WM ADVISORS INC/WA
13F-HR, 1999-10-06
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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, 1999

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:      WM Advisors, Inc.
Address:  1201 Third Avenue, 22nd Floor
	  Seattle, WA 98101

13F File Number:  28-7110

The institiutional 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.


Person Signing this Report on Behalf of Reporting Manager:

Name:	Sharon L. Howells
Title:	First Vice President
Phone:	206-461-6397
Signature,  Place,  and Date of Signing:

Sharon L. Howells    Seattle, WA    October 5, 1999


Report Type  (Check only one.) :

[ X ]		13F Holdings Report

[    ]		13F Notice

[    ] 		13F Combination Report


List of Other Managers Reporting for this Manager:


I AM SIGNING THIS REPORT AS REQUIRED BY THE SECURITIES EXCHANGE
ACT OF 1934.
<PAGE>
FORM 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:           0

Form 13F Information Table Entry Total:     269

Form 13F Information Table Value Total:     $2,266,227,776

<PAGE>
<TABLE>

FORM 13F                                                      9/30/99
                                                          REPORTING MANAGER;
WM ADVISORS, INC.
- --------------------------------------------------------------------------------
- ----------------------------------------------
<CAPTION>
         ITEM 1            ITEM 2    ITEM 3      ITEM 4     ITEM 5
ITEM 6           ITEM 7         ITEM 8
    <S>	                   <C>
     NAME OF ISSUER         TITLE     CUSIP        FAIR   SHARES OR
INVESTMENT DISCRETION     MANA-     VOTING AUTHORITY
                              OF     NUMBER      MARKET   PRINCIPAL
SHARED  GERS
                            CLASS                 VALUE     AMOUNT     SOLE
SHARED      OTHER         SOLE    SHARED     NONE
                                                                        (A)
(B)        (C)           (A)      (B)       (C)
- --------------------------------------------------------------------------------
- ----------------------------------------------


 AT&T CORP                 COMMON  001957109   27274500     627000      627000
627000

 AT&T CORP                 COMMON  001957208   36124918     968172      968172
968172

 ATMI INC                  COMMON  00207R101    3410922      91415       91415
91415

 AVT CORP                  COMMON  002420107    3047188      99500       99500
99500



 ABBOTT LABS               COMMON  002824100   11418984     311250      311250
311250

 ACNIELSEN CORP            COMMON  004833109    7490618     330165      330165
330165

 ADAPTEC INC               BND CV  00651FAC2    1372500    1500000     1500000
1500000

 ADOBE SYS INC             COMMON  00724F101   40779983     359295      359295
359295

 AETNA INC                 COMMON  008117103   13477263     273650      273650
273650

 AIRBORNE FREIGHT CORP     COMMON  009266107    7599687     360816      360816
360816

 ALASKA AIR GROUP INC      COMMON  011659109    5617723     138070      138070
138070

 ALBERTO CULVER CO         COMMON  013068200    4356101     222676      222676
222676

 ALBERTSONS INC            COMMON  013104104   10568726     267140      267140
267140

 ALLIEDSIGNAL INC          COMMON  019512102    8382259     139850      139850
139850

 ALLSTATE CORP             COMMON  020002101   10795444     432900      432900
432900

 ALLTEL CORP               COMMON  020039103    2443139      34716       34716
34716



 ALZA CORP                 COMMON  022615108    4024375      94000       94000
94000

 AMBAC FINL GROUP INC      COMMON  023139108    3501013      73900       73900
73900

 AMERICAN CAPITAL STRATEG  COMMON  024937104    3768913     203725      203725
203725
                                              ---------  ---------  --------- --
- ------- ---------     --------- --------- ---------

       COLUMN TOTALS                          205454254    6528240    6528240
6528240
</TABLE>







<PAGE>
<TABLE>

                                                               FORM 13F
9/30/99
                                                          REPORTING MANAGER;
WM ADVISORS, INC.

- --------------------------------------------------------------------------------
- ----------------------------------------------
<CAPTION>
         ITEM 1            ITEM 2    ITEM 3      ITEM 4     ITEM 5
ITEM 6           ITEM 7         ITEM 8
    <S>	                   <C>
     NAME OF ISSUER         TITLE     CUSIP        FAIR   SHARES OR
INVESTMENT DISCRETION     MANA-     VOTING AUTHORITY
                              OF     NUMBER      MARKET   PRINCIPAL
SHARED  GERS
                            CLASS                 VALUE     AMOUNT     SOLE
SHARED      OTHER         SOLE    SHARED     NONE
                                                                        (A)
(B)        (C)           (A)      (B)       (C)
- --------------------------------------------------------------------------------
- ----------------------------------------------


 AMERICAN GENERAL CORP     COMMON  026351106    2555300      40400       40400
40400

 AMERICAN HOME PRODS CORP  COMMON  026609107   13823650     333100      333100
333100

 AMERICAN INTL GROUP INC   COMMON  026874107   21475823     247026      247026
247026

 AMERICAN STANDARD COS     COMMON  029712106    1463888      37900       37900
37900

 APEX INC                  COMMON  037548104    7061913     377895      377895
377895

 ARBOR SOFTWARE CORP       BND CV  038918AC2     555938     750000      750000
750000

 ARDEN RLTY GROUP INC      COMMON  039793104    1326750      61000       61000
61000

 ARIS CORP                 COMMON  04040A101    6889219    1198125     1198125
1198125

 AT HOME CORP              BND CV  045919AA5    6150000   10000000    10000000
10000000

 ASYMETRIX LEARNING SYS I  COMMON  045927100    5926882     660837      660837
660837

 AUTODESK INC              COMMON  052769106    2945469     134650      134650
134650



 BP AMOCO P L C            COMMON  055622104    7551539      68147       68147
68147

 BMC SOFTWARE INC          COMMON  055921100   34135313     477000      477000
477000

 BANK OF AMERICA CORP      COMMON  060505104   24484012     439668      439668
439668

 BANK UNITED 8% 'PIES'     PFD CV  065412306    2384100      52980       52980
52980

 BARRA INC                 COMMON  068313105    7967400     379400      379400
379400

 BARRETT BUSINESS SERVICE  COMMON  068463108    2156476     278255      278255
278255

 BAXTER INTL INC           COMMON  071813109    2214188      36750       36750
36750

 BECTON DICKINSON & CO     COMMON  075887109    2553688      91000       91000
91000
                                              ---------  ---------  --------- --
- ------- ---------     --------- --------- ---------

       COLUMN TOTALS                          153621545   15664133   15664133
15664133
</TABLE>







<PAGE>
<TABLE>

                                                               FORM 13F
9/30/99
                                                          REPORTING MANAGER;
WM ADVISORS, INC.

- --------------------------------------------------------------------------------
- ----------------------------------------------
<CAPTION>
         ITEM 1            ITEM 2    ITEM 3      ITEM 4     ITEM 5
ITEM 6           ITEM 7         ITEM 8
    <S>	                   <C>
     NAME OF ISSUER         TITLE     CUSIP        FAIR   SHARES OR
INVESTMENT DISCRETION     MANA-     VOTING AUTHORITY
                              OF     NUMBER      MARKET   PRINCIPAL
SHARED  GERS
                            CLASS                 VALUE     AMOUNT     SOLE
SHARED      OTHER         SOLE    SHARED     NONE
                                                                        (A)
(B)        (C)           (A)      (B)       (C)
- --------------------------------------------------------------------------------
- ----------------------------------------------

 BERINGER WINE ESTATES HO  COMMON  084102102    2792250      68000       68000
68000

 BLOCKBUSTER INC           COMMON  093679108    2550000     200000      200000
200000

 BOEING CO                 COMMON  097023105   28523542     669174      669174
669174

 BOISE CASCADE CORP        COMMON  097383103    1301110      35708       35708
35708

 BOWNE & CO INC            COMMON  103043105    2100656     173250      173250
173250



 BRISTOL MYERS SQUIBB CO   COMMON  110122108   12960000     192000      192000
192000

 BUILDING MATLS HLDG CORP  COMMON  120113105   11964740    1196474     1196474
1196474

 BURNHAM PAC PPTYS INC     COMMON  12232C108     140481      13300       13300
13300

 CII FINL INC              BND CV  12551LAB7    1168740    1359000     1359000
1359000

 CK WITCO CORP             COMMON  12562C108    1082900      72800       72800
72800

 CAMPBELL SOUP CO          COMMON  134429109    6968163     178100      178100
178100

 CARRAMERICA RLTY CORP     COMMON  144418100     723938      33000       33000
33000

 CARREKER ANTINORI INC     COMMON  144433109    2380607     369803      369803
369803

 CAVANAUGHS HOSPITALITY C  COMMON  149564106    6702249     948991      948991
948991

 CHASE MANHATTAN CORP NEW  COMMON  16161A108   22033997     292325      292325
292325

 CHIQUITA BRANDS INTL INC  BND CV  170032AH9    1526250    1650000     1650000
1650000

 CHIREX INC                COMMON  170038103    2581250     100000      100000
100000



 CISCO SYS INC             COMMON  17275R102   17781684     259350      259350
259350

 CITIGROUP INC             COMMON  172967101   34331308     780257      780257
780257
                                              ---------  ---------  --------- --
- ------- ---------     --------- --------- ---------

       COLUMN TOTALS                          159613865    8591532    8591532
8591532
</TABLE>







<PAGE>
<TABLE>

                                                               FORM 13F
9/30/99
                                                          REPORTING MANAGER;
WM ADVISORS, INC.

- --------------------------------------------------------------------------------
- ----------------------------------------------
<CAPTION>
         ITEM 1            ITEM 2    ITEM 3      ITEM 4     ITEM 5
ITEM 6           ITEM 7         ITEM 8
    <S>	                   <C>
     NAME OF ISSUER         TITLE     CUSIP        FAIR   SHARES OR
INVESTMENT DISCRETION     MANA-     VOTING AUTHORITY
                              OF     NUMBER      MARKET   PRINCIPAL
SHARED  GERS
                            CLASS                 VALUE     AMOUNT     SOLE
SHARED      OTHER         SOLE    SHARED     NONE
                                                                        (A)
(B)        (C)           (A)      (B)       (C)
- --------------------------------------------------------------------------------
- ----------------------------------------------




 COGNIZANT TECHNOLOGY SOL  COMMON  192446102    4272538     135100      135100
135100

 COLUMBIA/HCA HEALTHCARE   COMMON  197677107    9376528     442550      442550
442550

 COLUMBIA SPORTSWEAR CO    COMMON  198516106    2745961     192699      192699
192699

 COMCAST CORP              COMMON  200300200   13868525     347800      347800
347800

 COMPAQ COMPUTER CORP      COMMON  204493100   15811200     691200      691200
691200

 COMPUTER ASSOC INTL INC   COMMON  204912109   26781919     438150      438150
438150

 CONSECO INC               COMMON  208464107   17102249     900118      900118
900118

 CORIXA CORP               COMMON  21887F100   10881083     809755      809755
809755

 CORPORATE EXPRESS INC     BND CV  219888AE4    2832000    2950000     2950000
2950000

 COSTCO WHSL CORP NEW      COMMON  22160K105    7230960     100430      100430
100430

 CRANE CO                  COMMON  224399105    6853534     305450      305450
305450

 CREDENCE SYS CORP         COMMON  225302108   10100914     225090      225090
225090



 CREDENCE SYS CORP         BND CV  225302AC2    1880000    2000000     2000000
2000000

 CUTTER & BUCK INC         COMMON  232217109    7416232     476545      476545
476545

 DAYTON HUDSON CORP        COMMON  239753106   14970578     249250      249250
249250

 DENTSPLY INTL INC NEW     COMMON  249030107    3083763     135550      135550
135550

 DIEBOLD INC               COMMON  253651103    3620219     156550      156550
156550

 DISNEY WALT COMPANY       COMMON  254687106    8944000     344000      344000
344000

 DONALDSON INC             COMMON  257651109   10887644     469548      469548
469548
                                              ---------  ---------  --------- --
- ------- ---------     --------- --------- ---------

       COLUMN TOTALS                          178659845   11369785   11369785
11369785

</TABLE>







<PAGE>
<TABLE>

                                                               FORM 13F
9/30/99
                                                          REPORTING MANAGER;
WM ADVISORS, INC.

- --------------------------------------------------------------------------------
- ----------------------------------------------
<CAPTION>
         ITEM 1            ITEM 2    ITEM 3      ITEM 4     ITEM 5
ITEM 6           ITEM 7         ITEM 8
    <S>	                   <C>
     NAME OF ISSUER         TITLE     CUSIP        FAIR   SHARES OR
INVESTMENT DISCRETION     MANA-     VOTING AUTHORITY
                              OF     NUMBER      MARKET   PRINCIPAL
SHARED  GERS
                            CLASS                 VALUE     AMOUNT     SOLE
SHARED      OTHER         SOLE    SHARED     NONE
                                                                        (A)
(B)        (C)           (A)      (B)       (C)
- --------------------------------------------------------------------------------
- ----------------------------------------------

 DUN & BRADSTREET CORP     COMMON  26483B106   11806600     395200      395200
395200

 DURA PHARMACEUTICALS INC  BND CV  26632SAA7    2128000    2800000     2800000
2800000

 E M C CORP MASS           COMMON  268648102   25024075     350600      350600
350600

 ELECTRO SCIENTIFIC INDS   COMMON  285229100   11385670     213690      213690
213690

 EMERSON ELEC CO           COMMON  291011104    7433378     117640      117640
117640

 ENRON CORP                COMMON  293561106   16260750     396000      396000
396000



 ESSEX PPTY TR INC         COMMON  297178105    1928550      55200       55200
55200

 EVEREST REINS HLDGS INC   COMMON  299808105    1571625      66000       66000
66000

 EXPEDITORS INTL WASH INC  COMMON  302130109   31018577     966499      966499
966499

 EXXON CORP                COMMON  302290101    9192960     120960      120960
120960

 FEI CO                    COMMON  30241L109    9723484    1285750     1285750
1285750

 FLIR SYS INC              COMMON  302445101    6842126     528860      528860
528860

 FEDERAL HOME LN MTG CORP  COMMON  313400301   24273600     466800      466800
466800

 FEDERAL MOGUL CORP        COMMON  313549107   16090988     583800      583800
583800

 FEDERAL NATL MTG ASSN     COMMON  313586109    3256616      51950       51950
51950

 FINOVA GROUP INC          COMMON  317928109    3239375      88750       88750
88750

 FIRST CONSULTING GROUP I  COMMON  31986R103    3136720     313672      313672
313672

 FIRST DATA CORP           COMMON  319963104   18692944     426050      426050
426050



 FIRST ST BANCORPORATION   COMMON  336453105    1223881      59701       59701
59701
                                              ---------  ---------  --------- --
- ------- ---------     --------- --------- ---------

       COLUMN TOTALS                          204229918    9287122    9287122
9287122
</TABLE>







<PAGE>
<TABLE>

                                                               FORM 13F
9/30/99
                                                          REPORTING MANAGER;
WM ADVISORS, INC.

- --------------------------------------------------------------------------------
- ----------------------------------------------
<CAPTION>
         ITEM 1            ITEM 2    ITEM 3      ITEM 4     ITEM 5
ITEM 6           ITEM 7         ITEM 8
    <S>	                   <C>
     NAME OF ISSUER         TITLE     CUSIP        FAIR   SHARES OR
INVESTMENT DISCRETION     MANA-     VOTING AUTHORITY
                              OF     NUMBER      MARKET   PRINCIPAL
SHARED  GERS
                            CLASS                 VALUE     AMOUNT     SOLE
SHARED      OTHER         SOLE    SHARED     NONE
                                                                        (A)
(B)        (C)           (A)      (B)       (C)
- --------------------------------------------------------------------------------
- ----------------------------------------------

 FIRST UN CORP             COMMON  337358105   14391431     403970      403970
403970



 FIRST WASH BANCORP INC W  COMMON  33748T104    3217900     183880      183880
183880

 FORT JAMES CORP           COMMON  347471104    3534759     132450      132450
132450

 FOUNDATION HEALTH SYS IN  COMMON  350404109    2641273     279870      279870
279870

 FRANCHISE FIN CORP AMER   COMMON  351807102    2236988      95700       95700
95700

 FRANKLIN RES INC          COMMON  354613101    1952944      63900       63900
63900

 GST TELECOMMUNICATIONS I  COMMON  361942105     210938      30000       30000
30000

 GENERAL COMMUNICATION IN  COMMON  369385109    1133069     217115      217115
217115

 GENERAL ELEC CO           COMMON  369604103   22147475     186800      186800
186800

 GENERAL SEMICONDUCTOR IN  COMMON  370787103    6356883     616425      616425
616425

 GILLETTE CO               COMMON  375766102    2816813      83000       83000
83000

 GRAINGER W W INC          COMMON  384802104    1312106      27300       27300
27300

 GREENBRIER COS INC        COMMON  393657101    5548618     501570      501570
501570



 HIH CAP LTD               BND CV  404193AA2     232750     350000      350000
350000

 HNC SOFTWARE INC          COMMON  40425P107    3472656      87500       87500
87500

 HALLIBURTON CO            COMMON  406216101   11922800     290800      290800
290800

 HAMBRECHT & QUIST GRP     COMMON  406545103    4706033      96534       96534
96534

 HANOVER COMPRESSOR CO     COMMON  410768105    2643460      83095       83095
83095

 HARBINGER CORP            COMMON  41145C103    4623092     273961      273961
273961
                                              ---------  ---------  --------- --
- ------- ---------     --------- --------- ---------

       COLUMN TOTALS                           95101986    4003870    4003870
4003870
</TABLE>







<PAGE>
<TABLE>

                                                               FORM 13F
9/30/99
                                                          REPORTING MANAGER;
WM ADVISORS, INC.

- --------------------------------------------------------------------------------
- ----------------------------------------------
<CAPTION>
         ITEM 1            ITEM 2    ITEM 3      ITEM 4     ITEM 5
ITEM 6           ITEM 7         ITEM 8
    <S>	                   <C>
     NAME OF ISSUER         TITLE     CUSIP        FAIR   SHARES OR
INVESTMENT DISCRETION     MANA-     VOTING AUTHORITY
                              OF     NUMBER      MARKET   PRINCIPAL
SHARED  GERS
                            CLASS                 VALUE     AMOUNT     SOLE
SHARED      OTHER         SOLE    SHARED     NONE
                                                                        (A)
(B)        (C)           (A)      (B)       (C)
- --------------------------------------------------------------------------------
- ----------------------------------------------

 HEALTH CARE PPTY INVS IN  COMMON  421915109    3441375     131100      131100
131100

 HEALTHSOUTH CORP          COMMON  421924101    1886500     308000      308000
308000

 HEALTHSOUTH CORP          BND CV  421924AD3    2210625    2700000     2700000
2700000

 HEALTHSOUTH CORP          BND CV  421924AF8     480000     600000      600000
600000

 HELLER FINANCIAL INC      COMMON  423328103    1985310      88236       88236
88236

 HEWLETT PACKARD CO        COMMON  428236103   24938100     274800      274800
274800

 HORIZON BANK              COMMON  44041F105     316023      28090       28090
28090



 HOSPITALITY PPTYS TR      COMMON  44106M102    1668500      75200       75200
75200

 HUNTINGDON LIFE SCIENCES  COMMON  445891203     381250     305000      305000
305000

 ICOS CORP                 COMMON  449295104   12381593     419715      419715
419715

 IMS HEALTH INC            COMMON  449934108    5018750     220000      220000
220000

 IMMUNEX CORP NEW          COMMON  452528102    9104846     209910      209910
209910

 IN FOCUS SYS INC          COMMON  452919103   13253890     791277      791277
791277

 INCYTE PHARMACEUTICALS I  COMMON  45337C102    4717500     204000      204000
204000

 INTEGRATED DEVICE TECH    BND CV  458118AA4    1708200    1898000     1898000
1898000

 INTEL CORP                COMMON  458140100   33468492     450375      450375
450375

 INTERNATIONAL BUSINESS M  COMMON  459200101   20570000     170000      170000
170000

 INTERWEST BANCORP INC     COMMON  460931108    2339563     112750      112750
112750

 INTIMATE BRANDS INC       COMMON  461156101   16901601     434070      434070
434070


                                              ---------  ---------  --------- --
- ------- ---------     --------- --------- ---------

       COLUMN TOTALS                          156772117    9420523    9420523
9420523
</TABLE>







<PAGE>
<TABLE>

                                                               FORM 13F
9/30/99
                                                          REPORTING MANAGER;
WM ADVISORS, INC.

- --------------------------------------------------------------------------------
- ----------------------------------------------
<CAPTION>
         ITEM 1            ITEM 2    ITEM 3      ITEM 4     ITEM 5
ITEM 6           ITEM 7         ITEM 8
    <S>	                   <C>
     NAME OF ISSUER         TITLE     CUSIP        FAIR   SHARES OR
INVESTMENT DISCRETION     MANA-     VOTING AUTHORITY
                              OF     NUMBER      MARKET   PRINCIPAL
SHARED  GERS
                            CLASS                 VALUE     AMOUNT     SOLE
SHARED      OTHER         SOLE    SHARED     NONE
                                                                        (A)
(B)        (C)           (A)      (B)       (C)
- --------------------------------------------------------------------------------
- ----------------------------------------------

 IVAX CORP                 BND CV  465823AA0     965000    1000000     1000000
1000000

 J JILL GROUP INC          COMMON  466189107    1860938     397000      397000
397000



 JOHNSON & JOHNSON         COMMON  478160104   22360078     243375      243375
243375

 JORE CORP                 COMMON  480815109    1500000     150000      150000
150000

 K2 INC                    COMMON  482732104   10952536    1242841     1242841
1242841

 KIMBERLY CLARK CORP       COMMON  494368103   14944075     283300      283300
283300

 KIMBERLY CLARK DE MEXICO  COMMON  494386204    6834557     389500      389500
389500

 KROGER CO                 COMMON  501044101   24632362    1116481     1116481
1116481

 LATTICE SEMICONDUCTOR CO  COMMON  518415104   11590445     390415      390415
390415

 LEGG MASON INC            COMMON  524901105     727938      19000       19000
19000

 LEVEL 3 COMMUNICATIONS    BND CV  52729NAG5    2500000    2500000     2500000
2500000

 LIBBEY INC                COMMON  529898108   11422950     386400      386400
386400

 LIBERTY FINL COS INC      COMMON  530512102    6316903     287950      287950
287950

 LIMITED INC               COMMON  532716107   14105797     368779      368779
368779



 LIZ CLAIBORNE INC         COMMON  539320101    2304850      74350       74350
74350

 LOCKHEED MARTIN CORP      COMMON  539830109   14742063     451000      451000
451000

 MCI WORLDCOM INC          COMMON  55268B106   22038384     306621      306621
306621

 MGIC INVT CORP WIS        COMMON  552848103    8062588     168850      168850
168850

 MADE2MANAGE SYS INC       COMMON  556466100    2953421     363498      363498
363498
                                              ---------  ---------  --------- --
- ------- ---------     --------- --------- ---------

       COLUMN TOTALS                          180814884   10139360   10139360
10139360
</TABLE>







<PAGE>
<TABLE>

                                                               FORM 13F
9/30/99
                                                          REPORTING MANAGER;
WM ADVISORS, INC.

- --------------------------------------------------------------------------------
- ----------------------------------------------
<CAPTION>
         ITEM 1            ITEM 2    ITEM 3      ITEM 4     ITEM 5
ITEM 6           ITEM 7         ITEM 8
    <S>	                   <C>
     NAME OF ISSUER         TITLE     CUSIP        FAIR   SHARES OR
INVESTMENT DISCRETION     MANA-     VOTING AUTHORITY
                              OF     NUMBER      MARKET   PRINCIPAL
SHARED  GERS
                            CLASS                 VALUE     AMOUNT     SOLE
SHARED      OTHER         SOLE    SHARED     NONE
                                                                        (A)
(B)        (C)           (A)      (B)       (C)
- --------------------------------------------------------------------------------
- ----------------------------------------------

 MARSH & MCLENNAN COS INC  COMMON  571748102    8744025     127650      127650
127650

 MATTEL INC                COMMON  577081102   13895175     731325      731325
731325

 MAY DEPT STORES CO        COMMON  577778103    8126000     223012      223012
223012

 MCLEODUSA INC             PFD CV  582266201    3805825       9635        9635
9635

 MEDICAL CARE INTL INC     BND CV  584505AC5    1071560    1246000     1246000
1246000

 MELLON BK CORP            COMMON  585509102   18504779     550328      550328
550328

 MENTOR GRAPHICS CORP      COMMON  587200106   11285375    1318000     1318000
1318000

 MERCK & CO INC            COMMON  589331107   14764288     227800      227800
227800



 MERRILL LYNCH & CO INC    COMMON  590188108    9216900     136800      136800
136800

 METRO ONE TELECOMMCATN    COMMON  59163F105   15385401     801845      801845
801845

 MICROSOFT CORP            COMMON  594918104   50501725     557645      557645
557645

 MICROVISION INC WASH      COMMON  594960106    6474369     484065      484065
484065

 MICRON TECHNOLOGY INC     COMMON  595112103    5752915      86510       86510
86510

 MILLER INDS INC TENN      COMMON  600551105    2643047     939750      939750
939750

 MOBIL CORP                COMMON  607059102   18835213     186950      186950
186950

 MONACO COACH CORP         COMMON  60886R103   11931002     489477      489477
489477

 MULTIPLE ZONES INTERNATI  COMMON  624906103     953670     172415      172415
172415

 MYLAN LABS INC            COMMON  628530107   22997231    1251550     1251550
1251550

 NALCO CHEM CO             COMMON  629853102    1898800      37600       37600
37600
                                              ---------  ---------  --------- --
- ------- ---------     --------- --------- ---------



       COLUMN TOTALS                          226787300    9578357    9578357
9578357
</TABLE>







<PAGE>
<TABLE>

                                                               FORM 13F
9/30/99
                                                          REPORTING MANAGER;
WM ADVISORS, INC.

- --------------------------------------------------------------------------------
- ----------------------------------------------
<CAPTION>
         ITEM 1            ITEM 2    ITEM 3      ITEM 4     ITEM 5
ITEM 6           ITEM 7         ITEM 8
    <S>	                   <C>
     NAME OF ISSUER         TITLE     CUSIP        FAIR   SHARES OR
INVESTMENT DISCRETION     MANA-     VOTING AUTHORITY
                              OF     NUMBER      MARKET   PRINCIPAL
SHARED  GERS
                            CLASS                 VALUE     AMOUNT     SOLE
SHARED      OTHER         SOLE    SHARED     NONE
                                                                        (A)
(B)        (C)           (A)      (B)       (C)
- --------------------------------------------------------------------------------
- ----------------------------------------------

 NATIONWIDE HEALTH PPTYS   COMMON  638620104    2977538     179100      179100
179100

 NEORX CORP                COMMON  640520300    1894894    1122900     1122900
1122900

 NETWORK ASSOCIATES INC    BND CV  640938AB2    4371250   13000000    13000000
13000000



 NEWS CORP LTD             COMMON  652487802    9837013     368600      368600
368600

 NIKE INC                  COMMON  654106103    2852566      50155       50155
50155

 NORDSTROM INC             COMMON  655664100     360180      13340       13340
13340

 NORTEK INC                COMMON  656559101    2832409      83001       83001
83001

 NUCOR CORP                COMMON  670346105    2433638      51100       51100
51100

 NVIDIA CORP               COMMON  67066G104    2117500     110000      110000
110000

 ONYX SOFTWARE CORP        COMMON  683402101    3067500     204500      204500
204500

 ORACLE CORP               COMMON  68389X105   30705675     674850      674850
674850

 OREGON STL MLS INC        COMMON  686079104    3007759     268850      268850
268850

 PACCAR INC                COMMON  693718108    4176583      82095       82095
82095

 PACIFIC GULF PPTYS INC    COMMON  694396102    5245955     263120      263120
263120

 PACIFICARE HEALTH SYS DE  COMMON  695112102   22438706     518814      518814
518814



 PEPSICO INC               COMMON  713448108   20971800     687600      687600
687600

 PHARMACYCLICS INC         COMMON  716933106    3911738      95700       95700
95700

 PFIZER INC                COMMON  717081103    5973188     166500      166500
166500

 PHILIP MORRIS COS         COMMON  718154107    2533294      74100       74100
74100
                                              ---------  ---------  --------- --
- ------- ---------     --------- --------- ---------

       COLUMN TOTALS                          131709183   18014325   18014325
18014325
</TABLE>







<PAGE>
<TABLE>

                                                               FORM 13F
9/30/99
                                                          REPORTING MANAGER;
WM ADVISORS, INC.

- --------------------------------------------------------------------------------
- ----------------------------------------------
<CAPTION>
         ITEM 1            ITEM 2    ITEM 3      ITEM 4     ITEM 5
ITEM 6           ITEM 7         ITEM 8
    <S>	                   <C>
     NAME OF ISSUER         TITLE     CUSIP        FAIR   SHARES OR
INVESTMENT DISCRETION     MANA-     VOTING AUTHORITY
                              OF     NUMBER      MARKET   PRINCIPAL
SHARED  GERS
                            CLASS                 VALUE     AMOUNT     SOLE
SHARED      OTHER         SOLE    SHARED     NONE
                                                                        (A)
(B)        (C)           (A)      (B)       (C)
- --------------------------------------------------------------------------------
- ----------------------------------------------

 PRECISION CASTPARTS CORP  COMMON  740189105    6209038     203575      203575
203575

 PRICE T ROWE & ASSOCIATE  COMMON  741477103    6236544     227300      227300
227300

 PRIME BANCSHARES INC TEX  COMMON  74157H108    6490575     285300      285300
285300

 PRIMUS KNOWLEDGE SOLUTIO  COMMON  74163Q100    3307500     120000      120000
120000

 PROCTER & GAMBLE CO       COMMON  742718109    8971875      95700       95700
95700

 PROFIT RECOVERY GROUP IN  COMMON  743168106    2293680      51399       51399
51399

 PROVIDIAN FINL CORP       COMMON  74406A102    9783616     123550      123550
123550

 QUALCOMM FINL TR I        PFD CV  74752R402    2650000      10000       10000
10000

 QWEST COMM TRENDS         PFD CV  74912L105    1809513      36100       36100
36100

 RADISYS CORP              COMMON  750459109   14043022     357784      357784
357784



 RALSTON PURINA CO         COMMON  751277302   11706106     419950      419950
419950

 RAYTHEON CO               COMMON  755111408   30085156     606250      606250
606250

 REPSOL S A                COMMON  76026T205    3143147     157650      157650
157650

 REPUBLIC SVCS INC         COMMON  760759100    1800356     165550      165550
165550

 ROCKEFELLER CTR PPTYS IN  BND CV  773102AA6    1511688    2075000     2075000
2075000

 ROSS STORES INC           COMMON  778296103    1363469      67750       67750
67750

 ROYAL DUTCH PETE CO       COMMON  780257804   15769688     267000      267000
267000

 SBC COMMUNICATIONS INC    COMMON  78387G103   18219102     356800      356800
356800

 S3 INC                    BND CV  784849AC5     895000    1000000     1000000
1000000
                                              ---------  ---------  --------- --
- ------- ---------     --------- --------- ---------

       COLUMN TOTALS                          146289073    6626658    6626658
6626658
</TABLE>







<PAGE>
<TABLE>

                                                               FORM 13F
9/30/99
                                                          REPORTING MANAGER;
WM ADVISORS, INC.

- --------------------------------------------------------------------------------
- ----------------------------------------------
<CAPTION>
         ITEM 1            ITEM 2    ITEM 3      ITEM 4     ITEM 5
ITEM 6           ITEM 7         ITEM 8
    <S>	                   <C>
     NAME OF ISSUER         TITLE     CUSIP        FAIR   SHARES OR
INVESTMENT DISCRETION     MANA-     VOTING AUTHORITY
                              OF     NUMBER      MARKET   PRINCIPAL
SHARED  GERS
                            CLASS                 VALUE     AMOUNT     SOLE
SHARED      OTHER         SOLE    SHARED     NONE
                                                                        (A)
(B)        (C)           (A)      (B)       (C)
- --------------------------------------------------------------------------------
- ----------------------------------------------

 SAFECO CORP               COMMON  786429100    3762220     134365      134365
134365

 SARA LEE CORP             COMMON  803111103   19277363     824700      824700
824700

 SCHLUMBERGER LTD          COMMON  806857108    4685900      75200       75200
75200

 SCHNITZER STL INDS        COMMON  806882106    8119881     444925      444925
444925



 SEQUENT COMPUTER SYS INC  COMMON  817338106    6563160     364620      364620
364620

 SHIRE PHARMACEUTICALS GR  COMMON  82481R106    5146979     178637      178637
178637

 SHURGARD STORAGE CTRS IN  COMMON  82567D104    4822661     194855      194855
194855

 SIMON PPTY GROUP INC NEW  COMMON  828806109    1503313      67000       67000
67000

 SINCLAIR BROADCAST GROUP  PFD CV  829226505    1078594      32500       32500
32500

 SONOCO PRODS CO           COMMON  835495102    3396781     148900      148900
148900

 SONOSITE INC              COMMON  83568G104   20679871     791574      791574
791574

 SPRINT CORP               COMMON  852061100   31340225     577700      577700
577700

 STANCORP FINL GROUP INC   COMMON  852891100    4117000     184000      184000
184000

 STARBUCKS CORP            COMMON  855244109    4485654     181010      181010
181010

 STERLING COMMERCE INC     COMMON  859205106    2401988     129400      129400
129400

 STERLING FINL CORP WASH   COMMON  859319105    1758679     131490      131490
131490



 STORAGE USA INC           COMMON  861907103    1655500      60200       60200
60200

 SUMMIT DESIGN INC         COMMON  86605U101     396394     156600      156600
156600

 SUNBURST HOSPITALITY COR  COMMON  866948102    2288571     369870      369870
369870
                                              ---------  ---------  --------- --
- ------- ---------     --------- --------- ---------

       COLUMN TOTALS                          127480732    5047546    5047546
5047546
</TABLE>







<PAGE>
<TABLE>

                                                               FORM 13F
9/30/99
                                                          REPORTING MANAGER;
WM ADVISORS, INC.

- --------------------------------------------------------------------------------
- ----------------------------------------------
<CAPTION>
         ITEM 1            ITEM 2    ITEM 3      ITEM 4     ITEM 5
ITEM 6           ITEM 7         ITEM 8
    <S>	                   <C>
     NAME OF ISSUER         TITLE     CUSIP        FAIR   SHARES OR
INVESTMENT DISCRETION     MANA-     VOTING AUTHORITY
                              OF     NUMBER      MARKET   PRINCIPAL
SHARED  GERS
                            CLASS                 VALUE     AMOUNT     SOLE
SHARED      OTHER         SOLE    SHARED     NONE
                                                                        (A)
(B)        (C)           (A)      (B)       (C)
- --------------------------------------------------------------------------------
- ----------------------------------------------

 SUNBEAM CORP              BND CV  867071AA0     446250    3400000     3400000
3400000

 SUPERVALU INC             COMMON  868536103    4575763     207400      207400
207400

 TAUBMAN CTRS INC          COMMON  876664103    1296625     112750      112750
112750

 TEKTRONIX INC             COMMON  879131100   14745863     440175      440175
440175

 TELIGENT INC              COMMON  87959Y103    2052541      41309       41309
41309

 TOO INC                   COMMON  890333107     347514      19373       19373
19373

 TOTAL ACCESS COMM         BND CV  8904FAA71     895700    1060000     1060000
1060000

 TOSCO CORP                COMMON  891490302   18948863     750450      750450
750450

 TRICON GLOBAL RESTAURANT  COMMON  895953107   14819375     362000      362000
362000

 TRIQUINT SEMICONDUCTOR I  COMMON  89674K103    2623763      45880       45880
45880

 TYCO INTL LTD NEW         COMMON  902124106   19358962     187496      187496
187496



 US BANCORP DEL            COMMON  902973106   24469957     810599      810599
810599

 U S G CORP                COMMON  903293405    7615238     159900      159900
159900

 U S FOODSERVICE           COMMON  90331R101     270000      15000       15000
15000

 ULTRAMAR DIAMOND SHAMROC  COMMON  904000106    1045500      41000       41000
41000

 UNION PAC CORP            COMMON  907818108   10011419     208300      208300
208300

 U S INDS INC NEW          COMMON  912080108   10982396     697295      697295
697295

 UNITED TECHNOLOGIES CORP  COMMON  913017109    1552161      26169       26169
26169

 UNOCAL CORP               COMMON  915289102   14269063     385000      385000
385000
                                              ---------  ---------  --------- --
- ------- ---------     --------- --------- ---------

       COLUMN TOTALS                          150326949    8970096    8970096
8970096
</TABLE>







<PAGE>
<TABLE>

                                                               FORM 13F
9/30/99
                                                          REPORTING MANAGER;
WM ADVISORS, INC.

- --------------------------------------------------------------------------------
- ----------------------------------------------
<CAPTION>
         ITEM 1            ITEM 2    ITEM 3      ITEM 4     ITEM 5
ITEM 6           ITEM 7         ITEM 8
    <S>	                   <C>
     NAME OF ISSUER         TITLE     CUSIP        FAIR   SHARES OR
INVESTMENT DISCRETION     MANA-     VOTING AUTHORITY
                              OF     NUMBER      MARKET   PRINCIPAL
SHARED  GERS
                            CLASS                 VALUE     AMOUNT     SOLE
SHARED      OTHER         SOLE    SHARED     NONE
                                                                        (A)
(B)        (C)           (A)      (B)       (C)
- --------------------------------------------------------------------------------
- ----------------------------------------------


 UNUMPROVIDENT CORP        COMMON  91529Y106     969966      32950       32950
32950

 VALERO ENERGY CORP NEW    COMMON  91913Y100    2131938     110750      110750
110750

 VETERINARY CTRS AMER INC  BND CV  925514AB7    2409000    3300000     3300000
3300000

 VIACOM INC                COMMON  925524100   13852975     320300      320300
320300

 VISIO CORP                COMMON  927914101   16041868     408710      408710
408710



 WAL MART STORES INC       COMMON  931142103    8599300     180800      180800
180800

 WALL DATA INC             COMMON  932045107    3473701     646270      646270
646270

 WARNACO GROUP INC         COMMON  934390105    2753013     150850      150850
150850

 WARNER LAMBERT CO         COMMON  934488107   13308188     200500      200500
200500

 WASHINGTON FED INC        COMMON  938824109    4837240     208614      208614
208614

 WASTE MGMT INC DEL        COMMON  94106L109   16267155     845047      845047
845047

 WASTE MGMT INC DEL        BND CV  94106LAA7    3649000    4100000     4100000
4100000

 WELLS FARGO & CO NEW      COMMON  949746101   26775960     675734      675734
675734

 WEYERHAEUSER CO           COMMON  962166104    4875075      84600       84600
84600

 WILLAMETTE INDS INC       COMMON  969133107    5641828     130825      130825
130825

 WINSTAR COMMUNICATIONS I  PFD CV  975515867    1920000       2000        2000
2000

 WYNDHAM INTL INC          COMMON  983101106     682497     259999      259999
259999



 XEROX CORP                COMMON  984121103    3349548      79870       79870
79870

 LORAL SPACE & COMMUNICAT  PFD CV  G56462149    2269575      46200       46200
46200
                                              ---------  ---------  --------- --
- ------- ---------     --------- --------- ---------

       COLUMN TOTALS                          133807825   11784019   11784019
11784019
</TABLE>







<PAGE>
<TABLE>

                                                               FORM 13F
9/30/99
                                                          REPORTING MANAGER;
WM ADVISORS, INC.

- --------------------------------------------------------------------------------
- ----------------------------------------------
<CAPTION>
         ITEM 1            ITEM 2    ITEM 3      ITEM 4     ITEM 5
ITEM 6           ITEM 7         ITEM 8
    <S>	                   <C>
     NAME OF ISSUER         TITLE     CUSIP        FAIR   SHARES OR
INVESTMENT DISCRETION     MANA-     VOTING AUTHORITY
                              OF     NUMBER      MARKET   PRINCIPAL
SHARED  GERS
                            CLASS                 VALUE     AMOUNT     SOLE
SHARED      OTHER         SOLE    SHARED     NONE
                                                                        (A)
(B)        (C)           (A)      (B)       (C)
- --------------------------------------------------------------------------------
- ----------------------------------------------



 CHECK POINT SOFTW TECH    COMMON  M22465104   10385813     123000      123000
123000

 GILAT SATELLITE NETWKS    COMMON  M51474100    3941438      73500       73500
73500

 SSANGYONG OIL             BND CV  Y8147HAA0    1231050    1415000     1415000
1415000
                                              ---------  ---------  --------- --
- ------- ---------     --------- --------- ---------

       COLUMN TOTALS                           15558300    1611500    1611500
1611500
                                              ---------  ---------  --------- --
- ------- ---------     --------- --------- ---------

       REPORT TOTALS                         2266227776  136637068  136637068
136637068
                                              =========  =========  =========
========= =========     ========= ========= =========
</TABLE>






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