FULLER & THALER ASSET MANAGEMENT /CA
13F-HR, 2000-07-17
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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: June 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, July 14, 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:	209
Form 13F Information Table Value Total:	$1,498,793,533

<PAGE>

<TABLE>		                               <C>                                 <C>

          NAME OF ISSUER             TITTLE       CUSIP      VALUE     SH/PRN SH/PINVSTMT OTHER  VOTING AUTHORITY
                                     OF CLASS              (*$1000)     AMT       DSCRETN MANAGER  SOLE  SHARE  NONE
ABAXIS INC                        COM NPV       002567105          785 117,300 SH   SOLE          117,300            0
ABBOTT LABORATORIES               COM NPV       002824100          579  13,000 SH   SOLE           13,000            0
ADVO INC                          COM USD.01    007585102        7,381 176,800 SH   SOLE          105,800       71,000
ALLIED PRODUCTS                   COM USD.01    019411107          182 116,700 SH   SOLE          116,700            0
AUTODESK INC                      COM NPV       052769106       21,132 609,200 SH   SOLE          462,200      147,000
ALLMERICA FINANCIAL CORP          COM USD.01    019754100          477   9,100 SH   SOLE            9,100            0
ASSOC FST CAPITAL CP  -CL A       CL A COM NPV  046008108          428  19,200 SH   SOLE           19,200            0
ALLERGAN INC                      COM USD.01    018490102       31,618 424,400 SH   SOLE          314,200      110,200
ACCLAIM ENMNT INC                 COM USD.02    004325205          407 282,900 SH   SOLE          170,300      112,600
ALDILA INC                        COM USD.01    014384101        1,518 952,700 SH   SOLE          580,400      372,300
ANDREW CORP                       COM USD1      034425108       27,840 829,500 SH   SOLE          620,800      208,700
AIRGAS INC                        COM USD.01    009363102        3,957 695,700 SH   SOLE          216,100      479,600
ARROW ELECTRONICS INC             COM USD1      042735100       17,729 571,900 SH   SOLE          415,100      156,800
AMERICAN STANDARD COS INC         COM USD.01    029712106       20,996 512,100 SH   SOLE          364,500      147,600
TIDEL TECHNOLOGIES INC            COM USD.01    886368109          442  44,500 SH   SOLE           44,500            0
CROSS (A.T.) & CO  -CL A          CL A COM USD1 227478104          520 105,300 SH   SOLE          105,300            0
AVADO BRANDS INC                  COM USD.01    05336P108          819 546,100 SH   SOLE          340,400      205,700
AVON PRODUCTS                     COM USD.5     054303102          574  12,900 SH   SOLE           12,900            0
AVX CORP                          COM USD1      002444107       25,7461,122,40 SH   SOLE          849,400      273,000
AMERICA WEST HLDG CP  -CL B       CL B COM USD.5023657208        4,884 285,200 SH   SOLE          117,900      167,300
ANIXTER INTL INC                  COM USD1      035290105       15,041 567,600 SH   SOLE          447,900      119,700
BANK OF AMERICA CORP              COM USD2.5    060505104          396   9,200 SH   SOLE            9,200            0
BEST BUY CO INC                   COM USD.1     086516101          455   7,200 SH   SOLE            7,200            0
BRUNSWICK CORP                    COM USD.75    117043109          464  28,000 SH   SOLE           28,000            0
BE AEROSPACE INC                  COM USD.01    073302101        1,445 210,200 SH   SOLE          132,000       78,200
BELL & HOWELL COMPANY             COM USD.01    077852101        9,477 390,800 SH   SOLE          289,000      101,800
BJ SERVICES CO                    COM USD.1     055482103       30,456 487,300 SH   SOLE          356,300      131,000
BARNES & NOBLE INC                COM USD.001   067774109          572  25,700 SH   SOLE           25,700            0
BELLSOUTH CORP                    COM USD1      079860102          520  12,200 SH   SOLE           12,200            0
BANTA CORP                        COM USD.1     066821109        1,574  83,100 SH   SOLE           50,300       32,800
BANK UNITED CORP  -CL A           CL A COM USD.0065412108        3,695 105,000 SH   SOLE           62,100       42,900
BELCO OIL & GAS CORP              COM USD.01    077410108          388  45,700 SH   SOLE           45,700            0
BISYS GROUP INC                   COM USD.02    055472104          504   8,200 SH   SOLE            8,200            0
BLYTH INC                         COM USD.02    09643P108          569  19,300 SH   SOLE           19,300            0
COMPUTER ASSOCIATES INTL INC      COM USD.1     204912109          486   9,500 SH   SOLE            9,500            0
CARRIER ACCESS CORP               COM USD.001   144460102       16,037 303,300 SH   SOLE          238,900       64,400
CARDINAL HEALTH INC               COM NPV       14149Y108          614   8,300 SH   SOLE            8,300            0
CATERPILLAR INC                   COM USD1      149123101          461  13,600 SH   SOLE           13,600            0
CONCURRENT COMPUTER CP            COM USD.01    206710204        5,363 408,600 SH   SOLE          260,200      148,400
CADENCE DESIGN SYS INC            COM USD.01    127387108        2,074 101,800 SH   SOLE                0      101,800
CERIDIAN CORP                     COM USD.5     15677T106          525  21,800 SH   SOLE           21,800            0
CENTRAL GARDEN & PET CO           CL B COM USD.0153527106        3,631 404,800 SH   SOLE          239,700      165,100
CENTIGRAM COMMUNICATIONS CP       COM NPV       152317103          828  32,400 SH   SOLE           32,400            0
CHURCH & DWIGHT INC               COM NPV       171340102       13,662 759,000 SH   SOLE          588,700      170,300
COLGATE-PALMOLIVE CO              COM USD1      194162103          623  10,400 SH   SOLE           10,400            0
CLICKACTION INC                   COM USD.001   18681E107          517  32,300 SH   SOLE           32,300            0
COMPUCOM SYSTEMS INC              COM USD.001   204780100          675 415,300 SH   SOLE          242,800      172,500
COPPER MTN NETWORKS INC           COM USD.001   217510106       32,386 367,500 SH   SOLE          266,900      100,600
CAREMARK RX INC                   COM USD.001   141705103        3,281 481,600 SH   SOLE          290,900      190,700
COLONIAL BANCGROUP                COM NPV       195493309          479  53,200 SH   SOLE           53,200            0
CONEXANT SYSTEMS INC              COM NPV       207142100       23,121 475,500 SH   SOLE          355,400      120,100
COGNOS INC                        COM NPV       19244C109          848  20,500 SH   SOLE           20,500            0
COLUMBIA BKG SYS INC              COM NPV       197236102          344  28,070 SH   SOLE           28,070            0
COMPAQ COMPUTER CORP              COM USD.01    204493100          504  19,700 SH   SOLE           19,700            0
COORSTEK INC                      COM USD.01    217020106          612  13,300 SH   SOLE           13,300            0
CIRRUS LOGIC INC                  COM NPV       172755100        5,811 363,200 SH   SOLE          217,500      145,700
1-800 CONTACTS INC                COM USD.01    681977104          888  18,900 SH   SOLE           18,900            0
CVS CORP                          COM USD1      126650100          536  13,400 SH   SOLE           13,400            0
COLDWATER CREEK INC               COM USD.01    193068103          443  14,700 SH   SOLE           14,700            0
DEB SHOPS INC                     COM USD.01    242728103          274  21,900 SH   SOLE           21,900            0
DIRECT FOCUS INC                  COM NPV       254931108        1,240  25,300 SH   SOLE           25,300            0
DIGI INTERNATIONAL INC            COM USD.01    253798102        1,041 160,100 SH   SOLE          103,600       56,500
DIGITAL GENERATION SYS INC        COM NPV       253921100        4,340 643,000 SH   SOLE          400,300      242,700
QUEST DIAGNOSTICS INC             COM NPV       74834L100       29,339 392,500 SH   SOLE          289,900      102,600
DITECH COMMUNICATIONS CORP        COM USD.001   25500M103       33,806 357,500 SH   SOLE          283,600       73,900
DOW JONES & CO INC                COM USD1      260561105          542   7,400 SH   SOLE            7,400            0
DORAL FINANCIAL CORP              COM USD1      25811P100        2,390 209,000 SH   SOLE          124,600       84,400
DARDEN RESTAURANTS INC            COM NPV       237194105        4,266 262,500 SH   SOLE          115,400      147,100
ENGELHARD CORP                    COM USD1      292845104        4,460 261,400 SH   SOLE          112,500      148,900
EEX CORP                          COM NPV       26842V207          108  20,398 SH   SOLE           10,999        9,399
ELECTROGLAS INC                   DIVISION EQUIT285324109       13,263 616,900 SH   SOLE          483,700      133,200
CALLAWAY GOLF CO                  COM USD.01    131193104        6,460 396,000 SH   SOLE          161,700      234,300
ENCAD INC                         COM NPV       292503109          123  41,900 SH   SOLE           41,900            0
ESS TECHNOLOGY INC                COM NPV       269151106       18,0161,242,50 SH   SOLE          975,000      267,500
FORD MOTOR CO                     COM USD1      345370100          464  10,800 SH   SOLE           10,800            0
FIRST AMERICAN CORP/CA            COM USD1      318522307        3,903 272,700 SH   SOLE          162,100      110,600
FAIRCHILD SEMICONDUCTOR INTL      CL A COM USD.0303726103       18,492 456,600 SH   SOLE          326,500      130,100
FOUNDRY NETWORKS INC              COM USD.0001  35063R100        3,525  31,900 SH   SOLE            5,700       26,200
FEDEX CORP                        COM USD.1     31428X106          543  14,300 SH   SOLE           14,300            0
FILENET CORP                      COM USD.01    316869106       14,921 812,000 SH   SOLE          644,400      167,600
FOAMEX INTERNATIONAL INC          COM USD.01    344123104        2,883 475,500 SH   SOLE          293,800      181,700
REPUBLIC FIRST BANCORP INC        COM NPV       760416107          227  49,000 SH   SOLE           49,000            0
FSI INTL INC                      COM NPV       302633102          683  31,500 SH   SOLE           31,500            0
FOOTSTAR INC                      COM USD.01    344912100        2,986  89,800 SH   SOLE           54,000       35,800
FACTORY 2-U INC                   COM USD.0001  303072102          575  15,200 SH   SOLE           15,200            0
GADZOOKS INC                      COM USD.01    362553109        4,062 349,900 SH   SOLE          211,400      138,500
CORNING INC                       COM USD5      219350105          648   2,400 SH   SOLE            2,400            0
GLOBESPAN INC                     COM USD.001   379571102       39,566 324,100 SH   SOLE          243,700       80,400
HOUSEHOLD INTERNATIONAL INC       COM USD1      441815107          495  11,900 SH   SOLE           11,900            0
HEALTHEON WEBMD CORP              COM USD.0001  422209106          889  60,000 SH   SOLE                0       60,000
STARWOOD HOTELS&RESORTS WRLD      SHS BEN INT US85590A203          575  17,800 SH   SOLE           17,800            0
HYPERION SOLUTIONS CORP           COM USD.001   44914M104       24,993 770,500 SH   SOLE          597,700      172,800
IBP INC                           COM USD.05    449223106       13,420 869,300 SH   SOLE          627,300      242,000
INTEGRATED DEVICE TECH INC        COM NPV       458118106       11,436 191,000 SH   SOLE           93,100       97,900
INFOCUS CORP                      COM NPV       45665B106          686  21,300 SH   SOLE           21,300            0
INTUIT INC                        COM NPV       461202103          554  13,400 SH   SOLE           13,400            0
IVAX CORP                         COM USD.001   465823102       17,407 419,450 SH   SOLE          181,650      237,800
BAKER (J) INC                     COM USD.5     057232100          316  54,400 SH   SOLE           54,400            0
HARLAND (JOHN H.) CO              COM USD1      412693103        3,061 204,900 SH   SOLE          121,700       83,200
JONES PHARMA INC                  COM USD.04    480236108       19,929 499,000 SH   SOLE          359,800      139,200
KFORCE.COM INC                    COM USD.01    493732101        1,236 178,200 SH   SOLE          104,400       73,800
KULICKE & SOFFA INDUSTRIES        COM NPV       501242101       26,475 445,900 SH   SOLE          354,900       91,000
LINCOLN ELECTRIC HLDGS INC        COM NPV       533900106        2,098 147,200 SH   SOLE           85,300       61,900
LANCE INC                         COM USD.83    514606102          966 107,300 SH   SOLE           65,100       42,200
ALLIANT CORP                      COM NPV       018802108          489  18,800 SH   SOLE           18,800            0
LORAL SPACE & COMMUNICATIONS      COM USD.01    G56462107           22   3,100 SH   SOLE            3,100            0
LOWES COS                         COM USD.5     548661107          448  10,900 SH   SOLE           10,900            0
LIGHTBRIDGE INC                   COM USD.01    532226107          754  31,600 SH   SOLE           31,600            0
LIMITED INC                       COM USD.5     532716107        6,465 298,970 SH   SOLE          127,370      171,600
LEUCADIA NATIONAL CORP            COM USD1      527288104        1,941  85,100 SH   SOLE                0       85,100
MAY DEPARTMENT STORES CO          COM USD1      577778103          430  17,900 SH   SOLE           17,900            0
MENTOR GRAPHICS CORP              COM NPV       587200106        7,970 401,000 SH   SOLE          232,400      168,600
MERIX CORP                        COM NPV       590049102        1,777  37,800 SH   SOLE           37,800            0
MGM GRAND INC                     COM USD1      552953101       20,063 624,522 SH   SOLE          451,804      172,718
MCGRAW-HILL COMPANIES             COM USD1      580645109        7,214 133,600 SH   SOLE          101,600       32,000
MICHAELS STORES INC               COM USD.1     594087108       29,893 652,500 SH   SOLE          518,900      133,600
MINNESOTA MINING & MFG CO         COM NPV       604059105          512   6,200 SH   SOLE            6,200            0
MEASUREMENT SPECIALTIES INC       COM NPV       583421102          933  24,300 SH   SOLE           24,300            0
NBTY INC                          COM USD.008   628782104          838 131,500 SH   SOLE          106,800       24,700
NATIONWIDE FINL SVCS  -CL A       CL A COM USD.0638612101          529  16,100 SH   SOLE           16,100            0
NEWPARK RESOURCES                 COM USD.01    651718504        7,255 768,700 SH   SOLE          454,700      314,000
NORTEL NETWORKS CORP              COM NPV       656568102          601   8,800 SH   SOLE            8,800            0
NETSCOUT SYSTEMS INC              COM USD.001   64115T104          295  22,900 SH   SOLE           22,900            0
NUCOR CORP                        COM USD.4     670346105          441  13,300 SH   SOLE           13,300            0
NVIDIA CORP                       COM USD.001   67066G104          502   7,900 SH   SOLE            7,900            0
QUAKER OATS CO                    COM USD5      747402105          578   7,700 SH   SOLE            7,700            0
OFFICE DEPOT INC                  COM USD.01    676220106          366  58,500 SH   SOLE           58,500            0
ORTHOLOGIC CORP                   COM USD.0005  68750J107          390  78,900 SH   SOLE           78,900            0
OWENS & MINOR INC                 COM USD2      690732102        6,450 375,300 SH   SOLE          223,300      152,000
OMI CORP                          COM USD.5     Y6476W104        2,878 529,300 SH   SOLE          486,300       43,000
OFFICEMAX INC                     COM NPV       67622M108        4,545 908,900 SH   SOLE          364,700      544,200
ONTRACK DATA INTL INC             COM USD.01    683372106          413  52,900 SH   SOLE           52,900            0
OVERSEAS SHIPHOLDING GROUP        COM USD1      690368105          798  32,400 SH   SOLE           28,000        4,400
PAUL HARRIS STORES                COM NPV       703555201        1,231 469,000 SH   SOLE          272,600      196,400
PEPSI BOTTLING GROUP INC          COM USD.01    713409100          595  20,400 SH   SOLE           20,400            0
PACCAR INC                        COM USD12     693718108          496  12,500 SH   SOLE           12,500            0
PG&E CORP                         COM USD5      69331C108          534  21,700 SH   SOLE           21,700            0
PARADYNE NETWORKS INC             COM USD.001   69911G107       21,771 668,600 SH   SOLE          530,000      138,600
PETSMART INC                      COM USD.0001  716768106        3,6481,080,80 SH   SOLE          677,500      403,300
PIER 1 IMPORTS INC/DE             COM USD1      720279108        6,100 610,000 SH   SOLE          366,600      243,400
PMI GROUP INC                     COM USD.01    69344M101        6,135 129,150 SH   SOLE           55,700       73,450
PNC FINANCIAL SVCS GROUP INC      COM USD5      693475105          473  10,100 SH   SOLE           10,100            0
SCP POOL CORP                     COM USD.001   784028102          663  28,200 SH   SOLE           28,200            0
PRI AUTOMATION INC                COM USD.01    69357H106        2,609  39,900 SH   SOLE           39,900            0
PROJECT SOFTWARE & DEV INC        COM USD.01    74339P101        9,974 554,100 SH   SOLE          433,400      120,700
PER-SE TECHNOLOGIES INC           COM USD.01    713569309        6,631 707,300 SH   SOLE          422,300      285,000
PENNZOIL-QUAKER STATE CO          COM USD.1     709323109        2,068 171,400 SH   SOLE          102,100       69,300
QLOGIC CORP                       COM USD.1     747277101       37,669 570,200 SH   SOLE          426,400      143,800
RARE HOSPITALITY INTL INC         COM NPV       753820109        4,684 165,800 SH   SOLE          106,400       59,400
REPUBLIC BANCORP INC              COM NPV       760282103        2,601 291,030 SH   SOLE          172,580      118,450
RENT-A-CENTER INC                 COM USD.01    76009N100          695  30,900 SH   SOLE           30,900            0
RICHARDSON ELEC LTD               COM USD.05    763165107        1,110  69,100 SH   SOLE           69,100            0
ROBERT HALF INTL INC              COM USD1      770323103       34,0951,196,30 SH   SOLE          887,100      309,200
RAINBOW TECHNOLOGIES INC          COM USD.001   750862104          817  16,800 SH   SOLE           16,800            0
ROSS STORES INC                   COM USD.01    778296103        4,873 285,600 SH   SOLE          131,100      154,500
RTI INTL METALS INC               COM USD.01    74973W107        3,145 276,500 SH   SOLE          249,400       27,100
SEARS ROEBUCK & CO                COM USD.75    812387108        2,023  62,000 SH   SOLE           14,400       47,600
SUCCESSORIES INC                  COM USD.01    864591102          266 149,400 SH   SOLE          149,400            0
SCI SYSTEMS INC                   COM USD.1     783890106          451  11,500 SH   SOLE           11,500            0
SEAGATE TECHNOLOGY                COM NPV       811804103        4,719  85,800 SH   SOLE           37,500       48,300
SEITEL INC                        COM NPV       816074306        4,747 584,300 SH   SOLE          324,200      260,100
SCIENTIFIC-ATLANTA INC            COM USD.5     808655104       54,273 728,500 SH   SOLE          545,600      182,900
SMITH INTERNATIONAL INC           COM NPV       832110100        7,755 106,500 SH   SOLE           82,500       24,000
S3 INCORPORATED                   COM USD.0001  784849101       17,8551,210,50 SH   SOLE          949,800      260,700
SAKS INC                          COM USD.1     79377W108        2,449 234,600 SH   SOLE           97,500      137,100
SMARTDISK CORP                    COM USD.001   83169Q105          446  16,200 SH   SOLE           16,200            0
SEMTECH CORP                      COM USD.01    816850101       56,323 736,400 SH   SOLE          577,500      158,900
SEMITOOL INC                      COM NPV       816909105          957  55,300 SH   SOLE           55,300            0
SOLA INTL INC                     COM USD1      834092108          631 129,400 SH   SOLE           74,200       55,200
SPLASH TECHNOLOGY HLDGS INC       COM USD.001   848623104          362  46,000 SH   SOLE           46,000            0
SPX CORP                          COM USD1      784635104          556   4,600 SH   SOLE            4,600            0
SERENA SOFTWARE INC               COM USD.0001  817492101        1,346  29,650 SH   SOLE           29,650            0
SILICON STORAGE TECHNOLOGY        COM NPV       827057100       21,495 243,400 SH   SOLE          193,400       50,000
EDGEWATER TECHNOLOGY INC.	    COM USD.01	280358102        2,100 314,000 SH   SOLE          187,700      126,300
ST JUDE MEDICAL INC               COM USD.1     790849103          569  12,400 SH   SOLE           12,400            0
STATION CASINOS INC               COM USD.01    857689103       27,9951,119,80 SH   SOLE          889,100      230,700
SILICON VALLEY GROUP INC          COM USD.01    827066101        5,405 208,900 SH   SOLE          208,900            0
SYBASE INC                        COM USD.001   871130100       31,4851,368,90 SH   SOLE         1,076,700     292,200
TELEPHONE & DATA                  COM USD1      879433100          491   4,900 SH   SOLE            4,900            0
THREE-FIVE SYSTEMS INC            COM USD.01    88554L108       15,181 257,299 SH   SOLE          162,699       94,600
TRIGON HEALTHCARE INC             COM USD.01    89618L100       16,211 314,400 SH   SOLE          246,000       68,400
TARGET CORP                       COM USD1      87612E106          493   8,500 SH   SOLE            8,500            0
TALBOTS INC                       COM USD.01    874161102          505   9,200 SH   SOLE            9,200            0
TOLLGRADE COMMUNICATIONS INC      COM USD.2     889542106        1,868  14,100 SH   SOLE           14,100            0
TMP WORLDWIDE INC                 COM USD.001   872941109       36,685 497,000 SH   SOLE          364,000      133,000
TOO INC                           COM NPV       890333107       12,500 491,400 SH   SOLE          390,600      100,800
TOPPS CO INC                      COM USD.01    890786106        5,168 449,400 SH   SOLE          271,000      178,400
TOYS R US INC                     COM USD.1     892335100          466  32,000 SH   SOLE           32,000            0
TRIMBLE NAVIGATION LTD            COM NPV       896239100        1,679  34,400 SH   SOLE           34,400            0
TURNSTONE SYSTEMS INC             COM USD.001   900423104       34,427 207,800 SH   SOLE          155,300       52,500
TUPPERWARE CORP                   COM USD.01    899896104        5,091 231,400 SH   SOLE           75,600      155,800
TITAN INTERNATIONAL INC           COM NPV       88830M102        3,508 660,400 SH   SOLE          392,100      268,300
UNIVERSAL HEALTH SVCS  -CL B      CL B COM USD.0913903100       31,656 483,300 SH   SOLE          384,200       99,100
UNOVA INC                         COM USD.01    91529B106        1,352 184,900 SH   SOLE          112,700       72,200
USA NETWORKS INC                  COM USD1      902984103        3,533 163,388 SH   SOLE           96,088       67,300
US ONCOLOGY INC                   COM USD.01    90338W103        1,240 248,000 SH   SOLE          144,500      103,500
UNIROYAL TECHNOLOGY CORP          COM USD.01    909163107          688  62,200 SH   SOLE           62,200            0
UTAH MEDICAL PRODUCTS INC         COM USD.01    917488108          305  44,700 SH   SOLE           44,700            0
VARIAN MEDICAL SYTEMS INC         COM USD1      92220P105       22,429 561,100 SH   SOLE          443,800      117,300
VARIAN INC                        COM USD.01    922206107       38,542 835,600 SH   SOLE          659,200      176,400
VISTEON CORP                      COM USD1      92839U107           17   1,413 SH   SOLE            1,413            0
VIANT CORP                        COM USD.001   92553N107       11,198 378,000 SH   SOLE          299,400       78,600
VIRCO MANUFACTURING               COM USD.5     927651109          315  21,370 SH   SOLE           21,370            0
VISHAY INTRTECHNOLOGY             COM USD.1     928298108          387  10,200 SH   SOLE           10,200            0
WHIRLPOOL CORP                    COM USD1      963320106       14,789 317,200 SH   SOLE          248,100       69,100
WESTWOOD ONE INC                  COM USD.01    961815107       24,430 715,900 SH   SOLE          528,000      187,900
TRICON GLOBAL RESTAURANTS         COM NPV       895953107        1,752  62,000 SH   SOLE           16,900       45,100
VENATOR GROUP INC                 COM USD3      922944103        5,880 573,700 SH   SOLE          262,100      311,600
ZALE CORP                         COM USD.01    988858106       17,392 476,500 SH   SOLE          365,300      111,200

</TABLE>


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