MAINSTREAM INVESTMENT ADVISERS LLC
13F-HR, 2000-04-19
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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:  March 31, 2000

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

Institutional Investment Management Filing this Report:

Name:     Mainstream Investment Advisers, LLC
Address:  462 South Fourth Avenue
          Suite 1750
          Louisville, KY 40202

13F File Number:  28-6888

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:          Diane J. Hulls
Title:         Director
Phone:         502-568-6619
Signature, Place, and Date of Signing:

     Diane J. Hulls    Louisville, Kentucky    April 17, 2000


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.
<PAGE>


                    FORM 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:      0

Form 13F Information Table Entry Total: 136

Form 13F Information Table Value Total:  $103,755,279



<PAGE>
<TABLE>
<CAPTION>                                        FAIR
                            TITLE              MARKET   SHARES OF
                             OF    CUSIP        VALUE   PRINCIPAL  SOLE  SHARED OTHER          SOLE  SHARED   NONE
NAME OF ISSUER              CLASS  NUMBER     (x$1000)   AMOUNT    (A)    (B)   (C)   MANAGERS  (A)     (B)    (C)
- -------------------------------------------------------------------------------------------------------------------
<S>                       <C>    <C>           <C>      <C>       <C>     <C>    <C>   <C>    <C>      <C>    <C>
ALUMINUM CO OF AMERICA    COMMON 013817101        351     5000 N  X                     230      5000
AIRTRAN HOLDINGS INC      OTC IS 00949P108        286    65000 N  X                     230     65000
***ABITIBI-CONSOLIDATED   COMMON 003924107       1004   105000 N  X                     230    105000
ATLANTIC COAST AIRLINES   OTC IS 048396105       2199    85000 N  X                     230     85000
AETNA INC                 COMMON 008117103       1110    20000 N  X                     230     20000
AFLAC INC                 COMMON 001055102       1139    25000 N  X                     230     25000
AK STEEL HOLDING CORP     COMMON 001547108        778    75000 N  X                     230     75000
ALCAN ALUM LTD            COMMON 013716105       1192    35000 N  X                     230     35000
***ALBERTA ENERGY CO LTD  COMMON 012873105        303    10000 N  X                     230     10000
AIR PRODUCTS & CHEMICALS  COMMON 009158106        569    20000 N  X                     230     20000
***ARACRUZ CELULOSE SA-ADRCOMMON 03849620         530    25000 N  X                     230     25000
ADVANCED RADIO TELECOM    OTC IS 00754U101        497    15000 N  X                     230     15000
AUTOMATIC DATA PROCESSING COMMON 053015103        241     5000 N  X                     230      5000
AVNET INC                 COMMON 053807103        315     5000 N  X                     230      5000
AMERICA WEST AIRLINES     COMMON 023657208        853    55000 N  X                     230     55000
AMERICAN EXPRESS CO       COMMON 025816109       1489    10000 N  X                     230     10000
BANK OF AMERICA CORP      COMMON 060505104        262     5000 N  X                     230      5000
BAXTER INTERNATIONAL INC  COMMON 071813109        940    15000 N  X                     230     15000
BRIGGS & STRATTON CORP    COMMON 109043109       1152    28000 N  X                     230     28000
***BROKEN HILL PROPRI     COMMON 112169602        870    40000 N  X                     230     40000
BATTLE MOUNTAIN GOLD CO   COMMON 071593107         97    50000 N  X                     230     50000
CATERPILLAR INC           COMMON 149123101       1183    30000 N  X                     230     30000
CADENCE DESIGN SYSTEMS    COMMON 127387108        928    45000 N  X                     230     45000
ATLAS AIR INC             COMMON 049164106        274    10000 N  X                     230     10000
CLEVELANDS CLIFFS INC     COMMON 185896107        827    35000 N  X                     230     35000
COMINCO LTD               COMMON 200435105        866    60000 N  X                     230     60000
CAPITAL ONE FINANCIAL     COMMON 14040H105       1198    25000 N  X                     230     25000
CABOT OIL & GAS CORP-CL A COMMON 127097103        453    25100 N  X                     230     25100
COLUMBIA/HCA HEALTHCARE   COMMON 197677107        633    25000 N  X                     230     25000
COSTCO WHOLESALE CORP-NEW OTC IS 22160K105       1577    30000 N  X                     230     30000
COST PLUS INC-CALIF       OTC IS 221485105        338    10000 N  X                     230     10000
CARPENTER TECHNOLOGY CORP COMMON 144285103        728    35000 N  X                     230     35000
DELTA AIR LINES INC       COMMON 247361108       1065    20000 N  X                     230     20000
DIEBOLD INC               COMMON 253651103        413    15000 N  X                     230     15000
DONALDSON CO INC          COMMON 257651109       1015    45000 N  X                     230     45000
DUANE READE CORP          COMMON 263578106       1279    55000 N  X                     230     55000
***ENI SPA-SPONSORED ADR  COMMON 26874R108        254     5000 N  X                     230      5000
ELECTRONIC DATA SYSTEMS   COMMON 285661104        321     5000 N  X                     230      5000
ELECTROGLAS INC           OTC IS 285324109        685    20000 N  X                     230     20000
EATON CORP                COMMON 278058102        390     5000 N  X                     230      5000
FAIRCHILD SEMICONDUCTOR   COMMON 303726103       1825    50000 N  X                     230     50000
FREEPORT MCMORAN COPPER & COMMON 35671D857        724    60000 N  X                     230     60000
FIRST DATA CORP           COMMON 319963104        666    15000 N  X                     230     15000
FAMILY DOLLAR STORES INC  COMMON 307000109        916    44000 N  X                     230     44000
FILENET CORP              OTC IS 316869106        446    15000 N  X                     230     15000
FOX ENTERTAINMENT GROUP   COMMON 35138T107        599    20000 N  X                     230     20000
FIRST INDUSTRIAL REALTY   COMMON 32054K103        681    25000 N  X                     230     25000
FRONTIER AIRLINES INC NEW OTC IS 359065109        891    75000 N  X                     230     75000
GLOBAL CROSSING LTD       OTC IS G3921A100        532    13000 N  X                     230     13000
GARDNER DENVER MACHINERY  COMMON 365558105        536    28500 N  X                     230     28500
GOLDEN WEST FINANCIAL     COMMON 381317106        936    30000 N  X                     230     30000
GEORGIA PACIFIC CORP      COMMON 373298108        396    10000 N  X                     230     10000
GAP INC                   COMMON 364760108        498    10000 N  X                     230     10000
MISSISSIPPI CHEMICAL CORP COMMON 605288208        613    90000 N  X                     230     90000
HALLIBURTON CO            COMMON 406216101       1439    35000 N  X                     230     35000
HCR MANOR CARE INC        COMMON 564055101        540    40000 N  X                     230     40000
HOTJOBS COM INC           OTC IS 441474103        253    10000 N  X                     230     10000
HARSCO CORP               COMMON 415864107       1013    35000 N  X                     230     35000
IMPERIAL CHEM INDS PLC    COMMON 452704505       1935    60000 N  X                     230     60000
***IMPERIAL OIL LTD NEW   COMMON 453038408        838    40000 N  X                     230     40000
IMCO RECYCLING INC        COMMON 449681105       1106   100000 N  X                     230    100000
INTUIT INC                OTC IS 461202103        272     5000 N  X                     230      5000
INTERNATIONAL PAPER CO    COMMON 460146103        855    20000 N  X                     230     20000
***ISPAT INTERNATIONAL NV COMMON 464899103       1116    75000 N  X                     230     75000
ITC DELTACOM INC          OTC IS 45031T104        356    10000 N  X                     230     10000
JABIL CIRCUIT INC         COMMON 466313103        216     5000 N  X                     230      5000
J D EDWARDS & CO          OTC IS 281667105        488    15000 N  X                     230     15000
KIRBY CORP                COMMON 497266106        632    32000 N  X                     230     32000
KULICKE & SOFFA INDUST    OTC IS 501242101        641    10000 N  X                     230     10000
KAISER ALUMINUM CORP      COMMON 483007100         63    14000 N  X                     230     14000
LYCOS INC                 OTC IS 550818108        267     3800 N  X                     230      3800
LG&E ENERGY CORP          COMMON 501917108        572    25000 N  X                     230     25000
LINENS N THINGS INC       COMMON 535679104        229     6700 N  X                     230      6700
***LORAL SPACE &          COMMON G56462107        101    10000 N  X                     230     10000
LIFEPOINT HOSPITALS INC   OTC IS 53219L109        416    25000 N  X                     230     25000
LAM RESEARCH CORP         OTC IS 512807108        225     5000 N  X                     230      5000
MELLON BANK CORP          COMMON 58551A108       1190    40000 N  X                     230     40000
MESA AIR GROUP INC        OTC IS 590479101        313    50000 N  X                     230     50000
MARTIN MARIETTA MATLS INC COMMON 573284106       1188    25000 N  X                     230     25000
MINNESOTA MNG & MFG CO    COMMON 604059105       1328    15000 N  X                     230     15000
MITCHELL ENERGY & DEV     COMMON 606592301        880    40000 N  X                     230     40000
MOTOROLA INC              COMMON 620076109       1460    10000 N  X                     230     10000
METAL MANAGEMENT INC      OTC IS 591097100        499   225000 N  X                     230    225000
MURPHY OIL CORP           COMMON 626717102       1153    20000 N  X                     230     20000
***INCO LTD               COMMON 453258402       1103    60000 N  X                     230     60000
NABORS INDUSTRIES INC     COMMON 629568106        776    20000 N  X                     230     20000
NCR CORP                  COMMON 62886E108        803    20000 N  X                     230     20000
***NOVA CHEMICALS CORP    COMMON 66977W109       1268    65000 N  X                     230     65000
NEWMONT MINING CORP       COMMON 651639106       1122    50000 N  X                     230     50000
NETWORKS ASSOCIATES       OTC IS 640938106        806    25000 N  X                     230     25000
***NORSK HYDRO A/S        COMMON 656531605       1332    35000 N  X                     230     35000
NEWPORT NEWS SHIPBUILDING COMMON 652228107        372    12300 N  X                     230     12300
NUCOR CORP                COMMON 670346105       1250    25000 N  X                     230     25000
OLIN CORP W/RTS           COMMON 680665205        621    35000 N  X                     230     35000
OXFORD HEALTH PLANS INC   OTC IS 691471106       1906   125000 N  X                     230    125000
***ASIA PULP & PAPER CO   COMMON 04516V100        184    25000 N  X                     230     25000
PACCAR INC -DEL W/RTS     OTC IS 693718108        500    10000 N  X                     230     10000
POTLATCH CORP             COMMON 737628107       1075    25000 N  X                     230     25000
PHELPS DODGE CORP         COMMON 717265102        948    20000 N  X                     230     20000
PARKER HANNIFIN CORP      COMMON 701094104        413    10000 N  X                     230     10000
PIONEER STANDARD ELECTRON OTC IS 723877106       1103    70000 N  X                     230     70000
PARAMETRIC TECHNOLOGY     OTC IS 699173100        527    25000 N  X                     230     25000
POPE & TALBOT INC         COMMON 732827100        461    25100 N  X                     230     25100
***POTASH CORP OF SASKATCHCOMMON 73755L107        500    10000 N  X                     230     10000
PPG INDS INC              COMMON 693506107       1569    30000 N  X                     230     30000
PRICE COMMUNICATIONS CORP COMMON 741437305        690    30000 N  X                     230     30000
PROVIDIAN FINL CORP       COMMON 74406A102        866    10000 N  X                     230     10000
***PECHINEY-SPONSORED ADR OTC IS 705151207        761    30000 N  X                     230     30000
QUORUM HEALTH GROUP INC   OTC IS 749084109        106    10500 N  X                     230     10500
READ RITE CORP            OTC IS 755246105        188    40000 N  X                     230     40000
REYNOLDS & REYNOLDS CO    COMMON 761695105        945    35000 N  X                     230     35000
***RIO TINTO PLC          COMMON 767204100        855    12000 N  X                     230     12000
SEARS ROEBUCK & CO        COMMON 812387108        459    15000 N  X                     230     15000
SCHNITZER STEEL INDUST    OTC IS 806882106       1445    80000 N  X                     230     80000
GENERAL SEMICONDUCTOR     COMMON 370787103        604    35000 N  X                     230     35000
SHERWIN WILLIAMS CO       COMMON 824348106        664    30000 N  X                     230     30000
SOUTHTRUST CORP           OTC IS 844730101        636    25000 N  X                     230     25000
SMURFIT-STONE CONTAINER   OTC IS 832727101       1524    90000 N  X                     230     90000
SUN CO INC                COMMON 86764P109       1095    40000 N  X                     230     40000
TUBOSCOPE VETCO INTL CORP COMMON 898600101        425    25000 N  X                     230     25000
TERADYNE INC              COMMON 880770102        410     5000 N  X                     230      5000
TEREX CORP NEW            COMMON 880779103        288    20000 N  X                     230     20000
TENET HEALTHCARE/NATL MED COMMON 88033G100       1163    50000 N  X                     230     50000
TEMPLE INLAND INC         COMMON 879868107        498    10000 N  X                     230     10000
TRIAD HOSPITALS INC       OTC IS 89579K109        293    17500 N  X                     230     17500
TIME WARNER INC           COMMON 887315109       1000    10000 N  X                     230     10000
TEXAS INSTRUMENTS INC     COMMON 882508104        800     5000 N  X                     230      5000
ULTRAMAR DIAMOND SHAMROCK COMMON 904000106        888    35000 N  X                     230     35000
UNITED HEALTHCARE CORP    COMMON 910581107       1789    30000 N  X                     230     30000
USA DETERGENTS INC        OTC IS 902938109        150    65000 N  X                     230     65000
VIACOM INC-CL B           COMMON 925524308        264     5000 N  X                     230      5000
SEAGRAM LTD               COMMON 811850106        595    10000 N  X                     230     10000
WELLS FARGO & CO          COMMON 949746101        611    15000 N  X                     230     15000
WHIRLPOOL CORP            COMMON 963320106        293     5000 N  X                     230      5000
WELLPOINT HEALTH NETWORKS COMMON 94973H108       1048    15000 N  X                     230     15000
WILLIAMS COMPANIES INC    COMMON 969457100       1318    30000 N  X                     230     30000



</TABLE>


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