MERIDIAN INVESTMENT MANAGEMENT CORP/CO
13F-HR, 2000-05-15
Previous: SAVVIS COMMUNICATIONS CORP, 10-Q, 2000-05-15
Next: PLAINWELL INC, 10-Q, 2000-05-15



FORM 13 F COVER PAGE

		"Report for the Calendar Year or Quarter Ended March 31, 2000"

CHECK HERE IF AMENDMENT   [    ]
This Amendment (check only one) :  [    ]  Is a restatement
                                   [    ]  Adds new holdings entries

INSTITUTIONAL INVESTMENT MANAGER FILING THIS REPORT:

MERIDIAN INVESTMENT MANAGEMENT CORPORATION
"12835 E. ARAPAHOE RD., TOWER II -  ENGLEWOOD, COLO 80112"

13F FILE NUMBER: 28-7066

"The institutional investment manager filing this report and the person by
whom it is signed hereby represents 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: DEBORAH ZELE URTZ
Title:   CHIEF COMPLIANCE OFFICER
Phone: 303-790-1600
"Signature, Place, and Date of Signing:"

	"Deborah Zele Urtz          Englewood, Colorado             May 11, 2000"

Report Type (check only one)

[ X ]	13F HOLDINGS REPORT

[    ]	13F NOTICE

[    ]	13F COMBINTION REPORT

List of other Managers Reporting for this Manager:

None

I AM SIGNING THIS REPORT AS REQUIRED BY THE SECURITIES EXCHANGE ACT OF 1934.
Meridian Investment Management Corporation
FORM 13F
"March 31, 2000"
									Voting
	Title				Discretion				Authority
	of				---------------------				----------------------------------
Security	          Class	CUSIP	 Mkt Value	Quantity	Sole	Share	Other	Managers
- -------------------------	-----  	---------	----------------	-------------
99 CENTS ONLY STORES	COM	65440K106	871350	  22200	x				22200
ACXIOM CORP	         COM	005125109	1857012	 55850	x				55850
ADVO INC	            COM	007585102	1425000	 57000	x				57000
AETNA INC           	COM	008117103	1703850	 30700	x				30700
AK STEEL HOLDING COR COM	001547108	328887	  31700	x				31700
ALLEGHENY TECHNOLOG  COM	01741R102	400247	  19950	x				19950
ALLIANCE CAPITAL MGM COM	01855A101	2995931	 72300	x				72300
ALPHARMA INC  -CL A	 COM	020813101	1315650	 35800	x				35800
AMERICAN EXPRESS    	COM	025816109	327662	   2200	x				2200
AMERICREDIT CORP.	   COM	03060R101	2601844	159500	x 			159500
ANADARKO PETROLEUM C COM	032511107	773750	  20000	x				20000
ANCHOR BANCORP WISCO COM	032839102	2789237	175700	x				175700
APACHE CORP	         COM	037411105	1024850	 20600	x				20600
APEX INC.           	COM	037548104	1975050 	53200	x				53200
ARROW ELECTRONICS IN COM	042735100	4448550	126200	x				126200
ASTEC INDUSTRIES INC	COM	046224101	2953750	111200	x				111200
AVNET INC	           COM	053807103	3011400	 47800	x				47800
BAKER-HUGHES INC	    COM	057224107	803742	  26570	x				26570
BARR LABORATORIES IN COM	068306109	1386000 	33000	x				33000
BAUSCH & LOMB INC	   COM 071707103	626250	  12000	x				12000
BB&T	                COM	054937107	3008300	107200	x				107200
BEAR STEARNS COMPANI COM	073902108	3024937	 66300	x				66300
BENCHMARK ELECTRONIC COM	08160H101	680800	  18400	x				18400
BETHLEHEM STEEL CORP	COM	087509105	564000  	94000	x				94000
BIOMATRIX	           COM	09060P102	1738344	 71500	x				71500
BJ SERVICES CO	      COM	055482103	1433175	 19400	x				19400
BLACK BOX CORP.	     COM	091826107	588492	   8500	x				8500
BRINKER INTL INC	    COM	109641100	620469	  20900	x				20900
BRUNSWICK CORP	      COM	117043109	643875	  34000	x				34000
BURLINGTON RESOURCES COM	122014103	780700	  21100	x				21100
C & D TECHNOLOGIES I COM	124661109	755200	  12800	x				12800
CALLAWAY GOLF CO	    COM 131193104	396800	  25600	x				25600
CAMBREX CORP	        COM	132011107	856950	  19700	x				19700
CAPITAL ONE FINL COR COM	14040H105	1332662 	27800	x				27800
CATALINA MARKETING C COM	148867104	1306125	 12900	x				12900
CDW COMPUTER CENTERS COM	125129106	2009612	 23800	x				23800
CHARTER ONE FIN INC	 COM	160903100	3250800	154800	x				154800
CHASE MANHATTAN CORP	COM	16161A108	357469	   4100	x				4100
CITIGROUP INC.	      COM	172967101	372722	   6225	x				6225
COMPUTER SCIENCES CO COM	205363104	783337	   9900	x				9900
COOPER COMPANIES	    COM	216648402	1821812	 56600	x				56600
COVANCE INC	         COM	222816100	1279250	119000	x				119000
DALLAS SEMICONDUCTOR COM	235204104	1401600	 38400	x				38400
DELL COMPUTER CORP	  COM	247025109	3932044 	72900	x				72900
DELPHI FINANCIAL GRO COM	247131105	1518750 	50000	x				50000
DEVON ENERGY CORPOR  COM	25179M103	548756	  11300	x				11300

			----------------
Page Total 			68626997
DIEBOLD INC	         COM	253651103	811250  	29500	x				29500
DOLLAR GENERAL	      COM	256669102	1537250	 57200	x				57200
DOLLAR TREE STORES I COM	256747106	1621087	 31100	x				31100
DOWNEY FINANCIAL COR COM	261018105	1032750	 48600	x				48600
DUKE POWER CO	       COM	264399106	241500	   4600	x				4600
EDWARDS (A G) INC	   COM	281760108	3120000	 78000	x				78000
ELCOR CORP	          COM	284443108	400200	  11600	x				11600
EMERSON ELECTRIC CO	 COM	291011104	770312	  14500	x				14500
ENGELHARD CORP	      COM	292845104	1179750	 78000	x				78000
ENSCO INTERNATIONAL  COM	26874Q100	1629237	 45100	x				45100
FAMILY DOLLAR STORES	COM	307000109	1531800	 73600	x				73600
FASTENAL CO	         COM	311900104	4585228	 95775	x				95775
FEDERATED DEPT STORE COM	31410H101	604175	  14300	x				14300
FLEET BOSTON FINANCI COM	339030108	3025850	 82900	x				82900
FLORIDA ROCK INDS   	COM	341140101	414400	  14800	x				14800
FPL GROUP INC	       COM	302571104	211887	   4600	x				4600
FREEPORT-MCMORAN COP	COM	35671D857	464406	  38500	x				38500
GENERAL ELECTRIC CO	 COM	369604103	1431750	  9200	x				9200
GERBER SCIENTIFIC IN COM	373730100	1234069	 63900	x				63900
GLOBAL CROSSING LTD	 COM	G3921A100	237437	   5800	x				5800
GLOBAL MARINE INC	   COM	379352404	1136800	 44800	x				44800
GRAINGER (W W) INC	  COM	384802104	2693512 	49650	x				49650
HALLIBURTON CO	      COM	406216101	917910	  22320	x				22320
HARRAHS ENTERTAINMEN COM	413619107	297000	  16000	x				16000
HASBRO INC	          COM	418056107	390070	  23375	x				23375
HELMERICH & PAYNE	   COM	423452101	957900	  30900	x				30900
HILTON HOTELS CORP	  COM	432848109	551877	  71210	x				71210
HOME DEPOT INC	      COM	437076102	1831800	 28400	x				28400
HONEYWELL INTERNATIO COM	438516106	997743	  18937	x				18937
HUGHES SUPPLY INC	   COM	444482103	872262	  56275	x				56275
ICN PHARMACEUTICALS  COM	448924100	1158125	 42500	x				42500
IKON OFFICE SOLUTION COM	451713101	185625	  30000	x				30000
INCO LTD	            COM	453258402	654150	  35600	x				35600
INKTOMI CORP.	       COM	457277101	526500	   2700	x				2700
INTERPUBLIC GROUP OF COM	460690100	1552162	 32850	x				32850
INTL GAME TECHNOLOGY	COM	459902102	607250	  28000	x				28000
JEFFERSON-PILOT CORP	COM	475070108	3567750	 53600	x				53600
KEANE INC	           COM	486665102	1259975 	49900	x				49900
KERR-MCGEE CORP	     COM	492386107	900553	  15594	x				15594
LEHMAN BROTHERS HOLD COM	524908100	2813000	 29000	x				29000
LEXMARK INTL GRP INC	COM	529771107	1311300	 12400	x				12400
LOWES COS           	COM	548661107	5707616	 97775	x				97775
MANDALAY RESORT GROU COM	562567107	303750	  18000	x				18000
MARRIOTT INTL INC	   COM	571903202	560700	  17800	x				17800
MATTEL INC	          COM	577081102	326550	  31100	x				31100
MAY DEPARTMENT STORE COM	577778103	589950	  20700	x				20700

			----------------
Page Total 			58756173
MBNA CORP	           COM	55262L100	376125	  14750	x				14750
MEDIMMUNE INC	       COM	584699102	1121365	  6440	x				6440
MICROCHIP TECHNOLOGY COM	595017104	1045425	 15900	x				15900
MICROS SYSTEMS INC.	 COM	594901100	2240575	 35600	x				35600
MIRAGE RESORTS INC	  COM	60462E104	680062	  35100	x				35100
MOLEX INC	           COM	608554101	1432031	 24375	x				24375
MORGAN (J P) & CO	   COM	616880100	210800	   1600	x				1600
MORGAN STANLEY DEAN  COM	617446448	232050	   2800	x				2800
MURPHY OIL CORP	     COM	626717102	749125	  13000	x				13000
MYLAN LABORATORIES	  COM	628530107	1082675	 39370	x				39370
NABORS INDUSTRIES	   COM	629568106	1393369	 35900	x				35900
NCR CORP NEW	        COM	62886E108	1757475	 43800	x				43800
NETWORK APPLIANCE IN COM	64120L104	1969450	 23800	x				23800
NOBLE AFFILIATES INC	COM	654894104	636562	  19400	x				19400
NOBLE DRILLING CORP	 COM	655042109	976450	  23600	x				23600
NORDSTROM INC	       COM	655664100	427750	  14500	x				14500
NOVA CORP/GA	        COM	669784100	1258200	 43200	x				43200
NUCOR CORP	          COM	670346105	790000	  15800	x				15800
OCCIDENTAL PETROLEUM	COM 674599105	348600	  16800	x				16800
OLD KENT FINANCIAL C COM	679833103	3001600	 93800	x				93800
OMNICOM GROUP	       COM	681919106	2141672	 22875	x				22875
OUTBACK STEAKHOUSE   COM	689899102	570712	  17800	x				17800
PALL CORP	           COM	696429307	751656	  33500	x				33500
PARKER-HANNIFIN CORP	COM	701094104	1036944	 25100	x				25100
PECO ENERGY CO	      COM	693304107	217562	   5900	x				5900
PHELPS DODGE CORP	   COM	717265102	1016904	 21465	x				21465
PLANTRONICS	         COM	727493108	3652950	 39200	x				39200
PPG INDUSTRIES INC	  COM	693506107	1156106	 22100	x				22100
PRICE (T. ROWE) ASSO COM	741477103	3254800	 82400	x				82400
PROTECTIVE LIFE CORP	COM	743674103	1676400	 52800	x				52800
PROVIDIAN FINANCIAL 	COM	74406A102	303187	   3500	x				3500
QUINTILES TRANSNATI  COM	748767100	1098825	 64400	x				64400
RELIASTAR FINANCIAL 	COM	75952U103	2855662	 84300	x				84300
RENAL CARE GROUP INC COM	759930100	1552825	 71600	x				71600
ROCKWELL INTL CORP	  COM	773903109	698269	  16700	x				16700
ROSS STORES INC	     COM	778296103	1535187	 63800	x				63800
SBC COMMUNICATIONS I COM	78387G103	279373	   6632	x				6632
SCHLUMBERGER LTD	    COM	806857108	1186821	 15514	x				15514
SLM HOLDING CORP.	   COM	78442A109	499687	  15000	x				15000
SMITH INTERNATIONAL  COM	832110100	1418250	 18300	x				18300
SOLECTRON CORP	      COM	834182107	1404375	 35000	x				35000
SOUTHDOWN INC	       COM	841297104	574725	   9700	x				9700
SOUTHERN CO	         COM	842587107	200100	   9200	x				9200
SOUTHTRUST CORP	     COM	844730101	2976187	117000	x				117000
SUNGARD DATA SYSTEMS COM	867363103	2242350	 59400	x				59400
SYBRON INTL CORP    	COM	87114F106	2148900	 74100	x				74100

			----------------
Page Total 			58180123
SYMBOL TECHNOLOGIES	 COM	871508107	683194	   8300	x				8300
TECHNITROL	          COM	878555101	617450	  10600	x				10600
TELEFLEX INC	        COM	879369106	2709725 	76600	x				76600
TELEPHONE & DATA	    COM	879433100	288600	   2600	x				2600
TELLABS INC	         COM	879664100	2933687	 46578	x				46578
TEXAS INDUSTRIES INC	COM	882491103	730537	  23100	x				23100
TIDEWATER INC	       COM	886423102	865300	  27200	x				27200
TRANSOCEAN SEDCO FOR COM	G90078109	1685205	 32842	x				32842
TRUE NORTH COMMUNICA COM	897844106	1472253	 37450	x				37450
U S BANCORP	         COM	902973106	3097500	141600	x				141600
UCAR INTERNATIONAL	  COM	90262K109	469475	  35600	x				35600
UNION PAC RES GROUP  COM	907834105	701800	  48400	x				48400
UNIVERSAL HEALTH SV 	COM	913903100	1808100	 36900	x				36900
UNOCAL CORP         	COM	915289102	642600	  21600	x				21600
US ONCOLOGY	         COM	90338W103	1458450	324100	x				324100
US WEST INC.	        COM	91273H101	239662	   3300	x				3300
USX-U S STEEL GROUP	 COM	90337T101	712500	  28500	x				28500
VULCAN MATERIALS CO	 COM	929160109	577237	  12600	x				12600
WATSON PHARMACEUTICA COM	942683103	2267347	 57130	x				57130
WEATHERFORD INTL INC	COM	947074100	1472152	 25165	x				25165
WELLPOINT HLTH NETW 	COM	94973H108	1767837 	25300	x				25300
WELLS FARGO AND COMP COM	949746101	3031800	 74400	x				74400
WENDY'S INTERNATIONA COM	950590109	288681	  14300	x				14300
WESLEY JESSEN	       COM	951018100	1638750	 45600	x				45600
WORTHINGTON INDUSTRI COM	981811102	785812	  63500	x				63500
XIRCOM INC	          COM	983922105	965700	  26100	x				26100
YAHOO	               COM	984332106	257062	   1500	x				1500

			----------------
Page Total 			34168420

			----------------
GRAND TOTAL 			219731713
			=========

FORM 13F SUMMARY PAGE

Report Summary:

Number of Other Included Mangers:     	0

Form 13F Information Table Entry Total:

Form 13F Information Table Value Total:   	"$219,731,713 "

List of Other Included Managers:	0

No.	13F File Number		Name







































© 2022 IncJournal is not affiliated with or endorsed by the U.S. Securities and Exchange Commission