OAK RIDGE INVESTMENTS LLC
13F-HR, 2000-05-03
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                     UNITED STATES
          SECURITIES AND EXCHANGE COMMISSION
                Washington, D.C.  20549
                       FORM 13F
                  FORM 13F COVER PAGE

Report for the Quarter Ended:   March 31, 2000

Check here if Amendment [   ]; Amendment Number:_____
     This Amendment (Check only one.):  [ ] is a restatement.
                                        [ ] adds new holding entries.

Institutional Investment Manager Filing this Report:

Name:     Oak Ridge Investments, LLC
Address:  10 South LaSalle Street, Suite 1050
          Chicago, Illinois  60603

Form 13F File No:   28-6668

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 the Reporting Manager:

Name:          Samuel Wegbreit
Title:         Managing Member
Phone:         (312) 857-1040
Signature, Place, and Date of Signing:



/s/ Samuel Wegbreit              Chicago, Illinois          April 28, 2000
- ---------------------           -------------------       ------------------
     (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:  None

<PAGE>
                 Form 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:                 0

Form 13F Information Table Entry Total:           86

Form 13F Information Table Value Total:  483,502,709

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.    None


<PAGE>

                                 FORM 13F INFORMATION TABLE
<TABLE>

                       Title              Fair      Shares
                        of                Market     PRN/    SH/  Put/  Investmt   Other       Voting Authority
Name of Issuer         Class   CUSIP      Value      AMT     PRN  Call   Dscretn   Managers  Sole   Share   None
     <S>                <C>     <C>        <C>       <C>     <C>  <C>     <C>       <C>       <C>    <C>    <C>
ADVANCED DIGITAL INFO   COM  007525108   9,320,460  272,130   SH         SOLE                             272,130
AES CORP                COM  00130H105   3,398,850   43,160   SH         SOLE                 900          42,260
ALBANY MOLECULAR        COM  012423109     291,875    5,000   SH         SOLE               5,000               0
ALLTEL CORP             COM  020039103   2,648,310   41,995   SH         SOLE                 800          41,195
AMERICA ONLINE          COM  02364J104     538,927    7,940   SH         SOLE                               7,940
AMERICAN EXPRESS        COM  025816109   3,240,135   21,755   SH         SOLE                 350          21,405
AMERICAN GEN CORP       COM  026351106   1,870,646   33,330   SH         SOLE                 700          32,630
AMERICAN SERVICE GROUP  COM  02364L109     225,000   15,000   SH         SOLE              15,000               0
AMGEN INC               COM  031162100   3,396,492   55,340   SH         SOLE               1,250          54,090
ASTORIA FINANCIAL       COM  046265104   4,668,288  164,521   SH         SOLE               8,000         156,521
AT&T                    COM  001957109   1,173,496   20,839   SH         SOLE                              20,839
ATMEL CORP              COM  049513104   6,250,497  121,077   SH         SOLE               2,150         118,925
AUDIOVOX                COM  050757103   9,524,869  218,335   SH         SOLE              10,000         208,335
BJ'S WHOLESALE CLUB     COM  05548J106  10,273,755  267,720   SH         SOLE              12,000         255,720
CALPINE CORP            COM  131347106   7,729,902   82,233   SH         SOLE                              82,233
CAMBREX CORP            COM  132011107  12,043,822  276,869   SH         SOLE              13,000         263,869
CARDINAL HEALTH         COM  14149Y108   2,000,379   43,605   SH         SOLE               1,100          42,505
CENDANT CORP            COM  151313103     315,832   17,072   SH         SOLE                              17,072
CHIRON CORP             COM  170040109  13,521,267  271,103   SH         SOLE                             271,103
CISCO SYS INC           COM  17275R102  10,064,232  130,176   SH         SOLE               1,000         129,176
CITIGROUP               COM  172967100   3,341,014   56,329   SH         SOLE                              56,329
COASTAL CORP            COM  190441105   2,405,755   51,460   SH         SOLE              16,000          35,460
COHERENT INC            COM  192479103  14,713,712  282,956   SH         SOLE                             282,956
COMDISCO                COM  200336105  15,437,181  349,851   SH         SOLE              15,000         334,851
COMVERSE TECH           COM  205862402  13,494,600   71,400   SH         SOLE               3,000          68,400
CONOCO INC              COM  208251405   2,698,056  105,290   SH         SOLE               2,400         102,890
CONVERGYS               COM  212485106  14,012,346  362,193   SH         SOLE              20,000         342,193
DII GROUP               COM  232949107  14,418,864  127,530   SH         SOLE               5,000         122,530
EARTHCARE CO            COM  27031N105   1,665,219  233,715   SH         SOLE              21,000         212,715

<PAGE>

EARTHLINK               COM  270321102   2,579,458  132,705   SH         SOLE               7,000         125,705
ELAN CORP               COM  284131208   3,210,050   67,580   SH         SOLE               1,275          66,305
ENRON                   COM  293561106     430,531    5,750   SH         SOLE               1,275           4,475
EXPRESS SCRIPTS INC     COM  302182100   4,440,282  105,721   SH         SOLE                             105,721
FOREST LABS             COM  345838106   3,423,517   40,515   SH         SOLE                 775          39,740
FYI INC                 COM  302712104   5,896,033  217,365   SH         SOLE              12,000         205,365
GENERAL ELEC CO         COM  369604103   4,841,867   31,175   SH         SOLE                 550          30,625
HANOVER COMPRESSOR      COM  410768105   9,607,335  168,920   SH         SOLE              11,500         157,420
HELLER FINANCIAL        COM  423328103   7,040,415  306,105   SH         SOLE              14,000         292,105
HOUSEHOLD INTL          COM  441815107   1,776,262   47,605   SH         SOLE               1,000          46,605
IMS HEALTH              COM  449934108     621,352   36,685   SH         SOLE                              36,685
IN FOCUS SYSTEMS        COM  452919103  11,511,213  321,430   SH         SOLE              18,000         303,430
INFORMIX                COM  456779107   8,701,954  513,768   SH         SOLE              45,500         468,268
INSIGHT ENTERPRISES     COM  45765U103   8,711,519  239,081   SH         SOLE              10,000         229,081
INTEL CORP              COM  458140100   4,609,105   34,934   SH         SOLE                 500          34,434
INTER-TEL INC           COM  458372109   4,487,719  163,935   SH         SOLE               9,100         154,835
JOHNSON & JOHNSON       COM  478160104   1,950,862   27,795   SH         SOLE                 600          27,195
JONES PHARMA            COM  480236108   3,410,394  112,276   SH         SOLE               8,527         103,749
KIMBERLY CLARK          COM  494368103   2,529,240   45,165   SH         SOLE                 900          44,265
LEGG MASON INC          COM  524901105  10,121,244  234,017   SH         SOLE              14,000         220,017
LEXMARK                 COM  529771107   2,424,319   22,925   SH         SOLE                 600          22,325
MASTEC INC              COM  576323109  14,589,770  163,930   SH         SOLE               4,700         159,230
MCI WORLDCOM            COM  55268B106   2,279,672   50,310   SH         SOLE                 862          49,448
MEDQUIST INC            COM  584949101   6,310,361  232,105   SH         SOLE               9,800         222,305
MEDTRONIC               COM  585055106   2,881,786   56,025   SH         SOLE               1,100          54,925
MERRILL LYNCH           COM  590188108   3,405,946   32,515   SH         SOLE                 375          32,140
MICROSOFT CORP          COM  594918104   4,642,594   43,695   SH         SOLE                 825          42,870
NICE SYSTEMS LTD        COM  653656108   8,309,187  116,620   SH         SOLE               8,000         108,620
PEREGRINE SYS           COM  71366Q101   2,379,048   35,475   SH         SOLE                              35,475
PERFORMANCE FOOD GRP    COM  713755106   4,493,680  205,425   SH         SOLE                             205,425
PERFORMANCE TECH        COM  71376K102   7,089,438  163,210   SH         SOLE              19,500         143,710
PHILIP MORRIS COS       COM  718154107     422,711   20,010   SH         SOLE                              20,010
PROCTER & GAMBLE        COM  742718109   1,523,974   26,973   SH         SOLE                 525          26,448
RATIONAL SOFTWARE       COM  75409P202  15,588,421  203,770   SH         SOLE                 650         203,120
RELIASTAR FINCL         COM  75952U103     684,106   20,195   SH         SOLE                              20,195

<PAGE>

REYNOLDS & REYNOLDS     COM  761695105   7,585,110  280,930   SH         SOLE              17,000         263,930
RICHMOND CTY FNCL       COM  764556106   1,860,667  115,390   SH         SOLE                             115,390
SANMINA CORP            COM  800907107  12,534,197  185,520   SH         SOLE               9,000         176,520
SEACHANGE INTL          COM  811699107  12,944,454  210,052   SH         SOLE              10,000         200,052
SHIRE PHARM GRP ADR     COM  82481R106     410,000    8,000   SH         SOLE               8,000               0
SIERRACITIES            COM  826521106     200,625   15,000   SH         SOLE              15,000               0
SOLECTRON               COM  834182107   2,103,954   52,435   SH         SOLE                              52,435
SUN MICROSYSTEMS        COM  866810104   9,445,744  100,805   SH         SOLE               1,650          99,155
TELESPECTRUM WORLDWIDE  COM  87951U109   3,881,640  554,520   SH         SOLE              25,000         529,520
THREE-FIVE SYSTEMS      COM  88554L108     480,000    8,000   SH         SOLE                               8,000
TYCO INTL               COM  902124106   3,810,502   76,020   SH         SOLE               1,350          74,670
UNIFY                   COM  904743100   7,606,429  372,180   SH         SOLE              25,000         347,180
UNIVERSAL ELECTRONICS   COM  913483103     485,000   20,000   SH         SOLE              20,000               0
UNIVISION COMMUN        COM  914906102  16,459,580  145,660   SH         SOLE                 600         145,060
VARIAN INC              COM  922206107   9,639,035  251,180   SH         SOLE              15,000         236,180
VODAPHONE AIRTOUCH      COM  92857T107   4,299,426   77,380   SH         SOLE               1,000          76,380
WAL MART STORES         COM  931142103   1,938,094   34,455   SH         SOLE                 800          33,655
WALGREEN CO             COM  931422109   1,807,779   70,205   SH         SOLE               1,400          68,805
WARNER-LAMBERT CO       COM  934488107   3,906,035   39,985   SH         SOLE                 700          39,285
WATERS CORP             COM  941848103  12,666,357  132,980   SH         SOLE               8,000         124,980
WILLIAMS COS            COM  969457100   1,061,178   24,152   SH         SOLE                              24,152
ZEBRA TECH              COM  989207105   6,767,750  135,355   SH         SOLE               7,500         127,855

GRAND TOTAL                            483,502,709





</TABLE>


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