ING INVESTMENT MANAGEMENT LLC
13F-HR, 2000-02-15
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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:  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


<TABLE>
<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>


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