ARBOR CAPITAL MANAGEMENT LLC
13F-HR, 2000-04-25
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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:                                    Arbor Capital Management, LLC
Address:                                 One Financial Plaza
                                         120 S. Sixth St., Ste. 1000
                                         Minneapolis, MN  55402

Form 13F File No:

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:                                    Rick D. Leggott
Title:                                   CEO
Phone:                                   (612) 317-2950

Signature, Place, and Date of Signing:

/s/ Rick D. Leggott                      Minneapolis, M4/1/00
(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:

<PAGE>
Form 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:       0

Form 13F Information Table Entry Total:  94

Form 13F Information Table Value Total:  $1,371,599

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
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<CAPTION>


Name of Issuer                           Title of ClassCUSIP       (X$1000)     Shares/   SH/  Put/I    O
                                                                   Value        PRM AMT   PRN  CallD    M  Sole    ShareNone
<S>                                      <C>           <C>         <C>          <C>       <C>  <C> <C>  <C><C>     <C>  <C>
99 CENTS ONLY STORES                     COMMON        65440K106       17,225.13   438,857SH       SOLE     438,857       63,231
ADVANCE PARADIGM INC                     COMMON        007491103       10,427.44   878,100SH       SOLE     878,100      125,700
ADVANTAGE LEARNING SYS INC               COMMON        00757K100        8,164.54   491,100SH       SOLE     491,100       71,200
ADVENT SOFTWARE                          COMMON        007974108       44,975.85   980,400SH       SOLE     980,400      140,000
AFFILIATED MANAGERS GROUP                COMMON        008252108       34,162.00   719,200SH       SOLE     719,200      102,800
ALBANY MOLECULAR RESEARCH                COMMON        012423109       18,913.50   324,000SH       SOLE     324,000       46,600
AMERICREDIT CORP                         COMMON        03060R101       25,713.39 1,576,300SH       SOLE    1,576,300     226,500
APPLIED MICRO CIRCUITS                   COMMON        03822W109        7,653.19    51,000SH       SOLE      51,000        7,300
ARTHROCARE CORP                          COMMON        043136100       35,677.60   387,800SH       SOLE     387,800       55,900
ASPECT MEDICAL SYSTEMS INC               COMMON        045235108        6,916.70   192,800SH       SOLE     192,800       27,800
ATS MEDICAL INC                          COMMON        002083103        7,918.78   711,800SH       SOLE     711,800      103,700
AVANEX CORP                              COMMON        05348W109           75.88       500SH       SOLE         500            0
AWARE INC/MASS                           COMMON        05453N100        9,236.78   230,200SH       SOLE     230,200       32,900
BED BATH & BEYOND INC COM                COMMON        075896100          192.94     4,900SH       SOLE       4,900            0
BINDVEW DEVELOPMENT CORP                 COMMON        090327107       18,466.66   594,500SH       SOLE     594,500       85,158
BUCA INC.                                COMMON        117769109        9,503.04   738,100SH       SOLE     738,100      106,100
BUCKLE INC                               COMMON        118440106        9,148.99   567,379SH       SOLE     567,379       82,896
C.H. ROBINSON WORLDWIDE INC.             COMMON        12541W100       39,254.05 1,053,800SH       SOLE    1,053,800     151,100
CAMINUS CORP                             COMMON        133766105       12,050.00   602,500SH       SOLE     602,500       86,200
CARRIER ACCESS CORP                      COMMON        144460102       36,319.16   682,050SH       SOLE     682,050       97,750
CHOICEPOINT INC                          COMMON        170388102       16,280.55   435,600SH       SOLE     435,600       62,015
CITRIX SYS INC COM                       COMMON        177376100          470.38     7,100SH       SOLE       7,100            0
CLOSURE MEDICAL CORP                     COMMON        189093107        7,642.69   291,150SH       SOLE     291,150       42,250
COMARCO INC.                             COMMON        200080109        5,982.11   175,300SH       SOLE     175,300       24,800
CONCORD COMMUNICATIONS INC               COMMON        206186108        4,217.71   118,600SH       SOLE     118,600       17,100
CONCORD EFS INC                          COMMON        206197105          268.37    11,700SH       SOLE      11,700            0
CORPORATE EXECUTIVE BOARD CO             COMMON        21988R102       23,624.13   465,500SH       SOLE     465,500       66,700
CORSAIR COMM INC                         COMMON        220406102       13,251.71   692,900SH       SOLE     692,900       99,600
CREO PRODUCTS INC                        COMMON        225606102       38,010.46   871,300SH       SOLE     871,300      125,900
CSG SYSTEMS INTL INC                     COMMON        126349109       42,764.63   876,100SH       SOLE     876,100      125,600
EXPEDITORS INTL WASH                     COMMON        302130109       32,277.00   812,000SH       SOLE     812,000      116,300
EXPRESS SCRIPTS INC                      COMMON        302182100       22,814.40   543,200SH       SOLE     543,200       77,300
EXTREME NETWORKS INC.                    COMMON        30226d106          126.40     1,600SH       SOLE       1,600            0
FACTORY 2-U STORES                       COMMON        303072102        7,765.00   310,600SH       SOLE     310,600       45,000
FACTSET RESH SYS INC                     COMMON        303075105       56,612.04 2,091,900SH       SOLE    2,091,900     298,400
FARGO ELECTRONICS                        COMMON        30744P102        6,051.76   501,700SH       SOLE     501,700       71,600
FINISAR CORP                             COMMON        31787A101          117.21       800SH       SOLE         800            0
FISERV INC                               COMMON        337738108          174.78     4,700SH       SOLE       4,700            0
FORRESTER RESEARCH INC                   COMMON        346563109        8,321.95   153,400SH       SOLE     153,400       21,900
FORWARD AIR CORP                         COMMON        349853101        7,186.79   303,400SH       SOLE     303,400       43,500
GEMSTAR INTL GROUP LTD                   COMMON        G3788V106          154.80     1,800SH       SOLE       1,800            0
GETTY IMAGES INC                         COMMON        374276103       24,466.25   680,800SH       SOLE     680,800       98,200
GOLDMAN SACHS GROUP INC                  COMMON        38141G104          168.40     1,600SH       SOLE       1,600            0
HOTEL RESERVATIONS INC                   COMMON        441451101        6,645.60   374,400SH       SOLE     374,400       53,700
ILLUMINET HOLDINGS INC                   COMMON        452334105       12,520.30   254,300SH       SOLE     254,300       36,300
IMMERSION CORP                           COMMON        452521107       23,076.00   384,600SH       SOLE     384,600       55,100
INET TECHNOLOGIES INC                    COMMON        45662V105       26,532.28   501,200SH       SOLE     501,200       71,700
INFORTE CORP                             COMMON        45677R107           49.00     1,000SH       SOLE       1,000            0
INSIGHT ENTERPRISES INC                  COMMON        45765U103       19,898.52   546,100SH       SOLE     546,100       78,100
INTEGRAL SYSTEMS INC.                    COMMON        45810H107       18,814.50   418,100SH       SOLE     418,100       60,100
INTERCEPT GROUP INC                      COMMON        45845L107       21,261.78   825,700SH       SOLE     825,700      118,500
INTERNAP NETWORK SERVICES                COMMON        45885A102           32.20       700SH       SOLE         700            0
INTRANET SOLUTIONS                       COMMON        460939309       16,159.80   351,300SH       SOLE     351,300       50,600
ISS GROUP INC.                           COMMON        450306105        7,374.45    63,300SH       SOLE      63,300        9,100
KENSEY NASH CORP                         COMMON        490057106       12,345.69   745,400SH       SOLE     745,400      107,700
LABRANCHE & CO                           COMMON        505447102       13,444.94 1,059,700SH       SOLE    1,059,700     153,100
LIGHTBRIDGE INC                          COMMON        532226107       14,074.09   602,100SH       SOLE     602,100       86,000
MACROVISION CORP                         COMMON        555904101       47,213.73   548,200SH       SOLE     548,200       78,800
MARCHFIRST INC.                          COMMON        566244109           85.65     2,400SH       SOLE       2,400            0
MAXIM INTEGRATED PRODS                   COMMON        57772K101          163.44     2,300SH       SOLE       2,300            0
MEMBERWORKS INC                          COMMON        586002107        8,727.19   217,500SH       SOLE     217,500       31,200
MICREL INC                               COMMON        594793101       30,662.40   319,400SH       SOLE     319,400       46,000
MINIMED INC COM                          COMMON        60365K108       43,278.90   334,200SH       SOLE     334,200       48,100
MOLECULAR DEVICES CORP                   COMMON        60851C107        3,093.03    40,300SH       SOLE      40,300        5,700
NATIONAL INFO CONSORTIUM INC             COMMON        636491102       10,452.80   300,800SH       SOLE     300,800       43,100
NATIONAL INSTRUMENT CORP                 COMMON        636518102          145.51     3,100SH       SOLE       3,100            0
NDS GROUP PLC                            COMMON        628891103           77.55     1,100SH       SOLE       1,100            0
NETCREATIONS CORP                        COMMON        64110N102       11,398.50   268,200SH       SOLE     268,200       38,600
ON ASSIGNMENT INC                        COMMON        682159108       25,821.00   573,800SH       SOLE     573,800       82,600
ONESOURCE INFO SERV                      COMMON        68272J106        5,647.13   684,500SH       SOLE     684,500      100,300
OPTIMAL ROBOTICS CORP                    COMMON        68388R208        6,345.00   135,000SH       SOLE     135,000       19,300
P.F. CHANGS CHINA BISTRO INC.            COMMON        69333Y108       20,398.38   615,800SH       SOLE     615,800       88,200
PATTERSON DENTAL CO                      COMMON        703412106          149.18     3,900SH       SOLE       3,900            0
PEGASUS SYSTEMS INC                      COMMON        705906105       12,989.18   821,450SH       SOLE     821,450      118,000
PEREGRINE SYSTEMS INC.                   COMMON        71366Q101       32,760.03   488,500SH       SOLE     488,500       70,100
PROFIT RECOVERY GROUP INTL               COMMON        743168106       16,326.25   882,500SH       SOLE     882,500      124,200
QRS CORPORATION COM                      COMMON        74726X105       26,916.93   357,700SH       SOLE     357,700       51,300
QUICKLOGIC CORP                          COMMON        74837P108       34,901.41 1,030,300SH       SOLE    1,030,300     147,700
RENAL CARE GROUP                         COMMON        759930100       25,216.06 1,162,700SH       SOLE    1,162,700     166,200
SAPIENT CORPORATION                      COMMON        803062108           75.49       900SH       SOLE         900            0
SERENA SOFTWARE INC                      COMMON        817492101        9,109.88   285,800SH       SOLE     285,800       41,000
STARBUCKS CORP                           COMMON        855244109          165.81     3,700SH       SOLE       3,700            0
SURMODICS INC                            COMMON        868873100       15,922.50   579,000SH       SOLE     579,000       82,700
SYNOPSYS INC COM                         COMMON        871607107          141.38     2,900SH       SOLE       2,900            0
TRANSACTION SYS ARCHIT                   COMMON        893416107        8,821.31   305,500SH       SOLE     305,500       44,050
TRANSWITCH CORP                          COMMON        894065101       16,216.29   168,700SH       SOLE     168,700       24,275
TRUETIME INC                             COMMON        897868105        4,073.78   561,900SH       SOLE     561,900       80,400
TURNSTONE SYSTEMS INC.                   COMMON        900423104           80.50       700SH       SOLE         700            0
VERITAS SOFTWARE CO                      COMMON        923436109          134.28     1,025SH       SOLE       1,025            0
VISUAL NETWORKS INC                      COMMON        928444108       25,185.65   443,800SH       SOLE     443,800       64,200
VITESSE SEMICONDUCTOR                    COMMON        928497106          173.25     1,800SH       SOLE       1,800            0
WILD OATS MARKETS INC.                   COMMON        96808B107       29,075.97 1,418,340SH       SOLE    1,418,340     203,451
YANKEE CANDLE                            COMMON        984757104        8,717.43   551,300SH       SOLE     551,300       78,900
ZOLL MEDICAL CORP                        COMMON        989922109       27,962.00   545,600SH       SOLE     545,600       78,000



















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