<PAGE> 1
UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
FORM 13F
FORM 13F COVER PAGE
Report for the Calendar Year or Quarter Ended: 03/31/2000
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Check here if Amendment [ ]; Amendment Number:
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This Amendment (Check only one.): [ ] is a restatement.
[ ] adds new holdings entries
Institutional Investment Manager Filing this Report:
Name: ING Barings LLC
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Address: 55 East 52nd Street, New York, NY 10055
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Form 13F File Number: 28-7338
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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: Andrew Druch
Title: General Counsel and Compliance Director
Phone: 212-409-6135
Signature, Place, and Date of Signing:
New York, NY, 10055, 05/11/2000
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[Signature] [City, State] [Date]
Report Type (Check only one.):
[X] 13F HOLDINGS REPORT. (Check here if all holdings of this reporting manager
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: None
<PAGE> 2
FORM 13F SUMMARY PAGE
Report Summary:
Number of Other Included Managers: 0
Form 13F Information Table Entry Total: 124
Form 13F Information Table Value Total: $ 9,996(thousands)
List of Other Included Managers:
Provide a numbered list of the name(s) and 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.
NONE
<PAGE> 3
13F FILING 03/31/2000
<TABLE>
<CAPTION>
Issuer Name Title of Class Cusip Number Shares Market Value
(000's)
<S> <C> <C> <C> <C>
Amazon.Com Inc. Common 023135106 500 33,500
American Express Company Common 025816109 935 137,485
American Home Products Corp Common 26609107 300 16,088
American International Group Common 026874107 1373 153,461
American Online Inc. Common 023BSE983 1500 100875
Anheuser Busch Companies Inc. Common 35229103 200 12450
Applied Films Corp. Common 38197109 2000 40000
AvalonBay Communities Inc. Common 053484101 100 3663
Amli Residential Properties Common 001735109 100 2050
Bank of America Corp Common 60505104 300 14981
Bank One Corp Common 06423A103 300 10313
Bellsouth Corp. Common 079860102 600 28200
Berkshire Hathaway Inc. Class B Common 084670207 130 644340
Bristol Myers Squibb Co. Common 110122108 1870 107,774
CV Reit Inc. Common 126640101 1000 9,125
Cable & Wireless PLC Common 12682P104 400 22,400
Carter Wallace Inc. Common 146281010 1500 27,095
CBS Corp Common 12490K107 3875 219974
Cendant Corp Common 151313103 7800 218920
Charter Communications Inc. Class A 16117M107 2000 28656
Chase Manhattan Corp. Common 16161A108 740 64519
Chubb Corp. Common 171232101 2200 135776
Cinar Corp. Common 171905300 2000 15500
Cisco Systems Inc Common 17275R102 3375 257853
Citigroup Inc. Common 172967101 8880 505989
Coco Cola Co. Common 191216100 225 10,561
Colgate Palmolive Co Common 194162103 2410 134545
Compaq Computer Corp. Common 204493100 5100 133165
Conseco Inc. Common 208464107 2250 25736
Consolidated Edison Inc. Common 209115104 500 14500
Crescent Real Estate Equities Co. Common 225756105 200 3500
Crown Pacific Partners LP Common 228439105 100 2150
Cyber-Care Inc Common 23243T105 3000 57750
Dell Computer Corp Common 247025109 1000 53938
Delta & Pine Land Co. Common 247357106 1000 19750
Developers Diversified Realty Corp. Common 251591103 200 2775
</TABLE>
<TABLE>
<CAPTION>
Issuer Name Investment Discretion Voting Rights
---------------------------- --------------
Sole Shared Other Sole Shared None
<S> <C> <C> <C> <C> <C> <C>
Amazon.Com Inc. X X
American Express Company X X
American Home Products Corp X X
American International Group X X
American Online Inc. X X
Anheuser Busch Companies Inc. X X
Applied Films Corp. X X
AvalonBay Communities Inc. X X
Amli Residential Properties X X
Bank of America Corp X X
Bank One Corp X X
Bellsouth Corp. X X
Berkshire Hathaway Inc. Class B X X
Bristol Myers Squibb Co. X X
CV Reit Inc. X X
Cable & Wireless PLC X X
Carter Wallace Inc. X X
CBS Corp X X
Cendant Corp X X
Charter Communications Inc. X X
Chase Manhattan Corp. X X
Chubb Corp. X X
Cinar Corp. X X
Cisco Systems Inc X X
Citigroup Inc. X X
Coco Cola Co. X X
Colgate Palmolive Co X X
Compaq Computer Corp. X X
Conseco Inc. X X
Consolidated Edison Inc. X X
Crescent Real Estate Equities Co. X X
Crown Pacific Partners LP X X
Cyber-Care Inc X X
Dell Computer Corp X X
Delta & Pine Land Co. X X
Developers Diversified Realty Corp. X X
</TABLE>
<PAGE> 4
13F FILING 03/31/2000
<TABLE>
<S> <C> <C> <C> <C>
Duke Weeks Realty Corp. Common 264411505 200 3,825
Dura Pharmaceuticals Common 26632S109 500 6,157
Earthlink Network Inc. Common 270321102 3807 74,000
Eastman Kodak Co. Common 277461109 200 10,863
ECI Telecom Ltd. Common 268258100 300 9,900
European Warrant Fund Inc Common 298792102 973 16906
Excel Legacy Corp Common 300665106 2500 8438
Exxon Mobile Corp. Common 30231G102 400 31,125
Fairchild Corp-CL A Common 303698104 2000 13,626
General Electric Co. Common 369604103 2485 362,983
Gillete Co. Common 375766102 4780 175,273
Healtheon/Webmd Corporations Common 422209106 1000 23000
Hewlett Packard Co. Common 428236103 1890 250,981
Hilton Hotels Corp. Common 432848109 565 4379
Home Depot Co. Common 437076102 5595 358526
Household International Inc. Common 441815107 3200 114027
Huttig Building Products Inc. Common 448451104 100 450
I-Cable Communications LTD ADR 44934B104 1200 18300
Intel Corp. Common 458140100 3489 448,402
Integral Systems Inc. Common 45810H107 1000 45,000
International Business Machines Corp. Common 459200101 1380 160,040
Jones Apparel Group Inc. Common 480074103 1300 41438
Korea Telecom ADR 50063p103 1000 43750
Kyocera Corp ADR 501556203 300 49800
Lucent Technologies Inc. Common 549463107 2205 133599
Macerich Co. Common 554382101 100 2063
Mack-Cali Realty Corp Common 554489104 700 17850
MCI Worldcom Inc. Common 55268B106 4100 185783
McDonalds Corp. Common 580135101 1000 36813
Manatron Inc. Common 562048108 1000 9688
Manufactured Homes Communities Common 564682102 600 13876
Metromedia International Group Common 591695101 6500 39063
Mediconsult Com Inc. Common 58469J100 5000 14375
Micro Therapeutics Inc. Common 59500W100 2000 13500
Microsoft Corp Common 594918104 2185 228867
Motorola Inc. Common 620076109 1200 179289
Nabisco Group Hldg Corp. Common 62952P102 400 4800
NTL Inc. Common 629407107 813 75211
</TABLE>
<TABLE>
<S> <C> <C>
Duke Weeks Realty Corp. X X
Dura Pharmaceuticals X X
Earthlink Network Inc. X X
Eastman Kodak Co. X X
ECI Telecom Ltd. X X
European Warrant Fund Inc X X
Excel Legacy Corp X X
Exxon Mobile Corp. X X
Fairchild Corp-CL A X X
General Electric Co. X X
Gillete Co. X X
Healtheon/Webmd Corporations X X
Hewlett Packard Co. X X
Hilton Hotels Corp. X X
Home Depot Co. X X
Household International Inc. X X
Huttig Building Products Inc. X X
I-Cable Communications LTD X X
Intel Corp. X X
Integral Systems Inc. X X
International Business Machines Corp. X X
Jones Apparel Group Inc. X X
Korea Telecom X X
Kyocera Corp X X
Lucent Technologies Inc. X X
Macerich Co. X X
Mack-Cali Realty Corp X X
MCI Worldcom Inc. X X
McDonalds Corp. X X
Manatron Inc. X X
Manufactured Homes Communities X X
Metromedia International Group X X
Mediconsult Com Inc. X X
Micro Therapeutics Inc. X X
Microsoft Corp X X
Motorola Inc. X X
Nabisco Group Hldg Corp. X X
NTL Inc. X X
</TABLE>
<PAGE> 5
13F FILING 03/31/2000
<TABLE>
<S> <C> <C> <C> <C>
Nortel Networks Corp. Common 656569100 2170 262,058
Nokia Corp. Common 654902204 2800 598381
Onemain.Com Inc. Common 68267P109 1000 11313
Oracle Corp. Common 68389X105 1880 145,615
PRI Automation Inc. Common 69357H106 2400 161,700
Paine Webber Group Inc. Common 695629105 2590 109360
Pepsico Inc. Common 713448108 1300 44932
Pfizer Inc. Common 717081103 2200 78221
Phillip Morris Companies Inc. Common 718154107 350 7394
Proctor & Gamble Co. Common 742718109 1200 67500
Qwest Communciations International Inc. Common 799121109 1500 72750
Reliastar Financial Corp. Common 75952U103 180 6098
Rhythms Netconnections Inc. Common 762430205 3000 110439
Resourcephonex Com Inc. Common 76122L106 6000 100252
Reynolds & Reynolds Common 761695105 1000 27000
Reynolds R J TOB HLDS INC Common 76182K105 300 5100
Schering Plough Corp Common 806605101 1200 43350
Sea Containers Ltd. Class A Common 811371707 1000 22125
Shire Pharmaceuticals Group ADR 82481R106 1000 16235
Sirius Satellite Radio Inc. Common 82966U103 1300 74100
Sonera Corp PLC ADR 835433202 500 28975
Sony Corp ADR 835699307 100 28013
Southern Co. Common 842587107 400 8700
Southtrust Corp. Common 844730101 750 19079
Symbol Technologies Inc. Common 871508107 1000 82313
TCI Satellite Entertainment Class A Common 872298104 100 1913
Taiwan Fund Inc. Common 874036106 500 11563
Telefonica S A Common 879382208 613 48315
Teltabs Inc. Common 879664100 200 12597
Teva Pharmaceutical Common 881624209 800 29851
Texas Instruments Common 882508104 1515 235,862
Time Warner Inc. Common 887315109 150 15000
True North Communications Inc Common 897844106 1000 39313
United Parcel SVC Inc. Class B Common 911312106 600 37800
USX-Marathon Group Common 902905827 200 5213
United Technologies Corp. Common 913017109 2410 148,548
Vasogen Inc. Common 92232F103 1000 6,625
Verisign Inc. Common 92343E102 300 44,850
</TABLE>
<TABLE>
<S> <C> <C>
Nortel Networks Corp. X X
Nokia Corp. X X
Onemain.Com Inc. X X
Oracle Corp. X X
PRI Automation Inc. X X
Paine Webber Group Inc. X X
Pepsico Inc. X X
Pfizer Inc. X X
Phillip Morris Companies Inc. X X
Proctor & Gamble Co. X X
Qwest Communciations International Inc. X X
Reliastar Financial Corp. X X
Rhythms Netconnections Inc. X X
Resourcephonex Com Inc. X X
Reynolds & Reynolds X X
Reynolds R J TOB HLDS INC X X
Schering Plough Corp X X
Sea Containers Ltd. Class A X X
Shire Pharmaceuticals Group X X
Sirius Satellite Radio Inc. X X
Sonera Corp PLC X X
Sony Corp X X
Southern Co. X X
Southtrust Corp. X X
Symbol Technologies Inc. X X
TCI Satellite Entertainment Class A X X
Taiwan Fund Inc. X X
Telefonica S A X X
Teltabs Inc. X X
Teva Pharmaceutical X X
Texas Instruments X X
Time Warner Inc. X X
True North Communications Inc x X
United Parcel SVC Inc. Class B X X
USX-Marathon Group X X
United Technologies Corp. X X
Vasogen Inc. X X
Verisign Inc. X X
</TABLE>
<PAGE> 6
13F FILING 03/31/2000
<TABLE>
<S> <C> <C> <C> <C>
Viacom Inc. Class B Common 925524308 1000 52,750
Viatel Inc Common 925529208 300 15,056
Vista Eyecare Inc. Common 928352103 5000 4,375
Vornado Operating Co Common 92904N103 35 448
Vornado Realty Trust Common 929042208 1200 16,925
Walgreen Co Common 931422109 400 10,300
Wal-Mart Stores Inc. Common 931142103 2175 188,992
Walt Disney Co. Holding Co. Common 254687106 6600 214,513
Webvan Group Inc. Common 94845V103 8500 61504
Williams Companies Common 969457100 3500 163309
Young & Rubicam Inc. Common 987425105 100 4700
TOTAL 203248 9,996,648
</TABLE>
<TABLE>
<S> <C> <C>
Viacom Inc. Class B X X
Viatel Inc X X
Vista Eyecare Inc. X X
Vornado Operating Co X X
Vornado Realty Trust X X
Walgreen Co X X
Wal-Mart Stores Inc. X X
Walt Disney Co. Holding Co. X X
Webvan Group Inc. X X
Williams Companies X X
Young & Rubicam Inc. X X
TOTAL
</TABLE>