FULLER & THALER ASSET MANAGEMENT /CA
13F-HR, 2000-05-12
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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: March 31, 2000

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, May 2, 2000

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:	202
Form 13F Information Table Value Total:	$1,572,308,503

<PAGE>

<TABLE>		                               <C>                                 <C>
    NAME OF ISSUER       TITTLE     CUSIP   VALUE   SH/PRN  SH/PRN INVSTMT OTHER  VOTING AUTHORITY
                        OF CLASS           (*$1000)  AMT           DSCRETN MANAGER  SOLE  SHARED    NONE
ABAXIS INC            COM NPV      00256710       0       0   SH   SOLE                  0               0
ABBOTT LABORATORIES   COM NPV      00282410       0       0   SH   SOLE                  0               0
ACUSON CORP           COM NPV      00511310     976 116,500   SH   SOLE            116,500               0
ADVO INC              COM USD.01   00758510     229   6,500   SH   SOLE              6,500               0
ALLIED PRODUCTS       COM USD.01   01941110     582  39,300   SH   SOLE             39,300               0
ADAPTEC INC           COM USD.001  00651F10   4,293 171,700   SH   SOLE            105,200          66,500
AUTODESK INC          COM NPV      05276910     347 115,700   SH   SOLE            115,700               0
AMERN EAGLE OUTFITTERSCOM NPV      02553E10  17,833 461,700   SH   SOLE            386,100          75,600
ALLMERICA FINANCIAL COCOM USD.01   01975410  26,572 584,000   SH   SOLE            509,400          74,600
AMERICAN FINL GROUP INCOM USD1     02593210     247   6,500   SH   SOLE              6,500               0
ALLERGAN INC          COM USD.01   01849010     235   4,600   SH   SOLE              4,600               0
ACCLAIM ENMNT INC     COM USD.02   00432520     512  17,900   SH   SOLE             10,100           7,800
ALDILA INC            COM USD.01   01438410  28,935 578,700   SH   SOLE            501,500          77,200
AMPHENOL CORP         CL A COM USD.03209510     921 278,000   SH   SOLE            179,200          98,800
AIRGAS INC            COM USD.01   00936310   1,9481,005,50   SH   SOLE            603,200         402,300
ARROW ELECTRONICS INC COM USD1     04273510     245   2,400   SH   SOLE              2,400               0
AMERICAN STANDARD COS COM USD.01   02971210   4,516 543,300   SH   SOLE            217,600         325,700
CROSS (A.T.) & CO  -CLCL A COM USD122747810     250   7,100   SH   SOLE              7,100               0
AVADO BRANDS INC      COM USD.01   05336P10  18,822 508,700   SH   SOLE            419,200          89,500
AVX CORP              COM USD1     00244410     615 104,600   SH   SOLE            104,600               0
AMERICA WEST HLDG CP  CL B COM USD.02365720   1,481 526,600   SH   SOLE            345,900         180,700
BED BATH & BEYOND INC COM USD.01   07589610  41,015 541,000   SH   SOLE            468,600          72,400
BRUNSWICK CORP        COM USD.75   11704310   4,363 281,500   SH   SOLE            117,300         164,200
BE AEROSPACE INC      COM USD.01   07330210     224   5,700   SH   SOLE              5,700               0
BELL & HOWELL COMPANY COM USD.01   07785210     259  13,700   SH   SOLE             13,700               0
BJS WHOLESALE CLUB INCCOM USD.01   05548J10   1,208 205,600   SH   SOLE            132,200          73,400
BJ SERVICES CO        COM USD.1    05548210  11,691 374,100   SH   SOLE            342,200          31,900
BARNES & NOBLE INC    COM USD.001  06777410  24,456 637,300   SH   SOLE            535,400         101,900
BELLSOUTH CORP        COM USD1     07986010  36,258 490,800   SH   SOLE            418,900          71,900
BANTA CORP            COM USD.1    06682110     253  10,800   SH   SOLE             10,800               0
BANK UNITED CORP  -CL CL A COM USD.06541210     225   4,800   SH   SOLE              4,800               0
BELCO OIL & GAS CORP  COM USD.01   07741010   3,069 167,000   SH   SOLE            100,900          66,100
BISYS GROUP INC       COM USD.02   05547210   2,629  83,300   SH   SOLE             50,700          32,600
COMPUTER ASSOCIATES INCOM USD.1    20491210     471  45,400   SH   SOLE             45,400               0
CAMERON ASHLEY BLDG PRCOM NPV      13329010     226   3,400   SH   SOLE              3,400               0
CARRIER ACCESS CORP   COM USD.001  14446010     195   3,300   SH   SOLE              3,300               0
CARDINAL HEALTH INC   COM NPV      14149Y10     473  27,400   SH   SOLE             27,400               0
CORSAIR COMMUNICATIONSCOM USD.001  22040610  16,257 305,300   SH   SOLE            280,900          24,400
CONCURRENT COMPUTER CPCOM USD.01   20671020     211   4,600   SH   SOLE              4,600               0
CADENCE DESIGN SYS INCCOM USD.01   12738710   4,684 244,900   SH   SOLE            244,900               0
CENTRAL GARDEN & PET CCL B COM USD.15352710   5,675 447,300   SH   SOLE            283,000         164,300
CENTIGRAM COMMUNICATIOCOM NPV      15231710   2,100 101,800   SH   SOLE                  0         101,800
CHURCH & DWIGHT INC   COM NPV      17134010   3,966 401,600   SH   SOLE            241,900         159,700
CIGNA CORP            COM USD1     12550910     612  32,200   SH   SOLE             32,200               0
COLGATE-PALMOLIVE CO  COM USD1     19416210  13,042 758,800   SH   SOLE            689,500          69,300
CLICKACTION INC       COM USD.001  18681E10     235   3,100   SH   SOLE              3,100               0
COMPUCOM SYSTEMS INC  COM USD.001  20478010     242   4,300   SH   SOLE              4,300               0
COPPER MTN NETWORKS INCOM USD.001  21751010     794  16,000   SH   SOLE             16,000               0
CAREMARK RX INC       COM USD.001  14170510   1,101 209,700   SH   SOLE            117,600          92,100
COLONIAL BANCGROUP    COM NPV      19549330  31,448 383,800   SH   SOLE            312,900          70,900
CONEXANT SYSTEMS INC  COM NPV      20714210   1,943 464,000   SH   SOLE            290,300         173,700
COLUMBIA BKG SYS INC  COM NPV      19723610     231  21,500   SH   SOLE             21,500               0
COMPAQ COMPUTER CORP  COM USD.01   20449310  47,847 673,900   SH   SOLE            603,100          70,800
CIRRUS LOGIC INC      COM NPV      17275510     298  25,400   SH   SOLE             25,400               0
1-800 CONTACTS INC    COM USD.01   68197710     190   7,100   SH   SOLE              7,100               0
COVANCE INC           COM NPV      22281610   6,700 367,100   SH   SOLE            224,600         142,500
CVS CORP              COM USD1     12665010     672  19,400   SH   SOLE             19,400               0
DEB SHOPS INC         COM USD.01   24272810   2,946 274,000   SH   SOLE            130,500         143,500
DIRECT FOCUS INC      COM NPV      25493110     222   5,900   SH   SOLE              5,900               0
DIGI INTERNATIONAL INCCOM USD.01   25379810     298  21,700   SH   SOLE             21,700               0
DIGITAL GENERATION SYSCOM NPV      25392110     701  25,200   SH   SOLE             25,200               0
DITECH COMMUNICATIONS COM USD.001  25500M10   1,491 161,200   SH   SOLE            107,400          53,800
DOW JONES & CO INC    COM USD1     26056110   3,727 518,500   SH   SOLE            347,500         171,000
DORAL FINANCIAL CORP  COM USD1     25811P10  37,101 349,800   SH   SOLE            320,700          29,100
DARDEN RESTAURANTS INCCOM NPV      23719410     223   3,100   SH   SOLE              3,100               0
ENGELHARD CORP        COM USD1     29284510   2,277 201,300   SH   SOLE            124,400          76,900
ELECTRONIC DATA SYSTEMCOM USD.1    28566110   4,735 265,800   SH   SOLE            101,000         164,800
EEX CORP              COM NPV      26842V20   3,433 227,000   SH   SOLE             83,600         143,400
ELECTROGLAS INC       DIVISION EQUI28532410     212   3,300   SH   SOLE              3,300               0
EASTMAN KODAK CO      COM USD2.5   27746110     995 294,698   SH   SOLE            175,599         119,099
ELECTRONICS BOUTIQUE HCOM USD.01   28604510  20,995 613,000   SH   SOLE            555,200          57,800
CALLAWAY GOLF CO      COM USD.01   13119310     201   3,700   SH   SOLE              3,700               0
ENESCO GROUP INC      COM USD.25 VT29297310     335  17,500   SH   SOLE             17,500               0
ENCAD INC             COM NPV      29250310   6,553 422,800   SH   SOLE            181,700         241,100
ESS TECHNOLOGY INC    COM NPV      26915110   1,378 195,100   SH   SOLE            118,900          76,200
FIRST AMER FINL CP CA COM USD1     31852230     231  42,000   SH   SOLE             42,000               0
FURNITURE BRANDS INTL COM NPV      36092110  21,9211,252,60   SH   SOLE           1,139,500        113,100
F5 NETWORKS INC       COM NPV      31561610   3,695 265,100   SH   SOLE            162,200         102,900
FILENET CORP          COM USD.01   31686910   1,422  75,600   SH   SOLE                  0          75,600
FOAMEX INTERNATIONAL ICOM USD.01   34412310   8,550 126,200   SH   SOLE            115,200          11,000
FOSSIL INC            COM USD.01   34988210  23,880 802,700   SH   SOLE            738,600          64,100
REPUBLIC FIRST BANCORPCOM NPV      76041610   4,477 474,400   SH   SOLE            297,900         176,500
FACTORY 2-U INC       COM USD.0001 30307210  12,127 517,400   SH   SOLE            474,525          42,875
GADZOOKS INC          COM USD.01   36255310     238  50,100   SH   SOLE             50,100               0
CORNING INC           COM USD5     21935010     378  15,100   SH   SOLE             15,100               0
GLOBESPAN INC         COM USD.001  37957110   7,463 344,100   SH   SOLE            218,400         125,700
HIBERNIA CORP  -CL A  CL A COM NPV 42865610     233   1,200   SH   SOLE              1,200               0
HARTFORD LIFE INC  -CLCL A COM USD.41659210  32,192 315,800   SH   SOLE            274,100          41,700
STARWOOD HOTELS&RESORTSHS BEN INT U85590A20   1,779 169,400   SH   SOLE             59,800         109,600
HYPERION SOLUTIONS CORCOM USD.001  44914M10     258   5,500   SH   SOLE              5,500               0
IBP INC               COM USD.05   44922310     211   8,200   SH   SOLE              8,200               0
INTEGRATED DEVICE TECHCOM NPV      45811810  23,868 734,400   SH   SOLE            669,600          64,800
IN FOCUS SYSTEMS INC  COM NPV      45291910  12,668 804,300   SH   SOLE            658,700         145,600
INTERVOICE-BRITE INC  COM NPV      46114210  10,378 261,900   SH   SOLE            122,500         139,400
IVAX CORP             COM USD.001  46582310     763  21,300   SH   SOLE             21,300               0
BAKER (J) INC         COM USD.5    05723210   8,862 306,900   SH   SOLE            191,200         115,700
HARLAND (JOHN H.) CO  COM USD1     41269310  11,117 407,950   SH   SOLE            165,900         242,050
JONES PHARMA INC      COM USD.04   48023610     378  54,000   SH   SOLE             54,000               0
JUSTIN INDUSTRIES     COM USD2.5   48217110   2,692 199,400   SH   SOLE            121,400          78,000
ROMAC INTERNATIONAL INCOM USD.01   77583510  14,583 480,100   SH   SOLE            410,600          69,500
KULICKE & SOFFA INDUSTCOM NPV      50124210     567  31,500   SH   SOLE             31,500               0
KRONOS INC            COM USD.01   50105210   1,572 173,500   SH   SOLE            104,800          68,700
LINCOLN ELECTRIC HLDGSCOM NPV      53390010  28,079 438,300   SH   SOLE            404,700          33,600
LILLY (ELI) & CO      COM USD.625  53245710     281   9,500   SH   SOLE              9,500               0
LANCE INC             COM USD.83   51460610   4,172 172,500   SH   SOLE            105,700          66,800
ALLIANT CORP          COM NPV      01880210     232   3,700   SH   SOLE              3,700               0
LIGHTBRIDGE INC       COM USD.01   53222610   1,583 149,000   SH   SOLE             95,300          53,700
LIMITED INC           COM USD.5    53271610     225   7,400   SH   SOLE              7,400               0
LEUCADIA NATIONAL CORPCOM USD1     52728810     734  31,400   SH   SOLE             31,400               0
LEXMARK INTL GRP INC  CL A COM USD.52977110   6,164 146,335   SH   SOLE             58,705          87,630
MAY DEPARTMENT STORES COM USD1     57777810   2,021  85,100   SH   SOLE                  0          85,100
MENTOR GRAPHICS CORP  COM NPV      58720010  20,600 194,800   SH   SOLE            169,100          25,700
MERIX CORP            COM NPV      59004910     202   7,100   SH   SOLE              7,100               0
MGM GRAND INC         COM USD1     55295310   5,953 393,600   SH   SOLE            230,500         163,100
MICHAELS STORES INC   COM USD.1    59408710     874  37,600   SH   SOLE             37,600               0
MODEM MEDIA POPPE TYSOCL A COM USD.60753310  15,245 635,222   SH   SOLE            497,756         137,466
MONY GROUP INC        COM USD.01   61533710  26,019 638,500   SH   SOLE            589,300          49,200
MOTOROLA INC          COM USD3     62007610  15,232 470,500   SH   SOLE            428,400          42,100
MEASUREMENT SPECIALTIECOM NPV      58342110     236   7,300   SH   SOLE              7,300               0
NBTY INC              COM USD.008  62878210   1,434   9,825   SH   SOLE                  0           9,825
NATIONWIDE FINL SVCS  CL A COM USD.63861210     618  24,400   SH   SOLE             24,400               0
NEWPARK RESOURCES     COM USD.01   65171850  10,742 784,800   SH   SOLE            729,300          55,500
NORTEL NETWORKS CORP  COM NPV      65656910     234   8,000   SH   SOLE              8,000               0
NETSCOUT SYSTEMS INC  COM USD.001  64115T10   6,097 762,100   SH   SOLE            457,000         305,100
NUCOR CORP            COM USD.4    67034610     227   1,800   SH   SOLE              1,800               0
OFFICE DEPOT INC      COM USD.01   67622010     382  22,800   SH   SOLE             22,800               0
ORTHOLOGIC CORP       COM USD.0005 68750J10     215   4,300   SH   SOLE              4,300               0
OWENS & MINOR INC     COM USD2     69073210     222  19,200   SH   SOLE             19,200               0
OMI CORP              COM USD.5    Y6476W10     481  78,600   SH   SOLE             78,600               0
OFFICEMAX INC         COM NPV      67622M10   3,863 363,600   SH   SOLE            222,700         140,900
ONTRACK DATA INTL INC COM USD.01   68337210   1,783 467,700   SH   SOLE            498,700         -31,000
BANK ONE CORP         COM NPV      06423A10   5,836 897,900   SH   SOLE            364,400         533,500
OVERSEAS SHIPHOLDING GCOM USD1     69036810     549  53,200   SH   SOLE             53,200               0
PAUL HARRIS STORES    COM NPV      70355520     275   8,000   SH   SOLE              8,000               0
PACCAR INC            COM USD12    69371810     601  26,200   SH   SOLE             28,200          -2,000
PG&E CORP             COM USD5     69331C10   1,553 512,400   SH   SOLE            327,200         185,200
PARADYNE NETWORKS INC COM USD.001  69911G10     230   4,600   SH   SOLE              4,600               0
PETSMART INC          COM USD.0001 71676810     212  10,100   SH   SOLE             10,100               0
PIER 1 IMPORTS INC/DE COM USD1     72027910  19,976 644,400   SH   SOLE            592,300          52,100
PMI GROUP INC         COM USD.01   69344M10   2,984 994,600   SH   SOLE            628,350         366,250
PROGRESS SOFTWARE CORPCOM USD.01   74331210   6,123 597,400   SH   SOLE            366,200         231,200
PRECISION RESPONSE CORCOM USD.01   74031410   6,055 127,650   SH   SOLE             56,050          71,600
PROJECT SOFTWARE & DEVCOM USD.01   74339P10  25,5771,091,30   SH   SOLE            989,900         101,400
PHOENIX INVESTMENT PARCOM USD.01   71908510   6,203 255,800   SH   SOLE            152,400         103,400
QAD INC               COM USD.001  74727D10  31,578 558,900   SH   SOLE            506,500          52,400
QLOGIC CORP           COM USD.1    74727710     770  99,300   SH   SOLE             59,600          39,700
RALSTON PURINA CO     COM USD.1    75127730     402  45,300   SH   SOLE             45,300               0
RARE HOSPITALITY INTL COM NPV      75382010  78,007 575,700   SH   SOLE            503,900          71,800
REPUBLIC BANCORP INC  COM NPV      76028210   1,757  63,900   SH   SOLE              8,000          55,900
READERS DIGEST ASSN  -CL A COM USD.75526710   4,175 214,800   SH   SOLE            139,200          75,600
RICHARDSON ELEC LTD   COM USD.05   76316510   2,620 280,430   SH   SOLE            172,570         107,860
RF MICRO DEVICES INC  COM NPV      74994110   5,756 162,700   SH   SOLE            117,500          45,200
ROBERT HALF INTL INC  COM USD1     77032310     757  68,800   SH   SOLE             68,800               0
ROHM & HAAS CO        COM USD2.5   77537110  21,043 156,600   SH   SOLE            135,700          20,900
ROSS STORES INC       COM USD.01   77829610  27,995 590,300   SH   SOLE            507,500          82,800
RTI INTL METALS INC   COM USD.01   74973W10     232   5,200   SH   SOLE              5,200               0
SEARS ROEBUCK & CO    COM USD.75   81238710   7,286 302,800   SH   SOLE            127,700         175,100
SUCCESSORIES INC      COM USD.01   86459110   2,096 237,900   SH   SOLE            249,000         -11,100
SCI SYSTEMS INC       COM USD.1    78389010   1,657  54,100   SH   SOLE              6,500          47,600
SEAGATE TECHNOLOGY    COM NPV      81180410     337 149,800   SH   SOLE            149,800               0
SEITEL INC            COM NPV      81607430     263   4,900   SH   SOLE              4,900               0
SCIENTIFIC-ATLANTA INCCOM USD.5    80865510  11,537 187,600   SH   SOLE             89,000          98,600
SILICON GRAPHICS INC  COM USD.001  82705610   4,507 567,800   SH   SOLE            320,300         247,500
SMITH INTERNATIONAL INCOM NPV      83211010  53,453 845,100   SH   SOLE            711,300         133,800
S3 INCORPORATED       COM USD.0001 78484910      15   1,400   SH   SOLE              1,400               0
SAKS INC              COM USD.1    79377W10   4,503  58,100   SH   SOLE             58,100               0
SMARTDISK CORP        COM USD.001  83169Q10  25,6431,221,10   SH   SOLE           1,115,200        105,900
SEMTECH CORP          COM USD.01   81685010   3,321 229,000   SH   SOLE            100,100         128,900
SEMITOOL INC          COM NPV      81690910     435  16,400   SH   SOLE             16,400               0
SOLUTIA INC           COM USD.01   83437610  47,605 743,100   SH   SOLE            677,800          65,300
SENSORMATIC ELECTRONICCOM USD.01   81726510   1,000  55,000   SH   SOLE             55,000               0
SERENA SOFTWARE INC   COM USD.0001 81749210     235  17,600   SH   SOLE             17,600               0
STATION CASINOS INC   COM USD.01   85768910  26,9651,201,80   SH   SOLE           1,105,700         96,100
SILICON VALLEY GROUP ICOM USD.01   82706610   1,197  37,550   SH   SOLE             37,550               0
SAFEWAY INC           COM NPV      78651420  24,5571,125,80   SH   SOLE           1,041,800         84,000
SYBASE INC            COM USD.001  87113010   5,745 208,900   SH   SOLE            208,900               0
THREE-FIVE SYSTEMS INCCOM USD.01   88554L10     235   5,200   SH   SOLE              5,200               0
TOLLGRADE COMMUNICATIOCOM USD.2    88954210  27,1441,336,30   SH   SOLE           1,209,500        126,800
TMP WORLDWIDE INC     COM USD.001  87294110  10,388 173,132   SH   SOLE            112,197          60,935
TOO INC               COM NPV      89033310   1,314  24,800   SH   SOLE             24,800               0
TOPPS CO INC          COM USD.01   89078610  37,825 486,500   SH   SOLE            410,700          75,800
TOYS R US INC         COM USD.1    89233510  15,248 483,100   SH   SOLE            446,000          37,100
TRIMBLE NAVIGATION LTDCOM NPV      89623910   3,616 435,000   SH   SOLE            270,200         164,800
TUPPERWARE CORP       COM USD.01   89989610     244  16,500   SH   SOLE             16,500               0
TITAN INTERNATIONAL INCOM NPV      88830M10     883  34,300   SH   SOLE             34,300               0
UNIONBANCAL CORP      COM USD5     90890610   3,570 225,800   SH   SOLE             75,600         150,200
UNIVERSAL HEALTH SVCS CL B COM USD.91390310     915 127,300   SH   SOLE            109,800          17,500
UNOVA INC             COM USD.01   91529B10     229   8,300   SH   SOLE              8,300               0
US ONCOLOGY INC       COM USD.01   90338W10  23,084 471,100   SH   SOLE            433,500          37,600
UNIROYAL TECHNOLOGY COCOM USD.01   90916310   3,341 247,500   SH   SOLE            153,600          93,900
UTAH MEDICAL PRODUCTS COM USD.01   91748810   1,112 247,100   SH   SOLE            140,300         106,800
VARIAN MEDICAL SYTEMS COM USD1     92220P10   1,452  30,900   SH   SOLE             30,900               0
VARIAN INC            COM USD.01   92220610     334  44,500   SH   SOLE             44,500               0
VDI MULTIMEDIA        COM NPV      91791610  25,299 554,500   SH   SOLE            510,400          44,100
VIANT CORP            COM USD.001  92553N10  31,675 825,400   SH   SOLE            752,900          72,500
VIRCO MANUFACTURING   COM USD.5    92765110     617  43,300   SH   SOLE             43,300               0
VISHAY INTRTECHNOLOGY COM USD.1    92829810  12,573 375,300   SH   SOLE            346,000          29,300
WHIRLPOOL CORP        COM USD1     96332010     222  21,370   SH   SOLE             21,370               0
WESTWOOD ONE INC      COM USD.01   96181510     217   3,900   SH   SOLE              3,900               0
XIRCOM INC            COM USD.001  98392210  19,546 333,400   SH   SOLE            279,000          54,400
TRICON GLOBAL RESTAURACOM NPV      89595310  25,785 711,300   SH   SOLE            609,000         102,300
ZALE CORP             COM USD.01   98885810   5,750 155,400   SH   SOLE            143,100          12,300

</TABLE>


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