MONUMENT SERIES FUND INC
13F-HR/A, 2000-02-17
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                                 UNITED STATES
                       SECURITIES AND EXCHANGE COMMISSION
                             Washington, D.C. 20549

                                    Form 13F

Form 13F COVER PAGE

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

Check here if Amendment [ X ]   ACCESSION #0001037813-00-000009
                                FILED IN ERROR --  PLEASE DISREGARD

mendment Number:


Institutional Investment Manager Filing this Report:


Name:            Monument Advisors, Ltd

Address:         7920 Norfolk Avenue, Suite 500
                 Bethesda, Maryland 20853

Form 13F File Number:   28-


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:            Peter L. Smith

Title:           Senior Vice President Compliance

Phone:           (301)215-7550

/s/ Peter L. Smith      Bethesda, Maryland              February 14, 2000
- --------------------------------------------------------------------------------
Signature,              Place, and                      Date of Signing:

Report type (Check only one.):

13F HOLDINGS REPORT. [X] (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 is 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-


Form 13F SUMMARY PAGE

Report Summary:
Number of Other Included Managers:                                0
Form 13F Information Table Entry Total:
Form 13F Information Table Value Total:                           $141,316
                                                                 ----------
                                                                 (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 that the manager filing this report.

[If there are no entries in this list, state "NONE" and omit the column headings
and list entries.]    NONE

No.                        Form 13F File Number               Name


                            28-


Form 13F    INFORMATIONAL    TABLE

<TABLE>
<CAPTION>
NAME                TITLE        CUSIP        VALUE         SHRS     SH/    PUT/   INVESTMENT   OTHER          VOTING
OF                  OF                       (x$1000)       OR PRN.  PRN    CALL   DISCRETION   MANAGERS       AUTHORITY
ISSUER              CLASS                                   AMT                                                SOLE   SHARED   NONE
<S>                 <C>          <C>           <C>          <C>     <C>           <C>                          <C>
ALLAIRE CORP        COM          016714107     1584         11000    SH            DEFINED                     SOLE
ALCATEL             ADR          013904305     2031         45000    SH            DEFINED                     SOLE
AMAZON COM INC      COM          023135106      790         10000    SH            DEFINED                     SOLE
AMERICA ONLINE INC  COM          02364J104     4632         60500    SH            DEFINED                     SOLE
AMERITRADE HLDG     CL A         03072H109      242         11000    SH            DEFINED                     SOLE
ARIBA INC           COM          04033V104     2747         16000    SH            DEFINED                     SOLE
ARTIFICIAL LIFE INC COM          04314Q105      360         20000    SH            DEFINED                     SOLE
AWARE INC           COM          05453N100     1641         46300    SH            DEFINED                     SOLE
BROADCOM CORP       COM          111320107     2582          9500    SH            DEFINED                     SOLE
BROADVISION         COM          111412102     6351         36100    SH            DEFINED                     SOLE
CAIS INTERNET INC   COM          12476Q102     3021         94400    SH            DEFINED                     SOLE
CHECKFREE
  HLDGS CORP        COM          162816102     2774         26500    SH            DEFINED                     SOLE
CISCO SYS INC       COM          17275R102     2708         25500    SH            DEFINED                     SOLE
CLARENT CORP DEL    COM          180461105     2116         30500    SH            DEFINED                     SOLE
CMGI                COM          125750109     5914         22000    SH            DEFINED                     SOLE
COMMERCE ONE DEL    COM          200693109     3045         15000    SH            DEFINED                     SOLE
COVAD
  COMMUNICATIONS
  GROUP INC         COM          222814204      886         16000    SH            DEFINED                     SOLE
DIGIMARC CORP       COM          253807101     1828         35500    SH            DEFINED                     SOLE
DIGITAL IS INC DEL  COM          25385N101     2929         30200    SH            DEFINED                     SOLE
DOUBLECLICK INC     COM          258609304     5925         24000    SH            DEFINED                     SOLE
DRKOOP COM INC      COM          262098106      629         52400    SH            DEFINED                     SOLE
E TRADE GROUP INC   COM          269246104      810         30000    SH            DEFINED                     SOLE
EARTHWEB INC        COM          27032c108     1297         25000    SH            DEFINED                     SOLE
EBAY INC            COM          278642103      675          5000    SH            DEFINED                     SOLE
ENTRUST TECHS INC   COM          293848107     2934         48100    SH            DEFINED                     SOLE
GADZOOX NETWORKS,
  INC               COM          362555104     1939         42500    SH            DEFINED                     SOLE
GLOBIX CORP         COM          37957F101     1525         13200    SH            DEFINED                     SOLE
HEALTHON CORP       COM          422209106     2212         58500    SH            DEFINED                     SOLE
IBASIS INC          COM          450732102     1334         42000    SH            DEFINED                     SOLE
INFOSPACE COM INC   COM          45678T102     4168         19500    SH            DEFINED                     SOLE
INKTOMI CORP        COM          457277101     3410         18000    SH            DEFINED                     SOLE
INTEL CORP          COM          458140100     2511         30000    SH            DEFINED                     SOLE
INTERNET COM CORP   COM          46059F109     1343         24500    SH            DEFINED                     SOLE
INTUIT              COM          461202103     1821         30000    SH            DEFINED                     SOLE
LIQUID AUDIO INC    COM          53631T102     1012         35500    SH            DEFINED                     SOLE
LYCOS INC           COM          550818108     1646         20200    SH            DEFINED                     SOLE
MACROMEDIA INC      COM          556100105     1469         20000    SH            DEFINED                     SOLE
MICROSOFT CORP      COM          594918104     2000         17000    SH            DEFINED                     SOLE
MINDSPRING
  ENTERPRIZES INC   COM          602683104      270         10000    SH            DEFINED                     SOLE
NBCINTERNET INC     CL A         62873D105     1786         23200    SH            DEFINED                     SOLE
NETCETNIVES INC     COM          64108P101     1860         30000    SH            DEFINED                     SOLE
NETWORK SOLUTIONS   COM          64121Q102     1519          7000    SH            DEFINED                     SOLE
NORTEL NETWORKS
  CORP              COM          656569100     3077         31000    SH            DEFINED                     SOLE
PHONE.COM INC       COM          71920Q100     2068         18550    SH            DEFINED                     SOLE
PROXICOM INC        COM          744282104     1105         10100    SH            DEFINED                     SOLE
PSI NET             COM          74437C101     1564         25000    SH            DEFINED                     SOLE
QWEST COMM INT'L    COM          749121109     1161         27600    SH            DEFINED                     SOLE
REAL NETWORKS INC   COM          75605L104     4056         32000    SH            DEFINED                     SOLE
S 1 CORP            COM          78463B101     4094         54500    SH            DEFINED                     SOLE
SCHWAB NEW          COM          808513105     1747         45000    SH            DEFINED                     SOLE
SUN MICROSYSTEMS
  INC               COM          866810104     4581         58400    SH            DEFINED                     SOLE
TELEBANC FINANCIAL  COM          87925R109      793         30000    SH            DEFINED                     SOLE
US WEB CORP         COM          917327108     2214         48000    SH            DEFINED                     SOLE
USINTERNET
  WORKING INC       COM          917311805     3127         46500    SH            DEFINED                     SOLE
VERIO INC           COM          923433106      897         19000    SH            DEFINED                     SOLE
VERISIGN INC        COM          92343E102     3831         21000    SH            DEFINED                     SOLE
VERTICALNET INC     COM          92532L107     3110         20000    SH            DEFINED                     SOLE
VIGNETTE CORP       COM          926734104     2538         15500    SH            DEFINED                     SOLE
WINSTAR COMM        COM          975515107     1101          5000    SH            DEFINED                     SOLE
WIT CAPITAL
  GROUP INC         COM          97737K309      814         47000    SH            DEFINED                     SOLE
ABBOTT LABS         COM          002824100       37          2000    SH            DEFINED                     SOLE
AFFYMETRIX INC      COM          00826T108      370          2000    SH            DEFINED                     SOLE
ALEXION
  PHARMACEUTICALS
  INC               COM          015351109      231          8000    SH            DEFINED                     SOLE
ALKERMES INC        COM          01642T108       68          1400    SH            DEFINED                     SOLE
AMGEN INC           COM          031162100      182          2800    SH            DEFINED                     SOLE
ARQULE INC          COM          04269E107       50          5000    SH            DEFINED                     SOLE
BIOCHEM PHARMA INC  COM          09058T108       54          3000    SH            DEFINED                     SOLE
BIOGEN              COM          090597105      170          2000    SH            DEFINED                     SOLE
CHIRON CORP         COM          170040109      151          3500    SH            DEFINED                     SOLE
COR THERAPEUTICS
  INC               COM          217753102      108          4000    SH            DEFINED                     SOLE
COULTER
  PHARMACEUTICAL
  INC               COM          222116105       68          3000    SH            DEFINED                     SOLE
DU PONT EI          COM          263534109       20           300    SH            DEFINED                     SOLE

</TABLE>

<TABLE>
<CAPTION>
NAME                TITLE        CUSIP        VALUE         SHRS     SH/    PUT/   INVESTMENT   OTHER          VOTING
OF                  OF                       (x$1000)       OR PRN.  PRN    CALL   DISCRETION   MANAGERS       AUTHORITY
ISSUER              CLASS                                   AMT                                                SOLE   SHARED   NONE
<S>                 <C>          <C>            <C>         <C>     <C>           <C>                          <C>
CHARTER COMM INC    CL A         16117M107       78          3500    SH            DEFINED                     SOLE
CHINA TELECOM       ADR          169428109       69           550    SH            DEFINED                     SOLE
CIENA CORP          COM          171779101       73          1300    SH            DEFINED                     SOLE
COM 21 INC          COM          205937105       97          4200    SH            DEFINED                     SOLE
COPPER MOUNTAIN
  NETWORKS INC      COM          217510106      101          2100    SH            DEFINED                     SOLE
ECI TELECOM LTD     ORD          268258100       75          2400    SH            DEFINED                     SOLE
HELLENIC TELECOM    ADR          423325307       48          4000    SH            DEFINED                     SOLE
I CABLE
  COMMUNICATIONS    ADR          44934B104       26          1000    SH            DEFINED                     SOLE
INTERWOVEN INC      COM          46114T102       24           200    SH            DEFINED                     SOLE
LUCENT
  TECHNOLOGIES INC  COM          549463107      120          1600    SH            DEFINED                     SOLE
MCI WORLDCOM INC    COM          55268B106       79          1000    SH            DEFINED                     SOLE
MGC COMMUNICATIONS
  INC               COM          552763302       77          1600    SH            DEFINED                     SOLE
MICROMUSE INC       COM          595094103       61           400    SH            DEFINED                     SOLE
MOTOROLA INC        COM          620076109       81           550    SH            DEFINED                     SOLE
NOKIA CORP          ADR          654902204      126           700    SH            DEFINED                     SOLE
ORTEL CORP          COM          68749W102       34           300    SH            DEFINED                     SOLE
PARADYNE
  NETWORKS INC      COM          69911G107       80          3000    SH            DEFINED                     SOLE
PMC-SIERRA INC      COM          69344F106       75           500    SH            DEFINED                     SOLE
POWERWAVE
  TECHNOLOGIES INC  COM          739363109       71          1300    SH            DEFINED                     SOLE
PRIMUS TELECOM
   GROUP            COM          741929103       59          1600    SH            DEFINED                     SOLE
QUALCOMM INC        COM          747525103       65           100    SH            DEFINED                     SOLE
SBC COMMUNICATIONS
  INC               COM          78387G103       81          1700    SH            DEFINED                     SOLE
SCIENTIFIC
  ATLANTA INC       COM          808655104      137          2400    SH            DEFINED                     SOLE
SOMERA
  COMMUNICATION     COM          834458101       64          5000    SH            DEFINED                     SOLE
SYCAMORE
  NETWORKS INC      COM          817206108       30           100    SH            DEFINED                     SOLE
TELEFONOS DE MEXICO ADR          879403400       17           150    SH            DEFINED                     SOLE
TELIGENT INC        CL A         87959Y103       49           800    SH            DEFINED                     SOLE
TELLABS INC         COM          879664100       69          1100    SH            DEFINED                     SOLE
TRITON PCS
  HOLDINGS INC      CL A         89677M106       41           925    SH            DEFINED                     SOLE
VISUAL NETWORKS INC COM          928444108       56           700    SH            DEFINED                     SOLE
VODAFONE
  AIRTOUCH PLC      ADR          92857T107       85          1700    SH            DEFINED                     SOLE
WILLIAMS
  COMMUNICATIONS
  GROUP             CL A         969455104       58          2000    SH            DEFINED                     SOLE

</TABLE>

<TABLE>
<CAPTION>
NAME                TITLE        CUSIP        VALUE         SHRS     SH/    PUT/   INVESTMENT   OTHER          VOTING
OF                  OF                       (x$1000)       OR PRN.  PRN    CALL   DISCRETION   MANAGERS       AUTHORITY
ISSUER              CLASS                                   AMT                                                SOLE   SHARED   NONE
<S>                 <C>          <C>          <C>         <C>       <C>           <C>                         <C>
ASTRAZENECA
  PLC ADR           ADR          046353108        41        2000      SH           DEFINED                     SOLE
DURAMED             COM          266354109         6         800      SH           DEFINED                     SOLE
ELAN PLC            ADR          284131208        46        2600      SH           DEFINED                     SOLE
GENZYME CORP        COM          372917104        92        2000      SH           DEFINED                     SOLE
GENZYME
  TRASNSGENICS
  CORP              COM          37246E105        39        5000      SH           DEFINED                     SOLE
GILEAD SCIENCES INC COM          375558103       164        3000      SH           DEFINED                     SOLE
GLAXO WELCOME PLC   ADR          37733W105        73        1300      SH           DEFINED                     SOLE
GUIDANT CORP        COM          401698105       118        2500      SH           DEFINED                     SOLE
HUMAN GENOME
  SCIENCES INC      COM          444903108       239        1500      SH           DEFINED                     SOLE
IDEC
  PHARMACEUTICLAS
  CORP              COM          449370105       169        1800      SH           DEFINED                     SOLE
IMMUNEX CORP        COM          452528102       174        1500      SH           DEFINED                     SOLE
INCYTE
  PHARMACEUTICALS
  INC               COM          45337C102        92        1500      SH           DEFINED                     SOLE
INHALE THERAPEUTIC
  SYS INC           COM          457191104       111        2600      SH           DEFINED                     SOLE
INVITROGEN CORP     COM          46185R100        65        1200      SH           DEFINED                     SOLE
MEDICAL MANAGER
  CORP              COM          584610103        82        1000      SH           DEFINED                     SOLE
MEDICALOGIC INC     COM          584642102        94        3500      SH           DEFINED                     SOLE
MEDIMMUNE INC       COM          584699102       136        1200      SH           DEFINED                     SOLE
MEDTRONIC INC       COM          585055106       110        3000      SH           DEFINED                     SOLE
MERCK & CO INC      COM          589331107        68        1000      SH           DEFINED                     SOLE
MILLENNIUM
 PHARMACEUTICALS
 INC                COM          599902103       171        1300      SH           DEFINED                     SOLE
MONSANTO CORP       COM          611662107        71        2000      SH           DEFINED                     SOLE
PFIZER INC          COM          717081103        65        2000      SH           DEFINED                     SOLE
PHARMACOPEIA INC    COM          71713B104        48        2500      SH           DEFINED                     SOLE
PROTEIN DESIGN
  LABS INC          COM          74369L103        78        1600      SH           DEFINED                     SOLE
QLT
 PHOTOTHERAPEUTICS
 INC                COM          746927102       148        2500      SH           DEFINED                     SOLE
SEPRACOR INC        COM          817315104       151        1500      SH           DEFINED                     SOLE
ST JUDE MED INC     COM          790849103        55        1800      SH           DEFINED                     SOLE
SUPERGEN INC        COM          868059106        69        3500      SH           DEFINED                     SOLE
VERTEX
  PHARMACEUTICALS
  INC               COM          92532F100        69        3000      SH           DEFINED                     SOLE
ADAPTIVE
  BROADBAND CORP    COM          00650M104        70        1000      SH           DEFINED                     SOLE
ADC TELECOM         COM          000886101        72        1000      SH           DEFINED                     SOLE
ALPHA INDS INC      COM          020753109        91        1600      SH           DEFINED                     SOLE
ANTEC CORP          COM          03664P105        59        1700      SH           DEFINED                     SOLE
AT&T CORP           COM          001957109       106        2100      SH           DEFINED                     SOLE
BROADWING INC       COM          111620100        89        2400      SH           DEFINED                     SOLE
BROOKTROUT INC      COM          114580103        66        3500      SH           DEFINED                     SOLE
</TABLE>


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