<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: 9/30/2000
-----------
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: McDonald Investments Inc.
Address: 800 Superior Avenue
Cleveland, Ohio 44122
Form 13F File Number: 28-04569
-----------
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 the Report on Behalf of Reporting Manager:
Name: Ken Fox
Title: Compliance Officer
Phone: 216 443-2300
Signature, Place, and Date of Signing:
Ken Fox Cleveland, Ohio 11/13/2000
------------------ --------------------- ----------
[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:
[If there are no entries in this list, omit this section.]
Form 13F File Number Name
28-04569 McDonald Investments, Inc.
------------ --------------------------
[Repeat as necessary.]
<PAGE> 2
Form 13F SUMMARY PAGE
Report Summary:
Number of Other Included Managers: 0
----------------
Form 13F Information Table Entry Total: 192
----------------
Form 13F Information Table Value Total: $137,922,555.59
----------------
(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.
[If there are no entries in this list, state "NONE" and omit the column headings
and list entries.]
No. Form 13F File Number Name
_______ 28-04569 Ken Fox
--------------- -----------------
[Repeat as necessary.]
<PAGE> 3
<TABLE>
<CAPTION>
MCD13F SEC 13F REPORT REPORT DATE: 10/02/00
NC MCDONALD INVESTMENTS INC PAGE: 0001
CUSIP SECURITY SHARES MKT VALUE
--------- ------------------------------------------ --------------- -----------------------
<S> <C> <C> <C>
001055102 AFLAC INC 4,000.00 256,252.00
001957208 AT&T CORP LIBERTY MEDIA CORP 15,052.00 270,936.00
00949P108 AIRTRAN HOLDINGS INC 12,500.00 55,475.00
020002101 THE ALLSTATE CORPORATION 10,000.00 347,500.00
02146C104 ALTERRA HEALTHCARE CORPORATION 34,900.00 74,162.50
02364J104 AMERICA ONLINE INC DEL 9,920.00 533,200.00
025816109 AMERICAN EXPRESS CO 6,000.00 364,500.00
026351106 AMERICAN GENERAL CORPORATION 4,050.00 315,900.00
026874107 AMERICAN INTERNATIONAL 12,700.00 1,215,237.59
031162100 AMGEN INC 7,800.00 544,658.40
049513104 ATMEL CORPORATION 18,400.00 279,459.20
054937107 BB & T CORP 7,200.00 216,900.00
055622104 BP AMOCO PLC 4,500.00 238,500.00
064057102 BANK OF NEW YORK COMPANY INC 6,800.00 381,228.40
06423A103 BANK ONE CORPORATION 41,387.00 1,598,572.87
06652B103 BANK UNITED FINANCIAL CORP 40,200.00 296,475.00
090324104 BINDLEY WESTERN INDUSTRIES INC 11,554.00 369,728.00
090613100 BIOMET INC 6,075.00 212,625.00
096231105 BLUEGREEN CORPORATION 134,500.00 386,687.50
097023105 BOEING CO 4,400.00 277,200.00
109473108 BRIGHTPOINT INC 93,800.00 471,907.80
</TABLE>
Page 1
<PAGE> 4
<TABLE>
<CAPTION>
MCD13F SEC 13F REPORT REPORT DATE: 10/02/00
NC MCDONALD INVESTMENTS INC PAGE: 0001
CUSIP SECURITY SHARES MKT VALUE
--------- ------------------------------------------ --------------- -----------------------
<S> <C> <C> <C>
110122108 BRISTOL MYERS SQUIBB CO 7,500.00 428,437.50
111620100 BROADWING INCORPORATED 16,200.00 414,120.60
122014103 BURLINGTON RESOURCES INC 7,000.00 257,691.00
125609990 CJF HOLDINGS INC 93,284.00 .00
12686C109 CABLEVISION SYSTEMS CORP 4,000.00 265,252.00
132618109 CAMCO FINANCIAL CORP 23,716.00 251,982.50
150925105 CELLSTAR CORP 15,000.00 47,340.00
151895109 CENTERPOINT PROPERTIES TRUST 4,500.00 207,283.50
15745J205 CHAI NA TA NEW 63,054.00 27,586.12
161133103 CHARMING SHOPPES INC 60,000.00 313,140.00
171605207 CHYRON CORP NEW 200,000.00 500,000.00
171779101 CIENA CORPORATION 3,400.00 417,564.20
172062101 CINCINNATI FINANCIAL CORP 15,000.00 532,500.00
172474108 CINERGY CORP 8,410.00 278,059.83
17275R102 CISCO SYSTEMS INC 55,200.00 3,049,800.00
172967101 CITIGROUP INC 5,499.00 297,292.43
184502102 CLEAR CHANNEL COMMUNICATIONS 6,000.00 339,000.00
190441105 THE COASTAL CORPORATION 3,000.00 222,375.00
200300101 COMCAST CORP CLASS A 14,700.00 598,113.60
200300200 COMCAST CORP CLASS A SPECIAL 5,000.00 204,690.00
200340107 COMERICA INC 13,000.00 759,694.00
200693109 COMMERCE ONE INC 6,000.00 471,000.00
207374992 CONLEY CANITANO & ASSOCIATES 27,010.00 .00
208464107 CONSECO INC 90,000.00 686,249.99
21247M993 CONVERGENT CAPITAL MANAGEMENT 300,000.00 .00
</TABLE>
Page 2
<PAGE> 5
<TABLE>
<S> <C> <C> <C>
212485106 CONVERGYS CORPORATION 16,200.00 629,775.00
216831107 COOPER TIRE AND RUBBER CO 12,500.00 125,787.50
219350105 CORNING INC 3,400.00 1,009,800.00
231021106 CUMMINS ENGINE CO INC 9,200.00 275,429.60
231910100 CYBER GUARD CORP 16,000.00 68,000.00
</TABLE>
<TABLE>
<CAPTION>
MCD13F SEC 13F REPORT REPORT DATE: 10/02/00
NC MCDONALD INVESTMENTS INC PAGE: 0002
CUSIP SECURITY SHARES MKT VALUE
--------- ------------------------------------------ --------------- -----------------------
<S> <C> <C> <C>
236365102 DANSKIN INC 24,000.00 6,720.00
254687106 WALT DISNEY COMPANY 6,000.00 229,500.00
262504103 DSET CORPORATION 12,500.00 257,812.50
264411505 DUKE-WEEKS REALTY CORP 14,400.00 347,400.00
26841Y103 E DIGITAL CORPORATION 54,775.00 234,491.77
268648102 EMC CORP MASSACHUSETTS 4,900.00 485,712.50
269803102 EAGLE PICHER INDUSTRIES INC 20,071.00 .00
278762109 ECHOSTAR COMMUNICATIONS 24,000.00 1,266,000.00
291525103 EMMIS COMMUNICATIONS CORP 17,600.00 435,600.00
293561106 ENRON CORP 6,400.00 560,800.00
294348107 EPRESENCE INC 80,000.00 540,000.00
294821400 LM ERICSSON TELEPHONE CO 15,200.00 225,157.60
30049R100 EVOLVING SYSTEMS INCORPORATED 20,000.00 130,000.00
30231G102 EXXON MOBIL CORP 2,535.00 225,931.87
304231301 FAIRFIELD COMMUNITY INC 38,700.00 391,837.50
307668103 FARM FISH INC 26,626.00 14,977.12
</TABLE>
Page 3
<PAGE> 6
<TABLE>
<S> <C> <C> <C>
313400301 FEDERAL HOME LOAN MORTGAGE 13,400.00 724,444.20
313586109 FEDERAL NATIONAL MORTGAGE 5,800.00 414,700.00
31428X106 FEDEX CORPORATION 5,000.00 221,700.00
316773100 FIFTH THIRD BANCORP OHIO 210,296.00 11,329,696.98
317922300 FINET.COM INC 15,000.00 7,035.00
317923100 FINISH LINE CLASS A 40,000.00 292,519.99
319979100 FIRST FEDERAL BANCORPORATION 13,984.00 107,508.99
320209109 FIRST FINANCIAL BANCORP 13,298.00 211,936.87
320545999 FIRST INTERNET BANK OF INDIANA 30,000.00 .00
32054R108 FIRST INDIANA CORP 188,446.00 4,911,468.06
33582U100 FIRST NIAGARA FINANCIAL GROUP 15,900.00 147,075.00
337915102 FIRSTMERIT CORP 46,885.00 1,075,448.12
337932107 FIRST ENERGY CORP 499,700.00 13,460,918.60
353515109 FRANKLIN ELECTRONICS 18,000.00 214,884.00
36318D102 GALAXY ONLINE INC 80,405.00 84,425.25
369332101 GENERAL CHEMICAL GRP 50,000.00 46,900.00
369604103 GENERAL ELECTRIC CO 20,650.00 1,191,257.20
371601204 GENESEE CORP 5,000.00 201,250.00
37184G104 GENESIS WORLDWIDE INC 59,467.00 24,571.21
37929C103 GLIATECH INC 10,810.00 67,562.50
379317100 GLOBAL CONNECTIONS INC 20,000.00 3,900.00
396900102 GREENWELL RESOURCES CORP 20,000.00 .00
401698105 GUIDANT CORPORATION 10,600.00 749,292.80
406369108 HALSEY DRUG INC 90,000.00 63,900.00
412822108 HARLEY-DAVIDSON INC 17,600.00 842,600.00
</TABLE>
Page 4
<PAGE> 7
<TABLE>
<S> <C> <C> <C>
414549105 HARRIS INTERACTIVE INC 123,500.00 555,750.00
420200107 HAWKINS CHEMICAL 21,000.00 165,375.00
421924101 HEALTHSOUTH CORP 12,900.00 104,812.50
436939995 HOMELOAN.COM INC 30,150.00 50,049.00
449520303 IFLOW CORP 16,000.00 48,496.00
45768F103 INNES STREET FINANCIAL CORP 11,702.00 132,174.09
45768G994 INNIO.COM INC CONVERTIBLE NOTE 50,000.00 50,000.00
458140100 INTEL CORP 26,700.00 1,109,732.10
459200101 INTERNATIONAL BUSINESS 5,735.00 645,187.50
46062W107 INTERPORE INTERNATIONAL 14,408.00 106,259.00
MCD13F SEC 13F REPORT REPORT DATE: 10/02/00
NC MCDONALD INVESTMENTS INC PAGE: 0003
CUSIP SECURITY SHARES MKT VALUE
--------- ------------------------------------------ --------------- -----------------------
460993207 INTL TECHNEGROUP INCORPORATED 10,780.00 40,000.26
478160104 JOHNSON & JOHNSON 6,333.00 594,909.35
492386107 KERR MCGEE CORP 5,000.00 331,250.00
493267108 KEYCORP 43,600.00 1,103,646.80
501044101 KROGER CO 37,000.00 834,831.00
505893107 LAFAYETTE BANCORPORATION 78,531.00 1,158,332.25
50730K503 LAIDLAW INC NEW 16,000.00 4,000.00
532457108 LILLY ELI & CO 35,505.00 2,880,343.12
532879103 LINCOLN BANCORP IND 70,600.00 842,822.80
534187109 LINCOLN NATIONAL CORP INDIANA 8,000.00 385,000.00
539553107 LOCAL FINANCIAL CORPORATION 20,000.00 190,000.00
</TABLE>
Page 5
<PAGE> 8
<TABLE>
<S> <C> <C> <C>
540424108 LOEWS CORP 3,500.00 291,812.50
556466100 MADE-TO-MANAGE SYSTEMS INC 46,500.00 151,125.00
561240201 MALLON RESOURCES CORP NEW 73,500.00 459,375.00
568459101 MARINER POST ACCUTE NETWORK 85,805.00 7,121.81
571783208 MARSH SUPERMARKETS INC 16,871.00 218,276.99
57772K101 MAXIM INTEGRATED PRODUCTS INC 5,300.00 426,321.40
585055106 MEDTRONIC INC 280,034.00 14,509,401.64
589331107 MERCK & COMPANY INC 8,550.00 636,444.90
59064R109 MESA LABORATORIES INC 11,711.00 62,946.62
591097100 METAL MANAGEMENT INC 37,709.00 .00
599902103 MILLENNIUM PHARMACEUTICALS INC 4,000.00 584,252.00
608554101 MOLEX INC 10,000.00 544,380.00
628778102 NBT BANCORP INC 12,188.00 146,256.00
631103108 THE NASDAQ STOCK MARKET INC 31,500.00 .00
635405103 NATIONAL CITY CORP 15,461.00 342,074.62
638612101 NATIONWIDE FINANCIAL SERVICES 7,500.00 280,312.50
64120L104 NETWORK APPLIANCE 1,700.00 216,537.50
65333H707 NEXTLINK COMMUNICATIONS 6,000.00 211,128.00
65473P105 NISOURCE INC 95,400.00 2,325,374.99
656568102 NORTEL NETWORK 8,000.00 476,504.00
665859104 NORTHERN TRUST CORP 2,700.00 239,962.50
679833103 OLD KENT FINANCIAL CORP 55,539.00 1,607,187.57
680033107 OLD NATIONAL BANCORP 30,146.00 911,916.50
680223104 OLD REPUBLIC INTERNATIONAL 15,000.00 360,945.00
68389X105 ORACLE CORPORATION 6,300.00 496,125.00
</TABLE>
Page 6
<PAGE> 9
<TABLE>
<S> <C> <C> <C>
691471106 OXFORD HEALTH PLANS 8,000.00 245,872.00
693475105 PNC BANK CORP 39,500.00 2,567,500.00
69361E107 PSC INC 35,000.00 105,000.00
70336N107 PATRIOT SCIENTIFIC CORP 74,000.00 88,800.00
709668107 PENTON MEDIA INCORPORATED 48,300.00 1,409,877.00
712289107 PEOPLES SAVINGS BANK TROY OHIO 10,888.00 35,386.00
712308105 PEOPLES SIDNEY FINANCIAL CORP 11,981.00 89,857.50
717081103 PFIZER INC 31,500.00 1,415,547.00
719153108 PHOENIX TECHNOLOGIES LTD 12,000.00 191,256.00
723454104 PINNACLE DATA SYSTEMS INC 30,000.00 288,750.00
740474309 PREMIER CONCEPTS INC CL A 14,641.00 58,564.00
74264N105 PRISON REALTY TRUST INC 59,000.00 70,092.00
74264T201 PRIORITY HEALTHCARE CLASS A 5,823.00 343,557.00
742718109 PROCTER & GAMBLE CO 8,656.00 579,952.00
743866105 PROVIDENT FINANCIAL GROUP INC 53,978.00 1,585,603.75
</TABLE>
<TABLE>
<CAPTION>
MCD13F SEC 13F REPORT REPORT DATE: 10/02/00
NC MCDONALD INVESTMENTS INC PAGE: 0004
CUSIP SECURITY SHARES MKT VALUE
--------- ------------------------------------------ --------------- -----------------------
<S> <C> <C> <C>
747556991 QUALITY DATA MANAGEMENT INC 16,000.00 80,000.00
74756P105 QUALITY DINING INC 49,200.00 98,400.00
750917106 RAMBUS INC 6,300.00 497,309.40
75281A109 RANGE RESOURCES CORP 40,000.00 192,520.00
760282103 REPUBLIC BANCORP INCORPORATED 22,000.00 209,000.00
77316P101 ROCKFORD CORP 14,928.00 88,523.04
</TABLE>
Page 7
<PAGE> 10
<TABLE>
<S> <C> <C> <C>
78387G103 SBC COMMUNICATIONS INC 4,351.00 217,550.00
803111103 SARA LEE CORP 195,251.00 3,966,133.55
806605101 SCHERING PLOUGH CORPORATION 9,346.00 434,589.00
806857108 SCHLUMBERGER LIMITED 5,600.00 460,952.80
828806109 SIMON PROPERTY GROUP INC 18,600.00 435,946.80
834706103 SOMERSET GROUP INC 7,814.00 220,745.50
852061100 SPRINT CORP (FON GROUP) 12,500.00 366,412.50
855244109 STARBUCKS CORPORATION 16,000.00 641,008.00
858119100 STEEL DYNAMICS INC 16,000.00 147,008.00
866810104 SUN MICROSYSTEMS INC 7,799.00 910,533.25
86787D109 SUNTERRA CORP 50,000.00 4,250.00
879433100 TELEPHONE & DATA SYSTEMS INC 97,500.00 10,793,250.00
885218107 THORNBURG MORTGAGE ASSET 13,000.00 121,875.00
887315109 TIME WARNER INC 27,795.00 2,174,958.75
88823T106 TIREX CORPORATION 30,000.00 8,400.00
89151P104 2THEMART.COM 12,000.00 7,620.00
899729107 TUNDRA GOLD MINES LIMITED 20,400.00 .00
902124106 TYCO INTERNATIONAL LTD NEW 5,000.00 259,375.00
902973106 US BANCORP NEW 16,200.00 .00
90331S109 US LEC CORPORATION CLASS A 240,346.00 2,058,082.79
904832102 UNION ACCEPTANCE CORP A 37,791.00 221,197.21
923351100 VERAMARK TECHNOLOGIES INC 32,968.00 103,025.00
925464109 VESTAUR SECURITIES INC 26,000.00 329,888.00
925524100 VIACOM INC CLASS A COMMON 34,264.00 2,004,444.00
928467307 VITAFORT INTERNATIONAL CORP 50,000.00 4,000.00
</TABLE>
Page 8
<PAGE> 11
<TABLE>
<S> <C> <C> <C>
928615103 VOICESTREAM WIRELESS CORP 2,000.00 232,126.00
938862109 WASHINGTON GROUP INTERNATIONAL 31,000.00 354,578.00
939322103 WASHINGTON MUTUAL INC 6,000.00 238,878.00
959024100 WESTERN OHIO FINANCIAL CORP 10,529.00 154,644.68
969457100 THE WILLIAMS COMPANIES 11,000.00 464,750.00
976446104 WINTON FINANCIAL CORPORATION 32,000.00 294,016.00
G24836101 ARRIVA PLC ORD 21,500.00 71,853.00
Q8846V104 TAP OIL NL FOREIGN AUD 20,000.00 11,700.00
</TABLE>
Page 9