NIAGARA INVESTMENT ADVISORS INC/NY
13F-HR, 2000-08-08
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                          UNITED STATES
                 SECURITIES AND EXCHANGE COMMISSION
                       WASHINGTON, D.C. 20549

                               FORM 13F

                         FORM 13F COVER PAGE
REPORT FOR THE CALENDER YEAR OR QUARTER ENDED: JUNE 30,2000

CHECK HERE IF ADMENDMENT []; ADMENDMENT NUMBER:
THIS ADMENDMENT (CHECK ONLY ONE ) [] IS A RESTATEMENT.
                                  [] ADDS NEW HOLDING ENTRIES.
INSTITUTIONAL INVESTMENT MANAGER FILING THIS REPORT:
NAME: NIAGARA INVESTMENT ADVISORS INC /NY
ADDRESS: 3FOUNTAIN PLAZA
         SUITE 100
         BUFFALO, NEW YORK 14203
13F FILE NUMBER:

THE INSTITUTIONAL INVESTMENT MANAGER FILING THIS REPORT AND THE PERSON BY
WHOM IT IS SIGNED HERBY REPRESENT THAT THE PERSONSIGNING 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, SCHEDUELS, LISTS AND TABLES ARE CONSIDERED INTERGRAL PARTS OF THIS
FORM.
 PERSON SIGNING THIS REPORT ON BEHALF OF REPORTING MANAGER:
NAME:  D. STEINWACHS
PHONE: 716.853.3000
SIGNATURE, PLACE, AND DATE OF SIGNING:

     D.STEINWACHS        BUFFALO, NEW YORK          APRIL 28,2000

REPORT TYPE (CHECK ONLY ONE):
[X] 13F HOLDINGS REPORT

LIST OF OTHER MANAGERS REPORTING FOR THIS MANAGER:
I AM SIGNING THIS REPORT AS REQUIRED BY THE SECURITIES EXCHANGE ACT OF 1934.
<PAGE>

                          NIAGARA INVESTMENT ADVISORS INC /NY

                             FORM 13F SUMMARY PAGE
                              AS OF DATE: 06/30/00



REPORT SUMMARY:

NUMBER OF OTHER INCLUDED MANAGERS:        0

FORM 13F INFORMATION TABLE ENTRY TOTAL:   88

FORM 13F INFORMATION TABLE VALUE TOTAL:   $176,469,000



LIST OF OTHER INCLUDED MANAGERS:

NO.   13F FILE NUMBER      NAME
<PAGE>
<TABLE>

		<C>			<C>			<C>
                       NIAGARA INVESTMENT ADVISORS INC /NY

                       FORM 13F INFORMATION TABLE
                          AS OF DATE: 06/30/00

                         TITLE                  SH/
                          OF             VALUE  AMT SH/ INVSTM  VOTING AUTHOR.
  NAME OF ISSUER         CLASS  CUSIP   (x$1k)  PRN PRN DSCRETN SOLE SHARED NONE
------------------------ ----  --------  -----  ---- --- ------- ---- ------ ---
ALLTEL CORP               COM 020039103   554   8950 SH DEFINED  5975  2975    0
AMCAST INDL CORP          COM 023395106   245  28006 SH DEFINED     0 28006    0
AMERICA ONLINE INC        COM 02364J104  2485  47155 SH DEFINED 39925  7230    0
AMERICA ONLINE INC        COM 02364J104     5    100 SH   OTHER     0     0  100
AMERICAN INTL GROUP INC   COM 026874107  4534  57885 SH DEFINED 54611  3275    0
AMERICAN INTL GROUP INC   COM 026874107    16    210 SH   OTHER     0     0  210
AMGEN INC                 COM 031162100  4860  69175 SH DEFINED 66075  3100    0
AMSOUTH BANCORPORATION    COM 032165102   337  21400 SH DEFINED  9825 11575    0
AUTOMATIC DATA PROCESSING COM 053015103   388   7250 SH DEFINED  6400   850    0
BANK OF AMERICA           COM 060505104   807  18761 SH DEFINED 16400  2361    0
BAXTER INTL INC           COM 071813109  1364  19400 SH DEFINED 13950  5450    0
BECKMAN COULTER INC       COM 075811109  1016  17400 SH DEFINED 12400  5000    0
BP AMOCO ADS              COM 055622104   343   6072 SH DEFINED   346  5726    0
BP AMOCO ADS              COM 055622104    15    264 SH   OTHER     0     0  264
BRISTOL MYERS SQUIBB      COM 110122108   542   9300 SH DEFINED  7500  1800    0
BURR BROWN CORP           COM 122574106  1077  12425 SH DEFINED  8175  4250    0
CHASE MANHATTAN CORP.     COM 16161A108  2649  57501 SH DEFINED 49194  8307    0
CHEVRON CORP              COM 166751107   883  10410 SH DEFINED  8300  2110    0
CISCO SYSTEMS             COM 17275R102 10103 158941 SH DEFINED145216 13725    0
CISCO SYSTEMS             COM 17275R102    10    150 SH   OTHER     0     0  150
CITIGROUP INC             COM 172967101  3377  56054 SH DEFINED 45518 10536    0
COPYTELE INC              COM 217721109    27  17000 SH DEFINED 12000  5000    0
CORNING INC               COM 219350105  6947  25740 SH DEFINED 23090  2650    0
DALLAS SEMICONDUCTOR COM  COM 235204104   982  24100 SH DEFINED 17525  6575    0
DELL COMPUTER CORP        COM 247025109  1855  37625 SH DEFINED 29975  7650    0
DELL COMPUTER CORP        COM 247025109    30    600 SH   OTHER     0     0  600
DISNEY CO.                COM 254687106  2822  72700 SH DEFINED 71000  1700    0
E M C CORP MASS           COM 268648102  7945 103270 SH DEFINED 97550  5720    0
EMERSON ELEC CO           COM 291011104  1150  19050 SH DEFINED 14750  4300    0
EXXON-MOBIL CORPORATION   COM 30231G102  2716  34601 SH DEFINED 31040  3561    0
EXXON-MOBIL CORPORATION   COM 30231G102    30    385 SH   OTHER     0     0  385
FLEET BOSTON FINANCIAL    COM 339030108   646  19000 SH    SOLE 19000     0    0
GANNETT INC DEL           COM 364730101   803  13425 SH DEFINED  9575  3850    0
GENERAL ELECTRIC          COM 369604103  9085 171415 SH DEFINED156115 15300    0
GENERAL ELECTRIC          COM 369604103    80   1500 SH   OTHER     0     0 1500
GLOBAL TECHNOVATIONS INC  COM 37939M109    14  12000 SH    SOLE 12000     0    0
HALLIBURTON COMPANY       COM 406216101  3126  66250 SH DEFINED 61850  4400    0
HEWLETT PACKARD           COM 428236103   749   6000 SH DEFINED  4400  1600    0
HOME DEPOT                COM 437076102  3956  79228 SH DEFINED 75537  3691    0
INTEL CORP                COM 458140100 10958 163940 SH DEFINED151800 12140    0
I.B.M.			  COM 459200101  5659  51650 SH DEFINED 46350  5300    0
INTUIT INC                COM 461202103   878  21225 SH DEFINED 16050  5175    0
JOHNSON & JOHNSON         COM 478160104  3459  33950 SH DEFINED 31945  2005    0
JOHNSON & JOHNSON         COM 478160104    10    100 SH   OTHER     0     0  100
KOHLS CORP                COM 500255104   312   5600 SH DEFINED  4900   700    0
LILLY ELI & CO            COM 532457108  1763  17650 SH DEFINED 12800  4850    0
LILLY ELI & CO            COM 532457108     5     50 SH   OTHER     0     0   50
LUCENT TECHNOLOGIES INC   COM 549463107  4912  82896 SH DEFINED 73240  9656    0
LUCENT TECHNOLOGIES INC   COM 549463107    14    228 SH   OTHER     0     0  228
MCDONALDS CORP            COM 580135101   260   7900 SH DEFINED  7000   900    0
MCDONALDS CORP            COM 580135101    13    400 SH   OTHER     0     0  400

		    NIAGARA INVESTMENT ADVISORS INC /NY

                       FORM 13F INFORMATION TABLE
                          AS OF DATE: 06/30/00

                         TITLE                  SH/
                          OF             VALUE  AMT SH/ INVSTM  VOTING AUTHOR.
  NAME OF ISSUER         CLASS  CUSIP   (x$1k)  PRN PRN DSCRETN SOLE SHARED NONE
------------------------ ----  --------  -----  ---- --- ------- ---- ------ ---

MEDTRONIC INC            COM  585055106  3918  78650 SH DEFINED 74750  3900   0
MELLON FINL CORP         COM  58551A108  1277  35055 SH DEFINED 26530  8525   0
MELLON FINL CORP         COM  58551A108     4    100 SH   OTHER     0     0 100
MERCK & CO INC           COM  589331107  2969  38750 SH DEFINED 35600  3150   0
MERCK & CO INC           COM  589331107    46    600 SH   OTHER     0     0 600
MERRILL LYNCH & CO INC   COM  590188108  2895  25175 SH DEFINED 24650   525   0
MICROSOFT CORP           COM  594918104  6804  85050 SH DEFINED 77475  7575   0
MICROSOFT CORP           COM  594918104    64    800 SH   OTHER     0     0 800
MORGAN J.P. & CO INC     COM  616880100  1313  11925 SH DEFINED  8700  3225   0
MORGAN J.P. & CO INC     COM  616880100    22    200 SH   OTHER     0     0 200
MRV COMMUNICATIONS INC   COM  553477100   740  11000 SH    SOLE 11000     0   0
NASDAQ 100 TR UNIT SER/1 MF   631100104  2763  29650 SH DEFINED 29000   650   0
ORACLE SYS CORP          COM  68389X105  7668  91215 SH DEFINED 80055 11160   0
ORACLE SYS CORP          COM  68389X105    25    300 SH   OTHER     0     0 300
PFIZER INC               COM  717081103  4132  86074 SH DEFINED 77649  8425   0
PHARMACIA CORP           COM  71713U102   822  15902 SH DEFINED 10253  5649   0
PHILLIPS PETE CO         COM  718507106   492   9710 SH DEFINED  6550  3160   0
PNC FINANCIAL CORP       COM  693475105   684  14600 SH DEFINED 10600  4000   0
PNC FINANCIAL CORP       COM  693475105    33    700 SH   OTHER     0     0 700
RALSTON PURINA CO        COM  751277302   204  10225 SH DEFINED  8200  2025   0
SBC COMMUNICATIONS, INC. COM  78387G103   944  21825 SH DEFINED 11450 10375   0
SBC COMMUNICATIONS, INC. COM  78387G103    61   1400 SH   OTHER     0     01400
SCHLUMBERGER             COM  806857108  3360  45025 SH DEFINED 42950  2075   0
SMITHKLINE BEECHAM P L C COM  832378301  1024  15710 SH DEFINED 12810  2900   0
STATE STREET CORP        COM  857477103  3930  37050 SH DEFINED 36100   950   0
SUN MICROSYSTEM INC      COM  866810104  2264  24900 SH DEFINED 19000  5900   0
TEXACO INC               COM  881694103  1000  18775 SH DEFINED 14075  4700   0
TIME WARNER INC          COM  887315109  4537  59700 SH DEFINED 55250  4450   0
TRANSOCEAN SEDCO FOREX   COM  G90078109  2916  54567 SH DEFINED 50988  3579   0
TYCO INTL LTD NEW        COM  902124106  3693  77950 SH DEFINED 73500  4450   0
UNITED TECHNOLOGIES CORP COM  913017109   230   3900 SH DEFINED  3200   700   0
VIACOM INC CL B          COM  925524308  2261  33154 SH DEFINED 25181  7973   0
VIACOM INC CL B          COM  925524308     7    108 SH   OTHER     0     0 108
WAL MART STORES INC      COM  931142103  4091  71000 SH DEFINED 68100  2900   0
WELLS FARGO NEW          COM  949746101  1699  43850 SH DEFINED 41050  2800   0
WILLIAMS COS INC         COM  969457100   298   7150 SH DEFINED  3850  3300   0
WORLDCOM INC             COM  98157D106   463  10100 SH DEFINED  8700  1400   0


     LINE COUNT: 88

</TABLE>
<TABLE>
<PAGE>

                       NIAGARA INVESTMENT ADVISORS INC /NY

                             FORM 13F SUMMARY PAGE
                              AS OF DATE: 06/30/00
                         RUN DATE: 08/08/00  8:10 A.M.


REPORT SUMMARY:

NUMBER OF OTHER INCLUDED MANAGERS:        0

FORM 13F INFORMATION TABLE ENTRY TOTAL:   6

FORM 13F INFORMATION TABLE VALUE TOTAL:   $1,048,000



LIST OF OTHER INCLUDED MANAGERS:

NO.   13F FILE NUMBER      NAME
<PAGE>
        <C>        <C>           <C>
                             NIAGARA INVESTMENT ADVISORS INC /NY
				FORM 13F INFORMATION TABLE
                                    AS OF DATE: 06/30/00

                         TITLE                  SH/
                          OF             VALUE  AMT SH/ INVSTM  VOTING AUTHOR.
  NAME OF ISSUER         CLASS  CUSIP   (x$1k)  PRN PRN DSCRETN SOLE SHARED NONE
------------------------ ----  --------  -----  ---- --- ------- ---- ------ ---

GENERAL ELECTRIC         COM 369604103    20    375 SH   DEFINED  0  375     0
GENERAL ELECTRIC         COM 369604103   223   4200 SH     OTHER  0    0  4200
INTEL CORP               COM 458140100   214   3200 SH     OTHER  0    0  3200
LUCENT TECHNOLOGIES INC  COM 549463107    11    189 SH   DEFINED  0  189     0
LUCENT TECHNOLOGIES INC  COM 549463107   212   3571 SH     OTHER  0    0  3571
MICROSOFT CORP           COM 594918104   368   4600 SH     OTHER  0    0  4600

</TABLE>


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