MAZAMA CAPITAL MANAGEMENT LLC
13F-HR, 2000-04-07
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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: 03/31/2000

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:       Mazama  Capital  Management,  LLC
Address:    One  SW  Columbia,  Suite  1860
            Portland,  Oregon  97258

Form  13F  File  Number:  28-______________

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:   Brian  P.  Alfrey
Title:  Chief  Operating  Officer
Phone:  503-944-6245

Signature,  Place,  and  Date  of  Signing:

Brian  P.  Alfrey               Portland,  Oregon               04/05/2000
[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).)


<PAGE>
                              Form 13F SUMMARY PAGE

Report  Summary:

Number  of  Other  Included  Managers:          0

Form  13F  Information  Table  Entry  Total:    83

Form  13F  Information  Table  Value  Total:    $515,877
                                                (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>
<TABLE>
<CAPTION>

Mazama  Capital  Management,  LLC
FORM  13F
March  31,  2000

                                                            ITEM 4   ITEM 5                                   ITEM 8
                                                             FAIR   SHARES OR      ITEM 6    ITEM 7      VOTING AUTHORITY
ITEM 1                              ITEM 2        ITEM 3    Value    Shares/  Sh/  Invstmt   Other
Name of Issuer                  Title of class     CUSIP   (x$1000)  Prn Amt  Prn  Dscretn  Managers   Sole    Shared   None
- ------------------------------  --------------  ---------  --------  -------  ---  -------  --------  -------  ------  ------
<S>                             <C>             <C>        <C>       <C>      <C>  <C>      <C>       <C>      <C>     <C>
Jones Apparel Corp              COM             480074103     24756   782800  SH   Sole                601400          181400
FEI Co                          COM             30241l109     23141   771375  SH   Sole                608125          163250
Digimarc                        COM             253807101     19884   451900  SH   Sole                347150          104750
Intimate Brands Inc             COM             461156101     18450   447950  SH   Sole                343600          104350
Barr Labs Inc                   COM             068306109     18010   428800  SH   Sole                329100           99700
Informix Corp                   COM             456779107     17491  1032700  SH   Sole                792600          240100
Polo Ralph Lauren               COM             731572103     14113   755200  SH   Sole                579250          175950
Symantec Corp                   COM             871503108     13387   178200  SH   Sole                136900           41300
Mentor Graphics Corp            COM             587200106     12153   803475  SH   Sole                616425          187050
Callaway Golf Co                COM             131193104     11761   758750  SH   Sole                582150          176600
Intervoice Inc                  COM             461142101     10821   374750  SH   Sole                287550           87200
Media Metrix Inc                COM             58440x103     10227   243500  SH   Sole                186050           57450
NetCreations Inc                COM             64110n102     10045   236350  SH   Sole                181450           54900
Longview Fibre Co               COM             543213102      9807   664900  SH   Sole                510600          154300
Robotics Vision                 COM             771074101      9669   604300  SH   Sole                463550          140750
Too Inc                         COM             890333107      9265   293550  SH   Sole                225200           68350
Furniture Brands Inc            COM             360921100      9244   491400  SH   Sole                376650          114750
Columbia Sportswear Co          COM             198516106      8525   347950  SH   Sole                267450           80500
Del Monte Foods Inc             COM             24522p103      8389   784950  SH   Sole                602150          182800
Columbia Laboratories           COM             197779101      8090   688500  SH   Sole                527450          161050
Metris Companies                COM             591598107      7897   203150  SH   Sole                155600           47550
Precision Castparts Corp        COM             740189105      7572   207450  SH   Sole                158950           48500
Immersion Corp                  COM             452521107      7533   125550  SH   Sole                 96100           29450
Apex Inc                        COM             037548104      7373   198600  SH   Sole                152250           46350
Pacific Century Financial Corp  COM             69316g108      7312   360000  SH   Sole                275700           84300
Oceaneering Int'l               COM             675232102      7176   382700  SH   Sole                293150           89550
Quiksilver Inc                  COM             74838C106      7162   407800  SH   Sole                312650           95150
King Pharmaceuticals            COM             495582108      7099   225350  SH   Sole                172500           52850
Accredo Heath Inc               COM             00437V104      6980   210725  SH   Sole                161475           49250
Auspex                          COM             052116100      6563   596600  SH   Sole                456800          139800
Santa Fe Snyder                 COM             80218K105      6391   672750  SH   Sole                516250          156500
Veeco Instrs Inc                COM             922417100      6142    83000  SH   Sole                 63750           19250
Friedman Billings Ramsey Group  COM             358433100      6011   552700  SH   Sole                424600          128100
Phillips Van Heusen             COM             718592108      5903   767850  SH   Sole                588850          179000
Direct Focus Inc                COM             254931108      5895   211950  SH   Sole                162650           49300
Lincare                         COM             532791100      5851   206200  SH   Sole                158350           47850
Murphy Oil                      COM             626717102      5849   101500  SH   Sole                 77850           23650
Medquist                        COM             584949101      5843   214900  SH   Sole                165100           49800
ICN Pharma                      COM             448924100      5815   213400  SH   Sole                163450           49950
Pixar                           COM             725811103      5498   154050  SH   Sole                117750           36300
Kenneth Cole                    COM             193294105      5004   127500  SH   Sole                 97500           30000
Pacific Sunwear                 COM             694873100      4828   125400  SH   Sole                 96000           29400
Hanover Compressor              COM             410768105      4738    83300  SH   Sole                 63800           19500
Res Care Inc                    COM             760943100      4635   494350  SH   Sole                379750          114600
ViaSat Inc                      COM             92552V100      4284    59500  SH   Sole                 45500           14000
Neose Technologies              COM             640522108      4078   126700  SH   Sole                 96950           29750
Moldflow                        COM             608507109      3997   236000  SH   Sole                181200           54800
Profit Recovery Group           COM             743168106      3952   213600  SH   Sole                163750           49850
Intergrated Measurements Sys    COM             457923100      3834   188750  SH   Sole                144750           44000
Emcor Group Inc                 COM             29084q100      3813   181550  SH   Sole                139100           42450
Serena Software                 COM             817492101      3548   111300  SH   Sole                 85500           25800
Alkermes Inc                    COM             01642t108      3543    38300  SH   Sole                 29250            9050
Macrovision                     COM             555904101      3488    40500  SH   Sole                 30500           10000
Hawaiian Airlines Inc           COM             419849104      3388  1426700  SH   Sole               1092800          333900
In Focus System Inc             COM             452919103      3356    93700  SH   Sole                 71850           21850
Morgan Keegan                   COM             617410105      3294   190950  SH   Sole                146050           44900
Bank United Corp                COM             065412108      3262   103350  SH   Sole                 79050           24300
PBOC Holdings                   COM             694058108      3260   362200  SH   Sole                277800           84400
GelTex Pharma                   COM             368538104      3227   192650  SH   Sole                147450           45200
Callon Petrolium                COM             13123X102      2900   239200  SH   Sole                182900           56300
Connetics Corp                  COM             208192104      2767   301200  SH   Sole                231400           69800
Dura Pharmaceuticals            COM             26632S109      2718   220750  SH   Sole                169450           51300
Raymond James Financial         COM             754730109      2674   128850  SH   Sole                 98150           30700
SangStat Medical Corp           COM             801003104      2342    84600  SH   Sole                 64800           19800
Circle.Com                      COM             832914204      2309   279821  SH   Sole                214271           65550
Lattice Semiconductor           COM             518415104      2264    33450  SH   Sole                 25600            7850
Remec Inc                       COM             759543101      2260    44750  SH   Sole                 34400           10350
Mastec Inc                      COM             576323109      2145    24100  SH   Sole                 18300            5800
Concord                         COM             206197105      2035    88700  SH   Sole                 67850           20850
Avis Rent-A-Car                 COM             053790101      1867   105950  SH   Sole                 80950           25000
Digital Insight                 COM             25385P106      1794    35000  SH   Sole                 26950            8050
Acxiom Corp                     COM             005125109      1732    52100  SH   Sole                 40100           12000
Integral Systems                COM             45810H107      1624    36100  SH   Sole                 27850            8250
Wind River Systems              COM             973149107      1558    42978  SH   Sole                 32598           10380
Triad Hospitals                 COM             89579k109      1519    90700  SH   Sole                 69400           21300
Doral Properties                COM             25811p100      1456   128750  SH   Sole                 98650           30100
Tekelec                         COM             879101103      1455    39200  SH   Sole                 29950            9250
Electro Scientific Inds         COM             285229100      1438    24800  SH   Sole                 19200            5600
Sicor                           COM             825846108      1191   114800  SH   Sole                 87400           27400
Kent Electronics                COM             490553104      1062    36400  SH   Sole                 28000            8400
Caldera Systems                 COM             128780103      1053    44800  SH   Sole                 34300           10500
Pharmacyclics Corp              COM             716933106       852    15300  SH   Sole                 11550            3750
West Coast Bancorp              COM             952145100       240    24500  SH   Sole                 18600            5900
</TABLE>

                                              GRAND TOTAL  $515,877

<PAGE>


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