FULLER & THALER ASSET MANAGEMENT /CA
13F-HR, 2000-02-10
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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: December 31, 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, Feburary 10, 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:	154
Form 13F Information Table Value Total:	$1,460,706,450

<PAGE>

<TABLE>		                               <C>                                 <C>
NAME OF ISSUER 	            TITTLE       CUSIP      VALUE     SH/PRN SH/P INVSTMT OTHER  VOTING AUTHORITY
                              OF CLASS              (*$1000)     AMT        DSCRETN MANAGER  SOLE  SHARE  NONE
ABAXIS INC                 COM NPV       002567105          887 114,500 SH  SOLE            114,500            0
ADVO INC                   COM USD.01    007585102        6,289 264,800 SH  SOLE             99,000      165,800
ALLIED PRODUCTS            COM USD.01    019411107          407 114,300 SH  SOLE            114,300            0
ADAPTEC INC                COM USD.001   00651F108       24,593 493,100 SH  SOLE            370,400      122,700
ALLERGAN INC               COM USD.01    018490102       30,313 609,300 SH  SOLE            486,400      122,900
ACCLAIM ENMNT INC          COM USD.02    004325205        4,292 837,400 SH  SOLE            347,900      489,500
ALDILA INC                 COM USD.01    014384101        2,2481,634,80 SH  SOLE            625,000     1,009,80
AIRGAS INC                 COM USD.01    009363102        7,702 810,700 SH  SOLE            203,500      607,200
AMERICAN STANDARD COS INC  COM USD.01    029712106       24,493 533,900 SH  SOLE            398,800      135,100
CROSS (A.T.) & CO  -CL A   CL A COM USD1 227478104          455 101,000 SH  SOLE            101,000            0
AVADO BRANDS INC           COM USD.01    05336P108        3,320 786,900 SH  SOLE            332,500      454,400
AVX CORP                   COM USD1      002444107       29,084 582,400 SH  SOLE            446,100      136,300
AMERICA WEST HLDG CP  -CL BCL B COM USD.5023657208        8,781 423,200 SH  SOLE            112,000      311,200
AUTOZONE INC               COM NPV       053332102           61   1,900 SH  SOLE              1,900            0
BRUNSWICK CORP             COM USD.75    117043109           60   2,700 SH  SOLE              2,700            0
BE AEROSPACE INC           COM USD.01    073302101        2,560 303,400 SH  SOLE            123,900      179,500
BELL & HOWELL COMPANY      COM USD.01    077852101       12,884 405,000 SH  SOLE            337,200       67,800
BJS WHOLESALE CLUB INC     COM USD.01    05548J106       22,079 604,900 SH  SOLE            459,600      145,300
BARNES & NOBLE INC         COM USD.001   067774109          118   5,700 SH  SOLE              5,700            0
BALL CORP                  COM NPV       058498106       12,376 314,300 SH  SOLE            262,800       51,500
BANTA CORP                 COM USD.1     066821109        5,801 257,100 SH  SOLE             93,800      163,300
BELCO OIL & GAS CORP       COM USD.01    077410108          238  43,300 SH  SOLE             43,300            0
BISYS GROUP INC            COM USD.02    055472104           78   1,200 SH  SOLE              1,200            0
CAMERON ASHLEY BLDG PROD INCOM NPV       133290106          269  26,900 SH  SOLE             26,900            0
CARRIER ACCESS CORP        COM USD.001   144460102       20,840 309,600 SH  SOLE            265,300       44,300
CONCURRENT COMPUTER CP     COM USD.01    206710204       15,716 841,000 SH  SOLE            347,000      494,000
CENTRAL GARDEN & PET CO    CL B COM USD.0153527106        2,563 247,000 SH  SOLE             88,100      158,900
CERNER CORP                COM USD.01    156782104           95   4,800 SH  SOLE              4,800            0
CENTIGRAM COMMUNICATIONS CPCOM NPV       152317103          514  30,700 SH  SOLE             30,700            0
CHURCH & DWIGHT INC        COM NPV       171340102       21,217 795,000 SH  SOLE            675,700      119,300
CLICKACTION INC            COM USD.001   18681E107          450  15,300 SH  SOLE             15,300            0
COPPER MTN NETWORKS INC    COM USD.001   217510106       19,412 398,200 SH  SOLE            291,900      106,300
CAREMARK RX INC            COM USD.001   141705103        3,845 759,500 SH  SOLE            287,400      472,100
CONEXANT SYSTEMS INC       COM NPV       207142100       63,647 958,900 SH  SOLE            785,100      173,800
COLUMBIA BKG SYS INC       COM NPV       197236102          318  24,200 SH  SOLE             24,200            0
COMPAQ COMPUTER CORP       COM USD.01    204493100           57   2,100 SH  SOLE              2,100            0
CIRRUS LOGIC INC           COM NPV       172755100        7,687 577,400 SH  SOLE            214,600      362,800
1-800 CONTACTS INC         COM USD.01    681977104          506  18,700 SH  SOLE             18,700            0
CUMMINS ENGINE             COM USD2.5    231021106       14,673 303,700 SH  SOLE            209,300       94,400
CVS CORP                   COM USD1      126650100           64   1,600 SH  SOLE              1,600            0
DATA BROADCASTING CORP     COM NPV       237596101           78   9,400 SH  SOLE              9,400            0
DEB SHOPS INC              COM USD.01    242728103          383  20,700 SH  SOLE             20,700            0
DIGI INTERNATIONAL INC     COM USD.01    253798102        2,867 274,700 SH  SOLE            116,200      158,500
DITECH COMMUNICATIONS CORP COM USD.001   25500M103       16,662 178,200 SH  SOLE            152,400       25,800
DORAL FINANCIAL CORP       COM USD1      25811P100        3,885 315,500 SH  SOLE            116,700      198,800
DARDEN RESTAURANTS INC     COM NPV       237194105        7,154 394,700 SH  SOLE             95,500      299,200
ENGELHARD CORP             COM USD1      292845104        7,593 402,300 SH  SOLE             97,100      305,200
ELECTRONIC DATA SYSTEMS CORCOM USD.1     285661104           60     900 SH  SOLE                900            0
EEX CORP                   COM NPV       26842V207        1,420 483,264 SH  SOLE            188,765      294,499
ELECTROGLAS INC            DIVISION EQUIT285324109       15,951 628,600 SH  SOLE            531,400       97,200
ELECTRONICS BOUTIQUE HLDG CCOM USD.01    286045109          304  16,900 SH  SOLE             16,900            0
CALLAWAY GOLF CO           COM USD.01    131193104       11,308 639,300 SH  SOLE            176,500      462,800
ENESCO GROUP INC           COM USD.25 VTG292973104        3,061 276,700 SH  SOLE            109,700      167,000
ENCAD INC                  COM NPV       292503109          193  40,300 SH  SOLE             40,300            0
ESS TECHNOLOGY INC         COM NPV       269151106       28,6221,290,00 SH  SOLE           1,098,500     191,500
FIRST AMER FINL CP CA      COM USD1      318522307        5,176 416,200 SH  SOLE            151,700      264,500
F5 NETWORKS INC            COM NPV       315616102       14,683 128,800 SH  SOLE            109,600       19,200
FOAMEX INTERNATIONAL INC   COM USD.01    344123104        5,800 697,800 SH  SOLE            282,300      415,500
FOSSIL INC                 COM USD.01    349882100       15,889 687,100 SH  SOLE            582,325      104,775
REPUBLIC FIRST BANCORP INC COM NPV       760416107          250  48,100 SH  SOLE             48,100            0
FOOTSTAR INC               COM USD.01    344912100        8,229 269,800 SH  SOLE             76,600      193,200
FACTORY 2-U INC            COM USD.0001  303072102          414  14,600 SH  SOLE             14,600            0
GADZOOKS INC               COM USD.01    362553109        5,292 539,300 SH  SOLE            235,600      303,700
GENERAL INSTRUMENT CORP    COM USD1      370120107       56,712 667,200 SH  SOLE            535,200      132,000
CORNING INC                COM USD5      219350105           77     600 SH  SOLE                600            0
GARDEN RIDGE CORP          COM USD.01    36541P104          706  61,700 SH  SOLE             61,700            0
HIBERNIA CORP  -CL A       CL A COM NPV  428656102        6,785 638,600 SH  SOLE            163,200      475,400
HYPERION SOLUTIONS CORP    COM USD.001   44914M104       32,860 755,400 SH  SOLE            642,900      112,500
IBP INC                    COM USD.05    449223106       15,646 869,200 SH  SOLE            648,900      220,300
INTEGRATED DEVICE TECH INC COM NPV       458118106       11,330 390,700 SH  SOLE            119,900      270,800
IN FOCUS SYSTEMS INC       COM NPV       452919103          482  20,800 SH  SOLE             20,800            0
INTERVOICE-BRITE INC       COM NPV       461142101       15,754 677,600 SH  SOLE            269,100      408,500
IVAX CORP                  COM USD.001   465823102       10,416 404,500 SH  SOLE            103,500      301,000
JAKKS PACIFIC INC          COM USD.001   47012E106          460  24,600 SH  SOLE             24,600            0
BAKER (J) INC              COM USD.5     057232100          309  51,500 SH  SOLE             51,500            0
HARLAND (JOHN H.) CO       COM USD1      412693103        4,943 269,900 SH  SOLE            117,700      152,200
JUSTIN INDUSTRIES          COM USD2.5    482171105          463  31,100 SH  SOLE             31,100            0
KULICKE & SOFFA INDUSTRIES COM NPV       501242101       19,072 448,100 SH  SOLE            385,800       62,300
KRONOS INC                 COM USD.01    501052104          576   9,600 SH  SOLE              9,600            0
LINCOLN ELECTRIC HLDGS INC COM NPV       533900106        4,791 232,300 SH  SOLE             99,400      132,900
LIGHTBRIDGE INC            COM USD.01    532226107          835  30,100 SH  SOLE             30,100            0
LIMITED INC                COM USD.5     532716107        9,376 216,484 SH  SOLE             54,305      162,179
LUMISYS INC                COM USD.001   550274104          154  48,800 SH  SOLE             48,800            0
LEXMARK INTL GRP INC  -CL ACL A COM USD.0529771107       29,114 321,700 SH  SOLE            248,800       72,900
MAY DEPARTMENT STORES CO   COM USD1      577778103           55   1,700 SH  SOLE              1,700            0
MENTOR GRAPHICS CORP       COM NPV       587200106        4,616 350,000 SH  SOLE            136,000      214,000
MERIX CORP                 COM NPV       590049102          400  36,400 SH  SOLE             36,400            0
MESA AIR GROUP INC         COM NPV       590479101        1,381 290,700 SH  SOLE            174,000      116,700
MGM GRAND INC              COM USD1      552953101       12,548 249,411 SH  SOLE            171,428       77,983
MODEM MEDIA POPPE TYSON INCCL A COM USD.0607533106       16,939 240,700 SH  SOLE            204,200       36,500
MEASUREMENT SPECIALTIES INCCOM NPV       583421102          486  23,300 SH  SOLE             23,300            0
MIDWAY GAMES INC           COM USD.01    598148104        7,928 331,200 SH  SOLE            135,000      196,200
NBTY INC                   COM USD.008   628782104        8,776 759,000 SH  SOLE            689,600       69,400
NATIONWIDE FINL SVCS  -CL ACL A COM USD.0638612101           56   2,000 SH  SOLE              2,000            0
NOVA CORP/GA               COM USD.01    669784100           60   1,900 SH  SOLE              1,900            0
NEWPARK RESOURCES          COM USD.01    651718504        5,253 857,600 SH  SOLE            324,700      532,900
OPTICAL COATING LAB INC    COM USD.01    683829105       69,812 235,850 SH  SOLE            193,650       42,200
OFFICE DEPOT INC           COM USD.01    676220106           68   6,200 SH  SOLE              6,200            0
ORTHOLOGIC CORP            COM USD.0005  68750J107          192  74,800 SH  SOLE             74,800            0
OWENS & MINOR INC          COM USD2      690732102        2,114 236,500 SH  SOLE            141,100       95,400
OMI CORP                   COM USD.5     Y6476W104        1,859 900,900 SH  SOLE            468,900      432,000
OFFICEMAX INC              COM NPV       67622M108        7,2421,331,90 SH  SOLE            343,200      988,700
ONTRACK DATA INTL INC      COM USD.01    683372106          659  54,600 SH  SOLE             54,600            0
BANK ONE CORP              COM NPV       06423A103           58   1,800 SH  SOLE              1,800            0
ORTEL CORP                 COM USD.001   68749W102        1,476  12,300 SH  SOLE             12,300            0
PAUL HARRIS STORES         COM NPV       703555201        1,797 653,400 SH  SOLE            326,200      327,200
PETSMART INC               COM USD.0001  716768106        2,092 363,850 SH  SOLE            179,450      184,400
PIER 1 IMPORTS INC/DE      COM USD1      720279108        6,192 971,300 SH  SOLE            344,700      626,600
PLAYERS INTERNATIONAL INC  COM USD.005   727903106        7,457 907,300 SH  SOLE            821,900       85,400
No company or set was speciNo company or No compan        9,331 191,150 SH  SOLE             52,450      138,700
PROGRESS SOFTWARE CORP     COM USD.01    743312100       31,715 558,850 SH  SOLE            473,900       84,950
PRECISION RESPONSE CORP    COM USD.01    740314109       10,098 416,400 SH  SOLE            183,400      233,000
PROJECT SOFTWARE & DEV INC COM USD.01    74339P101       31,496 567,500 SH  SOLE            484,700       82,800
PHOENIX INVESTMENT PARTNERSCOM USD.01    719085102        2,076 255,500 SH  SOLE             96,900      158,600
QLOGIC CORP                COM USD.1     747277101       67,403 421,600 SH  SOLE            343,400       78,200
RARE HOSPITALITY INTL INC  COM NPV       753820109        6,633 306,500 SH  SOLE            118,400      188,100
REPUBLIC BANCORP INC       COM NPV       760282103        5,192 427,680 SH  SOLE            160,270      267,410
RF MICRO DEVICES INC       COM NPV       749941100       58,233 850,900 SH  SOLE            695,300      155,600
ROSS STORES INC            COM USD.01    778296103        7,720 430,400 SH  SOLE            112,000      318,400
ROSLYN BANCORP INC         COM USD.01    778162107        3,419 184,800 SH  SOLE             67,400      117,400
RTI INTL METALS INC        COM USD.01    74973W107        1,107 147,600 SH  SOLE             87,000       60,600
RAYONIER INC               COM NPV       754907103        8,498 175,900 SH  SOLE             43,800      132,100
SUCCESSORIES INC           COM USD.01    864591102          324 143,900 SH  SOLE            143,900            0
SCI SYSTEMS INC            COM USD.1     783890106           82   1,000 SH  SOLE              1,000            0
STERLING COMMERCE INC      COM USD.01    859205106           58   1,700 SH  SOLE              1,700            0
SEAGATE TECHNOLOGY         COM NPV       811804103       13,345 286,600 SH  SOLE             85,100      201,500
SCIENTIFIC-ATLANTA INC     COM USD.5     808655104       24,658 441,300 SH  SOLE            339,600      101,700
S3 INCORPORATED            COM USD.0001  784849101       14,5631,259,50 SH  SOLE           1,074,600     184,900
SAKS INC                   COM USD.1     79377W108        7,316 470,100 SH  SOLE            126,400      343,700
SEMTECH CORP               COM USD.01    816850101       39,500 757,800 SH  SOLE            644,900      112,900
SOLUTIA INC                COM USD.01    834376105           56   3,600 SH  SOLE              3,600            0
SPECTRIAN CORP             COM NPV       847608106       13,636 482,700 SH  SOLE            409,900       72,800
SERENA SOFTWARE INC        COM USD.0001  817492101        1,002  32,400 SH  SOLE             32,400            0
SUPERIOR INDUSTRIES INTL   COM USD.5     868168105        5,035 187,800 SH  SOLE             74,400      113,400
SAFEWAY INC                COM NPV       786514208           57   1,600 SH  SOLE              1,600            0
SYBASE INC                 COM USD.001   871130100       23,0881,358,10 SH  SOLE           1,147,400     210,700
TACO CABANA  -CL A         CL A COM USD.0873425102          320  39,400 SH  SOLE             39,400            0
THREE-FIVE SYSTEMS INC     COM USD.01    88554L108       15,052 367,130 SH  SOLE            152,464      214,666
TMP WORLDWIDE INC          COM USD.001   872941109       36,167 254,700 SH  SOLE            196,000       58,700
TOPPS CO INC               COM USD.01    890786106        7,234 697,300 SH  SOLE            263,100      434,200
TOYS R US INC              COM USD.1     892335100           99   6,900 SH  SOLE              6,900            0
TUPPERWARE CORP            COM USD.01    899896104        5,649 333,500 SH  SOLE             73,100      260,400
TWEETER HOME ENTMT GROUP INCOM USD.01    901167106          540  15,200 SH  SOLE             15,200            0
UTAH MEDICAL PRODUCTS INC  COM USD.01    917488108          286  42,300 SH  SOLE             42,300            0
UNOVA INC                  COM USD.01    91529B106        5,192 399,400 SH  SOLE            149,000      250,400
UNIROYAL TECHNOLOGY CORP   COM USD.01    909163107          969  38,000 SH  SOLE             38,000            0
VARIAN INC                 COM USD.01    922206107       19,022 845,400 SH  SOLE            720,100      125,300
VDI MULTIMEDIA             COM NPV       917916108          580  42,200 SH  SOLE             42,200            0
VIRCO MANUFACTURING        COM USD.5     927651109          265  20,370 SH  SOLE             20,370            0
WHIRLPOOL CORP             COM USD1      963320106       22,850 351,200 SH  SOLE            262,000       89,200
WATKINS-JOHNSON            COM NPV       942486101          440  11,000 SH  SOLE             11,000            0
XIRCOM INC                 COM USD.001   983922105       27,023 360,300 SH  SOLE            303,300       57,000
ZALE CORP                  COM USD.01    988858106       22,223 459,400 SH  SOLE            384,800       74,600
QUIKSILVER INC             COM USD.01    74838C106        4,516 291,350 SH  SOLE            260,300       31,050

</TABLE>


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