUDING MATURITY DATE, (E) BORROWER, LESSOR, RATE OF INTEREST, COLLATERAL (D) CURRENT (A) OR SIMILAR PARTY PAR OR MATURITY VALUE COST VALUE - ----- ----------------------------- ---------------------------- --------- --------- COMMON STOCK Interpublic Group of Companies Inc. 240 Shares 11,014 19,140 Intimate Brands Inc. 1,925 Shares 42,326 57,509 ISB Finl Corp. 190 Shares 2,707 4,204 ITC Deltacom Inc. 500 Shares 6,813 7,625 Jackpot Enterprises, Inc. 15,000 Shares 164,799 141,563 Jefferson-Pilot Corp. 150 Shares 7,530 11,250 Johnson & Johnson 1,284 Shares 70,967 107,682 Jones Apparel Group Inc. 84,300 Shares 865,735 1,859,869 Jones Pharma Inc. 27,200 Shares 836,993 992,800 Keebler Foods Co. 630 Shares 19,751 23,704 Kroger Co. 300 Shares 9,355 18,150 Lakeview Finl Corp. 1 Shares 25 30 LAM Research Corp. 20,000 Shares 413,520 356,250 Lancaster Colony Corp 1,105 Shares 41,954 35,498 Lauder Estee Cos. Inc. 400 Shares 18,631 34,200 Leap Wireless Intl Inc. 19,100 Shares 743,581 138,475 Lear Corp 250 Shares 13,149 9,625 Learning Co. Inc. 35,900 Shares 1,019,905 931,156 Lernout & Hauspie Speech Pro. 400 Shares 13,076 13,050 Lifecell Corp 400 Shares 2,089 1,750 Ligand Pharmaceuticals Inc. 2,000 Shares 18,896 23,250 Lilly, Eli & Co. 401 Shares 19,161 35,637 Lincare Holdings 1,380 Shares 34,852 55,976 Lindsay Mfg. 600 Shares 14,397 8,888 Littlefield Adams & Co. 846 Shares -- 3,859 Lockheed Martin Corp. 100 Shares 11,393 8,475 Loewen Group Inc. 1,000 Shares 23,780 8,438 Lowes Corp. 20 Shares 1,765 1,965 Lowes Cos. Inc. 1,050 Shares 35,012 53,747 LSI Logic Corp. 100 Shares 2,007 1,613 Lucent Technologies Inc. 1,593 Shares 104,771 175,274 Marcus Corp. 54,475 Shares 857,081 885,219 Marsh & McLennan Cos., Inc. 150 Shares 5,632 8,766 Massbank Corp. 3,199 Shares 67,491 125,161 Mattel Inc. 1,790 Shares 54,676 40,384 Maytag Corp 80 Shares 4,104 4,980 McClatchy Co. 19,625 Shares 339,925 694,234 McCormick & Co. 200 Shares 4,860 6,763 McDonalds Corp. 830 Shares 33,278 63,569 MCI WorldCom 3,700 Shares 173,143 265,475 38 39 SCHEDULE 1 PHYCOR, INC. SAVINGS AND PROFIT SHARING PLAN Item 27(a) Schedule of Assets Held for Investment Purposes December 31, 1998 (C) (B) DESCRIPTION OF INVESTMENT IDENTITY OF ISSUE, INCLUDING MATURITY DATE, (E) BORROWER, LESSOR, RATE OF INTEREST, COLLATERAL (D) CURRENT (A) OR SIMILAR PARTY PAR OR MATURITY VALUE COST VALUE - ----- ----------------------------- ---------------------------- ------- -------- COMMON STOCK MCN Energy Group Inc. 418 Shares 14,114 7,959 Media Gen Inc 200 Shares 8,950 10,600 MediaOne Group Inc. 100 Shares 3,881 4,700 Medimmune Inc. 117 Shares 7,911 11,634 Meditrust Paired CTF 768 Shares 22,384 11,618 Medtronic Inc. 2,980 Shares 116,171 221,265 Mellon Bank Corp 202 Shares 14,704 13,909 Mentor Graphics Corp. 50,000 Shares 418,265 425,000 Mercantile Bankshares Corp. 17,100 Shares 299,038 658,350 Merck & Co. Inc. 1,992 Shares 178,266 294,139 Mercury General Corp. 500 Shares 11,195 21,906 Merrill Lynch & Co., Inc. 100 Shares 8,425 6,675 Metromedia international Group Inc. 31,580 Shares 188,874 171,716 Micron Tech Inc. 200 Shares 11,087 10,113 Microsoft Inc. 2,173 Shares 196,932 301,368 Mindspring Enterprises Inc. 225 Shares 9,203 13,739 Misty MTN Gold Ltd. 500 Shares 2,278 234 Modis Professional Svcs Inc. 21,300 Shares 324,252 308,850 Monsanto Co. 1,959 Shares 88,042 93,042 Morgan St Dean W Discover Grp Inc N/C Morgan St Dean & 363 Shares 7,995 25,773 Morgan, J.P. & Co., Inc. 22 Shares 2,132 2,311 Morrison Knudsen Corp. 33 Shares 210 103 Mosaix Inc. 200 Shares 2,051 1,550 Motorola Inc. 552 Shares 38,217 33,712 N.W. Airlines Corp 1,000 Shares 29,389 25,563 Natl Data Corp 16,500 Shares 561,642 803,344 NCR Corp 200 Shares 6,830 8,350 Neomagic Corp 700 Shares 13,242 15,488 Netscape Communications Corp 200 Shares 12,030 12,150 Networks Assoc. Inc. 891 Shares 42,217 59,029 New Plan Realty Trust 576 Shares 13,760 12,776 Newmont Mining Corp. 50 Shares 2,143 903 Nextel Communications Inc. 400 Shares 9,271 9,450 Nextlink Communications Inc. 100 Shares 2,455 2,838 Nielsen Media Research Inc. 50 Shares 309 900 Nike, Inc. 393 Shares 18,845 15,948 Nobel Drilling Corp 250 Shares 8,229 3,234 Norfolk Southern Corp. 382 Shares 11,823 12,105 Norrell Corp. 4,830 Shares 88,139 71,243 Northern Telecom Ltd. 150 Shares 3,358 7,519 See accompanying independent auditors' report. 39 40 SCHEDULE 1 PHYCOR, INC. SAVINGS AND PROFIT SHARING PLAN Item 27(a) Schedule of Assets Held for Investment Purposes December 31, 1998 (C) (B) DESCRIPTION OF INVESTMENT IDENTITY OF ISSUE, INCLUDING MATURITY DATE, (E) BORROWER, LESSOR, RATE OF INTEREST, COLLATERAL (D) CURRENT (A) OR SIMILAR PARTY PAR OR MATURITY VALUE COST VALUE - ----- ----------------------------- ---------------------------- ------- --------- COMMON STOCK Nova Corp Ga 20,600 Shares 534,127 714,563 Nuevo Energy Co. 321 Shares 7,182 3,692 Oak Technology Inc. 1,500 Shares 14,374 5,250 Occidental Petroleum Corp. 1,143 Shares 32,284 19,294 Ogden Corp 300 Shares 7,825 7,519 Opal Tech. 10,000 Shares 12,508 2,900 Oracle Corp. 605 Shares 14,869 26,091 Orthodontic Ctr Amer. 28,800 Shares 551,091 559,800 Osteotech Inc. 19,600 Shares 502,297 911,400 Outback Steakhouse Inc. 1,030 Shares 27,949 41,071 Pacific Gulf Inc. 2,200 Shares 50,302 44,138 Paine Webber Group Inc. 9,000 Shares 213,360 347,625 Parametric Tech. Corp. 1,990 Shares 46,288 32,586 Parexel Intl Corp 25,000 Shares 537,680 625,000 Parker-Hannifin Corp. 300 Shares 10,657 9,825 Patterson Dental Co. 1,135 Shares 29,338 49,373 Patterson Energy Inc. 1,000 Shares 12,242 4,063 Paychex Inc. 200 Shares 10,255 10,288 Penney J. C. 101 Shares 6,078 4,739 Pepsico Inc. 1,860 Shares 62,339 76,144 Personnel Group of America Inc. 39,400 Shares 283,828 689,500 Pfizer Inc. 2,556 Shares 177,845 320,560 PG&E Corp. 280 Shares 6,347 8,820 Philip Morris Com. Inc. 1,360 Shares 64,302 72,760 Philips Petroleum Co. 595 Shares 27,725 25,362 Pinnacle Sys Inc. 20,000 Shares 533,304 715,000 Pittson Brinks Group Inc. 1,525 Shares 51,247 48,609 Platinum Software Corp. 600 Shares 8,261 7,688 Powertel Inc. 75 Shares 926 1,017 Premier Natl Bancorp Inc 16,380 Shares 170,787 304,054 Pre-paid Legal Services, Inc. 500 Shares 12,874 16,500 PressTek Inc. 800 Shares 19,660 5,450 Price T. Rowe Associates Inc. 600 Shares 17,667 20,550 Procter & Gamble Co. 496 Shares 36,518 45,311 Progress Software Corp. 89,250 Shares 910,389 3,012,188 Provident Cos Inc. 750 Shares 29,015 31,125 Provident Finl Holdings Inc. 290 Shares 3,661 4,948 PSS World Med Inc 34,800 Shares 558,164 800,400 Public Service Enterprise Group Inc. 100 Shares 3,724 4,000 QuadraMed Corp 22,500 Shares 550,087 461,250 See accompanying independent auditors' report. 40 41 SCHEDULE 1 PHYCOR, INC. SAVINGS AND PROFIT SHARING PLAN Item 27(a) Schedule of Assets Held for Investment Purposes December 31, 1998 (C) (B) DESCRIPTION OF INVESTMENT IDENTITY OF ISSUE, INCLUDING MATURITY DATE, (E) BORROWER, LESSOR, RATE OF INTEREST, COLLATERAL (D) CURRENT (A) OR SIMILAR PARTY PAR OR MATURITY VALUE COST VALUE - ----- ----------------------------- ---------------------------- --------- --------- COMMON STOCK Qualcomm Inc. 76,400 Shares 2,232,451 3,960,029 Quantum Corp. 26,700 Shares 604,977 567,375 Qwest Communications Intl Inc. 1,751 Shares 56,327 87,550 R & B Falcon Corp 630 Shares 19,791 4,764 R H Donnelley Corp. 30 Shares 266 437 Rainbow Technologies Inc. 33,000 Shares 411,945 620,813 Raymond James Financial Inc. 16,750 Shares 317,955 353,844 Raytheon Co. 12 Shares 545 620 Readers Digest Assn. Inc. 250 Shares 6,250 6,297 Reebok International Inc. 140 Shares 3,640 2,083 Remedytemp 666 Shares 10,020 10,073 Renal Care Group, Inc. 20,900 Shares 524,300 602,181 Rep Ind. Inc. 500 Shares 11,561 7,375 Repligen Corp 1,850 Shares 2,044 2,370 Rexall Sundown 100 Shares 3,730 1,400 RF Monolithics Inc. 300 Shares 3,389 2,794 Ricex Co. 450 Shares 2,660 309 Richfood Hldgs Inc 23,900 Shares 654,939 495,925 Rio Hotel & Casino Com Exch Harrah's Entertain 61,000 Shares 1,011,632 968,375 Rollins Inc. 26,500 Shares 554,140 463,750 Rowan Co., Inc. 1,200 Shares 36,570 12,000 Royal Dutch Petroleum 116 Shares 6,325 5,554 Safeco Corp. 100 Shares 2,856 4,294 Safeguard Scientifics 300 Shares 7,959 8,231 Safeskin Corp 1,030 Shares 32,457 24,849 Saks Inc. 24,400 Shares 389,600 770,125 Sandhurst Res Ltd 3,000 Shares 3,378 -- Sara Lee Corp. 2,812 Shares 67,948 79,273 SBC Communications Inc. 609 Shares 20,005 32,675 SCH Specialty Inc. 45,192 Shares 725,005 965,979 Schering-Plough Corp. 620 Shares 17,771 34,255 Schlumberger Ltd. 1,275 Shares 78,903 58,809 Schwab Charles Corp 850 Shares 41,109 47,768 Scientific Atlanta Inc. 28,100 Shares 535,061 641,031 Scientific Games Hldgs Corp 15,000 Shares 303,734 283,125 Scios Inc 200 Shares 2,030 2,075 SDL Inc. 32,100 Shares 710,637 1,271,963 Sears Roebuck and Co. 180 Shares 9,429 7,650 SEI Invt. Co. 10,100 Shares 739,342 1,003,688 See accompanying independent auditors' report. 41 42 SCHEDULE 1 PHYCOR, INC. SAVINGS AND PROFIT SHARING PLAN Item 27(a) Schedule of Assets Held for Investment Purposes December 31, 1998 (C) (B) DESCRIPTION OF INVESTMENT IDENTITY OF ISSUE, INCLUDING MATURITY DATE, (E) BORROWER, LESSOR, RATE OF INTEREST, COLLATERAL (D) CURRENT (A) OR SIMILAR PARTY PAR OR MATURITY VALUE COST VALUE - ----- ----------------------------- ---------------------------- --------- --------- COMMON STOCK Separcor Inc 1,300 Shares 64,624 113,831 Sequent Computer Systems Inc 100 Shares 1,855 1,206 Service Corp. International 220 Shares 7,609 8,374 Shaw Ind. Inc. 23,500 Shares 265,586 569,875 Shire Pharmaceuticals Group 1,000 Shares 5,844 6,375 Sierra Health Services Inc. 200 Shares 3,805 4,213 Signal Corp Com Exch FirstMerit Corp Com @ 1.23 2-1 4,562 Shares 51,355 156,249 Simpson Mfg Inc. 480 Shares 19,783 17,970 Sirrom Cap Corp. 56,700 Shares 1,094,522 279,956 Skyline Corp. 12,800 Shares 397,244 416,000 SLM Hldg Corp. 960 Shares 44,911 46,080 Smith Intl Inc. 100 Shares 3,461 2,519 Software Spectrum Inc. 22,000 Shares 411,874 349,250 SouthTrust Corp. 1,402 Shares 23,706 51,786 Spaghetti Whse Inc Com Stk Exch Cash Mgr 8.00 8,000 Shares 39,440 61,000 Splash Tech. Holdings Inc. 32,400 Shares 807,197 240,975 Sports Auth. 59,100 Shares 403,995 310,275 SPX Corp 11,600 Shares 669,183 777,200 St Financial Services Corp 329 Shares 4,545 4,935 St St Corp 150 Shares 10,602 10,434 Staarwd Hotels & Resort N/C Starwd Hotels & Resort 400 Shares 20,230 9,075 Staffmark Inc. 600 Shares 579,017 642,163 Staples Inc. 855 Shares 13,197 37,353 Starbucks Corp 50 Shares 2,581 2,806 Stericycle Inc. 100 Shares 1,827 1,613 Steris Corp. 200 Shares 3,490 5,688 Sterling Comm. Inc. 600 Shares 887,731 1,129,500 Stewart Information Services Corp. 7,000 Shares 216,607 406,000 Storage Tech. Corp. 1,100 Shares 20,878 39,119 Summit Bancorp 150 Shares 3,466 6,553 Sun Microsystems Inc. 6,300 Shares 458,914 539,438 Sunbeam Corp. 200 Shares 9,351 1,377 Sunoco Inc. 94 Shares 3,874 3,390 Sunrise Assisted Living Inc. 9,700 Shares 288,315 503,188 Sunterra Corp. 37,500 Shares 725,745 562,500 Superior Inds. International Inc. 10,000 Shares 253,060 278,125 Synovus Financial Corp 550 Shares 13,428 13,406 Syquest Tech. Inc. 6,000 Shares 2,617 2,064 Sys & Computer Tech Corp 600 Shares 15,635 8,250 Sysco Corp. 300 Shares 5,742 8,231 System Software Assn. Inc. 86,650 Shares 1,261,474 609,236 See accompanying independent auditors' report. 42 43 SCHEDULE 1 PHYCOR, INC. SAVINGS AND PROFIT SHARING PLAN Item 27(a) Schedule of Assets Held for Investment Purposes December 31, 1998 (C) (B) DESCRIPTION OF INVESTMENT IDENTITY OF ISSUE, INCLUDING MATURITY DATE, (E) BORROWER, LESSOR, RATE OF INTEREST, COLLATERAL (D) CURRENT (A) OR SIMILAR PARTY PAR OR MATURITY VALUE COST VALUE - ----- ----------------------------- ---------------------------- ------- --------- COMMON STOCK T R Fncl Corp Com Exch Roslyn Bancorp Inc @ 2.05 30,400 Shares 397,233 1,197,000 Teco Energy Inc. 636 Shares 15,158 17,916 Tellabs Inc. 450 Shares 30,754 30,853 Teradyne Inc. 9,700 Shares 266,791 411,038 Terex Corp. 27,800 Shares 543,464 794,038 Texas Ind Inc. 34,600 Shares 868,642 932,038 Texaco Inc. 872 Shares 50,644 46,085 Texarkana First Financial Corp. 200 Shares 2,950 4,625 Texas Instruments Inc. 390 Shares 23,060 33,369 Texas Pacific Land Trust 100 Shares 2,765 5,388 Texas Utils Co. 50 Shares 2,136 2,334 Thermo Electron Corp. 300 Shares 11,975 5,081 Tidewater Inc. 150 Shares 5,731 3,478 Time Warner Inc. 200 Shares 3,728 12,413 Timken Co. 100 Shares 1,570 1,888 Tokio Marine & Fire Ins. Co. 90 Shares 5,084 5,468 Tommy Hilfiger 500 Shares 29,220 30,000 Topps Inc. 150,000 Shares 602,368 750,000 Toys R Us Inc. 170 Shares 3,931 2,869 Transocean Offshore Inc. 625 Shares 26,180 16,758 Transworld Entmt Corp. 12,600 Shares 220,500 240,188 Tricon Global Restaurant Inc. 116 Shares 2,907 5,815 Trigon HealthCare Inc. 22,700 Shares 706,206 846,994 Trimble Nav Ltd 500 Shares 10,280 3,625 Trinity Inds. Inc. 20,000 Shares 535,429 770,000 TRW Inc. 300 Shares 14,235 16,856 Tyco International Ltd 475 Shares 15,536 35,833 UICI 468 Shares 11,795 11,466 Ultimate Software Group Inc 70,000 Shares 700,000 498,750 Ultramar-Diamond Shamrock Corp 100 Shares 3,549 2,425 Ultratech Stepper Inc. 3,000 Shares 53,340 48,000 Unicom Corp 280 Shares 6,782 10,798 Union Carbide Corp 49 Shares 2,071 2,093 Union Pacific Resources Group Inc. 50 Shares 2,243 2,253 Uniphase Corp. 8,300 Shares 284,250 575,813 United Asset Mgmt. Corp. 22,130 Shares 582,768 575,380 United Dominion Real Estate 600 Shares 7,386 6,188 United Healthcare Corp. 700 Shares 42,655 30,144 United Television Inc. 4,500 Shares 426,819 517,500 Universal Health Realty Income Trust 13,000 Shares 216,504 255,125 See accompanying independent auditors' report. 43 44 SCHEDULE 1 PHYCOR, INC. SAVINGS AND PROFIT SHARING PLAN Item 27(a) Schedule of Assets Held for Investment Purposes December 31, 1998 (C) (B) DESCRIPTION OF INVESTMENT IDENTITY OF ISSUE, INCLUDING MATURITY DATE, (E) BORROWER, LESSOR, RATE OF INTEREST, COLLATERAL (D) CURRENT (A) OR SIMILAR PARTY PAR OR MATURITY VALUE COST VALUE - ----- ----------------------------- ---------------------------- ---------- ----------- COMMON STOCK Universal Health Services Inc. 30,000 Shares 523,288 1,556,250 US Filter Corp 2,450 Shares 57,100 56,044 US Surgical Corp Com Exch Tyco Intl Ltd Rt .7606 1 Share -- 39 US West Communications Group 300 Shares 10,526 19,388 US Wireless Data Inc. 5,000 Shares 30,105 14,063 USA Detergents Inc. 1,000 Shares 16,342 7,250 Utilicorp. United Inc. 725 Shares 21,954 26,605 Vasomedical Inc. 3,000 Shares 3,090 2,156 Vermont Financial Services Corp 24,000 Shares 396,258 798,000 Vintage Petroleum Inc. 800 Shares 15,131 6,900 Visible Genetics Inc. 400 Shares 2,573 4,550 Vitesse Semiconductor Corp. 325 Shares 12,025 14,828 Wabash National Corp. 400 Shares 6,630 8,125 Wachovia Corp. 600 Shares 47,021 52,463 Wade Cook Financial Corp. 4,000 Shares 11,918 1,760 Walgreen Co. 663 Shares 13,860 38,854 Wal-Mart Stores Inc. 629 Shares 25,017 51,263 Walt Disney Co. 5,294 Shares 152,454 158,827 Warner Lambert Co. 2,895 Shares 129,560 217,668 Washington Post Inc. 40 Shares 13,390 23,118 Waste Management Inc. 14,100 Shares 336,501 657,413 Weingarten Realty Investors 216 Shares 8,600 9,632 Weis Markets Inc. 12,000 Shares 339,587 466,500 Wells Fargo & Co. 1,200 Shares 21,954 47,925 Whitney Holding Corp. 14,000 Shares 437,862 525,450 Williams Co. 505 Shares 15,100 15,754 Wireless Telecom Group Inc. 300 Shares 2,907 563 World Access Inc. 2,750 Shares 50,065 58,781 Wrigley Inc. 181 Shares 10,159 16,206 WTR Corp. 12,365 Shares 818,583 1,078,816 Yahoo Inc. 70 Shares 7,178 16,586 Zebra Technologies Corp 1,110 Shares 38,289 31,913 Zweig Total Return Fund 478 Shares 4,183 4,242 ---------- ----------- TOTAL 93,076,811 120,914,986 ---------- ----------- INVESTMENT IN SECURITIES OF PARTICIPATING EMPLOYER Phycor Inc. 860,124 Shares 16,637,322 5,859,595 ---------- ----------- See accompanying independent auditors' report. 44 45 SCHEDULE 1 PHYCOR, INC. SAVINGS AND PROFIT SHARING PLAN Item 27(a) Schedule of Assets Held for Investment Purposes December 31, 1998 (C) (B) DESCRIPTION OF INVESTMENT IDENTITY OF ISSUE, INCLUDING MATURITY DATE, (E) BORROWER, LESSOR, RATE OF INTEREST, COLLATERAL (D) CURRENT (A) OR SIMILAR PARTY PAR OR MATURITY VALUE COST VALUE - ----- ----------------------------- ---------------------------- ---------- --------- PREFERRED STOCK Corning Del L P Monthly Inc Conv Pfd 302 Shares 18,854 21,113 Merrill Lynch PFD Cap TR I TR Originated 7.75% Pfd Stk 1,000 Shares 25,750 26,563 Merrill Lynch PFD Cap TR V TR Originated PFD Secs 2,000 Shares 50,500 51,500 Time Warner Cap. PFD 200 Shares 5,155 5,188 Sunamerica Cap. PFD 400 Shares 10,300 10,288 Venture Stores Inc. $3.25 Cum. Conv. 200 Shares 5,350 4 MFO Vanguard Pfd Stk Fund Open End Fund 3,262 Shares 33,955 33,269 --------- --------- TOTAL 149,864 147,925 --------- --------- GUARANTEED INSURANCE CONTRACTS New England GIC Contract Policy # GA5273-5 6,221 Units 6,221 6,221 --------- --------- LIFE INSURANCE POLICIES AND ANNUITIES AND OTHER General Amer. Life Ins. Policy # 7030321 118,171 Units 118,171 226,774 General Amer. Life Ins. Policy # 7067797 113,600 Units 113,600 113,600 Guardian Modified Benefit Life Policy # 3309951 39,326 Units 37,587 39,326 Integrity Life Pennacle 2 Integrity 77,219 Units 77,219 77,219 Keyport Life Contract #0200491667 11,432 Units 11,432 13,094 Mass Mutual Policy # 7869421 177,635 Units 177,635 177,635 Mony Policy # 969-67-22 19,955 Units 19,955 19,955 Mony Policy #982-60-04 13,632 Units 13,632 13,632 New York Life Policy #44617983 79,349 Units 79,349 79,349 Northwestern Mutual Life 19,551 Units 19,551 19,551 Pacific Corinthian Annuity # 52684800V 55,200 Units 55,200 55,200 Security Life Policy # 1544121 33,990 Units 33,990 33,990 TransAmerica Life Policy # 92536319 97,080 Units 97,080 97,080 Trenton NJ US Govt Ser A HUD 7.12 GTD 10,000 Units 10,565 10,507 Uit Ft Unit 285 Dow Target 10 TR DEC 5,495 Units 51,599 52,422 --------- --------- TOTAL 916,565 1,029,334 --------- --------- LOANS TO PARTICIPANTS Phycor Participant Loans 3,675,194 Units 3,675,194 3,675,194 --------- --------- See accompanying independent auditors' report. 45 46 SCHEDULE 1 PHYCOR, INC. SAVINGS AND PROFIT SHARING PLAN Item 27(a) Schedule of Assets Held for Investment Purposes December 31, 1998 (C) (B) DESCRIPTION OF INVESTMENT IDENTITY OF ISSUE, INCLUDING MATURITY DATE, (E) BORROWER, LESSOR, RATE OF INTEREST, COLLATERAL (D) CURRENT (A) OR SIMILAR PARTY PAR OR MATURITY VALUE COST VALUE - ----- ----------------------------- ---------------------------- ----------- ----------- PARTNERSHIP/JOINT VENTURE INTERESTS America First Mtge LP 750 Units 15,501 15,501 American Cable TV Investors 30 Units 17,100 17,100 Bartlett Real Estate V 500 Units -- 233,415 Cable TV Fund 10 Units 1,494 1,494 Century Hillcrest Apt Investors LP 500 Units 1,463 1,463 Century Pension Income Fund XXIV 22 Units 10,328 10,328 ECI Telecom Ltd. 18,005 Units 462,702 598,000 Fifteenth & Central LLC 40,000 Units 40,000 40,000 Hutton/Con/AM Realty Investors II 40 Units 1,730 1,730 Hutton/Con/AM Realty Pension 46 Units 3,276 3,276 Mendik Real Estate LP 86 30 Units 709 709 Mendik Real Estate LP 87 40 Units 915 915 Participating Income PPTY 86 LP 15 Units 11,959 11,959 Resources Pension Shares 2,625 Units 9,200 2,625 Scottsdale Land Trust LP 10 Units 1,640 1,640 Seagram Co. Ltd. 14,000 Units 502,576 532,000 Silver Screen Ptrn. III 30 Units 1,646 1,646 Silver Screen Ptrn. IV 20 Units 3,724 3,724 SLH Participating Income PPTY II 20 Units 16,723 16,723 Uniprop MFG HSG Comm. LP 20 Units 18,175 18,175 Valco Ltd Partnership 1 Unit 14,340 14,340 MLP Pope Res Del Ltd Partnership Depos 27,500 Units 825,000 893,750 ----------- ----------- Total 1,925,878 2,420,513 ----------- ----------- TOTAL 420,804,525 456,444,029 =========== =========== See accompanying independent auditors' report. 46 47 SCHEDULE 2 PHYCOR, INC. SAVINGS AND PROFIT SHARING PLAN Item 27(d) Schedule of Reportable Transactions For year ended December 31, 1998 Single transactions with respect to any Plan assets in excess of 5% of Plan assets at beginning of Plan year [DOL REG. 2520, 103-6(c)(i)] There were no type (i) transactions during the year ended December 31, 1998. See accompanying independent auditors' report. 47 48 SCHEDULE 3 PHYCOR, INC. SAVINGS AND PROFIT SHARING PLAN Item 27(d) Schedule of Reportable Transactions For year ended December 31, 1998 Series of transactions with the same person (Other than with respect to securities) in excess of 5% of Plan assets at beginning of Plan year [DOL REG. 2520, 103-6(c)(ii)] There were no type (ii) transactions during the year ended December 31, 1998. See accompanying independent auditors' report. 48 49 SCHEDULE 4 PHYCOR, INC. SAVINGS AND PROFIT SHARING PLAN Item 27(d) Schedule of Reportable Transactions For year ended December 31, 1998 Series of transactions involving securities of the same issue in excess of 5% of Plan assets at beginning of Plan year [DOL REG. 1510, 103-6(c)(iii)] CURRENT VALUE REALIZED OF ASSET ON NET GAIN IDENTITY OF DESCRIPTION PURCHASE SALE COST OF TRANSACTION OR PARTY INVOLVED OF ASSET PRICE PRICE ASSET DATE (LOSS) - -------------- --------------------- ------------ ----------- ----------- ------------- -------- NorthernTrust Collective Short-Term Investment Fund $165,543,562 -- 165,543,562 165,543,562 -- NorthernTrust Collective Short-Term Investment Fund -- 166,192,287 166,192,287 166,192,287 -- NorthernTrust Collective Daily Stock Index Fund 15,118,589 -- 15,118,589 15,118,589 -- NorthernTrust Collective Daily Stock Index Fund -- 6,915,601 6,393,837 6,915,625 521,764 NorthernTrust Collective Stable Asset Fund 28,176,145 -- 28,176,145 28,176,145 -- NorthernTrust Collective Stable Asset Fund -- 21,600,967 20,636,304 20,636,304 964,683 NorthernTrust Northern Institutional Bond Portfolio 27,281,289 -- 27,281,289 27,281,289 -- NorthernTrust Northern Institutional Bond Portfolio -- 18,797,927 16,507,731 16,507,731 2,290,197 NorthernTrust Franklin Strategic Small Cap Growth Fund 32,231,610 -- 32,231,610 32,231,610 -- NorthernTrust Franklin Strategic Small Cap Growth Fund -- 18,637,066 17,743,475 17,743,475 893,591 NorthernTrust MFS Research Fund 17,950,063 -- 17,950,063 17,950,063 -- NorthernTrust MFS Research Fund -- 15,444,015 8,306,721 11,875,373 3,568,642 NorthernTrust Neuberger & Berman Partner Trust Fund 20,700,746 -- 20,700,746 20,700,746 -- NorthernTrust Neuberger & Berman Partner Trust Fund -- 23,171,519 22,316,673 22,316,673 854,846 NorthernTrust Schwab Family Money Market Fund 35,266,150 -- 35,266,150 35,266,150 -- NorthernTrust Schwab Family Money Market Fund -- 32,188,335 32,188,335 32,188,335 -- NorthernTrust Templeton Foreign Fund 29,820,176 -- 29,820,176 29,820,176 -- NorthernTrust Templeton Foreign Fund -- 9,083,279 8,498,520 8,498,520 584,759 See accompanying independent auditors' report. 49 50 SCHEDULE 5 PHYCOR, INC. SAVINGS AND PROFIT SHARING PLAN Item 27(d) Schedule of Reportable Transactions For year ended December 31, 1998 Single transactions with any person with respect to securities in excess of 5% of Plan assets at beginning of Plan year [DOL REG. 2520, 103-6(c)(iv)] There were no reportable type (iv) transactions during the year ended December 31, 1998. See accompanying independent auditors' report. 50 51 SIGNATURES The Plan. Pursuant to the requirements of the Securities Exchange Act of 1934, the trustees (or other persons who administer the employee benefit plan) have duly caused this annual report to be signed on its behalf by the undersigned hereunto duly authorized. PhyCor, Inc. Savings and Profit Sharing Plan June 29, 1999 /s/ John K. Crawford -------------------------------------------- John K. Crawford Chief Financial Officer 52 EXHIBIT INDEX 1. EX-23 Independent Auditors' Consent