<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, 2000
Check here if Amendment [ ]; Amendment Number: _____
This Amendment (Check only one): [ ] is a restatement
[ ] adds new holdings entries.
Institutional Investment Manager Filing this Report:
Name: Fort Washington Investment Advisors, Inc.
Address: 420 East Fourth Street
Cincinnati, OH 45202
Form 13F File Number 28-5330
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The institutional investment manager filing this report and the person by whom
it is signed hereby represent that the person signing the report is authorized
to submit it, that all information continued herein is true, correct and
complete, and that it is understood that all required items, statements,
schedules, lists, and tables, are considered integral parts of this form.
Person Signing this Report on Behalf of Reporting Manager:
Name: William F. Ledwin
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Title: President
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Phone: (513) 361-7610
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Signature, Place, and Date of Signing:
William F. Ledwin Cincinnati, OH 5/4/2000
- ---------------------- -------------- ---------
[Signature] [City, State] [Date]
Report Type (Check only one):
[X] 13F HOLDINGS REPORT. (Check here if all holdings of this reporting manager
are reported in this report.)
[ ] 13F NOTICE. (Check here if no holdings reported are in this report, and all
holdings are reported by other reporting manager(s).
[ ] 13F COMBINATION REPORT. (Check here if a portion of the holdings for this
reporting manager are reported in this report and a portion are reported by
other reporting manager(s).)
List of Other Managers Reporting for this Manager:
[If there are no entries in this list, omit this section.]
Form 13F File Number Name
28-
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13F SUMMARY PAGE
Report Summary:
Number of Other Included Managers: None
Form 13F Information Table Entry Total: 47,483,549
Form 13F Information Table Value Total: 1,780,961,137
List of Other Included Managers: None
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.
(If there are not entries in this list, state "NONE" and omit the column
headings and list entries.)
No. Form 13F File Number None
28-
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(Repeat as necessary)
<PAGE> 3
Page 1 of 3 FORM 13F Name of Reporting Manager: Fort Washington Investment
Advisors, Inc.
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(SEC Use Only)
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<TABLE>
<CAPTION>
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Item 6: Item 8:
Item 4: Item 5: Investment Discretion Item 7: Voting Authority
Item 1: Item 2: Item 3: Fair Shares or ----------------------- Managers Shares
Name of Issuer Title of CUSIP Market Principal (a) (b) Shared (c) See --------------------------
Class Number Value Amount sole as Defined Shared Instr. (a) Sole (b) (c)
in Instr. V. Other V. Shared None
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<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
Global
Crossing LTD com G3921A100 1,849,249 45,173 X 45,173
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Transocean Sedco
Forex Inc ord G90078109 13,416,592 261,476 X 261,476
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A T & T Corp com 001957109 2,628,498 46,680 X 46,680
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AT&T Corp- com Lib
Liberty Media Grp A 001957208 7,799,060 131,492 X 131,492
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AXA
Financial Inc. com 002451102 20,618,977 574,744 X 574,744
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Abbott Labs, Inc. com 002824100 17,245,077 490,091 X 490,091
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Albertson's Inc. com 013104104 12,872,868 416,943 X 416,943
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Alliant
Energy Corp. com 018802108 10,475,826 344,175 X 344,175
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Alltel Corp com 020039103 21,048,651 332,785 X 332,785
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American Intl.
Group com 026874107 5,531,502 50,516 X 50,516
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Applied
Materials, Inc. com 038222105 9,040,460 95,920 X 95,920
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Bank of New York
Inc. com 064057102 63,840 1,536 X 1,536
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Bank of New York
Inc. com 064057102 71,154,335 1,711,984 X 1 1,711,984
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Bank of
Rhode Island com 064576101 1,501,312 153,000 X 153,000
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Baxter
International com 071813109 21,297,138 339,735 X 339,735
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Bell Atlantic
Corp. com 077853109 14,423,972 235,976 X 235,976
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Bristol Myers
Squibb com 110122108 313,780 5,410 X 5,410
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Broadcom Corp
CI A com 111320107 1,354,028 5,575 X 5,575
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Broadwing com 111620100 1,816,982 48,859 X 48,859
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Broadwing com 111620100 54,803,739 1,473,714 X 1 1,473,714
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CMGI Inc com 125750109 7,057,102 62,280 X 62,280
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CMS Energy Corp. com 125896100 12,922,219 712,950 X 712,950
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Cardinal Health com 14149Y108 17,051,737 371,700 X 371,700
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Ceridian
Corporation com 15677T106 20,554,034 1,071,220 X 1,071,220
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Chase
Manhattan New com 16161A108 15,003,051 172,078 X 172,078
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Checkfree
Corporation com 162816102 2,467,500 35,000 X 1 35,000
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Chevron Corp. com 166751107 300,422 3,250 X 3,250
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Cincinnati sr cv db
Financial 5.5%02 172062AB7 8,614,750 3,400,000 X 3,400,000
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Cincinnati
Financial com 172062101 1,587,663 42,207 X 42,207
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Cincinnati
Financial com 172062101 130,209,627 3,460,721 X 1 3,460,721
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Cinergy
Corporation com 172474108 3,212,100 149,400 X 149,400
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Cisco
Systems Inc. com 17275R102 6,119,284 79,150 X 79,150
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Cintas
Corporation com 172908105 82,882 2,115 X 2,115
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Cintas
Corporation com 172908105 64,312,565 1,641,150 X 1 1,641,150
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Citigroup com 172967101 30,444,971 508,481 X 508,481
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Computer
Assoc. Intl com 204912109 20,592,041 347,912 X 347,912
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Compuware Corp. com 205638109 10,657,730 506,005 X 506,005
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Conoco, Inc. -
CL A cl a 208251306 21,215,053 861,525 X 861,525
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COLUMN TOTALS: 661,660,617
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</TABLE>
<PAGE> 4
Page 2 of 3 FORM 13F Name of Reporting Manager: Fort Washington Investment
Advisors, Inc.
<TABLE>
<CAPTION>
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Item 6: Item 8:
Item 4: Item 5: Investment Discretion Item 7: Voting Authority
Item 1: Item 2: Item 3: Fair Shares or ----------------------- Managers Shares
Name of Issuer Title of CUSIP Market Principal (a) (b) Shared (c) See --------------------------
Class Number Value Amount sole as Defined Shared Instr. (a) Sole (b) (c)
in Instr. V. Other V. Shared None
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<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
Convergys
Corporation com 212485106 179,897 4,650 X 4,650
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Convergys
Corporation com 212485106 57,014,310 1,473,714 X 1 1,473,714
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Costco
Wholesale New com 22160K105 2,659,662 50,600 X 50,600
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E M C Corp. com 268648102 3,272,850 25,975 X 25,975
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Elan Corp. PLC ADR 284131208 3,493,910 73,556 X 73,556
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Emerson
Electric Co. com 291011104 1,290,406 24,290 X 24,290
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Exodus
Communications
Inc com 302088109 4,277,944 30,448 X 30,448
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Exxon Mobil
Corporation com 30231G102 17,861,719 229,181 X 229,181
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Fed National
Mtg Assoc. com 313586109 21,353,192 377,515 X 377,515
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Federated
Dept Stores com 31410H101 11,998,577 283,991 X 283,991
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Fifth Third
Bancorp com 316773100 267,435 4,248 X 4,248
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Fifth Third
Bancorp com 316773100 141,336,216 2,243,432 X 1 2,243,432
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First Data Corp. com 319963104 6,894,766 155,375 X 155,375
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Firstar Corp. com 33763V109 137,626 6,000 X 6,000
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Firstar Corp. com 33763V109 90,917,620 3,963,711 X 1 3,963,711
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Gateway Inc. com 367626108 22,206,750 418,625 X 418,625
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General
Electric Co. com 369604103 24,381,769 156,670 X 156,670
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General
Electric Co. com 369604103 18,363,750 118,000 X 1 118,000
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Getty
Images Inc. com 374276103 1,365,194 37,988 X 37,988
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Hewlett Packard com 428236103 25,216,353 189,775 X 189,775
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Home Depot, Inc. com 437076102 6,975,675 108,150 X 108,150
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Honeywell
International com 438516106 19,641,637 372,795 X 372,795
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Ingersoll-Rand
Co. com 456866102 12,473,854 281,895 X 281,895
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Intel Corp. com 458140100 38,860,212 294,536 X 294,536
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Int'l. Bus. Mach. com 459200101 27,376,708 232,006 X 232,006
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Interpublic
Group Cos. com 460690100 17,690,164 374,395 X 374,395
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Johnson & Johnson com 478160104 1,959,975 27,900 X 27,900
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Kimberly Clark com 494368103 34,793,789 620,625 X 620,625
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Lexmark
International
Grp com 529771107 23,969,295 226,660 X 226,660
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Luxottica sponsored
Grp SPA adr 55068R202 392,000 16,000 X 16,000
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MCI Worldcom com 55268B106 22,708,224 501,161 X 501,161
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Magna
International cl a 559222401 17,060,400 426,510 X 426,510
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Manor Care Inc. com new 564055101 9,599,175 711,050 X 711,050
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Masco Corp com 574599106 21,368,175 1,042,350 X 1,042,350
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McCormick com
& Co. non vtg 579780206 15,642,056 485,025 X 485,025
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McDonalds
Corporation com 580135101 652,941 17,470 X 17,470
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Mead Corporation com 582834107 23,407,252 669,975 X 669,975
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Medtronic, Inc. com 585055106 3,059,245 59,475 X 59,475
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Merck & Co., Inc. com 589331107 18,097,758 291,312 X 291,312
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Microsoft Corp. com 594918104 2,733,281 25,725 X 25,725
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COLUMN TOTALS: 772,951,762
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</TABLE>
<PAGE> 5
Page 3 of 3 FORM 13F Name of Reporting Manager: Fort Washington Investment
Advisors, Inc.
<TABLE>
<CAPTION>
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Item 6: Item 8:
Item 4: Item 5: Investment Discretion Item 7: Voting Authority
Item 1: Item 2: Item 3: Fair Shares or ----------------------- Managers Shares
Name of Issuer Title of CUSIP Market Principal (a) (b) Shared (c) See --------------------------
Class Number Value Amount sole as Defined Shared Instr. (a) Sole (b) (c)
in Instr. V. Other V. Shared None
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<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
Nokia sponsored
Corp. adr 654902204 3,762,900 16,950 X 16,950
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Nortel Networks
Corp. com 656569100 21,195,306 168,050 X 168,050
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North Fork
Bancorp com 659424105 13,137,946 734,990 X 734,990
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Northern Trust com 665859104 3,121,387 46,200 X 46,200
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Office Depot com 676220106 16,024,064 1,385,865 X 1,385,865
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Ohio Casualty com 677240103 49,156 2,750 X 2,750
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Ohio Casualty com 677240103 5,171,237 289,300 X 1 289,300
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Ominicom Group com 681919106 2,633,203 28,125 X 28,125
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Online
Resources
& Comm com 68273G101 1,225,194 71,284 X 71,284
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Oracle
Systems Corp. com 68389X105 7,814,759 100,109 X 100,109
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PepsiCo, Inc. com 713448108 23,986,223 687,778 X 687,778
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Pfizer Inc. com 717081103 3,129,933 85,605 X 85,605
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Procter & Gamble com 742718109 241,198 4,269 X 4,269
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Procter & Gamble com 742718109 67,056,121 1,186,834 X 1 1,186,834
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Ralston-Purina
Group com 751277302 9,152,000 332,800 X 332,800
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Reliastar Finl com 75952U103 15,641,781 461,750 X 461,750
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SBC
Communications com 78387G103 18,310,642 434,674 X 434,674
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SLM Holding
Corp. com 78442A109 12,316,864 369,738 X 369,738
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Schering
Plough Corp. com 806605101 12,125,953 326,625 X 326,625
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Schlumberger Ltd. com 806857108 20,887,024 273,033 X 273,033
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Stifel Financial com 860630102 10,962,979 1,019,812 X 1 1,019,812
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Sun MicroSystems com 866810104 21,365,248 228,009 X 228,009
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Sun MicroSystems com 866810104 26,579,452 283,656 X 1 283,656
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Telefonica S A sponsored
adr 879382208 2,512,953 33,792 X 33,792
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Texas
Instruments Inc. com 882508104 3,196,000 19,975 X 19,975
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Tosco Corp. com new 891490302 17,091,812 558,100 X 558,100
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U S Bancorp. com 902973106 11,149,687 509,700 X 509,700
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UnionBancorp,
Inc. com 908908106 391,275 33,300 X 33,300
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Univision
Communications CL A 914906102 2,710,870 23,990 X 23,990
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U S Freightways com 916906100 9,174,059 245,050 X 245,050
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Wal-Mart
Stores Inc com 931142103 5,562,990 98,460 X 98,460
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Williams
Companies Del com 969457100 20,722,682 471,640 X 471,640
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Xilinx com 983919101 2,728,672 32,950 X 32,950
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Yahoo Inc com 984332106 12,458,791 72,699 X 72,699
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COLUMN TOTALS: 346,348,758
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GRAND TOTAL: 1,780,961,137 47,483,549 28,582,521 18,901,028
====================================================================================================================================
</TABLE>