FULLER & THALER ASSET MANAGEMENT /CA
13F-HR, 1999-11-01
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UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549


FORM 13F
FORM 13F COVER PAGE
Report for the Calendar Quarter Ended: September 30, 1999

Institutional Investment Manager Filing this Report:

 Name:Fuller & Thaler Asset Management, Inc.
 Address:411 Borel
 Suite 402
 San Mateo, CA 94402

13F File Number:

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 considerd
integral parts of this form.

Person Singing this Report on Behalf of Reporting Manager:

Name:Qiao Wen
Title:Quantitative Analyst
Phone:650-572-8334
Signature, Place, and Date of Signing:
Qiao Wen   San Mateo, California, October 31, 1999

Report Type(Eheck only one.):
[x]13F Holdings Report
[  ]13F Notice
[  ]13F Combination Report


I AM SIGNING THIS REPORT AS REQUIRED BY THE SECURITIES EXCHANGE ACT OF 1934.
<PAGE>

FORM 13F SUMMARY PAGE
Report Summary:
Number of Other Included managers:None
Form 13F Information Table Entry Total:	125
Form 13F Information Table Value Total:	$870,259,287

<PAGE>

<TABLE>		                               <C>                                 <C>
      NAME OF ISSUER          TITTLE       CUSIP  VALUE  SH/PRN SH/PINVSTMT OTHER  VOTING AUTHORITY
                              OF CLASS            (*$100  AMT       DSCRETN MANAGER  SOLE  SHARE  NONE
ABAXIS INC                 COM NPV       002567105   323  71,700 SH SOLE             16,700       55,000
ADVO INC                   COM USD.01    007585102 5,307 266,200 SH SOLE            128,300      137,900
ALLIED PRODUCTS            COM USD.01    019411107   284  70,900 SH SOLE             16,500       54,400
ADAPTEC INC                COM USD.001   00651F10813,879 349,700 SH SOLE            235,000      114,700
ALLERGAN INC               COM USD.01    01849010225,927 235,700 SH SOLE            156,700       79,000
ARGOSY GAMING CORP         COM USD.01    040228108   379  28,600 SH SOLE              6,600       22,000
ACCLAIM ENMNT INC          COM USD.02    004325205 6,174 813,100 SH SOLE            383,900      429,200
ALDILA INC                 COM USD.01    014384101 2,0531,642,50 SH SOLE            799,300      843,200
ASARCO INC                 COM NPV       043413103 2,867 106,200 SH SOLE             56,100       50,100
AMERICAN STANDARD COS INC  COM USD.01    02971210614,519 375,900 SH SOLE            253,900      122,000
AVADO BRANDS INC           COM USD.01    05336P108 4,196 746,000 SH SOLE            355,600      390,400
AVX CORP                   COM USD1      00244410714,886 423,800 SH SOLE            285,900      137,900
AMERICA WEST HLDG CP  -CL BCL B COM USD.5023657208 5,171 298,700 SH SOLE            143,100      155,600
BEST BUY CO INC            COM USD.1     08651610122,283 359,400 SH SOLE            243,200      116,200
BE AEROSPACE INC           COM USD.01    073302101 3,562 298,400 SH SOLE            140,400      158,000
BELL & HOWELL COMPANY      COM USD.01    07785210112,000 327,100 SH SOLE            215,800      111,300
BALL CORP                  COM NPV       05849810611,271 255,800 SH SOLE            168,500       87,300
BANTA CORP                 COM USD.1     066821109 5,491 246,100 SH SOLE            118,300      127,800
BELCO OIL & GAS CORP       COM USD.01    077410108   184  27,300 SH SOLE              6,300       21,000
BURLINGTON INDS INC        CL A COM USD.0121693105 2,682 596,100 SH SOLE            296,200      299,900
CAMERON ASHLEY BLDG PROD INCOM NPV       133290106   152  16,900 SH SOLE              3,900       13,000
CARRIER ACCESS CORP        COM USD.001   14446010210,282 245,900 SH SOLE            168,900       77,000
CONCURRENT COMPUTER CP     COM USD.01    20671020410,8931,598,90 SH SOLE            770,500      828,400
CERNER CORP                COM USD.01    156782104   159  10,400 SH SOLE              6,000        4,400
CORPORATE EXPRESS INC      COM USD.0002  219888104 3,117 331,400 SH SOLE            144,500      186,900
CHURCH & DWIGHT INC        COM NPV       17134010215,895 635,800 SH SOLE            431,700      204,100
COPPER MTN NETWORKS INC    COM USD.001   21751010612,154 138,700 SH SOLE             94,500       44,200
CAREMARK RX INC            COM USD.001   141705103 4,391 763,600 SH SOLE            367,900      395,700
CONEXANT SYSTEMS INC       COM NPV       20714210033,589 462,300 SH SOLE            313,700      148,600
COLUMBIA BKG SYS INC       COM NPV       197236102   198  15,100 SH SOLE              3,500       11,600
CIRRUS LOGIC INC           COM NPV       172755100 6,443 585,700 SH SOLE            281,800      303,900
1-800 CONTACTS INC         COM USD.01    681977104   333  11,700 SH SOLE              2,700        9,000
CUMMINS ENGINE             COM USD2.5    231021106 9,848 197,700 SH SOLE            133,500       64,200
DATA BROADCASTING CORP     COM NPV       237596101    95  12,600 SH SOLE              7,400        5,200
DEB SHOPS INC              COM USD.01    242728103   113   5,800 SH SOLE              3,000        2,800
DIGI INTERNATIONAL INC     COM USD.01    253798102 3,250 297,100 SH SOLE            140,400      156,700
DIGITAL LINK CORP          COM NPV       253856108   215  21,500 SH SOLE              5,000       16,500
DORAL FINANCIAL CORP       COM USD1      25811P100 4,216 315,200 SH SOLE            151,800      163,400
DARDEN RESTAURANTS INC     COM NPV       237194105 5,028 257,000 SH SOLE            123,400      133,600
ENGELHARD CORP             COM USD1      292845104 4,851 265,800 SH SOLE            127,500      138,300
EEX CORP                   COM NPV       26842V207 1,344 457,664 SH SOLE            215,432      242,232
CALLAWAY GOLF CO           COM USD.01    131193104 5,588 458,500 SH SOLE            220,300      238,200
ENESCO GROUP INC           COM USD.25 VTG292973104 4,474 291,000 SH SOLE            141,000      150,000
ENCAD INC                  COM NPV       292503109   149  25,900 SH SOLE              5,900       20,000
ESS TECHNOLOGY INC         COM NPV       26915110613,6281,028,50 SH SOLE            687,700      340,800
FIRST AMER FINL CP CA      COM USD1      318522307 5,878 439,500 SH SOLE            211,400      228,100
FOAMEX INTERNATIONAL INC   COM USD.01    344123104 4,929 704,200 SH SOLE            335,700      368,500
FOSSIL INC                 COM USD.01    34988210016,673 616,100 SH SOLE            419,050      197,050
REPUBLIC FIRST BANCORP INC COM NPV       760416107   195  30,000 SH SOLE              7,000       23,000
FOOTSTAR INC               COM USD.01    344912100 7,173 203,500 SH SOLE             97,700      105,800
FACTORY 2-U INC            COM USD.0001  303072102   272   9,100 SH SOLE              2,100        7,000
GADZOOKS INC               COM USD.01    362553109 3,695 557,800 SH SOLE            269,900      287,900
GENERAL INSTRUMENT CORP    COM USD1      37012010724,298 506,200 SH SOLE            341,600      164,600
GARDEN RIDGE CORP          COM USD.01    36541P104   281  38,700 SH SOLE              9,000       29,700
HCIA INC                   COM USD.01    403908106 5,704 549,800 SH SOLE            291,000      258,800
HIBERNIA CORP  -CL A       CL A COM NPV  428656102 5,095 438,300 SH SOLE            212,100      226,200
HI/FN INC                  COM USD.001   42835810516,460 149,300 SH SOLE            101,400       47,900
IDEC PHARMACEUTICALS CORP  COM NPV       44937010519,897 211,600 SH SOLE            143,900       67,700
INTEGRATED DEVICE TECH INC COM NPV       458118106 8,188 442,600 SH SOLE            216,500      226,100
IN FOCUS SYSTEMS INC       COM NPV       452919103   218  13,000 SH SOLE              3,000       10,000
INTERVOICE-BRITE INC       COM NPV       461142101 7,423 671,000 SH SOLE            317,400      353,600
JAKKS PACIFIC INC          COM USD.001   47012E106   308   8,200 SH SOLE              1,900        6,300
BAKER (J) INC              COM USD.5     057232100   256  32,500 SH SOLE              7,500       25,000
HARLAND (JOHN H.) CO       COM USD1      412693103 5,890 303,000 SH SOLE            146,200      156,800
JUSTIN INDUSTRIES          COM USD2.5    482171105   270  19,000 SH SOLE              4,500       14,500
KRONOS INC                 COM USD.01    501052104   220   6,000 SH SOLE              1,400        4,600
LINCOLN ELECTRIC HLDGS INC COM NPV       533900106 5,536 265,200 SH SOLE            127,100      138,100
LIGHTBRIDGE INC            COM USD.01    532226107   461  23,400 SH SOLE              5,400       18,000
LIMITED INC                COM USD.5     532716107 5,652 147,752 SH SOLE             71,253       76,499
LUMISYS INC                COM USD.001   550274104   114  43,300 SH SOLE             11,900       31,400
LEXMARK INTL GRP INC  -CL ACL A COM USD.052977110729,004 360,300 SH SOLE            243,400      116,900
MERIX CORP                 COM NPV       590049102   303  23,300 SH SOLE              5,300       18,000
MESA AIR GROUP INC         COM NPV       590479101 4,315 704,500 SH SOLE            337,500      367,000
MGM GRAND INC              COM USD1      552953101 7,677 150,166 SH SOLE            101,757       48,409
MILLIPORE CORP             COM USD1      60107310912,899 343,400 SH SOLE            233,300      110,100
MATERIAL SCIENCES CORP     COM USD.02    576674105   217  16,300 SH SOLE              3,800       12,500
MEASUREMENT SPECIALTIES INCCOM NPV       583421102    74   4,000 SH SOLE              4,000            0
MIDWAY GAMES INC           COM USD.01    598148104 5,375 341,300 SH SOLE            169,300      172,000
OPTICAL COATING LAB INC    COM USD.01    68382910538,814 421,600 SH SOLE            286,500      135,100
ORTHOLOGIC CORP            COM USD.0005  68750J107   137  45,700 SH SOLE             10,700       35,000
OMI CORP                   COM USD.5     Y6476W104   514 200,500 SH SOLE            144,200       56,300
OFFICEMAX INC              COM NPV       67622M108 2,775 477,400 SH SOLE            229,700      247,700
PAUL HARRIS STORES         COM NPV       703555201 3,051 774,800 SH SOLE            389,200      385,600
PERIPHONICS CORP           COM USD.01    714005105   511  16,300 SH SOLE              3,800       12,500
PIER 1 IMPORTS INC/DE      COM USD1      720279108 6,102 929,900 SH SOLE            447,300      482,600
PLAYERS INTERNATIONAL INC  COM USD.005   727903106 6,362 859,000 SH SOLE            583,500      275,500
CHILDRENS PLACE RETAIL STRSCOM USD.1     168905107   208   7,800 SH SOLE              1,800        6,000
PMI GROUP INC              COM USD.01    69344M101 5,731 140,200 SH SOLE             67,150       73,050
PROGRESS SOFTWARE CORP     COM USD.01    74331210014,029 447,150 SH SOLE            302,000      145,150
PRECISION RESPONSE CORP    COM USD.01    740314109 5,294 432,200 SH SOLE            205,600      226,600
PROJECT SOFTWARE & DEV INC COM USD.01    74339P10115,012 280,600 SH SOLE            182,200       98,400
PHOENIX INVESTMENT PARTNERSCOM USD.01    719085102 2,662 317,900 SH SOLE            155,200      162,700
QLOGIC CORP                COM USD.1     74727710131,206 447,000 SH SOLE            302,500      144,500
RARE HOSPITALITY INTL INC  COM NPV       753820109 6,648 307,400 SH SOLE            147,600      159,800
RATIONAL SOFTWARE CORP     COM USD.01    75409P202   917  31,300 SH SOLE             14,100       17,200
REPUBLIC BANCORP INC       COM NPV       760282103 4,544 393,000 SH SOLE            189,200      203,800
RF MICRO DEVICES INC       COM NPV       74994110037,172 812,500 SH SOLE            550,800      261,700
ROSS STORES INC            COM USD.01    778296103 5,889 292,600 SH SOLE            141,200      151,400
ROSLYN BANCORP INC         COM USD.01    778162107 1,636  91,500 SH SOLE             44,500       47,000
RAYONIER INC               COM NPV       754907103 4,893 116,500 SH SOLE             55,900       60,600
SUCCESSORIES INC           COM USD.01    864591102   431 202,600 SH SOLE             71,300      131,300
SEAGATE TECHNOLOGY         COM NPV       811804103 6,759 220,700 SH SOLE            106,300      114,400
SCIENTIFIC-ATLANTA INC     COM USD.5     80865510415,900 320,800 SH SOLE            217,000      103,800
S3 INCORPORATED            COM USD.0001  78484910110,5641,012,10 SH SOLE            684,900      327,200
SEMTECH CORP               COM USD.01    81685010122,444 612,800 SH SOLE            413,100      199,700
STANDARD PRODUCTS CO       COM USD1      853836104 9,635 272,100 SH SOLE            128,900      143,200
SERENA SOFTWARE INC        COM USD.0001  817492101   401  23,400 SH SOLE              4,700       18,700
SUPERIOR INDUSTRIES INTL   COM USD.5     868168105 5,060 180,700 SH SOLE             85,600       95,100
SYBASE INC                 COM USD.001   87113010012,8441,087,30 SH SOLE            731,500      355,800
TACO CABANA  -CL A         CL A COM USD.0873425102   306  31,600 SH SOLE              5,700       25,900
THREE-FIVE SYSTEMS INC     COM USD.01    88554L108 6,199 280,200 SH SOLE            136,100      144,100
TJX COMPANIES INC          COM USD1      87254010916,882 601,600 SH SOLE            406,100      195,500
TOYS R US INC              COM USD.1     892335100   125   8,300 SH SOLE              4,900        3,400
TUPPERWARE CORP            COM USD.01    899896104 3,943 194,700 SH SOLE             93,400      101,300
TWEETER HOME ENTMT GROUP INCOM USD.01    901167106   176   4,700 SH SOLE              1,100        3,600
UTAH MEDICAL PRODUCTS INC  COM USD.01    917488108   179  26,300 SH SOLE              6,100       20,200
UNOVA INC                  COM USD.01    91529B106 3,618 270,500 SH SOLE            132,600      137,900
UNIROYAL TECHNOLOGY CORP   COM USD.01    909163107   229  23,500 SH SOLE              5,500       18,000
VDI MULTIMEDIA             COM NPV       917916108   190  19,600 SH SOLE              6,100       13,500
VIRCO MANUFACTURING        COM USD.5     927651109   203  12,770 SH SOLE              2,970        9,800
WHIRLPOOL CORP             COM USD1      96332010616,034 245,500 SH SOLE            157,700       87,800
WATKINS-JOHNSON            COM NPV       942486101   232   6,900 SH SOLE              1,600        5,300
XIRCOM INC                 COM USD.001   98392210512,516 293,200 SH SOLE            194,100       99,100
ZALE CORP                  COM USD.01    98885810614,133 368,900 SH SOLE            245,400      123,500
QUIKSILVER INC             COM USD.01    74838C106 8,360 458,100 SH SOLE            304,900      153,200

</TABLE>


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