ATLANTA CAPITAL MANAGEMENT CO L L C
13F-HR, 2000-08-15
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                  UNITED STATES
				  	SECURITIES AND EXCHANGE COMMISSION
					        	Washington, D.C. 20549

             							FORM 13F

	        					FORM 13F COVER PAGE

Report for the Calender Year or Quarter Ended:  June 30, 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:		Atlanta Capital Management Company, L.L.C.
Address:	Two Midtwon Plaza, 1349 West Peachtree St.
       		Suite 1600
	       	Atlanta, GA 30309

13F File Number:	28-774

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 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:

Name:		R. Kelly Williams, Jr.
Title:	Vice President-Finance
Phone:	404-876-9411
Signature, Place, and Date of Signing:

	R. Kelly Williams, Jr.	Atlanta, Georgia	August 15, 2000

Report Type (Check only one.):

[x]	13F HOLDINGS REPORT

[ ]	13F NOTICE

[ ]	13F COMBINATION REPORT

List of Other Managers Reporting for this Manager:

I AM SIGNING THIS REPORT AS REQUIRED BY THE SECURITIES EXCHANGE ACT OF 1934.
<PAGE>

			FORM 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:		0

Form 13F Information Table Entry Value:	        398

Form 13F Information Table Value Total:        $4,958,928,000

List of Other Included Managers:

None
<PAGE>

<TABLE>				<C>				<C>




                                           FORM 13F                        6/30/00
                                                             REPORTING MANAGER:   ATLANTA CAPITAL MANAGEMENT


NAME OF ISSUER          TITLE                        VALUE     SHARES/     SH/ INVST   OTHER----- VOTING AUTHORITY -------
                       OF CLASS       CUSIP       $ (1000)     PRN AMT      PN DISCR    MGRS      SOLE    SHARED      NONE
------------------   ------------   ---------      -------     -------     ---------   -----    ------    ------    ------
  AARON RENTS INC    Common Stock   002535201         2796      222600      SH Sole             205200         0     17400
  ABBOTT LABS        Common Stock   002824100         1052       23600      SH Sole              23600         0         0
  ABM INDUSTRIES     Common Stock   000957100         5060      220000      SH Defin            220000         0         0
  ABM INDUSTRIES     Common Stock   000957100         3588      156000      SH Sole             145300         0     10700
  ACTUANT CORP.      Common Stock   038225108         3323       99200      SH Sole              93000         0      6200
  ACXIOM CORP        Common Stock   005125109            0           0      SH Sole                  0         0         0
  ADC TELECOM        Common Stock   000886101            0           0      SH Sole                  0         0         0
  ADOBE SYSTEMS      Common Stock   00724F101        32500      250000      SH Other                 0         0    250000
  ADOBE SYSTEMS      Common Stock   00724F101         6981       53700      SH Defin             52000         0      1700
  ADOBE SYSTEMS      Common Stock   00724F101        69233      532565      SH Sole             493565         0     39000
  ADVANTA CORP A     Common Stock   007942105         1348      110600      SH Sole             104200         0      6400
  AFLAC              Common Stock   001055102        32156      700000      SH Other                 0         0    700000
  AFLAC              Common Stock   001055102         6156      134000      SH Defin            130000         0      4000
  AFLAC              Common Stock   001055102         5637      122700      SH Sole             117000         0      5700
  AGILENT TECH       Common Stock   00846U101         9001      122048      SH Other                 0         0    122048
  AGILENT TECH       Common Stock   00846U101         1803       24448      SH Defin             24448         0        -0
  AGILENT TECH       Common Stock   00846U101        18182      246538      SH Sole             229188         0     17350
  AJ GALLAGHER       Common Stock   363576109         3310       78800      SH Sole              74100         0      4700
  ALBERTSONS INC     Common Stock   013104104        19950      600000      SH Other                 0         0    600000
  ALBERTSONS INC     Common Stock   013104104         1081       32500      SH Defin             27800         0      4700
  ALBERTSONS INC     Common Stock   013104104        40757     1225770      SH Sole            1137270         0     88500
  ALLIED CAPITAL     Common Stock   01903Q108         1962      115400      SH Sole             108400         0      7000
  ALLTEL CORP        Common Stock   020039103         4955       80000      SH Defin             80000         0         0
  ALLTEL CORP        Common Stock   020039103          954       15400      SH Sole              15400         0         0
  AMERICAN EXPRES    Common Stock   025816109         1439       27600      SH Defin             24600         0      3000
  AMERICAN EXPRES    Common Stock   025816109        55752     1069580      SH Sole             993920         0     75660
  AMERICAN HOME P    Common Stock   026609107            0           0      SH Sole                  0         0         0
  AMERICAN INTL G    Common Stock   026874107        36719      312500      SH Other                 0         0    312500
  AMERICAN INTL G    Common Stock   026874107         7100       60425      SH Defin             57525         0      2900
  AMERICAN INTL G    Common Stock   026874107        77140      656511      SH Sole             609886         0     46625
  AMERICAN MGMT      Common Stock   027352103            0           0      SH Sole                  0         0         0
  AMERICAN POWER     Common Stock   029066107          726       17800      SH Defin             17800         0         0
  AMERICAN POWER     Common Stock   029066107        28614      701110      SH Sole             646990         0     54120
  APT INVT & MGMT    Common Stock   03748R101          450       10400      SH Sole              10400         0         0
  AT&T               Common Stock   001957109        17394      550000      SH Other                 0         0    550000
  AT&T               Common Stock   001957109          914       28900      SH Defin             24800         0      4100
  AT&T               Common Stock   001957109        35360     1118097      SH Sole            1037637         0     80460
  AUTODESK INC       Common Stock   052769106        17344      500000      SH Other                 0         0    500000
  AUTODESK INC       Common Stock   052769106           87        2500      SH Defin                 0         0      2500
  AUTODESK INC       Common Stock   052769106         2324       67000      SH Sole              63700         0      3300
  AUTOMATIC DATA     Common Stock   053015103          257        4800      SH Defin                 0         0      4800
  AUTOMATIC DATA     Common Stock   053015103         1891       35300      SH Sole              35300         0         0
  AUTOZONE           Common Stock   053332102        19800      900000      SH Other                 0         0    900000
  AUTOZONE           Common Stock   053332102          416       18900      SH Defin             18900         0         0
  AUTOZONE           Common Stock   053332102        17907      813940      SH Sole             742940         0     71000
  AVON PRODUCTS      Common Stock   054303102        31150      700000      SH Other                 0         0    700000
  AVON PRODUCTS      Common Stock   054303102         6951      156200      SH Defin            156200         0         0
  AVON PRODUCTS      Common Stock   054303102        38243      859390      SH Sole             785090         0     74300
  BANK OF AMER       Common Stock   060505104         2165       50343      SH Defin             50343         0         0
  BAXTER INTL INC    Common Stock   071813109            0           0      SH Sole                  0         0         0
  BB&T CORP          Common Stock   054937107          557       23340      SH Sole              20310         0      3030
  BED BATH &         Common Stock   075896100            0           0      SH Sole                  0         0         0
  BELL ATLANTIC      Common Stock   077853109         1082       21300      SH Sole              21300         0         0
  BESTFOODS          Common Stock   08658U101        34625      500000      SH Other                 0         0    500000
  BESTFOODS          Common Stock   08658U101         1614       23300      SH Defin             21100         0      2200
  BESTFOODS          Common Stock   08658U101        56526      816255      SH Sole             748955         0     67300
  BIOMET INC         Common Stock   090613100            0           0      SH Defin                 0         0         0
  BIOMET INC         Common Stock   090613100            0           0      SH Sole                  0         0         0
  BLOCK H & R INC    Common Stock   093671105         2590       80000      SH Defin             80000         0         0
  BLOCK H & R INC    Common Stock   093671105            0           0      SH Sole                  0         0         0
  BMC SOFTWARE       Common Stock   055921100         1131       31000      SH Defin             31000         0         0
  BMC SOFTWARE       Common Stock   055921100        50273     1377945      SH Sole            1282095         0     95850
  BP AMOCO ADR       Common Stock   055622104            0           0      SH Sole                  0         0         0
  BRADY WH           Common Stock   104674106         2210       68000      SH Sole              64000         0      4000
  BRISTOL MYERS S    Common Stock   110122108        37863      650000      SH Other                 0         0    650000
  BRISTOL MYERS S    Common Stock   110122108          932       16000      SH Defin             12000         0      4000
  BRISTOL MYERS S    Common Stock   110122108        58280     1000510      SH Sole             924810         0     75700
  C&D TECHNOLOGIE    Common Stock   124661109         6136      108600      SH Sole             102300         0      6300
  CAMDEN PROPERTY    Common Stock   133131102          543       18500      SH Sole              17300         0      1200
  CARLISLE COS       Common Stock   142339100         4024       89420      SH Sole              85120         0      4300
  CARNIVAL CORP      Common Stock   143658102         1059       54300      SH Defin             48700         0      5600
  CARNIVAL CORP      Common Stock   143658102        41931     2150320      SH Sole            1999060         0    151260
  CARPENTER TECH     Common Stock   144285103         1698       80400      SH Sole              75600         0      4800
  CASEYS GEN STOR    Common Stock   147528103         1950      187940      SH Sole             177840         0     10100
  CATALINA           Common Stock   148867104            0           0      SH Sole                  0         0         0
  CDW COMPUTER       Common Stock   125129106            0           0      SH Sole                  0         0         0
  CH ROBINSON WOR    Common Stock   12541W100            0           0      SH Sole                  0         0         0
  CHEVRON CORP       Common Stock   166751107         1103       13000      SH Sole              13000         0         0
  CHURCH & DWIGHT    Common Stock   171340102         2765      153600      SH Sole             146400         0      7200
  CIBER INC          Common Stock   17163B102         2703      204000      SH Defin            204000         0         0
  CIBER INC          Common Stock   17163B102          345       26000      SH Sole              22600         0      3400
  CINTAS CORP        Common Stock   172908105           37        1000      SH Sole                  0         0      1000
  CIRCUIT CITY ST    Common Stock   172737108          674       20300      SH Defin             17000         0      3300
  CIRCUIT CITY ST    Common Stock   172737108        23706      714315      SH Sole             661715         0     52600
  CISCO SYS INC      Common Stock   17275R102        44494      700000      SH Other                 0         0    700000
  CISCO SYS INC      Common Stock   17275R102        11034      173600      SH Defin            173600         0         0
  CISCO SYS INC      Common Stock   17275R102        98855     1555236      SH Sole            1445736         0    109500
  CITIZENS BC-MI     Common Stock   174420109         1602       98680      SH Sole              92930         0      5750
  CLAIRES STORES     Common Stock   179584107         2799      145400      SH Sole             136400         0      9000
  CLARCOR INC        Common Stock   179895107         2291      115290      SH Sole             108840         0      6450
  COCA-COLA CO       Common Stock   191216100         1338       23300      SH Defin             20200         0      3100
  COCA-COLA CO       Common Stock   191216100        50915      886443      SH Sole             820983         0     65460
  COHU INC.          Common Stock   192576106         2644       98040      SH Sole              92140         0      5900
  COLGATE-PALMOL     Common Stock   194162103        32931      550000      SH Other                 0         0    550000
  COLGATE-PALMOL     Common Stock   194162103         8520      142300      SH Defin            138300         0      4000
  COLGATE-PALMOL     Common Stock   194162103        74694     1247506      SH Sole            1157406         0     90100
  COLONIAL PROPER    Common Stock   195872106          605       22100      SH Sole              18700         0      3400
  COMMERCE BANCOR    Common Stock   200519106         2942       63960      SH Sole              60110         0      3850
  COMPUTER ASSOCI    Common Stock   204912109          266        5200      SH Defin                 0         0      5200
  COMPUTER ASSOCI    Common Stock   204912109         1765       34487      SH Sole              33787         0       700
  COMPUTER SCIENC    Common Stock   205363104           22         300      SH Sole                300         0         0
  COMPUTER TASK G    Common Stock   205477102            0           0      SH Sole                  0         0         0
  COMVERSE TECH      Common Stock   205862402         9300      100000      SH Other                 0         0    100000
  COMVERSE TECH      Common Stock   205862402         1172       12600      SH Defin             12600         0         0
  COMVERSE TECH      Common Stock   205862402        47046      505870      SH Sole             467470         0     38400
  CONCORD EFS        Common Stock   206197105            0           0      SH Sole                  0         0         0
  COUSINS PROPERT    Common Stock   222795106          628       16300      SH Sole              14300         0      2000
  COX                Common Stock   224044107            0           0      SH Sole                  0         0         0
  CTS CORP           Common Stock   126501105         5153      114500      SH Defin            110000         0      4500
  CTS CORP           Common Stock   126501105         4694      104300      SH Sole              98900         0      5400
  CVS CORP           Common Stock   126650100            0           0      SH Sole                  0         0         0
  DALLAS SEMI        Common Stock   235204104         5298      130000      SH Sole             123100         0      6900
  DATASCOPE          Common Stock   238113104         1051       29195      SH Sole              27295         0      1900
  DEERE & CO         Common Stock   244199105          914       24700      SH Sole              24700         0         0
  DENTSPLY INTL      Common Stock   249030107         6763      219500      SH Defin            212000         0      7500
  DENTSPLY INTL      Common Stock   249030107        46163     1498180      SH Sole            1389680         0    108500
  DEVELOPING COUN    Mutual Fund    000000001           -0          -0      SH Sole                 -0         0         0
  DEVRY INC          Common Stock   251893103            0           0      SH Sole                  0         0         0
  DIAGNOSTIC PROD    Common Stock   252450101         2594       81060      SH Sole              77060         0      4000
  DIEBOLD INC        Common Stock   253651103         9756      350000      SH Other                 0         0    350000
  DIEBOLD INC        Common Stock   253651103         2788      100000      SH Defin            100000         0         0
  DIEBOLD INC        Common Stock   253651103            0           0      SH Sole                  0         0         0
  DIONEX CORP        Common Stock   254546104         2451       91640      SH Sole              86140         0      5500
  DISNEY WALT        Common Stock   254687106            0           0      SH Sole                  0         0         0
  DOLLAR GENERAL     Common Stock   256669102         1096       56219      SH Defin             56219         0         0
  DOLLAR GENERAL     Common Stock   256669102        43587     2235214      SH Sole            2064316         0    170898
  DOVER CORP         Common Stock   260003108         6287      155000      SH Defin            150000         0      5000
  DOVER CORP         Common Stock   260003108         1525       37600      SH Sole              37600         0         0
  DUKE ENERGY        Common Stock   264399106          941       16700      SH Sole              16700         0         0
  DUKE-WEEKS         Common Stock   264411505          616       27530      SH Sole              23804         0      3726
  EATON VANCE        Common Stock   278265103         3297       71280      SH Sole              66980         0      4300
  ECOLAB INC         Common Stock   278865100         1301       33300      SH Defin             33300         0         0
  ECOLAB INC         Common Stock   278865100        51689     1323226      SH Sole            1220326         0    102900
  EDS                Common Stock   285661104        24750      600000      SH Other                 0         0    600000
  EDS                Common Stock   285661104         5330      129200      SH Defin            123300         0      5900
  EDS                Common Stock   285661104        43831     1062561      SH Sole             997411         0     65150
  EDWARDS LIFE       Common Stock   28176E108            0           0      SH Sole                  0         0         0
  ELECTRONIC ARTS    Common Stock   285512109            0           0      SH Sole                  0         0         0
  EMC CORP           Common Stock   268648102         1523       19800      SH Defin             19800         0         0
  EMC CORP           Common Stock   268648102        70276      913420      SH Sole             849220         0     64200
  EMERSON ELEC       Common Stock   291011104        12075      200000      SH Other                 0         0    200000
  ENERGEN CORP       Common Stock   29265N108         2371      108700      SH Sole             102200         0      6500
  EOG RESOURCES      Common Stock   26875P101        13735      410000      SH Defin            400000         0     10000
  EOG RESOURCES      Common Stock   26875P101        12238      365303      SH Sole             350303         0     15000
  EQUIFAX INC        Common Stock   294429105        23625      900000      SH Other                 0         0    900000
  EQUIFAX INC        Common Stock   294429105         1229       46800      SH Defin             40100         0      6700
  EQUIFAX INC        Common Stock   294429105        38448     1464676      SH Sole            1362476         0    102200
  EUROPE FUND        Mutual Fund    29874M103          275       15800      SH Sole              15800         0         0
  EXXON MOBIL COR    Common Stock   30231G102         1337       17035      SH Sole              17035         0         0
  F&M NATL CORP      Common Stock   302374103         1638       78016      SH Sole              73503         0      4513
  FAIR ISAAC & CO    Common Stock   303250104         4594      104400      SH Sole              98600         0      5800
  FAMILY DLR STOR    Common Stock   307000109         5869      300000      SH Defin            300000         0         0
  FAMILY DLR STOR    Common Stock   307000109          679       34703      SH Sole              30203         0      4500
  FANNIE MAE         Common Stock   313586109        20875      400000      SH Other                 0         0    400000
  FANNIE MAE         Common Stock   313586109         1294       24800      SH Defin             20500         0      4300
  FANNIE MAE         Common Stock   313586109        46478      890600      SH Sole             829000         0     61600
  FASTENAL CO        Common Stock   311900104            0           0      SH Sole                  0         0         0
  FIDELITY SPARTA    Mutual Fund    315911602           49        1358      SH Sole               1358         0         0
  FIRST DATA         Common Stock   319963104         3295       66400      SH Sole              66400         0         0
  FIRST SOURCE CP    Common Stock   336901103         1445       92080      SH Sole              86670         0      5410
  FIRST UN CORP      Common Stock   337358105          129        5200      SH Defin                 0         0      5200
  FIRST UN CORP      Common Stock   337358105         4412      177798      SH Sole             172798         0      5000
  FISERV INC         Common Stock   337738108            0           0      SH Sole                  0         0         0
  FLORIDA ROCK       Common Stock   341140101         2964       83200      SH Sole              78500         0      4700
  FLOWERS INDUS.     Common Stock   343496105        33894     1700000      SH Other                 0         0   1700000
  FLOWERS INDUS.     Common Stock   343496105          676       33914      SH Sole              28914         0      5000
  FORD MOTOR CO      Common Stock   345370100         1075       25000      SH Sole              25000         0         0
  FORWARD AIR        Common Stock   349853101         3350       83750      SH Sole              78900         0      4850
  FREDDIE MAC        Common Stock   313400301         5670      140000      SH Defin            140000         0         0
  FREDDIE MAC        Common Stock   313400301         1604       39600      SH Sole              38600         0      1000
  G & K SVCS INC     Common Stock   361268105         2358       94100      SH Sole              89200         0      4900
  GAP INC            Common Stock   364760108         5563      178000      SH Defin            178000         0         0
  GAP INC            Common Stock   364760108        34707     1110620      SH Sole            1025820         0     84800
  GENERAL ELEC CO    Common Stock   369604103        31800      600000      SH Other                 0         0    600000
  GENERAL ELEC CO    Common Stock   369604103          509        9600      SH Defin                 0         0      9600
  GENERAL ELEC CO    Common Stock   369604103        13499      254700      SH Sole             247200         0      7500
  GENTEX             Common Stock   371901109         2359       93900      SH Sole              88200         0      5700
  GILLETTE           Common Stock   375766102          863       24700      SH Defin             20700         0      4000
  GILLETTE           Common Stock   375766102        32005      916060      SH Sole             848360         0     67700
  GRACO INC          Common Stock   384109104         3121       96042      SH Sole              90317         0      5725
  GRAINGER W W IN    Common Stock   384802104        18488      600000      SH Other                 0         0    600000
  GRAINGER W W IN    Common Stock   384802104         3081      100000      SH Defin            100000         0         0
  GREY GLOBAL GRP    Common Stock   39787M108         2558        4920      SH Sole               4620         0       300
  GTE CORP           Common Stock   362320103          218        3500      SH Defin                 0         0      3500
  GTE CORP           Common Stock   362320103         4252       68300      SH Sole              65700         0      2600
  HARLEY DAVIDSON    Common Stock   412822108         6545      170000      SH Defin            170000         0         0
  HARLEY DAVIDSON    Common Stock   412822108         6607      171600      SH Sole             171000         0       600
  HARSCO CORP        Common Stock   415864107          255       10000      SH Sole              10000         0         0
  HEICO CORP         Common Stock   422806109           14        1000      SH Sole               1000         0         0
  HELIX TECH         Common Stock   423319102         2633       67500      SH Sole              63800         0      3700
  HENRY (JACK)       Common Stock   426281101         5419      108100      SH Sole             101700         0      6400
  HEWLETT-PACKARD    Common Stock   428236103        39960      320000      SH Other                 0         0    320000
  HEWLETT-PACKARD    Common Stock   428236103         8392       67200      SH Defin             64100         0      3100
  HEWLETT-PACKARD    Common Stock   428236103        80867      647586      SH Sole             602096         0     45490
  HIGHWOODS PROP     Common Stock   431284108          466       19400      SH Sole              19400         0         0
  HOME DEPOT INC     Common Stock   437076102        37453      750000      SH Other                 0         0    750000
  HOME DEPOT INC     Common Stock   437076102          277        5550      SH Defin                 0         0      5550
  HOME DEPOT INC     Common Stock   437076102        10057      201400      SH Sole             194300         0      7100
  HONEYWELL-NEW      Common Stock   438516106         1095       32500      SH Defin             27000         0      5500
  HONEYWELL-NEW      Common Stock   438516106        41307     1226180      SH Sole            1148480         0     77700
  HOOPER HOLMES      Common Stock   439104100         1690      211200      SH Sole             198600         0     12600
  HOUGHTON MIFFLI    Common Stock   441560109         3461       74140      SH Sole              69540         0      4600
  HOUSEHOLD INTL     Common Stock   441815107            0           0      SH Sole                  0         0         0
  IMS HEALTH         Common Stock   449934108            0           0      SH Sole                  0         0         0
  INGERSOLL RAND     Common Stock   456866102          185        4600      SH Sole               4600         0         0
  INTEL CORP.        Common Stock   458140100        60159      450000      SH Other                 0         0    450000
  INTEL CORP.        Common Stock   458140100        10922       81700      SH Defin             78100         0      3600
  INTEL CORP.        Common Stock   458140100       113049      845620      SH Sole             786400         0     59220
  INTERPUBLIC GRP    Common Stock   460690100        24940      580000      SH Other                 0         0    580000
  INTERPUBLIC GRP    Common Stock   460690100         1681       39100      SH Defin             33200         0      5900
  INTERPUBLIC GRP    Common Stock   460690100        65181     1515830      SH Sole            1406930         0    108900
  INTL EQUITY        Mutual Fund    000000002            0           0      SH Sole                  0         0         0
  INTUIT INC         Common Stock   461202103            0           0      SH Sole                  0         0         0
  IRON MTN           Common Stock   462846106            0           0      SH Sole                  0         0         0
  IRT PROPERTY       Common Stock   450058102           26        3000      SH Sole                  0         0      3000
  JACOBS ENGINEER    Common Stock   469814107         2919       89300      SH Sole              83900         0      5400
  JAPAN EQUITY FD    Mutual Fund    471057109           98       12700      SH Sole              12700         0         0
  JDN REALTY CORP    Common Stock   465917102          225       22100      SH Sole              22100         0         0
  JOHNSON & JOHNS    Common Stock   478160104         1039       10200      SH Sole              10200         0         0
  JONES PHARMA       Common Stock   480236108         3377       84550      SH Sole              79525         0      5025
  KIMBERLY CLARK     Common Stock   494368103        34425      600000      SH Other                 0         0    600000
  KIMBERLY CLARK     Common Stock   494368103         1475       25700      SH Defin             21300         0      4400
  KIMBERLY CLARK     Common Stock   494368103        56597      986435      SH Sole             917545         0     68890
  KOHLS CORP         Common Stock   500255104            0           0      SH Sole                  0         0         0
  KRONOS             Common Stock   501052104         1976       76000      SH Sole              71800         0      4200
  LA Z BOY INC       Common Stock   505336107         2788      199160      SH Sole             188560         0     10600
  LATTICE SEMICON    Common Stock   518415104         5171       74800      SH Sole              70400         0      4400
  LEE ENTERPRISES    Common Stock   523768109         1769       75900      SH Sole              71500         0      4400
  LIBERTY MEDIA      Common Stock   001957208            0           0      SH Sole                  0         0         0
  LILLY ELI & CO     Common Stock   532457108        34956      350000      SH Other                 0         0    350000
  LILLY ELI & CO     Common Stock   532457108         1598       16000      SH Defin             12700         0      3300
  LILLY ELI & CO     Common Stock   532457108        57348      574201      SH Sole             532301         0     41900
  LINCOLN NAT'L      Common Stock   534187109         1084       30000      SH Sole              30000         0         0
  LINEAR TECH        Common Stock   535678106         1547       24200      SH Defin             19600         0      4600
  LINEAR TECH        Common Stock   535678106        51178      800440      SH Sole             740040         0     60400
  LIZ CLAIBORNE      Common Stock   539320101           18         500      SH Defin               500         0         0
  LONGS DRUG STOR    Common Stock   543162101         2645      121600      SH Sole             115300         0      6300
  LOWES COS INC      Common Stock   548661107         5835      142100      SH Defin            142100         0         0
  LOWES COS INC      Common Stock   548661107        36982      900630      SH Sole             835830         0     64800
  MACDERMID INC      Common Stock   554273102         2640      112340      SH Sole             106440         0      5900
  MARCUS CORP        Common Stock   566330106         2088      172200      SH Sole             162100         0     10100
  MATTHEWS INTL      Common Stock   577128101         2332       80400      SH Sole              75600         0      4800
  MAXIM INTEGRATE    Common Stock   57772K101         8873      130600      SH Sole             127600         0      3000
  MEDTRONIC INC      Common Stock   585055106         1395       28000      SH Defin             22900         0      5100
  MEDTRONIC INC      Common Stock   585055106        54026     1084580      SH Sole            1011580         0     73000
  MELLON FIN CORP    Common Stock   58551A108         1264       34700      SH Defin             34700         0         0
  MELLON FIN CORP    Common Stock   58551A108        50511     1386250      SH Sole            1280850         0    105400
  MERCK & CO INC     Common Stock   589331107         9670      126200      SH Defin            122400         0      3800
  MERCK & CO INC     Common Stock   589331107        78516     1024685      SH Sole             951185         0     73500
  MERRILL            Common Stock   590188108         1806       15700      SH Defin             15700         0         0
  MERRILL            Common Stock   590188108        72486      630315      SH Sole             583235         0     47080
  MICROCHIP          Common Stock   595017104            0           0      SH Sole                  0         0         0
  MICROS SYSTEMS     Common Stock   594901100         1689       91000      SH Sole              85300         0      5700
  MICROSOFT          Common Stock   594918104         3152       39400      SH Defin             39400         0         0
  MICROSOFT          Common Stock   594918104        50837      635462      SH Sole             589512         0     45950
  MINNESOTA POWER    Common Stock   604110106         2966      171300      SH Sole             160900         0     10400
  MOLEX CLASS A      Common Stock   608554200            0           0      SH Sole                  0         0         0
  MORGAN KEEGAN      Common Stock   617410105         1971      133600      SH Sole             125600         0      8000
  MOTOROLA INC       Common Stock   620076109         8719      300000      SH Other                 0         0    300000
  MOTOROLA INC       Common Stock   620076109         1282       44100      SH Defin             36600         0      7500
  MOTOROLA INC       Common Stock   620076109        47524     1635250      SH Sole            1519150         0    116100
  MS DEAN WITTER     Common Stock   617446448          291        3500      SH Defin                 0         0      3500
  MS DEAN WITTER     Common Stock   617446448         8992      108010      SH Sole             105010         0      3000
  MSDW ASIA PAC      Mutual Fund    61744U106           85        8300      SH Sole               8300         0         0
  MSF EMERG MKTS     Mutual Fund    61744G107         1473       98200      SH Sole              86200         0     12000
  MYLAN LABS         Common Stock   628530107        18250     1000000      SH Other                 0         0   1000000
  MYLAN LABS         Common Stock   628530107         1460       80000      SH Defin             80000         0         0
  MYLAN LABS         Common Stock   628530107           92        5050      SH Sole               2150         0      2900
  NATIONAL COMPUT    Common Stock   635519101         4359       88500      SH Sole              83200         0      5300
  NEWELL RUBBER      Common Stock   651229106        19313      750000      SH Other                 0         0    750000
  NEWELL RUBBER      Common Stock   651229106         2575      100000      SH Defin            100000         0         0
  NEWELL RUBBER      Common Stock   651229106            0           0      SH Sole                  0         0         0
  NORTHERN TRUST     Common Stock   665859104            0           0      SH Sole                  0         0         0
  NORTHWEST NAT G    Common Stock   667655104         2208       98680      SH Sole              92680         0      6000
  NOVELL INC         Common Stock   670006105            0           0      SH Sole                  0         0         0
  NUCOR CORP         Common Stock   670346105        26550      800000      SH Other                 0         0    800000
  NUCOR CORP         Common Stock   670346105          146        4400      SH Defin                 0         0      4400
  NUCOR CORP         Common Stock   670346105         5071      152801      SH Sole             147801         0      5000
  OFFICE DEPOT       Common Stock   676220106         9375     1500000      SH Other                 0         0   1500000
  OFFICE DEPOT       Common Stock   676220106          221       35400      SH Sole              30900         0      4500
  OMNICARE INC       Common Stock   681904108            0           0      SH Sole                  0         0         0
  ONEOK INC          Common Stock   682680103         1875       72300      SH Sole              68000         0      4300
  ORACLE CORP        Common Stock   68389X105        50438      600000      SH Other                 0         0    600000
  ORACLE CORP        Common Stock   68389X105        11861      141100      SH Defin            141100         0         0
  ORACLE CORP        Common Stock   68389X105       103390     1229920      SH Sole            1145160         0     84760
  PAINE WEBBER       Common Stock   695629105         3640       80000      SH Defin             80000         0         0
  PARKER HANNIFIN    Common Stock   701094104          137        4000      SH Defin                 0         0      4000
  PARKER HANNIFIN    Common Stock   701094104          171        5000      SH Sole               5000         0         0
  PATTERSON DENT     Common Stock   703412106         5432      106500      SH Sole             100800         0      5700
  PAXAR CORP         Common Stock   704227107         2580      216100      SH Sole             203200         0     12900
  PAYCHEX INC        Common Stock   704326107            0           0      SH Sole                  0         0         0
  PENTAIR INC        Common Stock   709631105         4615      130000      SH Defin            130000         0         0
  PENTAIR INC        Common Stock   709631105         1715       48300      SH Sole              45500         0      2800
  PEPSICO INC        Common Stock   713448108        22219      500000      SH Other                 0         0    500000
  PEPSICO INC        Common Stock   713448108         1635       36800      SH Sole              35400         0      1400
  PERFORMANCE TEC    Common Stock   71376K102            7         820      SH Sole                820         0         0
  PERKINELMER        Common Stock   714046109         3663       55400      SH Sole              52200         0      3200
  PFIZER NEW         Common Stock   717081103        48000     1000000      SH Other                 0         0   1000000
  PFIZER NEW         Common Stock   717081103        11072      230675      SH Defin            224150         0      6525
  PFIZER NEW         Common Stock   717081103       108701     2264608      SH Sole            2105108         0    159500
  PFIZER PRE WLA     Common Stock   717081103            0           0      SH Other                 0         0         0
  PFIZER PRE WLA     Common Stock   717081103            0           0      SH Defin                 0         0         0
  PFIZER PRE WLA     Common Stock   717081103            0           0      SH Sole                  0         0         0
  PHARMACIA CORP     Common Stock   71713U102            0           0      SH Sole                  0         0         0
  PHILLIPS PETRO     Common Stock   718507106        30413      600000      SH Other                 0         0    600000
  PHILLIPS PETRO     Common Stock   718507106         1257       24800      SH Defin             24800         0         0
  PHILLIPS PETRO     Common Stock   718507106        52245     1030720      SH Sole             953380         0     77340
  PIEDMONT NAT GA    Common Stock   720186105         1766       66480      SH Sole              62380         0      4100
  PITNEY BOWES IN    Common Stock   724479100        11000      275000      SH Other                 0         0    275000
  PITNEY BOWES IN    Common Stock   724479100         1600       40000      SH Defin             40000         0         0
  PITNEY BOWES IN    Common Stock   724479100          248        6200      SH Sole               5200         0      1000
  PLEXUS             Common Stock   729132100         3198       28300      SH Sole              26600         0      1700
  PMI GROUP INC      Common Stock   69344M101         1986       41800      SH Sole              39200         0      2600
  POST PROPERTIES    Common Stock   737464107          708       16100      SH Sole              13600         0      2500
  PROCTER & GAMBL    Common Stock   742718109          710       12400      SH Sole              12400         0         0
  PROGRESSIVE COR    Common Stock   743315103        14800      200000      SH Other                 0         0    200000
  PROGRESSIVE COR    Common Stock   743315103            0           0      SH Defin                 0         0         0
  PROGRESSIVE COR    Common Stock   743315103           15         200      SH Sole                200         0         0
  PROTECTIVE LIFE    Common Stock   743674103        23963      900000      SH Other                 0         0    900000
  PROTECTIVE LIFE    Common Stock   743674103         5325      200000      SH Defin            200000         0         0
  PROTECTIVE LIFE    Common Stock   743674103          692       26003      SH Sole              22803         0      3200
  PROVIDENT BKSH     Common Stock   743859100         1874      138849      SH Sole             130549         0      8300
  PROVIDIAN FINAN    Common Stock   74406A102            0           0      SH Sole                  0         0         0
  REEBOK INTL        Common Stock   758110100           10         600      SH Defin               600         0         0
  ROLLINS TRUCK      Common Stock   775741101         1319      190140      SH Sole             179040         0     11100
  ROPER INDS INC     Common Stock   776696106         3588      140000      SH Defin            140000         0         0
  ROPER INDS INC     Common Stock   776696106         1794       70002      SH Sole              64302         0      5700
  ROYAL CARIBBEAN    Common Stock   V7780T103            0           0      SH Sole                  0         0         0
  RUDDICK CORP       Common Stock   781258108         1676      141900      SH Sole             133500         0      8400
  SAFEWAY INC        Common Stock   786514208         1579       35000      SH Defin             35000         0         0
  SBC COMMUNICAT     Common Stock   78387G103          878       20300      SH Defin             20300         0         0
  SBC COMMUNICAT     Common Stock   78387G103        35570      822430      SH Sole             759630         0     62800
  SCHERING-PLOUGH    Common Stock   806605101        35350      700000      SH Other                 0         0    700000
  SCHERING-PLOUGH    Common Stock   806605101         8918      176600      SH Defin            176600         0         0
  SCHERING-PLOUGH    Common Stock   806605101        53309     1055625      SH Sole             973045         0     82580
  SCHLUMBERGER LT    Common Stock   806857108        48506      650000      SH Other                 0         0    650000
  SCHLUMBERGER LT    Common Stock   806857108         1470       19700      SH Defin             16600         0      3100
  SCHLUMBERGER LT    Common Stock   806857108        60112      805521      SH Sole             738861         0     66660
  SCIENTIFIC ATLA    Common Stock   808655104         8508      114200      SH Defin            112100         0      2100
  SCIENTIFIC ATLA    Common Stock   808655104        42966      576725      SH Sole             537505         0     39220
  SEI INVESTMENTS    Common Stock   784117103         3149       79100      SH Sole              74900         0      4200
  SIGMA-ALDRICH      Common Stock   826552101          983       33600      SH Sole              32900         0       700
  SOLECTRON          Common Stock   834182107         8057      192400      SH Defin            192400         0         0
  SOLECTRON          Common Stock   834182107        59072     1410680      SH Sole            1304200         0    106480
  SOUTHERN CO        Common Stock   842587107          793       34000      SH Sole              34000         0         0
  SOUTHTRUST CORP    Common Stock   844730101        16969      750000      SH Other                 0         0    750000
  SOUTHTRUST CORP    Common Stock   844730101         2263      100000      SH Defin            100000         0         0
  SOUTHTRUST CORP    Common Stock   844730101          371       16402      SH Sole              16402         0         0
  SOUTHWEST AIR      Common Stock   844741108          720       38000      SH Sole              38000         0         0
  STARBUCKS          Common Stock   855244109            0           0      SH Sole                  0         0         0
  STATE STREET CO    Common Stock   857477103            0           0      SH Sole                  0         0         0
  STRIDE RITE COR    Common Stock   863314100         1842      300700      SH Sole             282800         0     17900
  STRYKER CORP.      Common Stock   863667101        30625      700000      SH Other                 0         0    700000
  STRYKER CORP.      Common Stock   863667101         4375      100000      SH Defin            100000         0         0
  STRYKER CORP.      Common Stock   863667101          499       11400      SH Sole              11400         0         0
  SUN MICROSYSTEM    Common Stock   866810104        45469      500000      SH Other                 0         0    500000
  SUN MICROSYSTEM    Common Stock   866810104         8866       97500      SH Defin             97500         0         0
  SUN MICROSYSTEM    Common Stock   866810104        76620      842560      SH Sole             784760         0     57800
  SUNTRUST BKS IN    Common Stock   867914103           33         728      SH Sole                728         0         0
  SYMBOL TECH        Common Stock   871508107        29700      550000      SH Other                 0         0    550000
  SYMBOL TECH        Common Stock   871508107         8205      151950      SH Defin            147850         0      4100
  SYMBOL TECH        Common Stock   871508107        45997      851801      SH Sole             787451         0     64350
  SYSCO CORP         Common Stock   871829107         1264       30000      SH Sole              30000         0         0
  TARGET             Common Stock   87612E106        29000      500000      SH Other                 0         0    500000
  TARGET             Common Stock   87612E106         6629      114300      SH Defin            110000         0      4300
  TARGET             Common Stock   87612E106        10075      173700      SH Sole             168600         0      5100
  TECHNITROL INC     Common Stock   878555101         5338       55100      SH Sole              52000         0      3100
  TELEPHONE&DATA     Common Stock   879433100          211        2100      SH Defin                 0         0      2100
  TELEPHONE&DATA     Common Stock   879433100         6276       62600      SH Sole              60500         0      2100
  TELLABS INC        Common Stock   879664100            0           0      SH Sole                  0         0         0
  TEXAS INSTRUM      Common Stock   882508104            0           0      SH Sole                  0         0         0
  TMP WORLDWIDE      Common Stock   872941109            0           0      SH Sole                  0         0         0
  TOOTSIE ROLL       Common Stock   890516107         2307       65917      SH Sole              62400         0      3517
  TRANSOCEAN OFFS    Common Stock   G90078109            0           0      SH Other                 0         0         0
  TRANSOCEAN OFFS    Common Stock   G90078109           10         193      SH Sole                  0         0       193
  TRIBUNE CO         Common Stock   896047107          830       23700      SH Defin             18600         0      5100
  TRIBUNE CO         Common Stock   896047107        31078      887950      SH Sole             827930         0     60020
  TYCO LABS INC      Common Stock   902124106        33163      700000      SH Other                 0         0    700000
  TYCO LABS INC      Common Stock   902124106         8665      182900      SH Defin            178800         0      4100
  TYCO LABS INC      Common Stock   902124106        58620     1237364      SH Sole            1143064         0     94300
  UNIVERSAL HLTH     Common Stock   913903100         5843       89200      SH Sole              84100         0      5100
  UNOCAL CORP        Common Stock   915289102            0           0      SH Sole                  0         0         0
  USFREIGHT          Common Stock   916906100            0           0      SH Sole                  0         0         0
  VANGUARD INTL      Mutual Fund    922042205          216        7708      SH Sole               7708         0         0
  VANGUARD PACIFI    Mutual Fund    922042106           80        6984      SH Sole               6984         0         0
  VISTEON CORP       Common Stock   92839U107           40        3273      SH Sole               3273         0         0
  WAL MART STORES    Common Stock   931142103        17288      300000      SH Other                 0         0    300000
  WAL MART STORES    Common Stock   931142103         1919       33300      SH Sole              32300         0      1000
  WARNER LAMBERT     Common Stock   934488107            0           0      SH Other                 0         0         0
  WARNER LAMBERT     Common Stock   934488107            0           0      SH Defin                 0         0         0
  WARNER LAMBERT     Common Stock   934488107          208        1600      SH Sole               1600         0         0
  WAUSAU-MOSINEE     Common Stock   943315101         1621      189300      SH Sole             178300         0     11000
  WESCO FINANCIAL    Common Stock   950817106         1586        7735      SH Sole               7235         0       500
  WORTHINGTON IND    Common Stock   981811102        12600     1200000      SH Other                 0         0   1200000
  XILINX INC         Common Stock   983919101         1181       14300      SH Defin             14300         0         0
  XILINX INC         Common Stock   983919101        53108      643240      SH Sole             597600         0     45640
  ZEBRA TECH         Common Stock   989207105         5761      130000      SH Defin            130000         0         0
  ZEBRA TECH         Common Stock   989207105          492       11100      SH Sole               9700         0      1400

GRAND TOTAL                                        4958928                                    69549393         0  35401575
</TABLE>


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