UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
Form 13F
Form 13F COVER PAGE
Report for the Calendar Year or Quarter Ended: March 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: MDT Advisers, Inc.
Address: 125 CambridgePark Drive
Cambridge, MA 02140
Form 13F File Number: 28- 7406
The institutional investment manger 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: Charles A. Levin
Title: Chief Financial Officer
Phone: 617-234-2200
Signature, Place, and Date of Signing:
/s/ Charles A Levin Cambridge, MA May 11, 1999
[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).)
<PAGE>
Form 13F SUMMARY PAGE
Report Summary:
Number of Other Included Managers: None
Form 13F Information Table Entry Total: 192
Form 13F Information Table Value Total: $498,605
(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>
FORM 13F INFORMATION TABLE
1 OF 6 NAME OF REPORTING MANAGER: MDT ADVISERS, INC.
<TABLE>
<CAPTION>
<S> <C> <C> <C> <C> <C> <C> <C>
Column 1 Column 2 Column 3 Column 4 Column 5 Column 6 Column 7 Column 8
Voting
Name of Title of CUSIP Value Amount and Type Investment Other Authority
Issuer Class Number ($1,000) of Security Discretion Managers (Shares)
Shares or
Principal SH/ PUT/ Shared- Shared-
Amount PRN CALL Sole Defined Other Sole Shared None
Abercrombie & Fitch
Company Common Stock 002896207 6,614 71,700 SH 71,700 71,700
Adaptec, Inc. Common Stock 00651F108 3,398 148,950 SH 148,950 148,950
Advance Paradigm,
Inc. Common Stock 007491103 183 2,900 SH 2,900 2,900
Agribrands
International, Inc. Common Stock 00849R105 482 14,650 SH 14,650 14,650
AHL Services, Inc. Common Stock 001296102 94 4,600 SH 4,600 4,600
Airborne Freight
Corporation Common Stock 009266107 1,345 43,400 SH 43,400 43,400
Alaska Air Group,
Inc. Common Stock 011659109 249 5,250 SH 5,250 5,250
Amcast Industrial
Corporation Common Stock 023395106 202 12,550 SH 12,550 12,550
American Eagle
Outfitters, Inc. Common Stock 02553E106 1,194 16,650 SH 16,650 16,650
American Home Products
Corportation Common Stock 026609107 20,224 309,950 SH 309,950 309,950
American International
Group, Inc. Common Stock 026874107 1,737 14,400 SH 14,400 14,400
American Italian Pasta
Company Common Stock 027070101 203 8,100 SH 8,100 8,100
Amgen, Inc. Common Stock 031162100 2,916 38,950 SH 38,950 38,950
Anadigics, Inc. Common Stock 032515108 9,049 513,408 SH 513,408 513,408
Anheuser-Busch
Companies, Inc. Common Stock 035229103 10,764 141,400 SH 141,400 141,400
AnnTaylor Stores
Corporation Common Stock 036115103 510 11,550 SH 11,550 11,550
Apple Computer, Inc. Common Stock 037833100 6,566 182,700 SH 182,700 182,700
Applied Power,
Inc.-CL A Common Stock 038225108 481 17,650 SH 17,650 17,650
Apria Healthcare
Group Inc. Common Stock 037933108 117 9,850 SH 9,850 9,850
Aquarion Company Common Stock 03838W101 2 75 SH 75 75
Arch Communications
Group, Inc. Common Stock 039381108 2,411 1,947,990 SH 1,947,990 1,947,990
Ashland Inc. Common Stock 044204105 1,363 33,300 SH 33,300 33,300
Avis Rent A Car, Inc. Common Stock 053790101 429 15,500 SH 15,500 15,500
Avon Products, Inc. Common Stock 054303102 9,488 201,600 SH 201,600 201,600
Bacou USA, Inc. Common Stock 056439102 33 2,500 SH 2,500 2,500
Ball Corporation Common Stock 058498106 1,967 41,900 SH 41,900 41,900
Bally Total Fitness
Holding Corporation Common Stock 05873K108 241 10,100 SH 10,100 10,100
Bausch & Lomb, Inc. Common Stock 071707103 397 6,100 SH 6,100 6,100
COLUMN TOTAL 82,659
<PAGE>
FORM 13F INFORMATION TABLE
2 OF 6 NAME OF REPORTING MANAGER: MDT ADVISERS, INC.
Bell Atlantic Common Stock 077853109 5,280 102,150 SH 102,150 102,150
Corporation
BellSouth Corporation Common Stock 079860102 12,303 307,100 SH 307,100 307,100
Bristol Myers Squibb Common Stock 110122108 539 8,400 SH 8,400 8,400
Company
Campbell Soup Company Common Stock 134429109 3,757 92,350 SH 92,350 92,350
CCB Financial Common Stock 124875105 1,946 36,000 SH 36,000 36,000
Corporation
Centex Construction Common Stock 15231R109 588 16,900 SH 16,900 16,900
Products, Inc.
Centex Corporation Common Stock 152312104 1,584 47,450 SH 47,450 47,450
Centura Banks, Inc. Common Stock 15640T100 1,522 26,150 SH 26,150 26,150
Chartwell Re Common Stock 16139W109 75 4,350 SH 4,350 4,350
Corporation
Chico's Fas, Inc. Common Stock 168615102 1 50 SH 50 50
CNB Bancshares, Inc. Common Stock 126126101 2 50 SH 50 50
Columbia Energy Group Common Stock 197648108 6,037 115,550 SH 115,550 115,550
COMAIR Holdings, Inc. Common Stock 199789108 766 32,425 SH 32,425 32,425
Comverse Technology, Common Stock 205862402 1,989 23,400 SH 23,400 23,400
Inc.
Conseco, Inc. Common Stock 208464107 4,174 135,200 SH 135,200 135,200
Corn Products Common Stock 219023108 83 3,450 SH 3,450 3,450
International, Inc.
CSG Systems Common Stock 126349109 2,826 71,650 SH 71,650 71,650
International, Inc.
CTS Corporation Common Stock 126501105 311 6,300 SH 6,300 6,300
D.R. Horton, Inc. Common Stock 23331A109 473 28,250 SH 28,250 28,250
Dayton Hudson Common Stock 239753106 12,535 188,150 SH 188,150 188,150
Corporation
Delphi Financial Common Stock 247131105 228 6,735 SH 6,735 6,735
Group, Inc.
Delta Air Lines, Inc. Common Stock 247361108 13,469 193,800 SH 193,800 193,800
Deluxe Corporation Common Stock 248019101 3,115 106,950 SH 106,950 106,950
Doral Financial Common Stock 25811P100 895 48,700 SH 48,700 48,700
Corporation
Dun & Bradstreet Common Stock 26483B106 349 9,800 SH 9,800 9,800
Corporation
DVI, Inc. Common Stock 233343102 126 8,450 SH 8,450 8,450
Dycom Industries, Common Stock 267475101 871 20,025 SH 20,025 20,025
Inc.
Eastman Kodak Company Common Stock 277461109 1,830 28,645 SH 28,645 28,645
Empi, Inc. Common Stock 291586105 64 2,950 SH 2,950 2,950
Energy East Common Stock 29266M109 1,532 29,150 SH 29,150 29,150
Corporation
Engelhard Corporation Common Stock 292845104 2,823 166,650 SH 166,650 166,650
Equifax Inc. Common Stock 294429105 1,458 42,400 SH 42,400 42,400
Equitable Resources, Common Stock 294549100 447 17,150 SH 17,150 17,150
Inc.
E'Town Corporation Common Stock 269242103 2 50 SH 50 50
Fannie Mae Common Stock 313586109 1,312 18,950 SH 18,950 18,950
First American Common Stock 318522307 1,248 78,897 SH 78,897 78,897
Financial Corporation
Flagstar Bancorp, Common Stock 337930101 167 6,300 SH 6,300 6,300
Inc.
Ford Motor Company Common Stock 345370100 77 1,350 SH 1,350 1,350
Fossil, Inc. Common Stock 349882100 279 9,350 SH 9,350 9,350
General Mills, Inc. Common Stock 370334104 16,412 217,200 SH 217,200 217,200
General Motors Common Stock 370442105 16,130 185,400 SH 185,400 185,400
Corporation
COLUMN TOTAL 119,625
<PAGE>
FORM 13F INFORMATION TABLE
3 OF 6 NAME OF REPORTING MANAGER: MDT ADVISERS, INC.
Great Lakes Chemical Common Stock 390568103 1,003 27,300 SH 27,300 27,300
Corporation
GreenPoint Financial Common Stock 395384100 3,988 114,750 SH 114,750 114,750
Corporation
GTE Corporation Common Stock 362320103 3,113 51,450 SH 51,450 51,450
H.B. Fuller Company Common Stock 359694106 681 11,550 SH 11,550 11,550
Hanover Compressor Common Stock 410768105 329 12,400 SH 12,400 12,400
Company
HEALTHSOUTH Common Stock 421924101 1,995 192,250 SH 192,250 192,250
Corporation
Hollywood Common Stock 436141105 365 19,600 SH 19,600 19,600
Entertainment
Corporation
HON Industries Common Stock 438092108 417 19,000 SH 19,000 19,000
HSB Group, Inc. Common Stock 40428N109 1,314 35,400 SH 35,400 35,400
Hutchinson Common Stock 448407106 228 9,150 SH 9,150 9,150
Technology, Inc.
IBP, Inc. Common Stock 449223106 2,404 129,050 SH 129,050 129,050
Illinois Tool Works Common Stock 452308109 17,956 290,200 SH 290,200 290,200
Inc.
Integrated Common Stock 45811E103 153 9,550 SH 9,550 9,550
Electrical Services,
Inc.
Intel Corporation Common Stock 458140100 2,134 17,950 SH 17,950 17,950
InterTAN, Inc. Common Stock 461120107 56 5,700 SH 5,700 5,700
Investment Common Stock 461450108 431 8,500 SH 8,500 8,500
Technology Group,
Inc.
Johnstown American Common Stock 479477101 198 13,300 SH 13,300 13,300
Industries
King Common Stock 495582108 230 8,300 SH 8,300 8,300
Pharmaceuticals, Inc.
K-Swiss Inc. Common Stock 482686102 164 6,500 SH 6,500 6,500
Labor Ready, Inc. Common Stock 505401208 335 12,825 SH 12,825 12,825
Lafarge Corporation Common Stock 505862102 221 7,900 SH 7,900 7,900
Landstar System, Inc. Common Stock 515098101 157 4,750 SH 4,750 4,750
LASER Mortgage Common Stock 51806D100 2,636 484,700 SH 484,700 484,700
Management, Inc.
Lexmark Common Stock 529771107 7,966 71,200 SH 71,200 71,200
International Group,
Inc.
Lincare Holdings, Common Stock 532791100 435 15,450 SH 15,450 15,450
Inc.
Lucent Technologies, Common Stock 549463107 19,661 182,050 SH 182,050 182,050
Inc.
Manitowoc Company Common Stock 563571108 685 16,350 SH 16,350 16,350
MBIA, Inc. Common Stock 55262C100 3,306 57,000 SH 57,000 57,000
Medco Research, Inc. Common Stock 584059109 65 2,500 SH 2,500 2,500
Media Arts Group, Common Stock 58439C102 6 700 SH 700 700
Inc.
Medicis Common Stock 584690309 378 12,600 SH 12,600 12,600
Pharmaceutical Cl A
Medtronic, Inc. Common Stock 585055106 7,870 109,500 SH 109,500 109,500
Mercury Computer Common Stock 589378108 33,383 2,060,686 SH 2,060,686 2,060,686
Systems, Inc.
Meredith Corporation Common Stock 589433101 305 9,700 SH 9,700 9,700
Metzler Group, Inc. Common Stock 592903108 1,595 50,850 SH 50,850 50,850
Microsoft Corporation Common Stock 594918104 10,437 116,450 SH 116,450 116,450
COLUMN TOTAL 126,600
<PAGE>
FORM 13F INFORMATION TABLE
4 OF 6 NAME OF REPORTING MANAGER: MDT ADVISERS, INC.
Midas, Inc. Common Stock 595626102 110 3,300 SH 3,300 3,300
Modis Professional Common Stock 607830106 470 51,850 SH 51,850 51,850
Services, Inc.
Monaco Coach Common Stock 60886R103 129 5,575 SH 5,575 5,575
Corporation
Montana Power Company Common Stock 612085100 74 1,000 SH 1,000 1,000
Morgan Stanley, Dean Common Stock 617446448 20,182 201,950 SH 201,950 201,950
Witter, Discover
MotivePower Common Stock 61980K101 5 200 SH 200 200
Industries, Inc.
Musicland Stores Common Stock 62758B109 145 16,150 SH 16,150 16,150
Corporation
NACCO Industries, Common Stock 629579103 215 2,900 SH 2,900 2,900
Inc.
Navistar Common Stock 63934E108 3,721 92,600 SH 92,600 92,600
International
NeoMagic Corporation Common Stock 640497103 58 5,800 SH 5,800 5,800
New Jersey Resources Common Stock 646025106 741 20,850 SH 20,850 20,850
Corporation
NICOR Inc. Common Stock 654086107 178 4,950 SH 4,950 4,950
Northwestern Common Stock 668074107 121 4,650 SH 4,650 4,650
Corporation
Nuevo Energy Company Common Stock 670509108 2 150 SH 150 150
NVR, Inc. Common Stock 62944T105 202 4,800 SH 4,800 4,800
Ogden Corporation Common Stock 676346109 1,637 68,050 SH 68,050 68,050
Old Kent Financial Common Stock 679833103 260 6,150 SH 6,150 6,150
Corporation
Oneida Limited Common Stock 682505102 128 7,500 SH 7,500 7,500
OshKosh B'Gosh, Inc. Common Stock 688222207 122 6,900 SH 6,900 6,900
Osteotech, Inc. Common Stock 688582105 273 7,950 SH 7,950 7,950
Oxford Health Plans, Common Stock 691471106 127 8,100 SH 8,100 8,100
Inc.
PACCAR, Inc. Common Stock 693718108 661 16,050 SH 16,050 16,050
Pacificare Health Common Stock 695112201 2,907 42,600 SH 42,600 42,600
Systems, Inc. -CL B
Park Electrochemical Common Stock 700416209 340 14,450 SH 14,450 14,450
Corp.
Peco Energy Company Common Stock 693304107 2,784 60,200 SH 60,200 60,200
Pediatrix Medical Common Stock 705324101 115 4,100 SH 4,100 4,100
Group, Inc.
Pennsylvania Common Stock 708720107 112 4,650 SH 4,650 4,650
Enterprises, Inc.
Pentair, Inc. Common Stock 709631105 592 17,550 SH 17,550 17,550
PG&E Corporation Common Stock 69331C108 15,466 497,900 SH 497,900 497,900
Pillowtex Corporation Common Stock 721501104 91 6,400 SH 6,400 6,400
PNC Bank Corporation Common Stock 693475105 18,199 327,550 SH 327,550 327,550
Popular, Inc. Common Stock 733174106 11 350 SH 350 350
Precision Castparts Common Stock 740189105 252 6,250 SH 6,250 6,250
Corporation
Prepaid Legal Common Stock 740065107 775 31,650 SH 31,650 31,650
Services, Inc.
Primex Technologies, Common Stock 741597108 165 7,950 SH 7,950 7,950
Inc.
Providian Financial Common Stock 74406A102 1,969 17,900 SH 17,900 17,900
Corporation
Pulte Corporation Common Stock 745867101 304 14,600 SH 14,600 14,600
QLogic Corporation Common Stock 747277101 1,641 24,450 SH 24,450 24,450
Quicksilver, Inc. Common Stock 74838C106 279 6,600 SH 6,600 6,600
Rayovac Corporation Common Stock 755081106 339 12,300 SH 12,300 12,300
COLUMN TOTAL 75,902
<PAGE>
FORM 13F INFORMATION TABLE
5 OF 6 NAME OF REPORTING MANAGER: MDT ADVISERS, INC.
Readers Digest Common Stock 755267101 3,307 105,200 SH 105,200 105,200
Association, Inc -Cl A
RehabCare Group, Inc. Common Stock 759148109 44 2,950 SH 2,950 2,950
RF Micro Devices, Inc. Common Stock 749941100 2,584 27,000 SH 27,000 27,000
Rochester Gas and Common Stock 771367109 662 25,850 SH 25,850 25,850
Electric Corporation
Royal Caribbean Common Stock V7780T103 3,089 79,200 SH 79,200 79,200
Cruises Ltd.
Safeway, Inc. Common Stock 786514208 3,148 61,350 SH 61,350 61,350
Sanmina Corporation Common Stock 800907107 1,568 24,600 SH 24,600 24,600
Schlumberger, Ltd. Common Stock 806857108 6,190 102,850 SH 102,850 102,850
Seitel, Inc. Common Stock 816074306 62 4,450 SH 4,450 4,450
Shared Medical Common Stock 819486101 674 12,100 SH 12,100 12,100
Systems Corporation
SJW Corp. Common Stock 784305104 19 300 SH 300 300
Solutia, Inc. Common Stock 834376105 102 5,850 SH 5,850 5,850
Stewart Information Common Stock 860372101 307 9,150 SH 9,150 9,150
Services Corporation
Stillwater Mining Common Stock 86074Q102 320 12,150 SH 12,150 12,150
Company
Sunoco, Inc. Common Stock 86764P109 965 26,750 SH 26,750 26,750
Sunrise Assisted Common Stock 86768K106 114 2,500 SH 2,500 2,500
Living, Inc.
Syntel, Inc. Common Stock 87162H103 395 48,625 SH 48,625 48,625
T&W Financial Common Stock 87215N107 94 11,200 SH 11,200 11,200
Corporation
Texas Utilities Common Stock 882848104 1,590 37,850 SH 37,850 37,850
Company
The Children's Place Common Stock 168905107 81 3,000 SH 3,000 3,000
Retail Stores
The Coastal Common Stock 190441105 3,077 93,250 SH 93,250 93,250
Corporation
The Reynolds and Common Stock 761695105 569 29,950 SH 29,950 29,950
Reynolds Company
The Ryland Group, Common Stock 783764103 172 6,800 SH 6,800 6,800
Inc.
The Scotts Company Common Stock 810186106 303 8,100 SH 8,100 8,100
The Student Loan Common Stock 863902102 84 2,250 SH 2,250 2,250
Corporation
The Toro Company Common Stock 891092108 552 17,600 SH 17,600 17,600
T-HQ, Inc. - Delaware Common Stock 872443403 303 14,875 SH 14,875 14,875
Tredegar Industries, Common Stock 894650100 580 18,750 SH 18,750 18,750
Inc.
Tricon Global Common Stock 895953107 15,072 214,550 SH 214,550 214,550
Restaurants, Inc.
Tropical Sportswear Common Stock 89708P102 70 3,450 SH 3,450 3,450
Int'l Corporation
Tyco International, Common Stock 902124106 9,145 127,450 SH 127,450 127,450
Ltd.
U S West, Inc. Common Stock 91273H101 2,409 43,750 SH 43,750 43,750
United Rentals, Inc. Common Stock 911363109 862 30,250 SH 30,250 30,250
United Technologies Common Stock 913017109 17,214 127,100 SH 127,100 127,100
Corporation
USFreightways Common Stock 916906100 386 11,750 SH 11,750 11,750
Corporation
USG Corporation Common Stock 903293405 1,184 23,050 SH 23,050 23,050
Varlen Corporation Common Stock 922248109 0 1 SH 1 1
COLUMN TOTAL 77,297
<PAGE>
FORM 13F INFORMATION TABLE
6 OF 6 NAME OF REPORTING MANAGER: MDT ADVISERS, INC.
Verity, Inc. Common Stock 92343C106 174 5,200 SH 5,200 5,200
VISX, Incorporated Common Stock 92844S105 4,657 43,300 SH 43,300 43,300
Vulcan Materials Common Stock 929160109 4,662 112,850 SH 112,850 112,850
Company
Wal-Mart Stores, Inc. Common Stock 931142103 747 8,100 SH 8,100 8,100
Wellpoint Health Common Stock 94973H108 2,293 30,250 SH 30,250 30,250
Networks Inc.
Western Water Company Common Stock 959881103 2,151 430,200 SH 430,200 430,200
Westinghouse Air Common Stock 960386100 84 4,000 SH 4,000 4,000
Brake Company
Xircom, Inc. Common Stock 983922105 835 33,250 SH 33,250 33,250
XTRA Corporation Common Stock 984138107 734 19,150 SH 19,150 19,150
Zale Corporation Common Stock 988858106 185 5,400 SH 5,400 5,400
COLUMN TOTAL 16,522
GRAND TOTAL 498,605
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