FCM INVESTMENTS/TX
13F-HR, 1999-08-24
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United States
Security and Exchange Comission
Washington, D. C. 20549

Form 13F

Form 13F Cover Page

Report for the Calendar Year of Quarter Ended:  06/30/1999

Institutional Investment Manager Filing this report:

Name:  FCM Investments

Address:  2200 Ross Avenue,
          Suite 4600 West
          Dallas, Texas 75201-2790

13F File Number:  801-29238

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

Report Type:  13F Holdings Report.

I AM SIGNING THIS REPORT AS REQUIRED BY THE SECURITIES EXCHANGE ACT OF 1934

T. Montgomery Jones, Jr.
<PAGE>
Form 13F Summary Page

Report Summary:

Number of Other Included Managers:  0

Form 13F Information Table Entry Total: 116

Form 13F Information Table Value Total: $150,358,394
<PAGE>
<TABLE>                       <C>                                           <C>
                                        FORM 13F
REPORTING MANAGER:  FCM Investments                                   03/31/99
- -----------------------------------------------------------------------------
    Name of Issuer     Title  CUSIP     Fair   Shares Of  Invest MGR   Voting
                        of   Number     Market  Principal Disc
                      Class             Value    Amount    Sole
- -----------------------------------------------------------------------------
 ABBOTT LABORATORIES    COM  00282410    689,700  15,200      X  TMJ    15,200
 AMERICAN ELECTRIC POWE COM  02553710    383,138  10,200      X  TMJ    10,200
 AMERICAN EXPRESS CO    COM  02581610  2,680,575  20,600      X  TMJ    20,600
 AMERICAN INTERNATIONAL COM  02687410  2,459,319  20,975      X  TMJ    20,975
 AMERICAN POWER CONVERS COM  029066107 7,162,488 355,900      X  TMJ   355,900
 ANHEUSER BUSCH COS INC COM  03522910    446,906   6,300      X  TMJ     6,300
 AUTOMATIC DATA PROCESS COM  05301510    422,400   9,600      X  TMJ     9,600
 BMC SOFTWARE           COM  055921100 5,891,400 109,100      X  TMJ   109,100
 BRISTOL MYERS SQUIBB   COM  11012210    535,325   7,600      X  TMJ     7,600
 AZKOYEN SA (SPAIN)     INT  112458015   403,340  15,585      X  TMJ    15,585
 CDW COMPUTER CENTERS   COM  125129106 4,998,400 113,600      X  TMJ   113,600
 CAMBRIDGE TECHNOLOGY P COM  132524109 2,599,250 148,000      X  TMJ   148,000
 CAROLINA POWER & LIGHT COM  14414110    565,125  13,200      X  TMJ    13,200
 CISCO SYSTEMS          COM  17275R10    463,950   7,200      X  TMJ     7,200
 TELEPIZZA (SPAIN)      INT  178344018   542,536 104,400      X  TMJ   104,400
 CLAYTON HOMES          COM  184190106 2,904,439 253,940      X  TMJ   253,940
 COGNEX CORP            COM  192422103 2,996,291  94,932      X  TMJ    94,932
 CONSTELLATION ENERGY G COM  210371100   750,994  25,350      X  TMJ    25,350
 GILAT SATELLITE NET.AD INT  2369464   1,611,750  30,700      X  TMJ    30,700
 DELL COMPUTER          COM  247025109   629,000  17,000      X  TMJ    17,000
 LERNOUT & HAUSPIE ADR  INT  2516055   1,305,411  36,837      X  TMJ    36,837
 DOMINION RESOURCES INC COM  25747010    753,638  17,400      X  TMJ    17,400
 DUKE ENERGY CORP       COM  26439910  1,143,188  21,000      X  TMJ    21,000
 EDISON INTERNATIONAL   COM  281020107   845,300  31,600      X  TMJ    31,600
 ENRON CORP             COM  29356110    899,168  10,999      X  TMJ    10,999
 EXPRESS SCRIPTS        COM  302182100 2,761,041  45,874      X  TMJ    45,874
 EXXON CORP             COM  30229010    223,663   2,900      X  TMJ     2,900
 FANNIE MAE             COM  31358610  9,084,075 133,100      X  TMJ   133,100
 FIRST UNION CORP       COM  33735810    735,150  15,600      X  TMJ    15,600
 FOREST LABORATORIES    COM  34583810  1,480,000  32,000      X  TMJ    32,000
 FRANCO-NEVADA MINING   COM  351860101 3,093,019 197,575      X  TMJ   197,575
 GENERAL ELECTRIC CO    COM  36960410    226,000   2,000      X  TMJ     2,000
 W W GRAINGER INC       COM  38480210  1,076,250  20,000      X  TMJ    20,000
 HEALTH MANAGEMENT ASSO COM  421933102 3,595,500 319,600      X  TMJ   319,600
 H.J. HEINZ COMPANY     COM  42307410    596,237  11,895      X  TMJ    11,895
 HEWLETT PACKARD CO     COM  42823610    917,565   9,130      X  TMJ     9,130
 INTERNATIONAL BUSINESS COM  45920010  1,460,525  11,300      X  TMJ    11,300
 KELLOGG CO             COM  48783610    607,200  18,400      X  TMJ    18,400
 KIMBERLY CLARK CORP    COM  49436810  1,140,000  20,000      X  TMJ    20,000
 TOOLEX INTERNATL (NETH INT  5065480   1,533,312 113,500      X  TMJ   113,500
 LINEAR TECHNOLOGIES    COM  535678106 3,651,944  54,304      X  TMJ    54,304
 MARSH & MCLENNAN COS   COM  57174810  1,581,869  20,900      X  TMJ    20,900
 MAXIM INTEGRATED PRODU COM  57772K101 3,989,069  59,986      X  TMJ    59,986
 MAYTAG CORP            COM  57859210    607,369   8,700      X  TMJ     8,700
 MCDONALDS CORP         COM  58013510  2,190,729  53,270      X  TMJ    53,270
 MEDTRONIC              COM  585055106 3,274,177  42,044      X  TMJ    42,044
 MERCK & CO             COM  58933110    530,100   7,200      X  TMJ     7,200
 JIANGSU EXPRESSWAY     INT  6005504      64,964 300,000      X  TMJ   300,000
 AIFUL CORP (JAPAN)     INT  6019419   3,372,047  27,560      X  TMJ    27,560
 MINNESOTA MINING & MFG COM  60405910    486,850   5,600      X  TMJ     5,600
 CHINA TELECOM          INT  6073556     194,441  70,000      X  TMJ    70,000
 BEC WORLD PLC (THAI)   INT  60788131     68,069  11,000      X  TMJ    11,000
 JOLLIBEE FOODS CORP.   INT  6108135      96,189 183,000      X  TMJ   183,000
 CHEUNG KONG            INT  6190273     231,241  26,000      X  TMJ    26,000
 CITIC PACIFIC          INT  6196152     220,123  69,000      X  TMJ    69,000
 COLES MYER LTD (AUS)   INT  620990       91,633  15,600      X  TMJ    15,600
 CHEUNG KONG INFRASTRUC INT  6212553     124,128  60,000      X  TMJ    60,000
 MUTUAL RISK MANAGEMENT COM  628351108 2,201,782  65,971      X  TMJ    65,971
 DAO HENG BANK          INT  6287131     224,280  50,000      X  TMJ    50,000
 COSCO PACIFIC          INT  6354251     124,708 150,000      X  TMJ   150,000
 GP BATTERIES INT'L (SI INT  6382467      78,600  41,000      X  TMJ    41,000
 NEW CENTURY ENERGIES I COM  64352U103   707,940  18,240      X  TMJ    18,240
 HONG KONG ELECTRIC     INT  6435327      80,560  25,000      X  TMJ    25,000
 WHARF HOLDINGS         INT  6435576     155,965  50,000      X  TMJ    50,000
 HONG KONG TELECOM      INT  6436461     259,727 100,000      X  TMJ   100,000
 HSBC HOLDINGS          INT  6436502     291,822   8,000      X  TMJ     8,000
 HONG KONG & CHINA GAS  INT  6436557      87,005  60,000      X  TMJ    60,000
 HUTCHISON WHAMPOA      INT  6448068     226,375  25,000      X  TMJ    25,000
 IJM CORP (MAL)         INT  6455217      55,579  64,000      X  TMJ    64,000
 JOHN FAIRFAX HLDINGS   INT  646707      117,278  39,000      X  TMJ    39,000
 NEW YORK TIMES A       COM  65011110  1,060,200  28,800      X  TMJ    28,800
 LEGEND HOLDINGS        INT  6508821      48,014  50,000      X  TMJ    50,000
 NEWELL RUBBERMAID INC  COM  651229106 1,098,438  23,686      X  TMJ    23,686
 LI & FUNG              INT  6514635     105,489  44,000      X  TMJ    44,000
 NICE SYSTEMS ADR (ISRA INT  653656108 1,115,785  40,482      X  TMJ    40,482
 NOKIA ADR (FINLAND)    INT  654902204 3,552,625  38,800      X  TMJ    38,800
 MANILLA ELECTRIC COMPA INT  6574833      88,933  24,700      X  TMJ    24,700
 MISUMI CORPORATION (JA INT  6595179   1,659,195  40,600      X  TMJ    40,600
 NEW WORLD DEVELOPMENT  INT  6633767     239,748  80,000      X  TMJ    80,000
 NORTHERN STATES POWER  COM  66577210    856,238  35,400      X  TMJ    35,400
 OGE ENERGY CORP        COM  670837103   726,750  30,600      X  TMJ    30,600
 RALSE CO. LTD (JAPAN)  INT  6721930   2,023,715  71,050      X  TMJ    71,050
 SHANGHAI INDUSTRIAL    INT  6810010      95,384  40,000      X  TMJ    40,000
 SINGAPORE TECH (SING)  INT  6814250     111,226  98,000      X  TMJ    98,000
 SOUTH CHINA MORNING PO INT  6824657      72,891 130,000      X  TMJ   130,000
 SUN HUNG KAI PROPERTIE INT  6859927     182,389  20,000      X  TMJ    20,000
 P P & L RESOURCES, INC COM  693499105   830,250  27,000      X  TMJ    27,000
 WESFARMERS LTD.        INT  694883       90,882  10,000      X  TMJ    10,000
 CHINA RESOURCES ENT. L INT  6972459     158,930  90,000      X  TMJ    90,000
 PARAMETRIC TECHNOLOGY  COM  699173100 6,203,513 447,100      X  TMJ   447,100
 THAI UNION FROZEN PROD INT  6B02627      91,736  26,000      X  TMJ    26,000
 PHILIP MORRIS COMPANIE COM  71815410    225,050   5,600      X  TMJ     5,600
 PITNEY-BOWES INC       COM  72447910  1,670,500  26,000      X  TMJ    26,000
 PRECISION CASTPARTS CO COM  74018910    378,250   8,900      X  TMJ     8,900
 PUBLIC SERVICE ENTERPR COM  74457310    857,063  21,000      X  TMJ    21,000
 REPSOL SA ADR (SPAIN)  INT  76026T205 1,296,588  63,832      X  TMJ    63,832
 SAP AG ADR (GERMANY)   INT  803054204 2,535,243  73,220      X  TMJ    73,220
 SCHERING PLOUGH CORP   COM  80660510    693,000  13,200      X  TMJ    13,200
 SELECT APPOINTMENTS AD INT  81617E203 1,823,832  75,993      X  TMJ    75,993
 SIGMA ALDRICH CORP.    COM  82655210    711,134  20,650      X  TMJ    20,650
 SIGCORP INC            COM  826912107   679,443  23,998      X  TMJ    23,998
 STATE STREET CORP.     COM  857477103 1,707,500  20,000      X  TMJ    20,000
 SHOHKOH FUND (JAPAN)   INT  85970JP   3,368,091   4,700      X  TMJ     4,700
 STMICROELECTRONICS ADR INT  861012102 2,971,566  42,872      X  TMJ    42,872
 SYMBOL TECHNOLOGIES    COM  87150810    410,677  11,137      X  TMJ    11,137
 SYSCO CORP             COM  87182910    327,938  11,000      X  TMJ    11,000
 TECO ENERGY INC        COM  87237510    935,025  41,100      X  TMJ    41,100
 TELLABS                COM  879664100 4,945,575  73,200      X  TMJ    73,200
 TEXAS INSTRUMENTS      COM  88250810    345,600   2,400      X  TMJ     2,400
 TIMES MIRROR CO        COM  887364107   219,225   3,700      X  TMJ     3,700
 United Stationers Inc  COM  913004107   225,500  10,250      X  TMJ    10,250
 WASHINGTON MUTUAL INC  COM  939322103   463,308  13,028      X  TMJ    13,028
 WISCONSIN ENERGY CORP  COM  97665710    748,116  29,850      X  TMJ    29,850
 SK TELECOM (KOREA)     INT  IB95655     203,542     152      X  TMJ       152
 CORE LABORATORIES      COM  N22717107 1,527,400 109,100      X  TMJ   109,100
 CARLISLE HOLDINGS LTD  INT  P21277101 2,677,773 184,674      X  TMJ   184,674
                                 _______________
    AGGREGATE COLUMN TOTALS          150,358,394

</TABLE>



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