MAINSTREAM INVESTMENT ADVISERS LLC
13F-HR, 2000-07-14
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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:  June 30, 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    July 11, 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: 121

Form 13F Information Table Value Total:  $90,854,049



<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>
AIRTRAN HLDGS INC          OTC IS 00949P108        395      95000 N  X                 230       95000
ATLANTIC COAST AIRLINES IN OTC IS 048396105       2699      85000 N  X                 230       85000
ANDRX CORP                 OTC IS 034551101        958      15000 N  X                 230       15000
AMERICAN FINL GROUP INC    COMMON 025932104       1062      42800 N  X                 230       42800
AMERADA HESS CORP          COMMON 023551104       1544      25000 N  X                 230       25000
APRIA HEALTHCARE GROUP INC COMMON 037933108        306      25000 N  X                 230       25000
AMERICAN INTL GROUP INC    COMMON 026874107       1762      15000 N  X                 230       15000
ALCAN ALUM LTD             COMMON 013716105        310      10000 N  X                 230       10000
ALASKA AIR GROUP INC W/RTS COMMON 011659109        271      10000 N  X                 230       10000
AON CORP                   COMMON 037389103       1087      35000 N  X                 230       35000
AMERICAN POWER CONVERSION  OTC IS 029066107        204       5000 N  X                 230        5000
AMERICA WEST AIRLINES INC- COMMON 023657208        942      55000 N  X                 230       55000
BOEING CO                  COMMON 097023105       1045      25000 N  X                 230       25000
BECTON DICKINSON & CO      COMMON 075887109       1291      45000 N  X                 230       45000
BIOMET INC                 OTC IS 090613100        576      15000 N  X                 230       15000
BOWATER INC                COMMON 102183100        221       5000 N  X                 230        5000
CONAGRA INC W-RTS TO PUR C COMMON 205887102        191      10000 N  X                 230       10000
CARESCIENCE INC            OTC IS 141726109        528      50000 N  X                 230       50000
CONSTELLATION ENERGY GROUP COMMON 210371100        814      25000 N  X                 230       25000
CENTURY ALUMINUM CO        OTC IS 156431108        133      12200 N  X                 230       12200
CHIEFTAIN INTERNATIONAL  I COMMON 16867C101        848      44500 N  X                 230       44500
CINERGY CORP               COMMON 172474108       1145      45000 N  X                 230       45000
CINCINNATI FINL CORP       OTC IS 172062101        629      20000 N  X                 230       20000
CROMPTON CORP              COMMON 227116100        367      30000 N  X                 230       30000
CELESTICA INC              COMMON 15101Q108       1241      25000 N  X                 230       25000
COMINCO LTD                COMMON 200435105        621      45000 N  X                 230       45000
CAREMARK RX INC            COMMON 141705103        910     133600 N  X                 230      133600
COMPAQ COMPUTER CORP       COMMON 204493100        639      25000 N  X                 230       25000
CURAGEN CORP               OTC IS 23126R101        381      10000 N  X                 230       10000
CSG SYSTEMS INTL INC       OTC IS 126349109       1401      25000 N  X                 230       25000
DOMINION RESOURCES   INC V COMMON 25746U109       1286      30000 N  X                 230       30000
DELTA AIR LINES INC        COMMON 247361108       2275      45000 N  X                 230       45000
DONALDSON CO INC           COMMON 257651109       1159      58700 N  X                 230       58700
DEERE & CO                 COMMON 244199105        740      20000 N  X                 230       20000
DITECH CORP                OTC IS 25500M103       1418      15000 N  X                 230       15000
DIGITAL MICROWAVE CORP W/R OTC IS 253859102        572      15000 N  X                 230       15000
DOLE FOOD CO INC           COMMON 256605106        140      10000 N  X                 230       10000
ECHELON CORPORATION        OTC IS 27874N105        290       5000 N  X                 230        5000
ENRON CORP                 COMMON 293561106       1612      25000 N  X                 230       25000
ENZON INC                  OTC IS 293904108       1275      30000 N  X                 230       30000
EQUITABLE RES INC          COMMON 294549100        482      10000 N  X                 230       10000
EXODUS COMMUNICATIONS INC  OTC IS 302088109        461      10000 N  X                 230       10000
FOUNDRY NETWORKS INC       OTC IS 35063R100       1650      15000 N  X                 230       15000
FIRSTENERGY CORP           COMMON 337932107       1169      50000 N  X                 230       50000
FIRST HEALTH GROUP CORP    OTC IS 320960107       1641      50000 N  X                 230       50000
***FLEXTRONICS INT LTD     OTC IS Y2573F102        687      10000 N  X                 230       10000
FPL GROUP INC              COMMON 302571104        742      15000 N  X                 230       15000
NICOR INC                  COMMON 654086107        816      25000 N  X                 230       25000
GATX CORP                  COMMON 361448103        680      20000 N  X                 230       20000
MISSISSIPPI CHEMICAL CORP  COMMON 605288208        475     100000 N  X                 230      100000
GENCORP INC -W/RTS TO PUR  COMMON 368682100        400      50000 N  X                 230       50000
HALLIBURTON CO             COMMON 406216101        944      20000 N  X                 230       20000
HCR MANOR CARE INC         COMMON 564055101        280      40000 N  X                 230       40000
HOTJOBS COM INC            OTC IS 441474103        521      37700 N  X                 230       37700
HEALTHSOUTH CORP           COMMON 421924101       1437     200000 N  X                 230      200000
HARSCO CORP                COMMON 415864107        329      12900 N  X                 230       12900
HUMANA INC                 COMMON 444859102        122      25000 N  X                 230       25000
IMCO RECYCLING INC         COMMON 449681105        571     105000 N  X                 230      105000
INCYTE PHARMACEUTICALS INC OTC IS 45337C102        822      10000 N  X                 230       10000
INFOSPACE.COM INC          OTC IS 45678T102        829      15000 N  X                 230       15000
INTERNATIONAL PAPER CO     COMMON 460146103        745      25000 N  X                 230       25000
***ISPAT INTERNATIONAL NV- COMMON 464899103        665      70000 N  X                 230       70000
JDS UNIPHASE CORP          OTC IS 46612J101        599       5000 N  X                 230        5000
KANA COMMUNCATIONS INC     OTC IS 483600102        309       5000 N  X                 230        5000
KAISER ALUMINUM CORP       COMMON 483007100         56      14000 N  X                 230       14000
LG&E ENERGY CORP           COMMON 501917108        597      25000 N  X                 230       25000
LITTON INDUSTRIES  INC     COMMON 538021106        420      10000 N  X                 230       10000
LIFEPOINT HOSPITALS INC    OTC IS 53219L109        667      30000 N  X                 230       30000
LOEWS CORP                 COMMON 540424108        600      10000 N  X                 230       10000
SOUTHWEST AIRLINES CO      COMMON 844741108       1136      60000 N  X                 230       60000
M A HANNA CO               COMMON 410522106        165      18300 N  X                 230       18300
MESA AIR GROUP INC         OTC IS 590479101        277      50000 N  X                 230       50000
MARSH & MCLENNAN COMPANIES COMMON 571748102       1567      15000 N  X                 230       15000
MONY GROUP INC             COMMON 615337102        676      20000 N  X                 230       20000
MOBILITY ELECTRONICS INC   OTC IS 60741U101        195      15000 N  X                 230       15000
MOLEX INC                  OTC IS 608554101       1083      22500 N  X                 230       22500
METTLER-TOLEDO INTERNATION COMMON 592688105       1000      25000 N  X                 230       25000
METAL MANAGEMENT INC       OTC IS 591097100        260     225000 N  X                 230      225000
MAYTAG CORP                COMMON 578592107        369      10000 N  X                 230       10000
***INCO LTD                COMMON 453258402       1076      70000 N  X                 230       70000
NOBLE AFFILIATES INC       COMMON 654894104        559      15000 N  X                 230       15000
NEWFIELD EXPLORATION CO    COMMON 651290108       1761      45000 N  X                 230       45000
NETWORK APPLIANCE INC      OTC IS 64120L104       1208      15000 N  X                 230       15000
NORTHWEST AIRLINES CORP-CL OTC IS 667280101        609      20000 N  X                 230       20000
NEXTEL COMMUNICATIONS INC- OTC IS 65332V103        306       5000 N  X                 230        5000
BANC ONE CORP              COMMON 06423A103        531      20000 N  X                 230       20000
OVERSEAS SHIPHOLDING GROUP COMMON 690368105        862      35000 N  X                 230       35000
OCCIDENTAL PETE CORP-DEL   COMMON 674599105       1053      50000 N  X                 230       50000
***ASIA PULP & PAPER CO LT COMMON 04516V100        633     125000 N  X                 230      125000
PUBLIC SERVICE ENTERPRISE  COMMON 744573106        346      10000 N  X                 230       10000
PACIFICARE HEALTH SYSTEMS  OTC IS 695112102        903      15000 N  X                 230       15000
P P & L RES INC            COMMON 69351T106        439      20000 N  X                 230       20000
POGO PRODUCING CO          COMMON 730448107        885      40000 N  X                 230       40000
***PECHINEY-SPONSORED ADR  OTC IS 705151207        311      15000 N  X                 230       15000
QUORUM HEALTH GROUP INC    OTC IS 749084109        413      40000 N  X                 230       40000
READ RITE CORP             OTC IS 755246105         89      40000 N  X                 230       40000
SCHNITZER STEEL INDUSTRIES OTC IS 806882106       1270      80000 N  X                 230       80000
***STOLT COMEX SEAWAY SA   OTC IS L8873E103        706      50000 N  X                 230       50000
SCIENTIFIC ATLANTA INC     COMMON 808655104        373       5000 N  X                 230        5000
SOLECTRON  CORP            COMMON 834182107        419      10000 N  X                 230       10000
SYNOVUS FINANCIAL CORP     COMMON 87161C105        617      35000 N  X                 230       35000
SMURFIT-STONE CONTAINER CO OTC IS 832727101       1288     100000 N  X                 230      100000
QUESTAR CORP               COMMON 748356102        484      25000 N  X                 230       25000
TIME WARNER INC            COMMON 887315109        760      10000 N  X                 230       10000
U S AIR GROUP INC          COMMON 911905107       1365      35000 N  X                 230       35000
ULTRAMAR DIAMOND SHAMROCK  COMMON 904000106       1613      65000 N  X                 230       65000
UNION PACIFIC  CORP        COMMON 907818108        372      10000 N  X                 230       10000
VALERO ENERGY CORP W/RTS T COMMON 91913Y100        318      10000 N  X                 230       10000
***VODAFONE AIRTOUCH PLC   COMMON 92857T107        622      15000 N  X                 230       15000
VISHAY INTERTECHNOLOGY INC COMMON 928298108        379      10000 N  X                 230       10000
VOICESTREAM WIRELESS CORP  OTC IS 928615103        581       5000 N  X                 230        5000
WASTE CONNECTIONS INC      OTC IS 941053100        691      35000 N  X                 230       35000
WIND RIVER SYSTEMS INC     OTC IS 973149107       1515      40000 N  X                 230       40000
WELLMAN INC                COMMON 949702104        243      15000 N  X                 230       15000
WELLPOINT HEALTH NETWORKS  COMMON 94973H108        724      10000 N  X                 230       10000
WASTE MANAGEMENT INC       COMMON 94106L109        285      15000 N  X                 230       15000
WEST TELESERVICES CORP     OTC IS 956188106        380      15000 N  X                 230       15000
USX-U S STEEL GROUP        COMMON 90337T101        928      50000 N  X                 230       50000
***XL CAPITAL LTD-CL A     COMMON G98255105        541      10000 N  X                 230       10000
YELLOW CORP                OTC IS 985509108        664      45000 N  X                 230       45000



</TABLE>


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