FULLER & THALER ASSET MANAGEMENT /CA
13F-HR, 2000-10-11
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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, 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, October 11, 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:	225
Form 13F Information Table Value Total:	$1,572,686.929

<PAGE>

<TABLE>		                               <C>                                 <C>

      NAME OF ISSUER          TITTLE       CUSIP      VALUE          SH/PRN SH/PRINVSTMT OTHER  VOTING AUTHORITY
                              OF CLASS              (*$1000)            AMT      DSCRETN MANAGER  SOLE  SHARE  NONE
ABAXIS INC                 COM NPV       002567105          706      122,800 SH  SOLE            122,800            0
AURORA BIOSCIENCES CORP    COM USD.001   051920106       18,095      266,100 SH  SOLE            192,500       73,600
ABBOTT LABORATORIES        COM NPV       002824100          476       10,000 SH  SOLE             10,000            0
ADVO INC                   COM USD.01    007585102        7,603      230,400 SH  SOLE            127,000      103,400
ADOBE SYSTEMS INC          COM NPV       00724F101        2,515       16,200 SH  SOLE              2,900       13,300
ALLIED PRODUCTS            COM USD.01    019411107           61      122,100 SH  SOLE            122,100            0
ALLERGAN INC               COM USD.01    018490102       33,513      396,900 SH  SOLE            287,900      109,000
ACCLAIM ENMNT INC          COM USD.02    004325205          771      440,300 SH  SOLE            274,900      165,400
ALDILA INC                 COM USD.01    014384101        2,548    1,101,800 SH  SOLE            538,200      563,600
ALTERA CORP                COM NPV       021441100          406        8,500 SH  SOLE              8,500            0
ANDREW CORP                COM USD1      034425108       23,283      889,100 SH  SOLE            652,100      237,000
AIRGAS INC                 COM USD.01    009363102        7,678    1,127,000 SH  SOLE            438,100      688,900
ARROW ELECTRONICS INC      COM USD1      042735100       20,557      603,500 SH  SOLE            436,300      167,200
AMERICAN STANDARD COS INC  COM USD.01    029712106       24,534      552,100 SH  SOLE            384,700      167,400
ALTEON WEBSYSTEMS INC      COM USD.001   02145A109       18,762      173,100 SH  SOLE            123,200       49,900
CROSS (A.T.) & CO  -CL A   CL A COM USD1 227478104          593      110,300 SH  SOLE            110,300            0
AVADO BRANDS INC           COM USD.01    05336P108          487      649,800 SH  SOLE            367,400      282,400
AVON PRODUCTS              COM USD.5     054303102          507       12,400 SH  SOLE             12,400            0
AVX CORP                   COM USD1      002444107       31,207    1,197,400 SH  SOLE            882,400      315,000
AMERICA WEST HLDG CP  -CL BCL B COM USD.5023657208        4,195      344,200 SH  SOLE            141,600      202,600
ANIXTER INTL INC           COM USD1      035290105       17,755      609,600 SH  SOLE            470,000      139,600
ASPEN TECHNOLOGY INC       COM USD.1     045327103       23,298      516,300 SH  SOLE            399,900      116,400
BANK OF AMERICA CORP       COM USD2.5    060505104          429        8,200 SH  SOLE              8,200            0
BRUNSWICK CORP             COM USD.75    117043109          506       27,700 SH  SOLE             27,700            0
BE AEROSPACE INC           COM USD.01    073302101        4,359      270,300 SH  SOLE            156,000      114,300
BECKMAN COULTER INC        COM USD.1     075811109          409        5,300 SH  SOLE              5,300            0
BARNES & NOBLE INC         COM USD.001   067774109          435       22,100 SH  SOLE             22,100            0
BELLSOUTH CORP             COM USD1      079860102          491       12,200 SH  SOLE             12,200            0
BANK UNITED CORP  -CL A    CL A COM USD.0065412108        6,949      137,100 SH  SOLE             75,200       61,900
BELCO OIL & GAS CORP       COM USD.01    077410108          424       47,800 SH  SOLE             47,800            0
BON-TON STORES INC         COM USD.01    09776J101          309      150,000 SH  SOLE            150,000            0
BOSTON SCIENTIFIC CORP     COM USD.01    101137107          322       19,600 SH  SOLE             19,600            0
BLYTH INC                  COM USD.02    09643P108          387       16,500 SH  SOLE             16,500            0
CARRIER ACCESS CORP        COM USD.001   144460102        4,529      228,600 SH  SOLE            175,700       52,900
CARDINAL HEALTH INC        COM NPV       14149Y108          370        4,200 SH  SOLE              4,200            0
CONTINENTAL AIRLS INC  -CL CL B COM USD.0210795308          473       10,400 SH  SOLE             10,400            0
CATERPILLAR INC            COM USD1      149123101          395       11,700 SH  SOLE             11,700            0
CADENCE DESIGN SYS INC     COM USD.01    127387108        2,615      101,800 SH  SOLE                  0      101,800
CERIDIAN CORP              COM USD.5     15677T106          519       18,500 SH  SOLE             18,500            0
CENTRAL GARDEN & PET CO    CL B COM USD.0153527106        3,685      531,100 SH  SOLE            290,200      240,900
CHURCH & DWIGHT INC        COM NPV       171340102       15,163      825,200 SH  SOLE            622,400      202,800
CHECKPOINT SYSTEMS INC     COM USD.1     162825103        1,627      215,200 SH  SOLE            118,600       96,600
COLGATE-PALMOLIVE CO       COM USD1      194162103          434        9,200 SH  SOLE              9,200            0
CLICKACTION INC            COM USD.001   18681E107          309       33,900 SH  SOLE             33,900            0
CELLSTAR CORP              COM USD.01    150925105        1,925      610,000 SH  SOLE            373,300      236,700
COMPUCOM SYSTEMS INC       COM USD.001   204780100        1,475      548,800 SH  SOLE            295,700      253,100
COPPER MTN NETWORKS INC    COM USD.001   217510106       14,846      395,900 SH  SOLE            281,400      114,500
CAREMARK RX INC            COM USD.001   141705103        7,022      624,200 SH  SOLE            347,400      276,800
COGNOS INC                 COM NPV       19244C109          509       12,500 SH  SOLE             12,500            0
COLUMBIA BKG SYS INC       COM NPV       197236102          404       29,370 SH  SOLE             29,370            0
3COM CORP                  COM NPV       885535104          420       21,900 SH  SOLE             21,900            0
COMPAQ COMPUTER CORP       COM USD.01    204493100          425       15,400 SH  SOLE             15,400            0
COMPUWARE CORP             COM USD.01    205638109          371       44,300 SH  SOLE             44,300            0
COORSTEK INC               COM USD.01    217020106          532       13,900 SH  SOLE             13,900            0
CIRRUS LOGIC INC           COM NPV       172755100       13,674      339,200 SH  SOLE            187,100      152,100
1-800 CONTACTS INC         COM USD.01    681977104        1,728       36,000 SH  SOLE             36,000            0
CABLEVISION SYS CORP  -CL ACL A COM NPV  12686C109          531        8,000 SH  SOLE              8,000            0
CVS CORP                   COM USD1      126650100          528       11,400 SH  SOLE             11,400            0
COLDWATER CREEK INC        COM USD.01    193068103          637       23,600 SH  SOLE             23,600            0
DATUM INC                  COM USD.25    238208102          658       25,300 SH  SOLE             25,300            0
DIRECT FOCUS INC           COM NPV       254931108        1,580       39,750 SH  SOLE             39,750            0
DIGI INTERNATIONAL INC     COM USD.01    253798102        1,609      204,300 SH  SOLE            121,900       82,400
DIGITAL GENERATION SYS INC COM NPV       253921100        3,557      837,000 SH  SOLE            487,600      349,400
QUEST DIAGNOSTICS INC      COM NPV       74834L100       48,562      423,200 SH  SOLE            307,300      115,900
DITECH COMMUNICATIONS CORP COM USD.001   25500M103       15,933      388,600 SH  SOLE            301,800       86,800
DORAL FINANCIAL CORP       COM USD1      25811P100        4,424      273,300 SH  SOLE            150,400      122,900
DARDEN RESTAURANTS INC     COM NPV       237194105        6,142      295,100 SH  SOLE            121,900      173,200
ENGELHARD CORP             COM USD1      292845104        4,912      302,300 SH  SOLE            127,900      174,400
EDGEWATER TECHNOLOGY INC   COM USD.01    280358102        2,138      407,200 SH  SOLE            224,300      182,900
ELECTRONIC DATA SYSTEMS CORCOM USD.1     285661104          357        8,600 SH  SOLE              8,600            0
ELECTROGLAS INC            DIVISION EQUIT285324109       11,413      668,900 SH  SOLE            509,500      159,400
CALLAWAY GOLF CO           COM USD.01    131193104        7,362      478,800 SH  SOLE            194,500      284,300
ENCAD INC                  COM NPV       292503109           99       43,900 SH  SOLE             43,900            0
EPICOR SOFTWARE CORP       COM USD.001   29426L108        6,558    1,873,800 SH  SOLE           1,117,700     756,100
ESS TECHNOLOGY INC         COM NPV       269151106       18,805    1,313,900 SH  SOLE            995,600      318,300
EXTREME NETWORKS INC       COM USD.001   30226D106          389        3,400 SH  SOLE              3,400            0
FORD MOTOR CO              COM USD1      345370860          271       10,700 SH  SOLE             10,700            0
FIRST AMERICAN CORP/CA     COM USD1      318522307        7,465      357,600 SH  SOLE            196,300      161,300
FAIRCHILD SEMICONDUCTOR INTCL A COM USD.0303726103       13,728      488,100 SH  SOLE            342,900      145,200
FOUNDRY NETWORKS INC       COM USD.0001  35063R100        2,035       30,400 SH  SOLE              4,200       26,200
FEDEX CORP                 COM USD.1     31428X106          497       11,200 SH  SOLE             11,200            0
FILENET CORP               COM USD.01    316869106       16,038      881,800 SH  SOLE            685,300      196,500
FLUOR CORP                 COM USD.625   343861100          504       16,800 SH  SOLE             16,800            0
FOAMEX INTERNATIONAL INC   COM USD.01    344123104        3,728      596,400 SH  SOLE            330,900      265,500
REPUBLIC FIRST BANCORP INC COM NPV       760416107          205       51,300 SH  SOLE             51,300            0
FSI INTL INC               COM NPV       302633102          469       32,900 SH  SOLE             32,900            0
FOOTSTAR INC               COM USD.01    344912100        3,777      116,900 SH  SOLE             65,000       51,900
GADZOOKS INC               COM USD.01    362553109        8,305      464,600 SH  SOLE            263,000      201,600
GRIFFON CORP               COM USD.25    398433102        6,033      797,700 SH  SOLE            445,100      352,600
GALILEO INTERNATIONAL INC  COM USD.01    363547100          318       20,500 SH  SOLE             20,500            0
CORNING INC                COM USD5      219350105          356        1,200 SH  SOLE              1,200            0
GLOBESPAN INC              COM USD.001   379571102       41,517      340,300 SH  SOLE            250,700       89,600
HOUSEHOLD INTERNATIONAL INCCOM USD1      441815107          453        8,000 SH  SOLE              8,000            0
HILTON HOTELS CORP         COM USD2.5    432848109          427       36,900 SH  SOLE             36,900            0
WEBMD CORP                 COM USD.0001  94769M105          915       60,000 SH  SOLE                  0       60,000
STARWOOD HOTELS&RESORTS WRLSHS BEN INT US85590A203          481       15,400 SH  SOLE             15,400            0
HUTCHINSON TECH            COM USD.02    448407106       17,547      833,100 SH  SOLE            645,600      187,500
HYPERION SOLUTIONS CORP    COM USD.001   44914M104       21,135      816,800 SH  SOLE            628,100      188,700
IBP INC                    COM USD.05    449223106          515       28,100 SH  SOLE             28,100            0
INTEGRATED DEVICE TECH INC COM NPV       458118106       14,380      158,900 SH  SOLE             75,200       83,700
INFOCUS CORP               COM NPV       45665B106        1,182       22,300 SH  SOLE             22,300            0
INSILICON CORP             COM USD.001   45769H108          519       35,800 SH  SOLE             35,800            0
INTUIT INC                 COM NPV       461202103          496        8,700 SH  SOLE              8,700            0
IVAX CORP                  COM USD.001   465823102       11,176      242,950 SH  SOLE            111,250      131,700
BAKER (J) INC              COM USD.5     057232100          370       82,200 SH  SOLE             82,200            0
EDWARDS J D & CO           COM USD.001   281667105       29,156    1,126,800 SH  SOLE            821,000      305,800
HARLAND (JOHN H.) CO       COM USD1      412693103        4,125      269,400 SH  SOLE            147,700      121,700
KFORCE.COM INC             COM USD.01    493732101          818      233,600 SH  SOLE            125,100      108,500
KNIGHT-RIDDER INC          COM USD.023   499040103          340        6,700 SH  SOLE              6,700            0
LINCOLN ELECTRIC HLDGS INC COM NPV       533900106        2,481      186,400 SH  SOLE            102,200       84,200
LEHMAN BROTHERS HOLDINGS INCOM USD.1     524908100          384        2,600 SH  SOLE              2,600            0
LANCE INC                  COM USD.83    514606102        1,110      114,200 SH  SOLE             59,900       54,300
LOWES COS                  COM USD.5     548661107          431        9,600 SH  SOLE              9,600            0
LIGHTBRIDGE INC            COM USD.01    532226107          384       33,000 SH  SOLE             33,000            0
LIMITED INC                COM USD.5     532716107        6,638      300,870 SH  SOLE            120,722      180,148
LEUCADIA NATIONAL CORP     COM USD1      527288104        2,276       85,100 SH  SOLE                  0       85,100
MERCURY AIR GROUP INC      COM USD.25    589354109          591       93,700 SH  SOLE             93,700            0
MAY DEPARTMENT STORES CO   COM USD1      577778103          363       17,700 SH  SOLE             17,700            0
MENTOR GRAPHICS CORP       COM NPV       587200106       12,547      532,500 SH  SOLE            284,700      247,800
MERRILL LYNCH & CO         COM USD1.333  590188108          528        8,000 SH  SOLE              8,000            0
MERIX CORP                 COM NPV       590049102        2,197       33,900 SH  SOLE             33,900            0
MGM MIRAGE                 COM USD1      552953101       25,350      663,822 SH  SOLE            471,088      192,734
MCGRAW-HILL COMPANIES      COM USD1      580645109        8,397      132,100 SH  SOLE            100,100       32,000
MICHAELS STORES INC        COM USD.1     594087108       28,036      700,900 SH  SOLE            544,600      156,300
MINNESOTA MINING & MFG CO  COM NPV       604059105          492        5,400 SH  SOLE              5,400            0
MEASUREMENT SPECIALTIES INCCOM NPV       583421102        1,230       25,500 SH  SOLE             25,500            0
NATIONWIDE FINL SVCS  -CL ACL A COM USD.0638612101          523       14,000 SH  SOLE             14,000            0
NEIMAN-MARCUS GROUP INC    CL A COM USD.0640204202          357       11,000 SH  SOLE             11,000            0
NEWPARK RESOURCES          COM USD.01    651718504        9,339    1,009,600 SH  SOLE            550,400      459,200
NATIONAL SEMICONDUCTOR CORPCOM USD.5     637640103          358        8,900 SH  SOLE              8,900            0
NORTEL NETWORKS CORP       COM NPV       656568102          387        6,500 SH  SOLE              6,500            0
NETSCOUT SYSTEMS INC       COM USD.001   64115T104          570       24,000 SH  SOLE             24,000            0
NUCOR CORP                 COM USD.4     670346105          401       13,300 SH  SOLE             13,300            0
NVIDIA CORP                COM USD.001   67066G104          516        6,300 SH  SOLE              6,300            0
NEXTEL COMMUNICATIONS      CL A COM NPV  65332V103          383        8,200 SH  SOLE              8,200            0
QUAKER OATS CO             COM USD5      747402105          538        6,800 SH  SOLE              6,800            0
OFFICE DEPOT INC           COM USD.01    676220106          439       56,200 SH  SOLE             56,200            0
ORTHOLOGIC CORP            COM USD.0005  68750J107          248       82,600 SH  SOLE             82,600            0
OWENS & MINOR INC          COM USD2      690732102        7,757      492,500 SH  SOLE            269,700      222,800
OMI CORP                   COM USD.5     Y6476W104        4,565      545,100 SH  SOLE            502,100       43,000
OFFICEMAX INC              COM NPV       67622M108        3,882    1,089,800 SH  SOLE            435,900      653,900
ON SEMICONDUCTOR CORP      COM USD.01    682189105       14,156    1,301,700 SH  SOLE            950,500      351,200
OAKLEY INC                 COM USD.01    673662102       19,129    1,089,200 SH  SOLE            849,300      239,900
OVERSEAS SHIPHOLDING GROUP COM USD1      690368105          912       33,300 SH  SOLE             28,900        4,400
PAUL HARRIS STORES         COM NPV       703555201          494      493,800 SH  SOLE            223,200      270,600
PEPSI BOTTLING GROUP INC   COM USD.01    713409100          523       17,400 SH  SOLE             17,400            0
PACCAR INC                 COM USD12     693718108          448       12,100 SH  SOLE             12,100            0
PG&E CORP                  COM USD5      69331C108          469       19,400 SH  SOLE             19,400            0
PRECISION CASTPARTS CORP   COM NPV       740189105       28,382      739,600 SH  SOLE            568,400      171,200
PEGASUS SOLUTIONS INC      COM USD.01    705906105          851       43,500 SH  SOLE             43,500            0
PETSMART INC               COM USD.0001  716768106        5,344    1,140,000 SH  SOLE            683,800      456,200
PIER 1 IMPORTS INC/DE      COM USD1      720279108       10,827      798,300 SH  SOLE            444,200      354,100
PERKINELMER INC            COM USD1      714046109          407        3,900 SH  SOLE              3,900            0
PMI GROUP INC              COM USD.01    69344M101       11,067      163,350 SH  SOLE             72,950       90,400
PNC FINANCIAL SVCS GROUP INCOM USD5      693475105          514        7,900 SH  SOLE              7,900            0
SCP POOL CORP              COM USD.001   784028102          874       29,500 SH  SOLE             29,500            0
PERRIGO COMPANY            COM NPV       714290103        1,532      223,900 SH  SOLE            122,900      101,000
PROFIT RECOVERY GRP INTL INCOM USD.01    743168106        5,763      583,600 SH  SOLE            321,300      262,300
PSINET INC                 COM USD.01    74437C101          334       34,700 SH  SOLE             34,700            0
PER-SE TECHNOLOGIES INC    COM USD.01    713569309       11,735      924,900 SH  SOLE            509,100      415,800
PENNZOIL-QUAKER STATE CO   COM USD.1     709323109        2,575      245,200 SH  SOLE            144,200      101,000
QLOGIC CORP                COM USD.1     747277101       50,767      576,900 SH  SOLE            421,700      155,200
RARE HOSPITALITY INTL INC  COM NPV       753820109        5,624      276,000 SH  SOLE            164,400      111,600
RATIONAL SOFTWARE CORP     COM USD.01    75409P202          444        6,400 SH  SOLE              6,400            0
REPUBLIC BANCORP INC       COM NPV       760282103        3,626      381,730 SH  SOLE            208,760      172,970
RENT-A-CENTER INC          COM USD.01    76009N100        1,120       32,300 SH  SOLE             32,300            0
RICHARDSON ELEC LTD        COM USD.05    763165107        1,211       72,300 SH  SOLE             72,300            0
ROBERT HALF INTL INC       COM USD1      770323103       44,428    1,280,800 SH  SOLE            931,600      349,200
ROSS STORES INC            COM USD.01    778296103          421       29,300 SH  SOLE             29,300            0
RTI INTL METALS INC        COM USD.01    74973W107        4,112      284,800 SH  SOLE            257,700       27,100
SEARS ROEBUCK & CO         COM USD.75    812387108        2,004       61,800 SH  SOLE             14,200       47,600
SUCCESSORIES INC           COM USD.01    864591102          280      149,400 SH  SOLE            149,400            0
SCOTTISH ANNUITY & LIFE HLDORD           G7885T104          720       77,800 SH  SOLE             77,800            0
SEAGATE TECHNOLOGY         COM NPV       811804103          794       11,500 SH  SOLE              4,800        6,700
SOUTHERN ENERGY HOMES INC  COM USD.0001  842814105           44       22,600 SH  SOLE             22,600            0
SEITEL INC                 COM NPV       816074306       11,342      789,000 SH  SOLE            408,000      381,000
SCIENTIFIC-ATLANTA INC     COM USD.5     808655104       47,426      745,400 SH  SOLE            548,700      196,700
SMITH INTERNATIONAL INC    COM NPV       832110100        8,075       99,000 SH  SOLE             75,000       24,000
SAKS INC                   COM USD.1     79377W108        2,832      286,800 SH  SOLE            118,400      168,400
SMARTDISK CORP             COM USD.001   83169Q105          624       43,400 SH  SOLE             43,400            0
STEIN MART INC             COM USD.01    858375108          734       67,900 SH  SOLE             67,900            0
SEMTECH CORP               COM USD.01    816850101       54,648    1,320,800 SH  SOLE           1,025,400     295,400
SEMITOOL INC               COM NPV       816909105          742       57,900 SH  SOLE             57,900            0
SONICWALL INC              COM NPV       835470105       16,365      574,200 SH  SOLE            417,000      157,200
SOLA INTL INC              COM USD1      834092108        5,868      911,500 SH  SOLE            497,400      414,100
SOUTHTRUST CORP            COM USD2.5    844730101          399       12,700 SH  SOLE             12,700            0
SPLASH TECHNOLOGY HLDGS INCCOM USD.001   848623104          446       48,200 SH  SOLE             48,200            0
SPX CORP                   COM USD1      784635104          454        3,200 SH  SOLE              3,200            0
SERENA SOFTWARE INC        COM USD.0001  817492101        1,112       24,150 SH  SOLE             24,150            0
SILICON STORAGE TECHNOLOGY COM NPV       827057100       21,315      784,000 SH  SOLE            608,200      175,800
ST JUDE MEDICAL INC        COM USD.1     790849103          515       10,100 SH  SOLE             10,100            0
SYBRON INTL CORP           COM USD.01 VTG87114F106          410       17,100 SH  SOLE             17,100            0
SYBASE INC                 COM USD.001   871130100       33,495    1,456,300 SH  SOLE           1,106,900     349,400
SYSCO CORP                 COM USD1      871829107          384        8,300 SH  SOLE              8,300            0
TELEPHONE & DATA           COM USD1      879433100          531        4,800 SH  SOLE              4,800            0
TECH DATA CORP             COM USD.0015  878237106          312        7,300 SH  SOLE              7,300            0
THREE-FIVE SYSTEMS INC     COM USD.01    88554L108        6,915      236,398 SH  SOLE            137,198       99,200
TRIGON HEALTHCARE INC      COM USD.01    89618L100       17,950      341,500 SH  SOLE            260,900       80,600
TELLABS INC                COM NPV       879664100          320        6,700 SH  SOLE              6,700            0
TALBOTS INC                COM USD.01    874161102          484        7,300 SH  SOLE              7,300            0
TOLLGRADE COMMUNICATIONS INCOM USD.2     889542106        1,610       11,600 SH  SOLE             11,600            0
TMP WORLDWIDE INC          COM USD.001   872941109       42,955      533,600 SH  SOLE            382,900      150,700
TOO INC                    COM NPV       890333107       12,512      526,800 SH  SOLE            409,000      117,800
TOPPS CO INC               COM USD.01    890786106        5,368      584,300 SH  SOLE            324,500      259,800
TRIQUINT SEMICONDUCTOR INC COM NPV       89674K103       18,507      507,900 SH  SOLE            369,400      138,500
TURNSTONE SYSTEMS INC      COM USD.001   900423104       20,655      445,400 SH  SOLE            326,200      119,200
TETRA TECHNOLOGIES INC/DE  COM USD.01    88162F105          738       48,600 SH  SOLE             48,600            0
TUPPERWARE CORP            COM USD.01    899896104          788       43,800 SH  SOLE             13,700       30,100
TITAN INTERNATIONAL INC    COM NPV       88830M102        5,702      991,700 SH  SOLE            547,800      443,900
UNIFI INC                  COM USD.1     904677101        6,633      651,100 SH  SOLE            363,400      287,700
UNIVERSAL HEALTH SVCS  -CL CL B COM USD.0913903100       44,422      518,800 SH  SOLE            402,700      116,100
UNOVA INC                  COM USD.01    91529B106          938      238,100 SH  SOLE            133,200      104,900
USA NETWORKS INC           COM USD1      902984103        4,718      215,088 SH  SOLE            116,520       98,568
US ONCOLOGY INC            COM USD.01    90338W103          734      161,900 SH  SOLE             84,600       77,300
VARIAN MEDICAL SYTEMS INC  COM USD1      92220P105       27,198      601,900 SH  SOLE            464,800      137,100
VARIAN INC                 COM USD.01    922206107       38,808      901,200 SH  SOLE            692,100      209,100
VIRCO MANUFACTURING        COM USD.5     927651109          298       24,607 SH  SOLE             24,607            0
VISHAY INTRTECHNOLOGY      COM USD.1     928298108          308       10,000 SH  SOLE             10,000            0
WIRELESS FACILITIES INC    COM USD.01    97653A103       21,725      376,600 SH  SOLE            273,100      103,500
ENCORE WIRE CORP           COM USD.01    292562105          688       96,600 SH  SOLE             96,600            0
WESTWOOD ONE INC           COM USD.01    961815107       16,385      764,300 SH  SOLE            553,500      210,800
WESTELL TECH INC  -CL A    CL A COM USD.0957541105       11,505      893,600 SH  SOLE            693,100      200,500
TRICON GLOBAL RESTAURANTS  COM NPV       895953107        1,893       61,800 SH  SOLE             16,700       45,100
VENATOR GROUP INC          COM USD3      922944103        8,249      666,600 SH  SOLE            289,000      377,600
ZALE CORP                  COM USD.01    988858106       16,530      509,600 SH  SOLE            386,900      122,700

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