TRW INVESTMENT MANAGEMENT CO
13F-HR, 1999-05-17
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<PAGE>   1
                UNITED STATES SECURITIES AND EXCHANGE COMMISSION
                             Washington, D.C. 20549

                               FORM 13F COVER PAGE

          Report for the Calendar Year or Quarter Ended: March 31, 1999

                  Check here if Amendment [ ]; Amendment Number


                         This Amendment:

                         [ ] is a restatement.

                         [ ] adds new holdings entries.


Institutional Investment Manager Filing this Report:

Name:    TRW Investment Management Company

Address: 1900 Richmond Road, Cleveland, Ohio 44124

Form 13F File Number: 28-201

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

Person Signing this Report on Behalf of Reporting Manager:

Reporting Manager:

Name:    Robert M. Hamje

Title:   Director and President

Phone:   (216) 291-7624

Signature, Place and Date of Signing:

/s/ Robert M. Hamje
- --------------------------------

Lyndhurst, Ohio
- --------------------------------

5-17-99
- --------------------------------


Report Type:


[  X  ]  13F HOLDINGS REPORT.

[     ]  13F NOTICE.

[     ]  13F COMBINATION REPORT.



<PAGE>   2
<TABLE>
<CAPTION>
                                                               FORM 13F INFORMATION TABLE


- ------------------------------------------------------------------------------------------------------------------------------------
               Column 1         Column 2      Column 3  Column 4          Column 5       Column 6   Column 7         Column 8
- ------------------------------------------------------------------------------------------------------------------------------------
                                                                                                                 Voting Authority
                               Title                     Value      Shrs or   SH/  Put/  Investment  Other  -----------------------
           Name of issuer     of class        CUSIP    (x$1000)     pm amt    PRN  Call  discretion  managers   Sole    Shared  None
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                             <C>       <C>          <C>        <C>       <C>  <C>   <C>        <C>      <C>        <C>    <C>
AFLAC INC                       COM        001055102    $   490      9,000    SH          DEFINED      1         9,000
AK STL HLDG CORP                COM        001547108    $   228     10,100    SH          DEFINED      1        10,100
AT&T CORP                       COM        001957109    $ 7,453   93,378.5    SH          DEFINED      1      93,378.5
ADAPTEC INC                     COM        00651F108    $   616     27,000    SH          DEFINED      1        27,000
ADOBE SYS INC                   COM        00724F101    $   874     15,400    SH          DEFINED      1        15,400
ALLERGAN INC                    COM        018490102    $ 1,485     16,900    SH          DEFINED      1        16,900
ALLIEDSIGNAL INC                COM        019512102    $   492     10,000    SH          DEFINED      1        10,000
AMBAC FINL GROUP INC            COM        023139108    $ 1,183     21,900    SH          DEFINED      1        21,900
AMERICA ONLINE INC DEL          COM        02364J104    $ 3,752     25,700    SH          DEFINED      1        25,700
AMERICAN INTL GROUP INC         COM        026874107    $ 1,689     14,000    SH          DEFINED      1        14,000
AMERITECH CORP NEW              COM        030954101    $ 3,345     57,800    SH          DEFINED      1        57,800
AMGEN INC                       COM        031162100    $ 6,387     85,300    SH          DEFINED      1        85,300
AMSOUTH BANCORPORATION          COM        032165102    $   956     21,000    SH          DEFINED      1        21,000
ANHEUSER BUSCH COS INC          COM        035229103    $ 7,024     92,200    SH          DEFINED      1        92,200
APPLIED MATLS INC               COM        038222105    $ 4,219     68,400    SH          DEFINED      1        68,400
AVERY DENNISON CORP             COM        053611109    $ 2,783     48,400    SH          DEFINED      1        48,400
BB&T CORP                       COM        054937107    $ 1,234     34,100    SH          DEFINED      1        34,100
BMC SOFTWARE INC                COM        055921100    $   297      8,000    SH          DEFINED      1         8,000
BANKAMERICA CORP NEW            COM        06605F102    $   424      6,000    SH          DEFINED      1         6,000
BEAR STEARNS COS INC            COM        073902108    $   474     10,600    SH          DEFINED      1        10,600
BELL ATLANTIC CORP              COM        077853109    $ 2,481     48,000    SH          DEFINED      1        48,000
BELLSOUTH CORP                  COM        079860102    $ 6,546    163,400    SH          DEFINED      1       163,400
</TABLE>


<PAGE>   3
<TABLE>
<S>                           <C>          <C>         <C>         <C>       <C>  <C>   <C>        <C>      <C>        <C>    <C>
BIOGEN INC                        COM        090597105   $ 2,721    23,800    SH          DEFINED      1      23,800
BOISE CASCADE CORP                COM        097383103   $ 1,487    46,100    SH          DEFINED      1      46,100
BRIGGS & STRATTON CORP            COM        109043109   $   227     4,600    SH          DEFINED      1       4,600
BRISTOL MYERS SQUIBB CO           COM        110122108   $ 5,531    86,000    SH          DEFINED      1      86,000
BURLINGTON NORTHN SANTA FE CP     COM        12189T104   $ 1,151    35,000    SH          DEFINED      1      35,000
CSG SYS INTL INC                  COM        126349109   $   217     5,500    SH          DEFINED      1       5,500
CARRAMERICA RLTY CORP             COM        144418100   $   653    29,600    SH          DEFINED      1      29,600
CENTEX CORP                       COM        152312104   $ 2,166    64,900    SH          DEFINED      1      64,900
CENTRAL & SOUTH WEST CORP         COM        152357109   $   352    15,000    SH          DEFINED      1      15,000
CENTURY TEL ENTERPRISES INC       COM        156686107   $   829    11,800    SH          DEFINED      1      11,800
CHASE MANHATTAN CORP NEW          COM        16161A108   $ 6,790    83,500    SH          DEFINED      1      83,500
CHEVRON CORPORATION               COM        166751107   $ 1,327    15,000    SH          DEFINED      1      15,000
CHRIS CRAFT INDS INC              COM        170520100   $   705    15,450    SH          DEFINED      1      15,450
CISCO SYS INC                     COM        17275R102   $ 5,993    54,700    SH          DEFINED      1      54,700
CITIGROUP INC                     COM        172967101   $ 8,911   139,500    SH          DEFINED      1     139,500
CLOROX CO DEL                     COM        189054109   $ 4,582    39,100    SH          DEFINED      1      39,100
COCA COLA CO                      COM        191216100   $   491     8,000    SH          DEFINED      1       8,000
COMERICA INC                      COM        200340107   $   937    15,000    SH          DEFINED      1      15,000
CONAGRA INC                       COM        205887102   $   358    14,000    SH          DEFINED      1      14,000
CONSOLIDATED EDISON INC           COM        209115104   $   426     9,400    SH          DEFINED      1       9,400
CORDANT TECHNOLOGIES INC          COM        218412104   $ 1,453    36,500    SH          DEFINED      1      36,500
CORNING INC                       COM        219350105   $ 1,644    27,400    SH          DEFINED      1      27,400
COSTCO COMPANIES INC              COM        22160Q102   $ 1,282    14,000    SH          DEFINED      1      14,000
COUNTRYWIDE CR INDS INC DEL       COM        222372104   $   829    22,100    SH          DEFINED      1      22,100
DTE ENERGY CO                     COM        233331107   $   384    10,000    SH          DEFINED      1      10,000
DAYTON HUDSON CORP                COM        239753106   $ 1,399    21,000    SH          DEFINED      1      21,000
</TABLE>
<PAGE>   4

<TABLE>
<S>                           <C>          <C>         <C>         <C>       <C>  <C>   <C>        <C>      <C>        <C>    <C>
DELL COMPUTER CORP                COM        247025109   $   204     5,000    SH          DEFINED      1       5,000
DELTA AIR LINES INC DEL           COM        247361108   $ 2,099    30,200    SH          DEFINED      1      30,200
DOW CHEM CO                       COM        260543103   $ 2,609    28,000    SH          DEFINED      1      28,000
DUKE REALTY INVT INC              COM        264411505   $   387    18,000    SH          DEFINED      1      18,000
EMC CORP MASS                     COM        268648102   $ 2,683    21,000    SH          DEFINED      1      21,000
ENERGY EAST CORP                  COM        29266M109   $   368     7,000    SH          DEFINED      1       7,000
ENRON CORP                        COM        293561106   $   514     8,000    SH          DEFINED      1       8,000
EQUITY OFFICE PROPERTIES TRUST    COM        294741103   $ 1,229    48,300    SH          DEFINED      1      48,300
EXXON CORP                        COM        302290101   $ 5,814    82,400    SH          DEFINED      1      82,400
FMC CORP NEW                      COM        302491303   $   543    11,000    SH          DEFINED      1      11,000
FDX CORP                          COM        31304N107   $ 2,515    27,100    SH          DEFINED      1      27,100
FREDDIE MAC CORP                  COM        313400301   $ 3,370    59,000    SH          DEFINED      1      59,000
FEDERAL NATL MTG ASSN             COM        313586109   $ 4,176    60,300    SH          DEFINED      1      60,300
FLEET FINL GROUP INC NEW          COM        338915101   $   903    24,000    SH          DEFINED      1      24,000
FLORIDA PROGRESS CORP             COM        341109106   $   755    20,000    SH          DEFINED      1      20,000
FORD MTR CO DEL                   COM        345370100   $ 6,384   112,500    SH          DEFINED      1     112,500
FULLER H B CO                     COM        359694106   $   224     3,800    SH          DEFINED      1       3,800
GPU INC                           COM        36225X100   $ 3,832   102,700    SH          DEFINED      1     102,700
GTE CORP                          COM        362320103   $   478     7,900    SH          DEFINED      1       7,900
GALILEO INTERNATIONAL INC         COM        363547100   $   242     5,000    SH          DEFINED      1       5,000
GANNETT INC                       COM        364730101   $   315     5,000    SH          DEFINED      1       5,000
GAP INC DEL                       COM        364760108   $ 3,288    48,850    SH          DEFINED      1      48,850
GENERAL DYNAMICS CORP             COM        369550108   $   244     3,800    SH          DEFINED      1       3,800
GENERAL ELEC CO                   COM        369604103   $11,240   101,600    SH          DEFINED      1     101,600
GENERAL MLS INC                   COM        370334104   $ 3,128    41,400    SH          DEFINED      1      41,400
GENERAL MTRS CORP                 COM        370442105   $ 5,968    68,700    SH          DEFINED      1      68,700
</TABLE>
<PAGE>   5
<TABLE>
<S>                           <C>          <C>         <C>         <C>       <C>  <C>   <C>        <C>      <C>        <C>    <C>
GEORGIA PAC CORP                  COM        373298108   $ 3,854    51,900    SH          DEFINED      1      51,900
GOLDEN WEST FINL CORP DEL         COM        381317106   $ 2,913    30,500    SH          DEFINED      1      30,500
GREENPOINT FINL CORP              COM        395384100   $   382    11,000    SH          DEFINED      1      11,000
GUIDANT CORP                      COM        401698105   $ 1,150    19,000    SH          DEFINED      1      19,000
HARTFORD LIFE INC                 CLA        416592103   $ 3,509    63,800    SH          DEFINED      1      63,800
HEWLETT PACKARD CO                COM        428236103   $ 8,619   127,100    SH          DEFINED      1     127,100
HOME DEPOT INC                    COM        437076102   $ 5,217    83,800    SH          DEFINED      1      83,800
HOMESTAKE MNG CO                  COM        437614100   $   388    45,000    SH          DEFINED      1      45,000
HORMEL FOODS CORP                 COM        440452100   $ 2,957    83,000    SH          DEFINED      1      83,000
IBP INC                           COM        449223106   $   859    46,100    SH          DEFINED      1      46,100
INGERSOLL RAND CO                 COM        456866102   $ 1,935    39,000    SH          DEFINED      1      39,000
INTEL CORP                        COM        458140100   $ 2,092    17,600    SH          DEFINED      1      17,600
INTERNATIONAL BUSINESS MACHS      COM        459200101   $ 2,251    12,700    SH          DEFINED      1      12,700
INTIMATE BRANDS INC               CL A       461156101   $   914    19,000    SH          DEFINED      1      19,000
JEFFERSON PILOT CORP              COM        475070108   $ 1,152    17,000    SH          DEFINED      1      17,000
JOHNSON & JOHNSON                 COM        478160104   $ 7,214    77,000    SH          DEFINED      1      77,000
K MART CORP                       COM        482584109   $   387    23,000    SH          DEFINED      1      23,000
KEEBLER FOODS CO                  COM        487256109   $   657    18,000    SH          DEFINED      1      18,000
KROGER CO                         COM        501044101   $   240     4,000    SH          DEFINED      1       4,000
LEHMAN BROS HLDGS INC             COM        524908100   $ 2,665    44,600    SH          DEFINED      1      44,600
LINCOLN NATL CORP IND             COM        534187109   $ 2,027    20,500    SH          DEFINED      1      20,500
LOWES COS INC                     COM        548661107   $ 3,830    63,300    SH          DEFINED      1      63,300
LUCENT TECHNOLOGIES INC           COM        549463107   $ 9,439    87,600    SH          DEFINED      1      87,600
MARSH & MCLENNAN COS INC          COM        571748102   $ 3,427    46,200    SH          DEFINED      1      46,200
MAY DEPT STORES CO                COM        577778103   $   604    15,450    SH          DEFINED      1      15,450
MAYTAG CORP                       COM        578592107   $ 1,316    21,800    SH          DEFINED      1      21,800
</TABLE>
<PAGE>   6
<TABLE>
<S>                           <C>          <C>         <C>         <C>       <C>  <C>   <C>        <C>      <C>        <C>    <C>
MENTOR GRAPHICS CORP              COM        587200106   $   138    10,200    SH          DEFINED      1      10,200
MERCK & CO INC                    COM        589331107   $ 3,520    43,900    SH          DEFINED      1      43,900
MERRILL LYNCH & CO INC            COM        590188108   $   884    10,000    SH          DEFINED      1      10,000
MICROSOFT CORP                    COM        594918104   $15,756   175,800    SH          DEFINED      1     175,800
MONTANA POWER CO                  COM        612085100   $   449     6,100    SH          DEFINED      1       6,100
MORGAN J P & CO INC               COM        616880100   $ 4,750    38,500    SH          DEFINED      1      38,500
MORGAN STANLEY DEAN                                                                                  
  WITTER & CO                   COM NEW      617446448   $ 6,076    60,800    SH          DEFINED      1      60,800
MOTOROLA INC                      COM        620076109   $   733    10,000    SH          DEFINED      1      10,000
NATIONWIDE FINL SVCS INC          CL A       638612101   $ 1,075    25,600    SH          DEFINED      1      25,600
NAVISTAR INTL CORP NEW            COM        63934E108   $   924    23,000    SH          DEFINED      1      23,000
NORTHERN STS PWR CO MINN          COM        665772109   $   278    12,000    SH          DEFINED      1      12,000
OGE ENERGY CORP                   COM        670837103   $   232    10,300    SH          DEFINED      1      10,300
OLD KENT FINL CORP                COM        679833103   $ 1,652    39,100    SH          DEFINED      1      39,100
PECO ENERGY CO                    COM        693304107   $ 2,572    55,600    SH          DEFINED      1      55,600
PACIFICARE HEALTH SYS DEL         CL B       695112201   $ 2,996    43,900    SH          DEFINED      1      43,900
PAINE WEBBER GROUP INC            COM        695629105   $   239     6,000    SH          DEFINED      1       6,000
PAYLESS SHOESOURCE INC            COM        704379106   $   233     5,000    SH          DEFINED      1       5,000
PHARMACIA & UPJOHN INC            COM        716941109   $ 1,809    29,000    SH          DEFINED      1      29,000
PFIZER INC                        COM        717081103   $ 1,526    11,000    SH          DEFINED      1      11,000
PHILIP MORRIS COS INC             COM        718154107   $ 1,056    30,000    SH          DEFINED      1      30,000
PIONEER STD ELECTRS INC           COM        723877106   $   106    16,200    SH          DEFINED      1      16,200
PUBLIC SVC ENTERPRISE GROUP       COM        744573106   $   878    23,000    SH          DEFINED      1      23,000
QUAKER OATS CO                    COM        747402105   $ 1,001    16,000    SH          DEFINED      1      16,000
RJR NABISCO HOLDINGS CORP       COM NEW      74960K876   $   380    15,200    SH          DEFINED      1      15,200
ROYAL DUTCH PETE CO           NY REG GLD1.25 780257804   $   780    15,000    SH          DEFINED      1      15,000
SBC COMMUNICATIONS INC            COM        78387G103   $ 3,464    73,500    SH          DEFINED      1      73,500
</TABLE>
<PAGE>   7
<TABLE>
<S>                           <C>          <C>         <C>         <C>       <C>  <C>   <C>        <C>      <C>        <C>    <C>
SAFEWAY INC                     COM NEW      786514208   $ 1,078    21,000    SH          DEFINED      1      21,000
SCHERING PLOUGH CORP              COM        806605101   $ 4,425    80,000    SH          DEFINED      1      80,000
SCIENTIFIC ATLANTA INC            COM        808655104   $   382    14,000    SH          DEFINED      1      14,000
SHARED MED SYS CORP               COM        819486101   $ 1,504    27,000    SH          DEFINED      1      27,000
SOUTHWEST AIRLS CO                COM        844741108   $ 1,422    47,000    SH          DEFINED      1      47,000
SPRINT CORP                   COM FON GROUP  852061100   $   589     6,000    SH          DEFINED      1       6,000
SUN MICROSYSTEMS INC              COM        866810104   $ 2,751    22,000    SH          DEFINED      1      22,000
SUPERVALU INC                     COM        868536103   $   734    35,600    SH          DEFINED      1      35,600
TCA CABLE TV INC                  COM        872241104   $ 1,283    29,500    SH          DEFINED      1      29,500
TELLABS INC                       COM        879664100   $   587     6,000    SH          DEFINED      1       6,000
TEXAS INSTRS INC                  COM        882508104   $   605     6,100    SH          DEFINED      1       6,100
TIFFANY & CO NEW                  COM        886547108   $ 1,495    20,000    SH          DEFINED      1      20,000
TIME WARNER INC                   COM        887315109   $   711    10,000    SH          DEFINED      1      10,000
TRAVELERS PPTY CAS CORP           CL A       893939108   $   400    11,200    SH          DEFINED      1      11,200
TRICON GLOBAL RESTAURANTS         COM        895953107   $   899    12,800    SH          DEFINED      1      12,800
TRIBUNE CO NEW                    COM        896047107   $   327     5,000    SH          DEFINED      1       5,000
TYCO INTL LTD NEW                 COM        902124106   $ 1,866    26,000    SH          DEFINED      1      26,000
USG CORP                        COM NEW      903293405   $   514    10,000    SH          DEFINED      1      10,000
UNION CARBIDE CORP                COM        905581104   $ 2,711    60,000    SH          DEFINED      1      60,000
UNION PAC CORP                    COM        907818108   $   876    16,400    SH          DEFINED      1      16,400
UNIONBANCAL CORP                  COM        908906100   $   845    24,800    SH          DEFINED      1      24,800
UNITED TECHNOLOGIES CORP          COM        913017109   $ 7,246    53,500    SH          DEFINED      1      53,500
V F CORP                          COM        918204108   $   472    10,000    SH          DEFINED      1      10,000
VASTAR RES INC                    COM        922380100   $   201     4,200    SH          DEFINED      1       4,200
VIACOM INC                        CL B       925524308   $ 1,259    15,000    SH          DEFINED      1      15,000
VISX INC DEL                      COM        92844S105   $   312     2,900    SH          DEFINED      1       2,900
</TABLE>
<PAGE>   8
<TABLE>
<S>                           <C>          <C>         <C>         <C>       <C>  <C>   <C>        <C>      <C>        <C>    <C>
WAL MART STORES INC               COM        931142103   $10,758   116,700    SH          DEFINED      1     116,700
WEYERHAEUSER CO                   COM        962166104   $ 1,981    35,700    SH          DEFINED      1      35,700
YAHOO INC                         COM        984332106   $   337     2,000    SH          DEFINED      1       2,000
ZALE CORP NEW                     COM        988858106   $   205     6,000    SH          DEFINED      1       6,000
</TABLE>

<PAGE>   9

                              FORM 13F SUMMARY PAGE

                                 REPORT SUMMARY:


Number of Other Included Managers:                              1

Form 13F Information Table Entry Total:                       156
                                                    
Form 13F Information Table Value Total:                  $343,063 (thousands)


List of Other Included Managers:

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

No.                              1

Form 13F File Number:       28-191

Name:                     TRW Inc.




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