UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
Form 13F
Form 13F COVER PAGE
Report for the Calendar Year or Quarter Ended: December 31, 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: ING Investment Management LLC
Address: 5780 Powers Ferry Road, N.W.
Suite 300
Atlanta, GA 30327-4349
Form 13F File Number: 28-07292
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.
Person Signing this Report on Behalf of Reporting Manager:
Name: M. Michael McComb
Title: Director of Compliance
Phone: 770-690-4728
Signature, Place, and Date of Signing:
/s/ M. Michael McComb Atlanta, GA 02/14/2000
________________________ _______________________________ _____________
[Signature] [City, State] [Date]
Report Type (Check only one.):
[X] 13F HOLDINGS REPORT. (Check here if all holdings of this reporting
manaager are reported in this report.)
[ ] 13F NOTICE. (Check here if no holdings reported are in this report, and
all holdings are reported by other reporting manager(s).)
[ ] 13F COMBINATION REPORT. (Check here if a portion of the holdings for
this reporting manager are reported in this report and a portion are
reported by other reporting manager(s).)
List of Other Managers Reporting for this Manager:
[If there are no entries in this list, omit this section.]
Form 13F File Number Name
28-7516 ING Mutual Funds Management Co. LLC
Form 13F SUMMARY PAGE
Report Summary:
Number of Other Included Managers: 1
________________
Form 13F Information Table Entry Total: 129
________________
Form 13F Information Table Value Total: $ 498,576
________________
(thousands)
List of Other Included Managers:
Provide a numbered list of the name(s0 and the Form 13F file number(s) of all
institutional investment managers with respect to which this report is filed,
other than the manager filing this report.
NO. Form 13F File Number Name
1 28-7516 ING Mutual Funds Management Co. LLC
FORM 13F INFORMATION TABLE
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<CAPTION>
COLUMN 1 COLUMN 2 COLUMN 3 COLUMN 4
______________________________________________________________________________
NAME OF ISSUER TITLE OF CLASS CUSIP VALUE
(X$1000)
______________________________________________________________________________
<S> <S> <C> <C>
AMR CORP COMMON STOCK 1765106 1,249
AT&T CORP COMMON STOCK 1957109 6,847
AXA FINL INC COMMON STOCK 2451102 2,476
ALLIEDSIGNAL INC COMMON STOCK 19512102 3,200
ALLIED WASTE INDS INC COMMON STOCK 19589308 266
ALLSTATE CORP COMMON STOCK 20002101 4,053
AMERICA ONLINE INC DEL COMMON STOCK 02364J104 6,676
AMERICAN EXPRESS CO COMMON STOCK 25816109 1,389
AMERICAN HOME PRODS CORP COMMON STOCK 26609107 4,783
AMERICAN INTL GROUP INC COMMON STOCK 26874107 5,495
AMERITECH CORP NEW COMMON STOCK 30954101 5,726
AMGEN INC COMMON STOCK 31162100 2,083
ANHEUSER BUSCH COS INC COMMON STOCK 35229103 3,396
APPLIED MATLS INC COMMON STOCK 38222105 2,686
AT HOME CORP COMMON STOCK 45919107 904
BMC SOFTWARE INC COMMON STOCK 55921100 1,425
BANKAMERICA CORP COMMON STOCK 06605F102 4,545
BAXTER INTL INC COMMON STOCK 71813109 2,939
BEA SYS INC COMMON STOCK 73325102 878
BELLSOUTH CORP COMMON STOCK 79860102 4,082
BESTFOODS COMMON STOCK 08658U101 2,938
BOEING CO COMMON STOCK 97023105 1,893
BRISTOL MYERS SQUIBB CO COMMON STOCK 110122108 4,008
BROADVISION INC COMMON STOCK 111412102 643
BURLINGTON NORTHN SANTA F COMMON STOCK 12189T104 1,686
CBT GROUP PLC COMMON STOCK 124853300 950
CARNIVAL CORP COMMON STOCK 143658102 1,964
CHARTWELL RE CORPORATION COMMON STOCK 16139W109 381
CHASE MANHATTAN CORP NEW COMMON STOCK 16161A108 2,892
CHEVRON CORPORATION COMMON STOCK 166751107 6,353
CIRCUIT CITY STORE INC COMMON STOCK 172737108 2,407
CISCO SYS INC COMMON STOCK 17275R102 9,854
CITIGROUP INC COMMON STOCK 172967101 456
CITRIX SYS INC COMMON STOCK 177376100 1,455
COCA COLA CO COMMON STOCK 191216100 2,682
COLGATE PALMOLIVE CO COMMON STOCK 194162103 1,205
COMPAQ COMPUTER CORP COMMON STOCK 204493100 2,667
COMPUTER SCIENCES CORP COMMON STOCK 205363104 436
COMPUWARE CORP COMMON STOCK 205638109 3,536
CONOCO INC COMMON STOCK 208251306 691
CONVERGYS CORP COMMON STOCK 212485106 756
COSTCO COS COMMON STOCK 22160Q102 2,643
DELL COMPUTER CORP COMMON STOCK 247025109 7,341
DELPHI AUTOMOTIVE SYS COR COMMON STOCK 247126105 2,153
</TABLE>
<TABLE>
<S> <S> <C> <C>
DISNEY WALT CO COMMON STOCK 254687106 1,551
DONALDSON LUFKIN & JEN COMMON STOCK 257661504 148
DOUBLE CLICK COMMON STOCK 258609304 1,558
DOW CHEM CO COMMON STOCK 260543103 3,740
E M C CORP MASS COMMON STOCK 268648102 4,639
EDISON INTL COMMON STOCK 281020107 4,371
ELECTRONIC DATA SYS NEW COMMON STOCK 285661104 452
AXA FINANCIAL COMMON STOCK 29444G107 373
EXXON MOBIL CORP COMMON STOCK 30231G102 129
FEDERAL NATL MTG ASSN COMMON STOCK 313586109 4,705
FIRST UN CORP COMMON STOCK 337358105 2,832
FORD MTR CO DEL COMMON STOCK 345370100 3,792
GTE CORP COMMON STOCK 362320103 4,633
GADZOOX NETWORKS INC COMMON STOCK 362555104 1,285
GANNETT INC COMMON STOCK 364730101 1,638
GENERAL ELEC CO COMMON STOCK 369604103 13,033
GENERAL GROWTH PPTYS INC COMMON STOCK 370021107 43,431
GILLETTE CO COMMON STOCK 375766102 1,336
GUCCI GROUP N V COMMON STOCK 401566104 716
HALLIBURTON CO COMMON STOCK 406216101 4,259
HEWLETT PACKARD CO COMMON STOCK 428236103 3,418
HOME DEPOT INC COMMON STOCK 437076102 5,786
INKTOMI CORP COMMON STOCK 457277101 2,059
INTEL CORP COMMON STOCK 458140100 11,657
INTERNATIONAL BUSINESS MA COMMON STOCK 459200101 11,792
INTUIT COMMON STOCK 461202103 144
I2 TECHNOLOGIES INC COMMON STOCK 465754109 1,460
JDS UNIPHASE CORP COMMON STOCK 46612J101 753
JACOBS ENGR GROUP INC DEL COMMON STOCK 469814107 2,554
JOHNSON & JOHNSON COMMON STOCK 478160104 1,672
KLA-TENCORP CORP COMMON STOCK 482480100 864
KROGER CO COMMON STOCK 501044101 6,244
LINCOLN NATL CORP IND COMMON STOCK 534187109 2,635
LUCENT TECHNOLOGIES INC COMMON STOCK 549463107 8,686
MCI WORLDCOM INC COMMON STOCK 55268B106 6,619
MCDONALDS CORP COMMON STOCK 580135101 2,097
MCGRAW HILL COS INC COMMON STOCK 580645109 1,967
MERCK & CO INC COMMON STOCK 589331107 7,842
MICROSOFT CORP COMMON STOCK 594918104 21,137
MOBIL CORP COMMON STOCK 607059102 7,229
MORGAN STANLEY DEAN WITTE COMMON STOCK 617446448 2,668
MOTOROLA INC COMMON STOCK 620076109 5,351
NATIONAL CITY CORP COMMON STOCK 635405103 118
</TABLE>
<TABLE>
<S> <S> <C> <C>
NETWORKS ASSOCS INC COMMON STOCK 640938106 888
NEW ERA OF NETWORKS INC COMMON STOCK 644312100 918
NIKE INC COMMON STOCK 654106103 1,311
NORTEL NETWORKS CORP COMMON STOCK 656569100 1,527
ORACLE CORP COMMON STOCK 68389X105 3,724
PNC BK CORP COMMON STOCK 693475105 3,527
PPG INDS INC COMMON STOCK 693506107 3,734
PEPSICO INC COMMON STOCK 713448108 9,286
PHARMACIA & UPJOHN COMMON STOCK 716941109 3,971
PHILIP MORRIS COS INC COMMON STOCK 718154107 7,510
PRIME HOSPITALITY CORP COMMON STOCK 741917108 100
PROCTER & GAMBLE CO COMMON STOCK 742718109 6,992
RF MICRODEVICES INC COMMON STOCK 749941100 1,198
RAMBUS INC DEL COMMON STOCK 750917106 1,122
RALSTON PURINA CO COMMON STOCK 751277302 3,902
SBC COMMUNICACTIONS INC COMMON STOCK 78387G103 258
SCM MICROSYSTEMS INC COMMON STOCK 784018103 609
SPDR TR COMMON STOCK 78462F103 15,964
SAPIENT CORP COMMON STOCK 803062108 1,201
SIEBEL SYS INC COMMON STOCK 826170102 1,551
SOUTHDOWN INC COMMON STOCK 841297104 3,270
SUN MICROSYSTEMS INC COMMON STOCK 866810104 2,159
SUNTRUST BKS INC COMMON STOCK 867914103 23,810
TJX COS INC NEW COMMON STOCK 872540109 2,439
TENET HEALTHCARE CORP COMMON STOCK 88033G100 2,163
TERADYNE INC COMMON STOCK 880770102 869
TEXAS INSTRS INC COMMON STOCK 882508104 5,767
TEXAS UTILS CO COMMON STOCK 882848104 4,265
TIME WARNER INC COMMON STOCK 887315109 10,572
TORCHMARK CORP COMMON STOCK 891027104 2,542
TYCO INTL LTD NEW COMMON STOCK 902124106 2,729
UNIPHASE CORP COMMON STOCK 909149106 663
UNISYS CORP COMMON STOCK 909214108 858
UNITED TECH CORP COMMON STOCK 913017109 3,225
VERITAS SOFTWARE CO COMMON STOCK 923436109 1,003
WAL MART STORES INC COMMON STOCK 931142103 7,210
WARNER LAMBERT CO COMMON STOCK 934488107 5,820
WELLS FARGO & CO NEW COMMON STOCK 949746101 5,012
WHITTMAN-HART INC COMMON STOCK 966834103 1,220
WRIGLEY WM JR CO COMMON STOCK 982526105 1,352
YAHOO INC COMMON STOCK 984332106 1,131
AMDOCS LTD COMMON STOCK 99C000033 743
____________
498,576
============
</TABLE>
<TABLE>
<CAPTION>
COLUMN 1 COLUMN 5 COLUMN 6 COLUMN 7 COLUMN 8
_______________________________________________________________________________
NAME OF ISSUER SHARES OR INVESTMENT OTHER VOTING
PRINCIPAL SH/ DISCRETION: MANA- AUTHOR-
AMOUNT PRN SOLE GERS ITY: SOLE
_______________________________________________________________________________
<S> <C> <S> <S> <S>
AMR CORP 19,200 SH X X
AT&T CORP 130,000 SH X X
AXA FINL INC 46,000 SH X X
ALLIEDSIGNAL INC 55,500 SH X X
ALLIED WASTE INDS INC 14,300 SH X X
ALLSTATE CORP 111,000 SH X X
AMERICA ONLINE INC DEL 76,348 SH X X
AMERICAN EXPRESS CO 11,400 SH X X
AMERICAN HOME PRODS CORP 83,000 SH X X
AMERICAN INTL GROUP INC 60,026 SH X X
AMERITECH CORP NEW 87,000 SH X X
AMGEN INC 24,900 SH X X
ANHEUSER BUSCH COS INC 45,100 SH X X
APPLIED MATLS INC 45,943 SH X X
AT HOME CORP 14,216 SH X X
BMC SOFTWARE INC 25,275 SH X X
BANKAMERICA CORP 70,000 SH X X
BAXTER INTL INC 45,500 SH X X
BEA SYS INC 31,323 SH X X
BELLSOUTH CORP 86,500 SH X X
BESTFOODS 54,400 SH X X
BOEING CO 45,000 SH X X
BRISTOL MYERS SQUIBB CO 57,000 SH X X
BROADVISION INC 7,198 SH X X
BURLINGTON NORTHN SANTA F 54,400 SH X X
CBT GROUP PLC 47,639 SH X X
CARNIVAL CORP 40,500 SH X X
CHARTWELL RE CORPORATION 14,300 SH X X
CHASE MANHATTAN CORP NEW 34,200 SH X X
CHEVRON CORPORATION 67,000 SH X X
CIRCUIT CITY STORE INC 51,900 SH X X
CISCO SYS INC 146,677 SH X X
CITIGROUP INC 9,600 SH X X
CITRIX SYS INC 23,179 SH X X
COCA COLA CO 44,870 SH X X
COLGATE PALMOLIVE CO 12,230 SH X X
COMPAQ COMPUTER CORP 115,110 SH X X
COMPUTER SCIENCES CORP 6,407 SH X X
COMPUWARE CORP 111,376 SH X X
CONOCO INC 27,400 SH X X
CONVERGYS CORP 36,068 SH X X
COSTCO COS 35,500 SH X X
DELL COMPUTER CORP 168,619 SH X X
DELPHI AUTOMOTIVE SYS COR 117,800 SH X X
</TABLE>
<TABLE>
<S> <C> <S> <S> <S>
DISNEY WALT CO 51,150 SH X X
DONALDSON LUFKIN & JEN 5,000 SH X X
DOUBLE CLICK 10,614 SH X X
DOW CHEM CO 29,500 SH X X
E M C CORP MASS 70,292 SH X X
EDISON INTL 165,000 SH X X
ELECTRONIC DATA SYS NEW 6,757 SH X X
AXA FINANCIAL 12,300 SH X X
EXXON MOBIL CORP 1,566 SH X X
FEDERAL NATL MTG ASSN 69,300 SH X X
FIRST UN CORP 60,100 SH X X
FORD MTR CO DEL 67,900 SH X X
GTE CORP 61,500 SH X X
GADZOOX NETWORKS INC 23,975 SH X X
GANNETT INC 23,000 SH X X
GENERAL ELEC CO 114,800 SH X X
GENERAL GROWTH PPTYS INC 1,551,109 SH X X
GILLETTE CO 32,400 SH X X
GUCCI GROUP N V 10,230 SH X X
HALLIBURTON CO 94,800 SH X X
HEWLETT PACKARD CO 33,900 SH X X
HOME DEPOT INC 88,205 SH X X
INKTOMI CORP 18,607 SH X X
INTEL CORP 185,732 SH X X
INTERNATIONAL BUSINESS MA 92,561 SH X X
INTUIT 4,910 SH X X
I2 TECHNOLOGIES INC 29,867 SH X X
JDS UNIPHASE CORP 4,262 SH X X
JACOBS ENGR GROUP INC DEL 67,200 SH X X
JOHNSON & JOHNSON 17,100 SH X X
KLA-TENCORP CORP 11,377 SH X X
KROGER CO 227,000 SH X X
LINCOLN NATL CORP IND 51,200 SH X X
LUCENT TECHNOLOGIES INC 128,491 SH X X
MCI WORLDCOM INC 84,000 SH X X
MCDONALDS CORP 50,820 SH X X
MCGRAW HILL COS INC 38,000 SH X X
MERCK & CO INC 106,500 SH X X
MICROSOFT CORP 233,893 SH X X
MOBIL CORP 73,200 SH X X
MORGAN STANLEY DEAN WITTE 26,100 SH X X
MOTOROLA INC 54,967 SH X X
NATIONAL CITY CORP 4,999 SH X X
</TABLE>
<TABLE>
<S> <C> <S> <S> <S>
NETWORKS ASSOCS INC 52,024 SH X X
NEW ERA OF NETWORKS INC 26,796 SH X X
NIKE INC 23,260 SH X X
NORTEL NETWORKS CORP 30,055 SH X X
ORACLE CORP 92,404 SH X X
PNC BK CORP 63,000 SH X X
PPG INDS INC 63,200 SH X X
PEPSICO INC 247,380 SH X X
PHARMACIA & UPJOHN 74,700 SH X X
PHILIP MORRIS COS INC 187,150 SH X X
PRIME HOSPITALITY CORP 10,773 SH X X
PROCTER & GAMBLE CO 77,400 SH X X
RF MICRODEVICES INC 27,259 SH X X
RAMBUS INC DEL 12,940 SH X X
RALSTON PURINA CO 130,000 SH X X
SBC COMMUNICACTIONS INC 4,788 SH X X
SCM MICROSYSTEMS INC 12,565 SH X X
SPDR TR 113,200 SH X X
SAPIENT CORP 16,768 SH X X
SIEBEL SYS INC 21,670 SH X X
SOUTHDOWN INC 51,000 SH X X
SUN MICROSYSTEMS INC 27,516 SH X X
SUNTRUST BKS INC 346,012 SH X X
TJX COS INC NEW 74,700 SH X X
TENET HEALTHCARE CORP 116,000 SH X X
TERADYNE INC 22,816 SH X X
TEXAS INSTRS INC 55,060 SH X X
TEXAS UTILS CO 112,000 SH X X
TIME WARNER INC 148,850 SH X X
TORCHMARK CORP 74,500 SH X X
TYCO INTL LTD NEW 28,800 SH X X
UNIPHASE CORP 3,995 SH X X
UNISYS CORP 23,278 SH X X
UNITED TECH CORP 57,000 SH X X
VERITAS SOFTWARE CO 10,396 SH X X
WAL MART STORES INC 149,500 SH X X
WARNER LAMBERT CO 84,200 SH X X
WELLS FARGO & CO NEW 117,000 SH X X
WHITTMAN-HART INC 30,266 SH X X
WRIGLEY WM JR CO 15,500 SH X X
YAHOO INC 9,302 SH X X
AMDOCS LTD 26,807 SH X X
</TABLE>