UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
Form 13F
Form 13F COVER PAGE
Report for the Calendar Year or Quarter Ended: SEPTEMBER 30, 2000
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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: ASSET ADVISORS CORPORATION
Address: 2814A HILLCREEK DRIVE
AUGUSTA, GA 30909-6484
Form 13F File Number: 028-06662
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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 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: Kevin M. Wilson
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Title: Treasurer/CIO
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Phone: 706-650-9900
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Signature, Place, and Date of Signing:
/S/ KEVIN M. WILSON Augusta, GA November 7, 2000
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[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- _________________ ___________________________________-
[Repeat as necessary.]
<PAGE>
Form 13F SUMMARY PAGE
Report Summary:
Number of Other Included Managers: 0
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Form 13F Information Table Entry Total:
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Form 13F Information Table Value Total:
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(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 than the manager filing this report.
[If there are no entries in this list, state "NONE" and omit the column headings
and list entries.]
No. Form 13F File Number Name
____ 28-_____________________ __________________________
[Repeat as necessary.]
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<TABLE>
<CAPTION>
ASSET ADVISORS CORPORATION
FORM 13F INFORMATION TABLE
AS OF DATE: 09/31/00
Investment Descretion Voting Authority
Title CUSIP Market ----------------------------- ----------------------
Name of Issuer & of Class Number Value Shares (a)Sole (b)Shared (c)Other Manager (a)Sole (b)Shared (c)Other
-------------------------- ---------- ---------- ------ ------- --------- -------- ------- ------- --------- --------
<S> <C> <C> <C> <C> <C>
Coca-Cola Company. 191216100 18888967 342657 342657 342657
Macrovision. 555904101 15260400 188400 188400 188400
General Electric Co. 369604103 12630967 218955 218955 218955
Paychex Inc. 704326107 11669753 222281 222281 222281
Charles Schwab Corp. 808513105 10599945 298590 298590 298590
Microsoft Corp. 594918104 9620748 159515 159515 159515
Exxon Mobil Corporation. 30231G102 9120072 102329 102329 102329
Cisco Systems. 17275R102 8956191 162103 162103 162103
Merck & Co Inc. 589331107 8326207 111855 111855 111855
American Express Co. 025816109 8189100 134800 134800 134800
American Int'l Group. 026874107 7759299 81090 81090 81090
Johnson & Johnson. 478160104 5691485 60588 60588 60588
T Rowe Price Assoc Inc. 741477103 5191757 110610 110610 110610
Royal Dutch Pete. 780257804 4700778 78428 78428 78428
Jefferson Pilot Corp. 475070108 4043450 59572 59572 59572
Stan&Poors Dep Recs. 78462F103 3628398 25263 25263 25263
Walt Disney Holdings Co. 254687106 3232699 84515 84515 84515
Internap Network Services Co 45885A102 3124602 96698 96698 96698
Intel Corp. 458140100 3052766 73450 73450 73450
Alltel Corp. 020039103 2825953 54150 54150 54150
Suntrust Banks Inc. 867914103 2336206 46900 46900 46900
Hershey Foods Corp. 427866108 1981841 36616 36616 36616
Bank of America Corp. 060505104 1973752 37685 37685 37685
Sector Spdr Tech Select. 81369Y803 1914360 41280 41280 41280
Equity Rsntl Pptys Tr. 29476L107 1803984 37583 37583 37583
Minn Mining & Man. 604059105 1680072 18437 18437 18437
Pfizer Inc. 717081103 1657475 36884 36884 36884
Gillette Co. 375766102 1635140 52960 52960 52960
PepsiCo Incorporated 713448108 1632540 35490 35490 35490
Home Depot. 437076102 1573675 29657 29657 29657
FedEx Corp. 31428X106 1516428 34200 34200 34200
Interpublic GroupofCos. 460690100 1468094 43100 43100 43100
Corning Inc. 219350105 1440450 4850 4850 4850
SBC Communications. 78387G103 1403000 28060 28060 28060
Sun Microsystems Inc 866810104 1399833 11990 11990 11990
Wal-Mart Stores. 931142103 1388888 28860 28860 28860
BellSouth Corp. 079860102 1360611 33804 33804 33804
Anheuser-Busch Co Inc. 035229103 1343845 31760 31760 31760
Tribune Company. 896047107 1282575 29400 29400 29400
Intern'l Business Mach. 459200101 1125000 10000 10000 10000
First Union Corp 337358105 1123344 34900 34900 34900
St Joe Company. 790148100 1121100 40400 40400 40400
Sony. 835699307 928625 9200 9200 9200
CitiGroup Inc 172967101 871109 16113 16113 16113
American Water Works. 030411102 847547 30750 30750 30750
Delta & Pine Land Co. 247357106 798779 31096 31096 31096
Georgia Bank Fin Corp. 373993948 795616 33856 33856 33856
State Street Corp. 857477103 773500 5950 5950 5950
Dover Corporation 260003108 751000 16000 16000 16000
Nasdaq 100 Trust Ser 1 631100104 744975 8400 8400 8400
Southtrust Corp. 844730101 721648 22955 22955 22955
Kimberly Clark Corp. 494368103 717079 12848 12848 12848
Bristol Myers Squibb Co. 110122108 668363 11700 11700 11700
Qwest Communs Intl Inc 749121109 645576 13432 13432 13432
Equity Income Fund 294700703 591259 3775 3775 3775
Lucent Technologies Inc. 549463107 555993 18192 18192 18192
Sector Spdr Engy Select 81369Y506 537356 16400 16400 16400
Nortel Networks 656569100 532608 8942 8942 8942
Verizon Communications 92343V104 499633 10315 10315 10315
Swiss Helvetia Fund Inc. 870875101 482375 34000 34000 34000
Procter & Gamble Co. 742718109 476370 7110 7110 7110
BerkshireHathawayClB. 084670207 432630 209 209 209
Stillwater Mining Corp. 86074Q102 411464 15200 15200 15200
Carnival Corp 143658102 408775 16600 16600 16600
Cousins Properties Inc. 222795106 387563 9000 9000 9000
Williams Companies 969457100 384306 9096 9096 9096
HSB Group Inc. 40428N109 363131 9050 9050 9050
AT&T Corp. 001957109 357229 12161 12161 12161
Schlumberger Ltd 806857108 355837 4323 4323 4323
Chevron Corp. 166751107 328724 3856 3856 3856
Compaq Computer Corp. 204493100 318908 11563 11563 11563
Duke Energy. 264399106 317275 3700 3700 3700
Abbott Labs 002824100 311439 6548 6548 6548
Marsh & McLennan Co Inc. 571748102 305325 2300 2300 2300
General Motors Corp 370442105 291720 4488 4488 4488
AGL Resources Inc. 047753108 284888 14200 14200 14200
MorgStanDeawWitDisc&Co 617446448 274313 3000 3000 3000
Emerson Electric Co 291011104 268000 4000 4000 4000
America Online Inc. 02364J104 262838 4890 4890 4890
Southern Company Prf A. 84258T208 248438 10600 10600 10600
Genuine Parts Co. 372460105 244000 12800 12800 12800
Dominion Res Inc Va New 25746U109 229347 3950 3950 3950
Invesco Glbl Hlth Sci 46128N109 219375 10800 10800 10800
Southern Company 842587107 218564 6738 6738 6738
Thermo Electron Corp 883556102 198900 7650 7650 7650
Clarcor Inc 179895107 195000 10000 10000 10000
Yahoo! Inc 984332106 194740 2140 2140 2140
Viacom Inc Cl B 925524308 179244 3064 3064 3064
FPL Group 302571104 172265 2620 2620 2620
Nokia Corp 654902204 171194 4300 4300 4300
Catalina Marketing Corp. 148867104 169313 4500 4500 4500
A O N Corporation 037389103 164850 4200 4200 4200
Oracle Corp. 68389X105 164194 2085 2085 2085
Verisign Inc 923432102 162050 800 800 800
Vodafone Group. 92857W100 157250 4250 4250 4250
Colgate-Palmolive Co 194162103 156232 3310 3310 3310
T I B Financial Corp 872449103 151875 15000 15000 15000
Mattel Inc. 577081102 151110 13507 13507 13507
E M C Corp Mass. 268648102 148688 1500 1500 1500
Pharmacia Corp 71713U102 147821 2456 2456 2456
Wachovia Corp. 929771103 147388 2600 2600 2600
Regions Finl Corp 758940100 146198 6444 6444 6444
Ameren Corp 023608102 142375 3400 3400 3400
Eqty Resdntl Ppty Pfd L 29476L792 142188 6500 6500 6500
Campbell Soup. 134429109 129375 5000 5000 5000
Mediacom Communications Corp 58446K105 129000 8000 8000 8000
-P M C Sierra Inc 69344F106 107625 500 500 500
Veritas Software Corp 923436109 106500 750 750 750
McDonalds 580135101 105656 3500 3500 3500
Conexant Systems Inc 207142100 104688 2500 2500 2500
JDS Uniphase Corp 46612J101 104156 1100 1100 1100
-Applied Micro Circuits 03822W109 103531 500 500 500
Automatic Data 053015103 100313 1500 1500 1500
Qualcomm Inc 747525103 92981 1305 1305 1305
Duke Energy Cap pfdV 7.2% 3/ 26439G209 90500 4000 4000 4000
Fortune Brands 349631100 87450 3300 3300 3300
Chase Man Corp 16161A108 85355 1848 1848 1848
Diamond Trust Ser I 252787106 85300 800 800 800
Synovus Financial Corp 87161C105 84752 4000 4000 4000
Georgia Pacific Co 373298108 84600 3600 3600 3600
Novel Denim Hldgs Ord G6674P109 80000 10000 10000 10000
Bea Systems Inc 073325102 77875 1000 1000 1000
Lincoln National Corp 534187109 77000 1600 1600 1600
American Home Products 026609107 76925 1360 1360 1360
Fidelity Nat'l Corp 316396100 76560 10560 10560 10560
Texas Instruments Inc 882508104 75878 1608 1608 1608
Textron Inc. 883203101 73800 1600 1600 1600
Medtronic Inc. 585055106 72538 1400 1400 1400
Amgen Inc 031162100 72482 1038 1038 1038
Gables Residential A 362418204 71750 3500 3500 3500
Aflac Inc 001055102 70469 1100 1100 1100
Time Warner Inc 887315109 70425 900 900 900
International Paper Co 460146103 69825 2434 2434 2434
Duke Weeks Pfd 8% 264411828 64875 3000 3000 3000
Avon Products Inc 054303102 64256 1572 1572 1572
-Scientific Atlanta Inc 808655104 63625 1000 1000 1000
Global Crossing Ltd F G3921A100 63550 2050 2050 2050
-Citigroup Cap I 8% 17305F201 61406 2500 2500 2500
Allstate Corp 020002101 59979 1726 1726 1726
CMS Energy 125896100 59263 2200 2200 2200
Mrgn Stnly Fin Plc Cap F 8.2 616906707 59100 2400 2400 2400
SCANA Corp 805898103 58446 1893 1893 1893
Cree Inc 225447101 58125 500 500 500
Teco Energy Inc 872375100 57500 2000 2000 2000
-Inktomi Corporation 457277101 57000 500 500 500
Georgia Pac Timber Group 373298702 56411 2099 2099 2099
Mellon Bk Corp 585509102 55650 1200 1200 1200
Heinz H J Co 432074103 52703 1422 1422 1422
Tyco Intl Ltd 902124106 51875 1000 1000 1000
C M G I Inc 125750109 51684 1850 1850 1850
Duke Cap Fin Tst II quips 7. 26439E204 51150 2200 2200 2200
Mcn Fing I pfd 8.625% 2036 55268J208 46750 2000 2000 2000
Vitesse Semiconductor Cp 928497106 44469 500 500 500
CP&L Energy 12614C106 43355 1040 1040 1040
Xilinx Inc 983919101 42813 500 500 500
Ionics Inc 462218108 42625 2000 2000 2000
Norfolk Southern Corp. 655844108 42413 2900 2900 2900
Energy South Inc 292970100 40000 2000 2000 2000
Fannie Mae 313586109 39969 559 559 559
Polaris Industries Inc 731068102 39938 1133 1133 1133
Research In Motion Ltd 760975102 39425 400 400 400
Adams Express Co 006212104 38625 1000 1000 1000
BB&T Corp- 054937107 38349 1273 1273 1273
MGM Mirage 555295310 38188 1000 1000 1000
Capital City Bank Group 139674105 37971 1941 1941 1941
U S Bancorp Del 902973106 37811 1662 1662 1662
Gallaher Group PLC 363595109 37200 1600 1600 1600
PAB Bankshares Inc 69313P101 36750 3500 3500 3500
M C I Worldcom Inc 55268B106 36450 1200 1200 1200
Glaxo Holdings PLC 377327101 36263 600 600 600
Delphi Automotive System 247126105 33820 2236 2236 2236
Montgomery St Income Sec 614115103 33625 2000 2000 2000
J P Morgan- 616880100 32675 200 200 200
-R F Micro Devices Inc 749941100 32000 1000 1000 1000
Jdn Rlty Corp 9.375% Pfd 362418204 31406 1500 1500 1500
Avaya Inc 053499109 30322 1502 1502 1502
-Applied Materials Inc 038222105 29656 500 500 500
Grand Metro Del 9.42% Pfd A 386087209 28669 1100 1100 1100
Microvision Inc Wa 594960106 26731 700 700 700
Transkaryotic Therapies 893735100 25838 600 600 600
Mediaone Fing II 9.50% 584461206 25188 1000 1000 1000
Sprint Cp Fon Gp 852061100 24623 840 840 840
Coastal Corp 190441105 24461 330 330 330
All American Term Trust 016440109 23875 2000 2000 2000
General Mtrs H 370442501 23646 636 636 636
-Seagrams Joseph 8.0% 811845205 23375 1000 1000 1000
Felcor Lodging Tr Inc 31430F101 23125 1000 1000 1000
E I X Trust II 8.60% Pfd B 26853P206 23063 1000 1000 1000
MFS Intermediate Inc Tst- 55273C107 22950 3600 3600 3600
Allmerica Financial Corp 019754100 22250 348 348 348
Intermune Pharmaceutical 45885B100 21700 400 400 400
New Plan Excel Ser A Pfd 648053205 20875 1000 1000 1000
Boeing Company 097023105 20412 324 324 324
-Media One Group Inc 58440J104 20100 300 300 300
Duquesne Cap 8.375% Pfd A 266224203 19500 800 800 800
Hewlett Packard Co 428236103 19400 200 200 200
Boston Celtics LP 100576107 19250 2000 2000 2000
Gabelli Eq Trust Inc 362397101 18400 1600 1600 1600
Elan Corp PLC ADR- 284131208 18068 330 330 330
Coinstar Inc 19259P300 17631 1300 1300 1300
Amsouth Bancorp 032165102 16888 1351 1351 1351
Electronic Data Sys 285661104 16600 400 400 400
Gannett Co Inc Del 364730101 15900 300 300 300
Palm Inc 696642107 15881 300 300 300
Target Corporation 87612E106 15375 600 600 600
Barrick Gold Corp 02451E109 15250 1000 1000 1000
Hartford Finl Svcs Grp- 416515104 14588 200 200 200
Artesyn Technologies Inc 043127109 14563 500 500 500
A C M Govt Income Fund 000912105 13862 1833 1833 1833
-Steelcase Inc Cl A 858155203 13400 800 800 800
Devl Diversified Rlty 251591103 12875 1000 1000 1000
NCR Corp 62886E108 12667 335 335 335
Mission Capt 9.875% Pfd A 605034206 12594 500 500 500
Amer Genl Cap LLC Pfd A 8.45 02637F202 12594 500 500 500
Duke Cap Fing 8.375% 26439F201 12563 500 500 500
Microchip Technology Inc 595017104 12398 375 375 375
CSX Corp- 126408103 12390 568 568 568
-Florida East Coast Inds 340632108 12300 300 300 300
Cyber-Care Inc 23243T105 12082 1900 1900 1900
Avanex Corp 05348W109 10769 100 100 100
Merry Land Properties- 590441101 10599 1949 1949 1949
-Southern Co V 12/31/2028 6. 842637209 10260 480 480 480
AXA Financial 002451102 10188 200 200 200
Service Corp Intern'l 817565104 9750 4000 4000 4000
Sangamo Biosciences Inc 800677106 9688 250 250 250
Three Com Corp 885535104 9594 500 500 500
-Hlthcare Rlty 8 7/8% PFDA 421946203 9563 500 500 500
American Electric Power 025537101 9390 240 240 240
J C Penny Co Inc- 708160106 9072 768 768 768
Raytheon Co Cl A 755111309 7884 288 288 288
Interdigital Communications 45866A105 7000 500 500 500
New Plan Excel Rlty Tr 648053106 6844 500 500 500
Tricon Global Rest'ts 895953107 6738 220 220 220
Sandisk Corp 80004C101 6675 100 100 100
Cintas Corp 172909105 6534 150 150 150
Best Buy Inc 086516101 6363 100 100 100
Fla Pwr & Lt 341081206 6352 100 100 100
Towne Services Inc 892148107 6297 6500 6500 6500
Antec Corp 03664P105 5900 200 200 200
Philip Morris 718154107 5888 200 200 200
Internet Infrastructure 46059V104 5506 100 100 100
Viropharma Inc 928241108 5175 200 200 200
Pe Corp Celer Gen Gp 69332S201 4981 50 50 50
Amazon Com Inc 023135106 3844 100 100 100
S C M Microsystems Inc 784018103 3794 100 100 100
-B C E Inc 05534E109 3506 150 150 150
Red Hat Inc 756577102 3413 200 200 200
S1 Corp 784631101 2388 200 200 200
Ticketmaster Online Cl B 88633P203 1694 100 100 100
Illinois Superconductor 452284102 1531 500 500 500
-Xerox Corp 984121103 1506 100 100 100
Pac Cen Cyberwks 5P Fgn Y6801N100 1129 1000 1000 1000
Powercerv Corp 73931P105 1000 1000 1000 1000
Ask Jeeves Inc 045174109 959 50 50 50
IXL Enterprises Inc 450718101 613 140 140 140
Internet Pictures 460595101 544 100 100 100
World Airways Inc- 98142H105 84 100 100 100
Flooring America Inc 339756108 31 2000 2000 2000
Thomaston Mills A. 884569203 11 10 10 10
Thomaston Mills B. 884569104 10 10 10 10
Intellimedia Commerce Inc 45890F104 0 200 200 200
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