UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
FORM 13F
FORM 13F COVER PAGE
Report for the Calendar Year or Quarter Ended: September 30, 2000
Check here if Amendment [ ]; Amendment Number:
This Amendment (Check only one):[ ] is a restatement.
[ ] adds, new holdings entries.
Institutional Investment Manager Filing this Report:
Name: Ken Roberts Investment Management Inc.
Address:601 W. Riverside Ave., 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 M. Roberts Spokane, Washington November 7, 2000
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
Title of Value Invstmt Voting Aut
Name of Issuer Class CUSIP (x$1000) Shares Dscretn None
3Com Corp. Com 885535104 680 35450 Sole 35450
Abbott Laborator Com 002824100 247 5190 Sole 5190
Actel Corp. Com 004934105 6665 185452 Sole 185452
Advanced Polymer
Systems Inc. Com 00754G102 103 48500 Sole 48500
Airborne Freight Com 009266107 2088 204900 Sole 204900
Alaska Air Group Com 011659109 4728 196995 Sole 196995
Albertsons Inc. Com 013104104 3971 189101 Sole 189101
American Express Com 025816109 408 6718 Sole 6718
Autozone Com 053332102 6657 296420 Sole 296420
Bank of America Com 060505104 4802 91678 Sole 91678
Boise Cascade Com 097383103 450 16950 Sole 16950
Bristol Myers Sq Com 110122108 374 6542 Sole 6542
Build. Materials
Holding Corp. Com 120113105 686 77250 Sole 77250
Cardinal Health Com 14149Y108 7569 85830 Sole 85830
Cascade Nat. Gas Com 147339105 480 27400 Sole 27400
Centennial Banco Com 15133T104 67 11207 Sole 11207
Chevron Corp. Com 166751107 397 4653 Sole 4653
Citigroup Com 172967101 5619 103933 Sole 103933
Clorox Companies Com 189054109 237 6000 Sole 6000
Coastal Corporat Com 190441105 321 4336 Sole 4336
Coca Cola Co. Com 191216100 5396 97881 Sole 97881
EEX Corp. Com 26842V108 277 57513 Sole 57513
Emerson Electric Com 291011104 3306 49350 Sole 49350
Exxon Mobile Com 30231G102 643 7215 Sole 7215
FLIR Systems Com 302445101 385 64100 Sole 64100
Fed. National Mortg.
Association Com 313586109 221 3085 Sole 3085
First Indus.
Realty Trust Com 32054K103 398 12950 Sole 12950
First Savings
Bank of WA. Com 33748T104 1413 90076 Sole 90076
Gap Stores Com 364760108 3620 179875 Sole 179875
General Electric Com 369604103 1156 20046 Sole 20046
Global Crossing
Limited Com G3921A100 477 15400 Sole 15400
HSB Group Inc. Com 40428N109 331 8250 Sole 8250
HealthSouth Com 421924101 3755 462200 Sole 462200
Home Properties
of N.Y. Com 437306103 433 14500 Sole 14500
ICOS Corp. Com 449295104 1520 28074 Sole 28074
Ikon Office Sol. Com 451713101 59 15000 Sole 15000
Intel Corp. Com 458140100 7113 171140 Sole 171140
IBM Com 459200101 3025 26888 Sole 26888
Istar Financial Com 45031U101 1620 72196 Sole 72196
JP Realty Com 46624A106 823 45550 Sole 45550
Kaneb Services Com 484170105 485 104900 Sole 104900
Kemper Interm.
Gov't Trust Com 488413105 392 60300 Sole 60300
Keycorp Com 493267108 2283 90175 Sole 90175
Keytronic Com 493144109 1026 218950 Sole 218950
Klamath First
Bancorp Com 49842P103 145 11400 Sole 11400
LTV Corp. Com 501921100 858 653125 Sole 653125
Liberty Allstar
Equity Fund Com 530158104 837 63787 Sole 63787
MCI Worldcom Inc Com 98157D106 3206 105559 Sole 105559
Mentor Graphics Com 587200106 2823 119800 Sole 119800
Merck & Co. Com 589331107 417 5604 Sole 5604
Microsoft Com 594918104 14579 241718 Sole 241718
NCH Corp. Com 628850109 254 7200 Sole 7200
Nordstrom Com 655664100 4694 301598 Sole 301598
Office Depot Com 676220106 5068 648636 Sole 648636
Officemax Com 67622M108 3288 922841 Sole 922841
Oracle Corp. Com 68389X105 3250 41270 Sole 41270
Pacific Northwest
Bancorp Com 69466M103 244 18860 Sole 18860
Palm Inc. Com 696642107 2787 52644 Sole 52644
Pfizer Inc. Com 717081103 359 7985 Sole 7985
Plum Creek Timb. Com 729251108 1555 69700 Sole 69700
Putnam Master
Interm. Inc. Tr. Com 746909100 346 53756 Sole 53756
Qualcomm Com 747525103 5555 77965 Sole 77965
Rouse Co. Com 779273101 858 34400 Sole 34400
Safeco Com 786429100 3188 116995 Sole 116995
Semitool Com 816909105 346 27000 Sole 27000
Shurgard Storage Com 82567D104 2210 97931 Sole 97931
Starbucks Com 855244109 9394 234490 Sole 234490
Sterling Finl. Com 859319105 1170 102885 Sole 102885
Sun Microsystems Com 866810104 280 2400 Sole 2400
Supervalu Com 868536103 1133 75200 Sole 75200
Tenet Healthcare Com 88033G100 827 22745 Sole 22745
US Bancorp Com 902973106 7617 334804 Sole 334804
Umpqua Holdings Com 904214103 380 48700 Sole 48700
Union Pacific Com 907818108 5324 136950 Sole 136950
UnumProvident Co Com 91529Y106 3420 125500 Sole 125500
Verizon Comm. Com 92343V104 420 8665 Sole 8665
Wal-Mart Com 931142103 8777 182373 Sole 182373
Washington Fed.
Savings & Loan Com 938824109 1562 68680 Sole 68680
Washington Mut.
Savings Bank Com 939322103 13827 347295 Sole 347295
Watchguard
Technologies Inc Com 941105108 467 7775 Sole 7750
Wendy's Intl Inc Com 950590109 4321 215350 Sole 215350
Western Prop. Tr Com 959261108 1372 111390 Sole 111390
Weyerhauser Com 962166104 8632 213808 Sole 213808
Willamette Ind. Com 969133107 1161 41479 Sole 41479
Wolverine World
Wide Com 978097103 3637 390500 Sole 390500
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FORM 13F SUMMARY PAGE
Report Summary:
Number of Other Included Managers: 0
Form 13F Information Table Entry Total: 85
Form 13F Information Table Value $ 217,294