UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
FORM 13F
FORM 13F COVER PAGE
Report for the Quarter Ended: June 30, 1999
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: Investment Advisors International, Inc.
1360 East 9th Street
Cleveland, Ohio 44114
13F File Number: 28-6392
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: Lisa K. Levine
Title: Associate Counsel
Phone: 216/436-3674
Signature, Place, and Date of Signing:
Lisa K. Levine Cleveland, Ohio August 11, 1999
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.
FORM 13F SUMMARY PAGE
REPORT SUMMARY:
Number of Other Included Managers: 0
Form 13F Information Table Entry Total: 157
Form 13F Information Table Total Value: $210,970,068
Item #1 Item #2 Item #3 Item #4
Item #5 Item #6 Item #7 Item #8
Title of Cusip
Market Investment
Voting
Name of Issuer Class Number Value QuantityDiscretion
Managers Authority
Common Stock
A. Schulman Incorporated 808194104 558,610 32,500 Sole
Sole
AAR Corp. 000361105 1,108,309 48,850 Sole
Sole
Abbott Labs Inc. 002824100 1,258,929 27,745 Sole
Sole
Action Performance 004933107 1,227,600 37,200 Sole
Sole
Adobe Systems 00724F101 450,544 5,484 Sole
Sole
Airborne Freight Corp. 009267107 686,662 24,800 Sole
Sole
Alcoa Inc. 031817101 389,813 6,300 Sole
Sole
AllenTelecom Inc. 018091108 1,012,000 92,000 Sole
Sole
Alliance Capital Mgmt. Corp. 018548107 581,634 18,000 Sole
Sole
American Express 025816109 1,123,369 8,633 Sole
Sole
American Home Products 026609107 275,400 4,800 Sole
Sole
American International Group 026874107 1,885,908 16,084 Sole
Sole
American Management Systems 027352103 250,252 7,805 Sole
Sole
Ameritech Corp 030954101 444,675 6,050 Sole
Sole
Amgen Inc 031162100 206,975 3,400 Sole
Sole
Amkor Technology 031652100 666,250 65,000 Sole
Sole
AmSouth Bancorp 032165102 1,526,037 65,811 Sole
Sole
Asia Tigers Fund Inc 04516T105 237,994 25,052 Sole
Sole
Associates First Capital 046008108 362,046 8,205 Sole
Sole
AT & T Corp. 001957109 5,051,858 90,514 Sole
Sole
Atlantic Richfield 048825103 258,043 3,088 Sole
Sole
Baker Fentress & Co 057213100 614,119 32,322 Sole
Sole
Bank of America Corp 060505104 3,003,414 40,967 Sole
Sole
Bank One Corp. 06423A103 1,222,888 20,531 Sole
Sole
Bell & Howell Holdings 077852101 1,264,845 33,450 Sole
Sole
Bellsouth Corporation 077852102 1,208,291 26,196 Sole
Sole
Berkshire Hathaway Class B 084670207 295,680 132 Sole
Sole
Boston Scientific Corp 101137107 250,447 5,700 Sole
Sole
Boykin Lodging 101137108 292,125 19,000 Sole
Sole
BP Amoco PLC ADR 101137109 3,903,071 35,973 Sole
Sole
Brandywine Realty Trust 101137110 198,130 10,000 Sole
Sole
Bristol-Myers Squibb 101137111 4,505,074 63,958 Sole
Sole
Burlington Resources Inc. 101137112 278,617 6,442 Sole
Sole
CCC Information Services Group 101137113 1,306,813 101,500 Sole
Sole
Charter One Financial Inc. 101137114 16,911,25 608,034 Sole
Sole
Chase Manhattan Corp 101137115 396,170 4,580 Sole
Sole
Chevron Corp 101137116 2,558,906 26,918 Sole
Sole
Cincinnati Financial Corporation 101137117 251,071 6,684 Sole
Sole
CINergy 101137118 2,224,320 69,510 Sole
Sole
Coca-Cola Co. 101137119 247,752 3,996 Sole
Sole
Colonial Bancgroup Inc 101137120 167,256 12,000 Sole
Sole
Conexant Systems Inc. 101137121 436,053 7,510 Sole
Sole
Consolidated Stores 101137122 379,674 14,062 Sole
Sole
Corrpro Companies Inc 101137123 215,625 25,000 Sole
Sole
CVS Corp. 101137124 409,806 8,075 Sole
Sole
Diebold Inc. 253651103 4,895,7491,068,06 Sole
Sole
Disney, Walt Co. 253651103 345,059 11,198 Sole
Sole
Dow Chemical 253651103 558,250 4,400 Sole
Sole
Du Pont (EI) de Nemours 263534109 519,179 7,600 Sole
Sole
Dun & Bradstreet 263534109 492,588 13,900 Sole
Sole
E M C Corporation 268648102 220,000 4,000 Sole
Sole
Electronic Data Systems 285661104 280,520 4,954 Sole
Sole
Electronics for Imaging 285661104 1,818,675 35,400 Sole
Sole
Eli Lilly Co 285661104 716,250 10,000 Sole
Sole
Emerald Financial Corp 285661104 283,507 14,400 Sole
Sole
Emerson Electric 285661104 906,307 14,400 Sole
Sole
Enron Corp 285661104 388,313 4,750 Sole
Sole
Equitable Co. 285661104 1,031,800 15,400 Sole
Sole
Exxon Corporation 285661104 543,731 7,050 Sole
Sole
Fifth Third Bancorp. 316773100 1,398,622 21,012 Sole
Sole
First Essex Bancorp Inc 320103104 284,375 17,500 Sole
Sole
Firstar Inc. 33763V109 2,715,440 96,980 Sole
Sole
FirstMerit Corp 337915102 1,158,385 41,278 Sole
Sole
Ford Motor Corp 345370100 676,692 11,990 Sole
Sole
Fort James 347471104 956,798 25,262 Sole
Sole
Gabelli Equity Trust 362397101 420,663 33,993 Sole
Sole
Galileo International 363547100 1,498,936 28,050 Sole
Sole
Gannett Company Inc. 364730101 270,940 3,796 Sole
Sole
General Electric 369604103 8,186,059 72,443 Sole
Sole
General Instrument Corp 370120107 297,500 7,000 Sole
Sole
Gilead Sciences Inc 375558103 522,500 10,000 Sole
Sole
Glaxo Wellcome PLC ADR 37733W105 283,125 5,000 Sole
Sole
Greenpoint Financial Corp. 395384100 774,387 23,600 Sole
Sole
GTE Corp 362320103 2,611,168 34,585 Sole
Sole
H & Q Healthcare Fund 404052102 602,340 41,361 Sole
Sole
H & Q Life Sciences Fund 404053100 363,875 29,110 Sole
Sole
Hagler Bailly 405182104 335,175 32,700 Sole
Sole
Harley Davidson Inc. 412822108 1,685,081 30,990 Sole
Sole
Hertz Corporation 428040109 1,004,400 16,200 Sole
Sole
Hewlett-Packard Company 428236103 2,250,195 22,390 Sole
Sole
Home Depot 437076102 2,474,677 38,404 Sole
Sole
Ingersoll-Rand 456866102 484,688 7,500 Sole
Sole
Intel Corp 458140100 5,012,280 84,240 Sole
Sole
International Business Machines 459200101 4,108,858 31,790 Sole
Sole
International Game Technology 459902102 331,150 17,900 Sole
Sole
International Total Service 460499106 49,733 15,600 Sole
Sole
Invacare 461203101 1,163,625 43,500 Sole
Sole
J. Alexanders Corp 466096104 224,860 57,100 Sole
Sole
J.P. Morgan & Co., Inc. 616880100 1,144,935 8,149 Sole
Sole
Johnson & Johnson 478160104 2,796,724 28,538 Sole
Sole
KeyCorp 493267108 3,115,740 96,988 Sole
Sole
Lam Research Corp 512807108 933,760 20,000 Sole
Sole
Lamson & Sessions Co. 513696104 60,000 10,000 Sole
Sole
Lehman Brothers Holdings 524908100 900,813 14,500 Sole
Sole
Liberty All-Star Growth Fund 529900102 1,242,445 112,307 Sole
Sole
Lincoln Electric 533543203 2,620,925 127,850 Sole
Sole
London American Ventures Trust G55636107 82,025 215,000 Sole
Sole
Lucent Technologies 549463107 6,397,641 94,867 Sole
Sole
M.A. Hanna Co 410522106 2,847,884 173,250 Sole
Sole
Martek Biosciences Corp 572901106 867,850 102,100 Sole
Sole
Mattel, Inc. 577081102 325,256 12,450 Sole
Sole
May Department Stores 577778103 423,056 10,350 Sole
Sole
McDonalds Corp 580135101 1,874,066 45,570 Sole
Sole
MCI Worldcom Inc. 58268B106 7,532,406 87,522 Sole
Sole
Medimmune Inc. 584669102 677,500 10,000 Sole
Sole
Merck & Co 589331107 1,197,290 16,262 Sole
Sole
Microsoft Corporation 594918104 1,467,810 16,275 Sole
Sole
Milton Federal Financial Corp. 601795107 140,250 11,000 Sole
Sole
Mobil Corporation 607059102 428,575 4,340 Sole
Sole
Moog Inc Class A 615394202 275,000 8,000 Sole
Sole
Motorola Incorporated 620076109 676,041 7,135 Sole
Sole
New Plan Excel Realty 648053106 275,400 15,300 Sole
Sole
Oak Hill Financial Inc. 671337103 232,688 12,750 Sole
Sole
Office Depot Inc 676220106 443,466 20,100 Sole
Sole
Oglebay Norton Company 677007106 640,800 28,800 Sole
Sole
Oracle Systems 68389x105 1,069,200 28,800 Sole
Sole
Parker-Hannifin 701094104 1,760,826 38,488 Sole
Sole
Peapod Inc. 704718105 408,807 51,500 Sole
Sole
Pepsico Inc. 713448108 562,524 14,540 Sole
Sole
Petshealth 71676U107 540,0001,080,00 Sole
Sole
Pfizer Inc 717081103 3,393,061 31,129 Sole
Sole
Pioneeer Standard Electronics 723877106 174,000 14,500 Sole
Sole
Prison Realty Trust 74264N105 101,928 10,387 Sole
Sole
Procter & Gamble 742718109 3,154,720 35,347 Sole
Sole
Progressive Corp 743315103 10,428,69 71,922 Sole
Sole
PVF Capital Corp 693654105 618,125 43,000 Sole
Sole
Qualcomm Incorporated 747525103 3,573,150 24,900 Sole
Sole
Republic Security Financial Corp. 760758102 167,500 20,000 Sole
Sole
Rockwell International 773903109 912,465 15,020 Sole
Sole
Royal Dutch Petroleum 780257705 1,347,672 22,368 Sole
Sole
RPM Inc. 749685103 556,255 39,206 Sole
Sole
Safeguard Scientific Inc 786449108 598,500 9,500 Sole
Sole
SBC Communications 78387G103 401,940 6,930 Sole
Sole
Schering-Plough 806605101 1,418,025 27,010 Sole
Sole
Seaway Food Town 812744100 1,006,370 51,280 Sole
Sole
Smithkline Beecham plc ADR 832378301 812,575 12,300 Sole
Sole
Sony Corporation ADR 835699307 987,856 8,950 Sole
Sole
Southwest Airlines 844741108 1,707,206 54,850 Sole
Sole
Spacehab Inc 846243103 276,750 54,000 Sole
Sole
Steris Corp 859152100 590,163 30,460 Sole
Sole
Stride Rite Corp. 863314100 412,520 40,000 Sole
Sole
Sun International Hotels P8797T133 411,700 9,200 Sole
Sole
Symbol Technologies Inc. 871508107 660,948 17,924 Sole
Sole
Texaco Inc 881694103 230,788 3,700 Sole
Sole
Time Warner Inc 887315109 2,638,466 36,330 Sole
Sole
Tommy Hilfiger G8915Z102 1,113,400 15,200 Sole
Sole
Top Source Technology 890530108 14,882 14,000 Sole
Sole
Twentieth Century Energy 901200105 0 10,000 Sole
Sole
United Dominion Realty Trust Inc. 910197102 141,000 12,000 Sole
Sole
Urstadt Biddle Class A 917286106 248,063 31,500 Sole
Sole
Wachovia Corporation 929771103 588,502 6,878 Sole
Sole
Walgreen Inc. 931422109 616,875 21,000 Sole
Sole
Warner-Lambert 934488107 3,546,113 51,300 Sole
Sole
Watson Pharmaceutical 942683103 561,008 16,000 Sole
Sole
White Mountain Insurance Group 964126106 775,500 5,500 Sole
Sole
Xerox Corp 984121103 4,601,008 77,900 Sole
Sole
XL Capital Ltd. G98255105 816,369 14,449 Sole
Sole
Zweig Fund 989834106 153,525 13,800 Sole
Sole
PREFERRED STOCK
Gabelli Equity Trust Pfd 7.25% 362397309 1,021,938 41,500 Sole
Sole
Merrill Lynch Capital Trust 7.28% Pfd 59021K20 806,454 33,000 Sole
Sole
CONVERTIBLE PREFERRED
Jameson Inns Inc. 470457300 244,528 18,900 Sole
Sole