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, 1999
Check here if Amendment [ ]; Amendment Number:
This Amendment (Check only one.): [ ] is a restatement.
Institutional Investment Manager Filing this Report:
Name: Ken Roberts Investment Management Inc.
Address: 601 W. Riverside Avenue, Suite 1670
Spokane, WA 99201
13F File Number: 28-6910
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, and 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: Kenneth M. Roberts
Title: President, Chief Investment Officer
Phone: 509-624-5591
Signature, Place, and Date of Signing:
Kenneth Melvin Roberts Spokane, Washington August 1, 1999
Report Type (Check only one.):
[X] 13F HOLDING REPORT
[ ] 13F NOTICE
[ ] 13F COMBINATION REPORT
List of Other Managers Reporting for this Manager: None
I AM SIGNING THIS REPORT AS REQUIRED BY THE SECURITIES EXCHANGE ACT OF 1934.
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FORM 13F INFORMATION TABLE
Titl Value InvstVoting Authority
Name of Issuer Clas CUSIP (x$1000) Shares Dscre(c) None
3 Com Corp Com 885535104 3320124400 Sh Sole 124400
Actel CorporatiCom 004934105 5051342450 Sh Sole 342450
Advanced Polyme
Systems Inc. Com 00754G102 207 29639 Sh Sole 29639
American ExpresCom 025816109 375 2882 Sh Sole 2882
Anadarko PetrolCom 032511107 3206 87100 Sh Sole 87100
Autozone Inc. Com 053332102 3677122045 Sh Sole 122045
Bristol Myers SCom 110122108 207 2934 Sh Sole 2934
Browning FerrisCom 115885105 4173 97050 Sh Sole 97050
Building Materi
Holding Corp. Com 120113105 769 66900 Sh Sole 66900
Cabletron SysteCom 126920107 1843141750 Sh Sole 141750
Cascade NaturalCom 147339105 652 34300 Sh Sole 34300
Chevron Corp Com 166751107 417 4388 Sh Sole 4388
Citigroup Com 172967101 5601117925 Sh Sole 117925
Clorox CompanieCom 189054109 320 3000 Sh Sole 3000
Data I/O Com 237690102 20 15850 Sh Sole 15850
EEX CorporationCom 26842V108 1176169498 Sh Sole 169498
Emerson ElectriCom 291011104 1058 16812 Sh Sole 16812
Equity Oil CorpCom 294749106 79 70600 Sh Sole 70600
Exxon Com 302290101 347 4500 Sh Sole 4500
FLIR Systems InCom 302445101 967 63920 Sh Sole 63920
First Industria
Trust Inc. Com 32054K103 973 35450 Sh Sole 35450
General ElectriCom 369604103 718 6356 Sh Sole 6356
Halliburton Co.Com 406216101 2866 63335 Sh Sole 63335
Hartford Steam Boiler
Insp. & Ins. CoCom 40428N109 509 12350 Sh Sole 12350
HealthSouth CorCom 421924101 4341291850 Sh Sole 291850
Hewlett PackardCom 428236103 7362 73255 Sh Sole 73255
Home Properties
New York Com 437306103 1519 55000 Sh Sole 55000
ICOS Corp. Com 449295104 1697 41580 Sh Sole 41580
Immunex Corp. Com 452528102 573 4500 Sh Sole 4500
Intel CorporatiCom 458140100 9074152505 Sh Sole 152505
International B
Machines Com 459200101 634 4902 Sh Sole 4902
International RCom 460254105 1868140350 Sh Sole 140350
JP Realty Com 46624A106 1141 55500 Sh Sole 55500
Kaneb Services Com 484170105 426100300 Sh Sole 100300
Kemper Intermed
Gov't Trust Com 488413105 381 53900 Sh Sole 53900
Keytronic Corp.Com 493144109 561 99700 Sh Sole 99700
LTV CorporationCom 501921100 4060612900 Sh Sole 612900
Managed MunicipCom 561662107 348 32771 Sh Sole 32771
Merck & CompanyCom 589331107 340 4613 Sh Sole 4613
Microsoft CorpoCom 594918104 17792197275 Sh Sole 197275
NCH CorporationCom 628850109 391 7900 Sh Sole 7900
Newmont Mining Com 651639106 503 25299 Sh Sole 25299
Officemax Inc. Com 67622M108 3713309425 Sh Sole 309425
Oracle Corp Com 68389X105 3427 92300 Sh Sole 92300
Pathogenesis CoCom 70321E104 226 15900 Sh Sole 15900
Pfizer Inc. Com 717081103 215 1975 Sh Sole 1975
Putnam Master
Intermediate InCom 746909100 151 20847 Sh Sole 20847
Qualcomm Inc. Com 747525103 6013 41900 Sh Sole 41900
Ragen MacKenzieCom 750642100 1786150400 Sh Sole 150400
Rouse Co. Com 779273101 1525 60100 Sh Sole 60100
Safeco Com 786429100 7583171850 Sh Sole 171850
Schlumberger LtCom 806857108 3567 56000 Sh Sole 56000
Semitool Com 816909105 510 53000 Sh Sole 53000
Shurgard Storag
Inc. Cl A Com 82567D104 2851105119 Sh Sole 105119
Smith Barney In
Mun. Fund Inc. Com 831802103 294 30972 Sh Sole 30972
St Jude MedicalCom 790849103 1603 45000 Sh Sole 45000
Starbucks Corp.Com 855244109 4138110150 Sh Sole 110150
Sunshine Mining
& Refining Co. Com 867833105 4 11250 Sh Sole 11250
Tenet Healthcare
Corporation Com 88033G100 4916264850 Sh Sole 264850
Trinet Corporate
Realty Trust Com 896287109 1860 67190 Sh Sole 67190
Union Pacific CCom 907818108 2053 35200 Sh Sole 35200
Union Pacific RCom 907834105 1211 74205 Sh Sole 74205
Wal-Mart StoresCom 931142103 7852162733 Sh Sole 162733
Washington Federal
Savings & Loan Com 938824109 1602 71400 Sh Sole 71400
Washington Mutual
Savings Bank Com 939322103 4200118100 Sh Sole 118100
Western Investment
Real Estate TruCom 958468100 1133 97460 Sh Sole 97460
Wolverine WorldCom 978097103 2696192600 Sh Sole 192600
Avista Corp PfdConv.
Conv $1.24 Pref05379B503 190 11200 Sh Sole 11200
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FORM 13F SUMMARY PAGE
Report Summary:
Number of Other Included Managers: 0
Form 13F Information Table Entry Total: 68
Form 13F Information Table Va $ 156,861