FCM INVESTMENTS/TX
13F-HR, 2000-10-20
Previous: BANC ONE AUTO GRANTOR TRUST 1997-B, 8-K, EX-99.1, 2000-10-20
Next: FUTURELINK CORP, SB-2/A, 2000-10-20



United States
Security and Exchange Comission
Washington, D. C. 20549

Form 13F

Form 13F Cover Page

Report for the Calendar Year of Quarter Ended:  09/30/2000

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:  121

Form 13F Information Table Value Total: $156,256,837
<PAGE>
<TABLE>                       <C>                                           <C>


                                                          FORM 13F                                                       09/30/2000
 REPORTING MANAGER: FCM Investments
 ----------------------------------------------------------------------------------------------------------------------------------
                                                       VALUATION CURRENCY: USD
          ITEM 1             ITEM 2   ITEM 3           ITEM 4    ITEM 5         ITEM 6     ITEM 7             ITEM 8
      NAME OF ISSUER         TITLE     CUSIP            FAIR   SHARES OF    INVEST. DISC.  MANA-         VOTING AUTHORITY
                              OF      NUMBER          MARKET   PRINCIPAL             SHARED GERS
                             CLASS                     VALUE   AMOUNT     SOLE SHARED OTHER        SOLE        SHARED      NONE
                                                                           (A)   (B)   (C)         (A)         (B)         (C)
 ----------------------------------------------------------------------------------------------------------------------------------
 NG FUNG HONG               INTL S 6619251           215,004     450,000 N  X              TMJ      450,000
 LI & FUNG                  INTL S 6181073           320,705     152,000 N  X              TMJ      152,000
 HSBC HOLDINGS              INTL S 6436502           139,808      10,000 N  X              TMJ       10,000
 ASM PACIFIC TECHNOLOGY     INTL S 6002453           355,164     156,000 N  X              TMJ      156,000
 ASUSTEK COMPUTER           INTL S 6051046            87,494      17,680 N  X              TMJ       17,680
 REALTEK SEMICONDUCTOR      INTL S 6051422           177,517      40,000 N  X              TMJ       40,000
 CHINA MOBILE               INTL S 6073556           325,246      49,000 N  X              TMJ       49,000
 COMPUTER & TECHNOLOGIES HL INTL S 6115113           217,600     290,000 N  X              TMJ      290,000
 JOHNSON ELECTRIC           INTL S 6126331           369,530     172,000 N  X              TMJ      172,000
 PACIFIC CENTURY CYBERWORKS INTL S 6164007           304,756     270,000 N  X              TMJ      270,000
 CHEUNG KONG                INTL S 6190273           326,401      27,000 N  X              TMJ       27,000
 CITIC PACIFIC              INTL S 6190000           150,839      35,000 N  X              TMJ       35,000
 CHINA UNICOM               INTL S 6263830           286,491     128,000 N  X              TMJ      128,000
 ESPRIT ASIA HOLDINGS LTD   INTL S 6321642           221,641     270,000 N  X              TMJ      270,000
 FH FAULDING & CO LTD(AUS)  INTL S 6332600            90,897      17,500 N  X              TMJ       17,500
 GIORDANO INTERNATIONAL, LT INTL S 6372178           253,053     436,000 N  X              TMJ      436,000
 HON HAI PRECISION INDUSTRY INTL S 6438564           239,073      39,000 N  X              TMJ       39,000
 HUTCHISON WHAMPOA          INTL S 6448068           443,397      33,400 N  X              TMJ       33,400
 LEGEND HOLDINGS            INTL S 6218089           250,577     264,000 N  X              TMJ      264,000
 SILICONWARE PRECISION      INTL S 6808877           194,061     200,600 N  X              TMJ      200,600
 SOUTH CHINA MORNING POST   INTL S 6824657           180,109     236,000 N  X              TMJ      236,000
 TELEVISION BROADCASTS (HK) INTL S 68816740          138,064      23,000 N  X              TMJ       23,000
 TAIWAN SEMICONDUCTOR       INTL S 6889106           255,420      80,000 N  X              TMJ       80,000
 AIFUL CORP (JAPAN)         INTL S 6019419         3,409,284      35,450 N  X              TMJ       35,450
 SHOHKOH FUND (JAPAN)       INTL S 85970JP           809,381       6,450 N  X              TMJ        6,450
 MEITEC CORP (JAPAN)        INTL S 6576356         2,071,389      44,800 N  X              TMJ       44,800
 RALSE CO. LTD (JAPAN)      INTL S 6721930           545,982      62,150 N  X              TMJ       62,150
 MISUMI CORPORATION (JAPAN) INTL S 6595179         1,659,515      19,940 N  X              TMJ       19,940
 ABBOTT LABORATORIES        COMMON 00282410          561,238      11,800 N  X              TMJ       11,800
 AUTOMATIC DATA PROCESSING  COMMON 05301510          481,500       7,200 N  X              TMJ        7,200
 AMERICAN ELECTRIC POWER    COMMON 02553710          223,013       5,700 N  X              TMJ        5,700
 AMERICAN INTERNATIONAL GRO COMMON 02687410        3,375,855      35,280 N  X              TMJ       35,280
 AMERICAN POWER CONVERSION  COMMON 029066107       4,273,056     222,700 N  X              TMJ      222,700
 AMERICAN EXPRESS CO        COMMON 02581610        3,602,475      59,300 N  X              TMJ       59,300
 BAXTER INTERNATIONAL INC   COMMON 071813109         964,374      12,083 N  X              TMJ       12,083
 BEC WORLD PLC (THAI)       INTL S 60788131           55,861      11,000 N  X              TMJ       11,000
 CONSTELLATION ENERGY GROUP COMMON 210371100       1,261,163      25,350 N  X              TMJ       25,350
 BMC SOFTWARE               COMMON 055921100       2,228,063     116,500 N  X              TMJ      116,500
 BRISTOL MYERS SQUIBB       COMMON 11012210          268,488       4,700 N  X              TMJ        4,700
 ANHEUSER BUSCH COS INC     COMMON 03522910          533,138      12,600 N  X              TMJ       12,600
 CDW COMPUTER CENTERS       COMMON 125129106       8,949,300     129,700 N  X              TMJ      129,700
 CONCORD EFS INC.           COMMON 206197105       3,111,169      87,600 N  X              TMJ       87,600
 COGNEX CORP                COMMON 192422103       3,299,539      83,665 N  X              TMJ       83,665
 CARLISLE HOLDINGS LTD (UK) INTL S P21277101       1,563,053     196,920 N  X              TMJ      196,920
 CLAYTON HOMES              COMMON 184190106       2,294,750     229,475 N  X              TMJ      229,475
 C P & L ENERGY INC         COMMON 12614C106         550,275      13,200 N  X              TMJ       13,200
 COMPUWARE CORP             COMMON 205638109       2,316,525     276,600 N  X              TMJ      276,600
 CISCO SYSTEMS              COMMON 17275R102         789,302      14,286 N  X              TMJ       14,286
 DOMINION RESOURCES INC VA  COMMON 25746U109       1,010,288      17,400 N  X              TMJ       17,400
 DELL COMPUTER              COMMON 247025109         215,688       7,000 N  X              TMJ        7,000
 DRAKA HOLDINGS (NETHERLAND INTL S 4280132         2,181,072      32,681 N  X              TMJ       32,681
 DUKE ENERGY CORP           COMMON 26439910        1,800,750      21,000 N  X              TMJ       21,000
 EDISON INTERNATIONAL       COMMON 281020107         610,275      31,600 N  X              TMJ       31,600
 ENRON CORP                 COMMON 29356110        1,335,405      15,240 N  X              TMJ       15,240
 EXPRESS SCRIPTS            COMMON 302182100       5,433,561      75,205 N  X              TMJ       75,205
 FOSTER BREWING GROUP (AUS) INTL S 6349268           192,307      82,400 N  X              TMJ       82,400
 FIRST HEALTH GROUP CORP    COMMON 320960107       2,280,075      70,700 N  X              TMJ       70,700
 FANNIE MAE                 COMMON 313586109       8,422,700     117,800 N  X              TMJ      117,800
 FOREST LABORATORIES        COMMON 34583810        3,578,250      31,200 N  X              TMJ       31,200
 FIRST UNION CORP           COMMON 33735810          502,125      15,600 N  X              TMJ       15,600
 JOHN FAIRFAX HLDINGS (AUS) INTL S 646707             99,486      39,000 N  X              TMJ       39,000
 GENERAL ELECTRIC CO        COMMON 36960410          346,125       6,000 N  X              TMJ        6,000
 GILAT SATELLITE NET.ADR (I INTL S 2369464         2,144,813      27,900 N  X              TMJ       27,900
 W W GRAINGER INC           COMMON 38480210          526,250      20,000 N  X              TMJ       20,000
 HANA MICROELECTRONICS      INTL S 6413668           132,131      48,000 N  X              TMJ       48,000
 HEALTH MANAGEMENT ASSOCIAT COMMON 421933102       5,157,566     247,811 N  X              TMJ      247,811
 H.J. HEINZ COMPANY         COMMON 42307410          393,048      10,605 N  X              TMJ       10,605
 HARVEY NORMAN HOLDINGS(AUS INTL S 6173508           122,724      53,500 N  X              TMJ       53,500
 HEWLETT PACKARD CO         COMMON 42823610          756,600       7,800 N  X              TMJ        7,800
 INTERNATIONAL BUSINESS MAC COMMON 45920010          697,500       6,200 N  X              TMJ        6,200
 KELLOGG CO                 COMMON 48783610          445,050      18,400 N  X              TMJ       18,400
 KIMBERLY CLARK CORP        COMMON 49436810        1,116,250      20,000 N  X              TMJ       20,000
 SK TELECOM (KOREA)         INTL S IB95655           243,913       1,000 N  X              TMJ        1,000
 LERNOUT & HAUSPIE ADR (BEL INTL S 2516055           610,313      46,500 N  X              TMJ       46,500
 LINEAR TECHNOLOGIES        COMMON 535678106       6,138,041      94,796 N  X              TMJ       94,796
 MCDONALDS CORP             COMMON 58013510        1,487,338      49,270 N  X              TMJ       49,270
 MEDTRONIC                  COMMON 585055106       3,821,327      73,753 N  X              TMJ       73,753
 MUTUAL RISK MANAGEMENT     COMMON 628351108       3,252,366     148,256 N  X              TMJ      148,256
 MARSH & MCLENNAN COS       COMMON 57174810        2,774,475      20,900 N  X              TMJ       20,900
 MINNESOTA MINING & MFG.    COMMON 60405910          510,300       5,600 N  X              TMJ        5,600
 MERCK & CO                 COMMON 58933110          267,975       3,600 N  X              TMJ        3,600
 MAXIM INTEGRATED PRODUCTS  COMMON 57772K101       5,976,506      74,300 N  X              TMJ       74,300
 MAYTAG CORP                COMMON 57859210          267,138       8,600 N  X              TMJ        8,600
 NATSTEEL ELECTRONICS (SING INTL S 6073750            67,267      26,000 N  X              TMJ       26,000
 NICE SYSTEMS ADR (ISRAEL)  INTL S 653656108       2,655,504      36,882 N  X              TMJ       36,882
 NOKIA ADR (FINLAND)        INTL S 654902204       4,137,041     101,212 N  X              TMJ      101,212
 NEWELL RUBBERMAID INC      COMMON 651229106         540,337      23,686 N  X              TMJ       23,686
 NEW YORK TIMES A           COMMON 65011110        1,132,200      28,800 N  X              TMJ       28,800
 OGE ENERGY CORP            COMMON 670837103         481,663      22,600 N  X              TMJ       22,600
 OMNI INDUSTRIES LTD.       INTL S 6654865            63,242      40,000 N  X              TMJ       40,000
 PITNEY-BOWES INC           COMMON 72447910        1,025,375      26,000 N  X              TMJ       26,000
 PRECISION CASTPARTS CORP   COMMON 74018910          201,699       5,256 N  X              TMJ        5,256
 PUBLIC SERVICE ENTERPRISE  COMMON 74457310          938,438      21,000 N  X              TMJ       21,000
 PARAMETRIC TECHNOLOGY      COMMON 699173100       2,397,216     219,174 N  X              TMJ      219,174
 PPL CORPORATION            COMMON 69351T106       1,127,250      27,000 N  X              TMJ       27,000
 REPSOL SA ADR (SPAIN)      INTL S 76026T205       1,070,952      58,482 N  X              TMJ       58,482
 SAP AG ADR (GERMANY)       INTL S 803054204         947,100      15,400 N  X              TMJ       15,400
 SYMBOL TECHNOLOGIES        COMMON 87150810          600,336      16,705 N  X              TMJ       16,705
 SCANA CORP                 COMMON 80589M102         234,650       7,600 N  X              TMJ        7,600
 SINGAPORE TECH (SING)      INTL S 6814250           145,365      98,000 N  X              TMJ       98,000
 SCHERING PLOUGH CORP       COMMON 80660510          613,800      13,200 N  X              TMJ       13,200
 SIGMA ALDRICH CORP.        COMMON 82655210          681,450      20,650 N  X              TMJ       20,650
 STMICROELECTRONICS ADR (FR INTL S 861012102       2,420,352      50,688 N  X              TMJ       50,688
 STATE STREET CORP.         COMMON 857477103       2,591,810      19,937 N  X              TMJ       19,937
 SYSCO CORP                 COMMON 87182910          277,875       6,000 N  X              TMJ        6,000
 TECO ENERGY INC            COMMON 87237510        1,181,625      41,100 N  X              TMJ       41,100
 TELLABS                    COMMON 879664100       3,219,448      67,423 N  X              TMJ       67,423
 TOOLEX INTERNATL (NETHERLA INTL S 5065480         1,028,918      97,000 N  X              TMJ       97,000
 TELEPLAN INT'L (NETHERLAND INTL S 4145918           617,992      17,100 N  X              TMJ       17,100
 TELEPIZZA (SPAIN)          INTL S 178344018       1,428,676     288,100 N  X              TMJ      288,100
 TEXAS INSTRUMENTS          COMMON 88250810          453,000       9,600 N  X              TMJ        9,600
 UNICOM CORP                COMMON 904911104         252,844       4,500 N  X              TMJ        4,500
 UNITEDHEALTH GROUP INC     COMMON 91324P102         227,125       2,300 N  X              TMJ        2,300
 VIDESH SANCHAR NIGAM (INDI INTL S 92659G105          98,400      12,000 N  X              TMJ       12,000
 VECTREN CORPORATION        COMMON 92240G101         649,756      31,988 N  X              TMJ       31,988
 WASHINGTON MUTUAL INC      COMMON 939322103         518,677      13,028 N  X              TMJ       13,028
 WISCONSIN ENERGY CORP      COMMON 97665710          397,753      19,950 N  X              TMJ       19,950
 WESFARMERS LTD (AUS)       INTL S 694883            164,478      22,700 N  X              TMJ       22,700
 WAREHOUSE GROUP LIMITED (N INTL S 6939625            85,353      35,800 N  X              TMJ       35,800
 XCEL ENERGY INC            COMMON 98389B100       1,750,966      63,672 N  X              TMJ       63,672
 EXXON MOBIL CORP           COMMON 30231G102         240,638       2,700 N  X              TMJ        2,700
                                             _______________

 TOTAL                                           156,256,837


</TABLE>



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