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D L CARLSON INVESTMENT GROUP, INC.
FORM 13F
September 30, 2000
Voting Authority
--------------------------
Value Shares/ Sh/ Put/ Invstmt Other
Name of Issuer Title of class CUSIP (x$1000) Prn Amt Prn Call Dscretn Managers Sole Shared None
------------------------------ ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- --------
America Online csus 02364J104 1540 28655 SH Sole 15000 13855
American Int'l Group csus 026874107 218 2274 SH Sole 2274
Amgen csus 031162100 357 5115 SH Sole 125 4990
Annaly Mort Mgm Inc. csus 035710409 126 13800 SH Sole 5700 8100
Arguss Holdings csus 040282105 223 10900 SH Sole 10900
Baltimore Tech PLC csus 059284109 364 18423 SH Sole 18423
Bank One Corp csus 06423A103 4317 111777 SH Sole 75010 37017
Bank of New York csus 064057102 5573 99400 SH Sole 84000 15400
BankNorth Group csus 06646r107 2317 129612 SH Sole 35614 93998
Benchmark Elec. csus 08160H101 9188 176700 SH Sole 132750 43950
Bristol Myers Squibb csus 110122108 5450 95403 SH Sole 80500 14903
Cabletron Systems csus 126920107 9750 331900 SH Sole 245800 87100
Carrier Access csus 144460102 954 48150 SH Sole 45650 2900
Charles & Colvard csus 22942P109 297 76600 SH Sole 63000 14400
Charter Comm Cl A csus 16117M107 1106 68000 SH Sole 65000 3000
Chase Manhattan Bank csus 16161A108 4976 107725 SH Sole 85025 22700
Cisco Systems csus 17275R102 798 14439 SH Sole 3100 11339
Citigroup csus 172967101 6717 124239 SH Sole 106001 18238
Commerce Bank of NJ csus 200519106 1241 21321 SH Sole 16591 4730
Cornerstone Realty csus 21922V102 1859 174950 SH Sole 65875 109075
Cree Inc. csus 225447101 113441 975840 SH Sole 552375 425165
Delta Air Lines csus 247361108 3623 81650 SH Sole 64118 17532
Du Pont csus 263534109 1651 39833 SH Sole 12200 27833
Duke-Weeks Realty csus 264411505 427 17700 SH Sole 4800 12900
EMC Corp. csus 268648102 543 5480 SH Sole 600 4880
Emulex Corp csus 292475209 3810 31100 SH Sole 30500 600
Ericsson, LM csus 294821400 4598 310390 SH Sole 220500 91090
Exxon/Mobil Corp csus 30231g102 7060 79211 SH Sole 37169 42342
FDX Corp. csus 31428X106 3556 80200 SH Sole 64000 16200
Fairfield Community csus 304231301 794 78400 SH Sole 75700 2700
Felcor Lodging Trust csus 31430F101 326 14100 SH Sole 6400 7700
First Washington Realty csus 337489504 1192 46975 SH Sole 41975 5000
Ford Motor Co csus 345370860 3490 137895 SH Sole 97080 41215
General Electric Co csus 369604103 7742 134209 SH Sole 100550 33659
Grant Prideco csus 38821g101 3773 172000 SH Sole 129950 42350
Grey Wolf Inc. csus 397888108 609 106000 SH Sole 100000 6000
Halliburton csus 406216101 3329 68016 SH Sole 56400 11616
Healthcare REIT csus 42217K106 1174 66150 SH Sole 36900 29750
Highwood REIT csus 431284108 723 30600 SH Sole 12850 17750
Hospitality Prop Trust csus 44106M102 1218 52110 SH Sole 43025 9085
IBM Corp csus 459200101 1234 10969 SH Sole 10200 769
Imageware Systems Inc. csus 45245s108 275 20000 SH Sole 20000
Independent Energy csus 45384x108 407 55000 SH Sole 55000
Intel Corp csus 458140100 4715 113442 SH Sole 89100 24642
Jabil Circuit csus 466313103 4409 77700 SH Sole 76000 1700
Johnson & Johnson csus 478160104 993 10575 SH Sole 4300 6275
Juniper Network csus 48203R104 241 1100 SH Sole 1100
Koninklijke Philips Elec csus 500472303 10843 255140 SH Sole 174440 80700
Lucent Technologies csus 549463107 713 23324 SH Sole 11400 11924
Marine Drilling Co csus 568240204 528 18500 SH Sole 600 17900
Merck & Co Inc csus 589331107 3009 40423 SH Sole 13950 26773
MetLife Inc. csus 59156R108 1571 60000 SH Sole 60000
Mexican Restaurants csus 59283r104 165 60000 SH Sole 60000
Noble Drilling csus 655042109 5070 100900 SH Sole 90100 11300
Nokia csus 654902204 6673 167600 SH Sole 93250 75150
Nortel Networks Corp. csus 656568102 5652 94900 SH Sole 52800 42100
Oracle csus 68389X105 2485 31554 SH Sole 18000 13554
Pfizer Inc csus 717081103 550 12231 SH Sole 4300 7931
Pharmacia Corp csus 71713u102 710 11793 SH Sole 11793
Plum Creek Timber csus 729251108 1785 80000 SH Sole 80000
Procter & Gamble csus 742718109 263 3932 SH Sole 800 3132
Qualcomm Inc. csus 747525103 4252 59680 SH Sole 44400 15280
Royal Dutch Petroleum csus 780257804 2279 38020 SH Sole 22800 15420
Siemens AG csus 826197402 8238 64050 SH Sole 46800 17400
Southside Bancshares csus 844700104 750 93790 SH Sole 91290 2500
Storage USA csus 861907103 1385 45400 SH Sole 41900 3500
Sun Microsystems csus 866810104 919 7870 SH Sole 500 7370
Superior Energy csus 868157108 3412 324950 SH Sole 284200 41750
Town & Country Realty csus 892081100 1605 89146 SH Sole 35250 53896
Transcoastal Marine csus 893537100 10 54000 SH Sole 54000
Union Planters Corp csus 908068109 2945 89075 SH Sole 57250 32525
United Inv Realty Tr csus 910741107 247 44000 SH Sole 44000
Varian Semicon Eqp csus 922207105 4857 129725 SH Sole 104750 25275
Verizon csus 92343v104 280 5786 SH Sole 916 4870
Vishay Intertech Inc csus 928298108 804 26150 SH Sole 10500 15650
Vitesse Semiconductor csus 928497106 4187 47075 SH Sole 27200 19875
Washington Mutual csus 939322103 2349 58991 SH Sole 45114 13877
Weatherford Intl. csus 947074100 6016 139900 SH Sole 111250 28950
White Electric Designs csus 963801105 192 16000 SH Sole 14500 1500
Woodhead Industries csus 979438108 864 41500 SH Sole 41000 500
ZixIt Corp csus 98974P100 2766 90675 SH Sole 83000 7675
Zoltek csus 98975W104 1869 237300 SH Sole 181700 55600
CNB Capital Trust 1 cpus 12613G207 2059 54000 SH Sole 50000 4000
Felcor Suite cv pfd A cpus 314305202 460 24200 SH Sole 23000 1200
Utilicorp United 9.75% cp cpus 918005877 450 16000 SH Sole 16000
Janus Growth & Income 471023200 316 7528 SH Sole 7528
Metamor cv sub deb 2.94% due 8 59133paa8 15 28000 SH Sole 28000
Softkey Intl cv Sr Nts 5.50% d 83402NAA7 30 30000 SH Sole 30000
BankNorth Group 06646r107 214 12000.0000000SH Sole 12000.0000000
REPORT SUMMARY 89 DATA RECORDS 326508 0 OTHER MANAGERS ON WHOSE BEHALF REPORT IS FILED
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