UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
Form 13F
Form 13F COVER PAGE
Report for the Calendar Year or Quarter Ended: Sept. 30, 2000
Check here if Amendment [ ]; Amendment Number:
This Amendment (Check only one.): [ ] is a restatement.
[X] adds new holdings
entries.
Institutional Investment Manager Filing this Report:
Name: Zacks Investment Management
Address: 155 North Wacker -2nd Floor
Chicago, Illinois
60606
Form 13F File Number: 28-_80140592
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 considered integral parts of
this form.
Person Signing this Report on Behalf of Reporting Manager:
Name: Ken Levy
Title: Vice President
Phone: 312-630-9880 x121
Signature, Place, and Date of Signing:
Ken Levy________ Chicago, IL___________ 10/26/00
[Signature] [City, State] [Date]
Report Type (Check only one.):
[X] 13F HOLDINGS REPORT. (Check here if all holdings of this
reporting manager are reported in this report.)
<PAGE>
[ ] 13F NOTICE. (Check here if no holdings reported are in this
report, and all holdings are reported by other reporting
manager(s).)
[ ] 13F COMBINATION REPORT. (Check here if a portion of the
holdings for this reporting manager are reported in this
report and a portion are reported by other reporting
manager(s).)
List of Other Managers Reporting for this Manager:
[If there are no entries in this list, omit this section.]
Form 13F File Number Name
28-____________
[Repeat as necessary.]
<PAGE>
Form 13F SUMMARY PAGE
Report Summary:
Number of Other Included Managers: 0
Form 13F Information Table Entry Total: 175
Form 13F Information Table Value Total: 372151
(thousands)
List of Other Included Managers: NONE
Provide a numbered list of the name(s) and Form 13F file
number(s) of all institutional investment managers with respect
to which this report is filed, other than the manager filing this
report.
[If there are no entries in this list, state "NONE" and omit the
column headings and list entries.]
No. Form 13F File Number Name
____ 28-____________
[Repeat as necessary.
<PAGE>
<TABLE> <C> <C>
FORM 13F INFORMATION TABLE
Column 1 Column 2 Column 3 Column 4 Column 5Column 6 Column 7 Column 8
Value (x$100Shares/ SH/ PUT/ INVSTMT OTHER
NAME OF ISSUER TITLE OF CLASS CUSIP PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED
Alcoa Inc C. Stock 013817101 929 36720SH Sole None 36720 0
Actel Corp C. Stock 004934105 129 3590SH Sole None 3590 0
Act Mfg Inc C. Stock 000973107 37 700SH Sole None 700 0
Adobe Systems C. Stock 00724F101 4737 30510SH Sole None 30510 0
Adc Telecomm C. Stock 000886101 1661 61820SH Sole None 61820 0
Adtran Inc C. Stock 00738A106 1507 35460SH Sole None 35460 0
Aflac Inc C. Stock 001055102 4869 76000SH Sole None 76000 0
Allergan Inc C. Stock 018490102 2422 28680SH Sole None 28680 0
Amerada Hess C. Stock 023551104 211 3150SH Sole None 3150 0
Alpharma Inc C. Stock 020813101 3729 61000SH Sole None 61000 0
Apache Corp C. Stock 037411105 222 3760SH Sole None 3760 0
Air Prods & Che C. Stock 009158106 3177 88250SH Sole None 88250 0
Amphenol Corp-A C. Stock 032095101 2192 38500SH Sole None 38500 0
Apw Limited C. Stock G04397108 2059 42240SH Sole None 42240 0
Arrow Electroni C. Stock 042735100 3550 104210SH Sole None 104210 0
Amer Std -Del C. Stock 029712106 1273 28650SH Sole None 28650 0
Asyst Tech Inc C. Stock 04648X107 14 710SH Sole None 710 0
Allegheny Tech C. Stock 01741R102 1142 63000SH Sole None 63000 0
Actuant Corp C. Stock 00508X104 166 42240SH Sole None 42240 0
Avis Rent A Car C. Stock 053790101 3019 101900SH Sole None 101900 0
Avon Prods Inc C. Stock 054303102 3845 94070SH Sole None 94070 0
Boeing Co C. Stock 097023105 6120 97150SH Sole None 97150 0
Baxter Intl C. Stock 071813109 3255 40780SH Sole None 40780 0
Bed Bath&Beyond C. Stock 075896100 210 8620SH Sole None 8620 0
Brunswick Corp C. Stock 117043109 1333 73050SH Sole None 73050 0
Bj Services C. Stock 055482103 217 3550SH Sole None 3550 0
Buckeye Tech C. Stock 118255108 1585 76400SH Sole None 76400 0
Bell South C. Stock 079860102 3728 92630SH Sole None 92630 0
Biomet C. Stock 090613100 2104 60100SH Sole None 60100 0
Bowater Inc C. Stock 102183100 105 2260SH Sole None 2260 0
Brooktrout Inc C. Stock 114580103 21 630SH Sole None 630 0
Anheuser Busch C. Stock 035229103 4958 117170SH Sole None 117170 0
Biovail Corp C. Stock 09067J109 3308 40620SH Sole None 40620 0
Citigroup Inc C. Stock 172967101 5043 93282SH Sole None 93282 0
Conagra Foods C. Stock 205887102 1045 52070SH Sole None 52070 0
Cardinal Health C. Stock 14149Y108 5970 67700SH Sole None 67700 0
Chico's FAS C. Stock 168615102 2330 68670SH Sole None 68670 0
Check Pt Softw C. Stock M22465104 3024 19200SH Sole None 19200 0
Cigna Corp C. Stock 125509109 2055 19680SH Sole None 19680 0
Colgate Palmoli C. Stock 194162103 2851 60400SH Sole None 60400 0
Credence Sys Cp C. Stock 225302108 15 500SH Sole None 500 0
Comverse Tech C. Stock 205862402 1765 16340SH Sole None 16340 0
Cdn Pac Ltd C. Stock 135923100 2540 97700SH Sole None 97700 0
Cvs Corp C. Stock 126650100 3522 76040SH Sole None 76040 0
Cymer Inc C. Stock 232572107 1041 33980SH Sole None 33980 0
Delta Air Lines C. Stock 247361108 1365 30750SH Sole None 30750 0
Disney Walt C. Stock 254687106 4432 115870SH Sole None 115870 0
Dow Jones & Co C. Stock 260561105 2556 42240SH Sole None 42240 0
Dover Corp C. Stock 260003108 3187 67900SH Sole None 67900 0
Delphi Automot C. Stock 247126105 1498 99060SH Sole None 99060 0
Dst Systems C. Stock 233326107 2468 21000SH Sole None 21000 0
Dollar Thrifty C. Stock 256743105 30 1500SH Sole None 1500 0
Dynegy Inc C. Stock 26816Q101 2683 47070SH Sole None 47070 0
Brinker Intl C. Stock 109641100 4357 144620SH Sole None 144620 0
Engelhard Corp C. Stock 292845104 1813 111580SH Sole None 111580 0
Elan Cp Plc Adr C. Stock 284131208 249 4550SH Sole None 4550 0
Eastman Chem Co C. Stock 277432100 2094 56700SH Sole None 56700 0
Electro Sci Ind C. Stock 285229100 125 3550SH Sole None 3550 0
Esterline C. Stock 297425100 1285 65250SH Sole None 65250 0
Edwards Lifesci C. Stock 28176E108 1362 62456SH Sole None 62456 0
Fleet Boston C. Stock 339030108 4153 106480SH Sole None 106480 0
Fairchild Semi C. Stock 303726103 3522 125210SH Sole None 125210 0
First Data Corp C. Stock 319963104 4773 122180SH Sole None 122180 0
Fmc Corp C. Stock 302491303 2412 35960SH Sole None 35960 0
Fsi Intl C. Stock 302633102 965 67720SH Sole None 67720 0
Genl Dynamics C. Stock 369550108 2296 36550SH Sole None 36550 0
Gildan Actvwear C. Stock 375916103 147 4400SH Sole None 4400 0
Corning Inc C. Stock 219350105 2326 7830SH Sole None 7830 0
Genl Motors C. Stock 370442105 147 2267SH Sole None 2267 0
Genl Motors Clh C. Stock 370442832 74 1977SH Sole None 1977 0
Hall Kinion C. Stock 406069104 1229 43200SH Sole None 43200 0
Harman Intl Ind C. Stock 413086109 1910 48840SH Sole None 48840 0
Household Intl C. Stock 441815107 1813 32020SH Sole None 32020 0
Hartford Fin Sv C. Stock 416515104 3285 45040SH Sole None 45040 0
Heidrick & Strg C. Stock 422819102 2493 48530SH Sole None 48530 0
Hewlett Packard C. Stock 428236103 3431 35370SH Sole None 35370 0
Intl Bus Mach C. Stock 459200101 2627 23350SH Sole None 23350 0
Integr Device C. Stock 458118106 4616 51040SH Sole None 51040 0
Intl Game Tech C. Stock 459902102 2367 70380SH Sole None 70380 0
Intl Rectifier C. Stock 460254105 1557 30800SH Sole None 30800 0
Johnson & Johns C. Stock 478160104 3088 32870SH Sole None 32870 0
Jeff-Pilot Corp C. Stock 475070108 2143 31580SH Sole None 31580 0
Keebler Foods C. Stock 487256109 4567 108730SH Sole None 108730 0
Kenneth Cole Pr C. Stock 193294105 28 780SH Sole None 780 0
Kemet Corp C. Stock 488360108 27 960SH Sole None 960 0
Kirby Corp C. Stock 497266106 26 1300SH Sole None 1300 0
King Pharmaceut C. Stock 495582108 2140 64004SH Sole None 64004 0
Kulicke & Soffa C. Stock 501242101 778 58730SH Sole None 58730 0
Kimberly Clark C. Stock 494368103 2695 48295SH Sole None 48295 0
Kroger Co C. Stock 501044101 2285 101260SH Sole None 101260 0
Knight Ridder C. Stock 499040103 2170 42715SH Sole None 42715 0
Kansas City Sou C. Stock 485170302 1029 118400SH Sole None 118400 0
Lehman Bros Hld C. Stock 524908100 4632 31350SH Sole None 31350 0
Laboratory Cp C. Stock 50540R409 3164 26420SH Sole None 26420 0
L-3 Comm Hldgs C. Stock 502424104 189 3350SH Sole None 3350 0
Lattice Semicon C. Stock 518415104 2806 52320SH Sole None 52320 0
Lone Star Tech C. Stock 542312103 1251 27110SH Sole None 27110 0
Limited Inc C. Stock 532716107 2551 115630SH Sole None 115630 0
Learning Tree C. Stock 522015106 1580 33210SH Sole None 33210 0
Manpower Inc Wi C. Stock 56418H100 1767 55330SH Sole None 55330 0
Metlife Inc C. Stock 59156R108 3165 120850SH Sole None 120850 0
Mgm Mirage C. Stock 552953101 3296 86310SH Sole None 86310 0
Mcgraw-Hill Cos C. Stock 580645109 2892 45500SH Sole None 45500 0
Michaels Stores C. Stock 594087108 3177 79560SH Sole None 79560 0
Millipore Corp C. Stock 601073109 1942 40100SH Sole None 40100 0
Mccormick & Co C. Stock 579780206 2917 98040SH Sole None 98040 0
Marchfirst Inc C. Stock 566244109 1979 126648SH Sole None 126648 0
Merck & Co Inc C. Stock 589331107 4283 57540SH Sole None 57540 0
Mattson Tech C. Stock 577223100 12 800SH Sole None 800 0
Mineral Tech C. Stock 603158106 1542 33520SH Sole None 33520 0
Network Assoc C. Stock 640938106 190 8410SH Sole None 8410 0
Nationwide Fin C. Stock 638612101 2768 74050SH Sole None 74050 0
Neiman Marcus C. Stock 640204202 3997 123210SH Sole None 123210 0
Noven Pharmaceu C. Stock 670009109 220 5160SH Sole None 5160 0
Natl Semicon C. Stock 637640103 2802 69610SH Sole None 69610 0
Nvidia Corp C. Stock 67066G104 912 11150SH Sole None 11150 0
Novellus Sys C. Stock 670008101 1834 39380SH Sole None 39380 0
Quaker Oats Co C. Stock 747402105 4023 50840SH Sole None 50840 0
Olin Corp C. Stock 680665205 2357 145600SH Sole None 145600 0
Omnicom Grp C. Stock 681919106 3263 44740SH Sole None 44740 0
Oracle Corp C. Stock 68389X105 3836 48710SH Sole None 48710 0
Old Rep Intl C. Stock 680223104 2747 114160SH Sole None 114160 0
Oxford Hlth Pln C. Stock 691471106 185 6050SH Sole None 6050 0
Pepsi Bottling C. Stock 713409100 5182 172360SH Sole None 172360 0
Pe Corp-Pe Bios C. Stock 69332S102 414 3550SH Sole None 3550 0
Pepsico Inc C. Stock 713448108 4406 95790SH Sole None 95790 0
Park Electroche C. Stock 700416209 161 2900SH Sole None 2900 0
Polycom Inc C. Stock 73172K104 222 3300SH Sole None 3300 0
Polymedica Corp C. Stock 731738100 2303 53710SH Sole None 53710 0
Pmi Group C. Stock 69344M101 189 2790SH Sole None 2790 0
Potash Sask C. Stock 73755L107 4098 78340SH Sole None 78340 0
Ppl Corp C. Stock 69351T106 257 6150SH Sole None 6150 0
Polaroid Corp C. Stock 731095105 175 13000SH Sole None 13000 0
Peoplesoft Inc C. Stock 712713106 2541 90950SH Sole None 90950 0
Payless Shoes C. Stock 704379106 2187 39050SH Sole None 39050 0
Quanta Services C. Stock 74762E102 1891 68775SH Sole None 68775 0
Ralston Purina C. Stock 751277302 1985 83790SH Sole None 83790 0
Rare Hospitalt C. Stock 753820109 28 1350SH Sole None 1350 0
Reebok Intl C. Stock 758110100 38 2000SH Sole None 2000 0
Readers Digest C. Stock 755267101 3751 106230SH Sole None 106230 0
Coors Adolph B C. Stock 217016104 2263 35810SH Sole None 35810 0
Sears Roebuck & C. Stock 812387108 5809 179170SH Sole None 179170 0
Sawtek Inc C. Stock 805468105 994 25820SH Sole None 25820 0
Scholastic Corp C. Stock 807066105 4140 52070SH Sole None 52070 0
Southdown Inc C. Stock 841297104 2819 39570SH Sole None 39570 0
Scientific Atla C. Stock 808655104 2453 38560SH Sole None 38560 0
Smithfield Food C. Stock 832248108 2280 86870SH Sole None 86870 0
Schering Plough C. Stock 806605101 2245 48270SH Sole None 48270 0
Sharper Image C. Stock 820013100 1111 63270SH Sole None 63270 0
Silicon Vy Bcsh C. Stock 827064106 4115 70650SH Sole None 70650 0
Solectron Corp C. Stock 834182107 2189 47450SH Sole None 47450 0
Standard Pac C. Stock 85375C101 41 2300SH Sole None 2300 0
Spx Corp C. Stock 784635104 4704 33140SH Sole None 33140 0
Silicon Str Tch C. Stock 827057100 2209 81260SH Sole None 81260 0
Constellatn Brd C. Stock 21036P108 1592 29305SH Sole None 29305 0
Southwest Bc-Tx C. Stock 84476R109 247 7550SH Sole None 7550 0
Stillwater Mng C. Stock 86074Q102 1722 63620SH Sole None 63620 0
Safeway Inc C. Stock 786514208 2035 43580SH Sole None 43580 0
Sybase Inc C. Stock 871130100 1687 73350SH Sole None 73350 0
Symantec Corp C. Stock 871503108 1790 40750SH Sole None 40750 0
Sysco Corp C. Stock 871829107 3074 66370SH Sole None 66370 0
Teradyne Inc C. Stock 880770102 1457 41630SH Sole None 41630 0
Three-Five Sys C. Stock 88554L108 54 1832SH Sole None 1832 0
Tiffany & Co C. Stock 886547108 3561 92350SH Sole None 92350 0
Talbots Inc C. Stock 874161102 1673 25250SH Sole None 25250 0
Texaco Inc C. Stock 881694103 2590 49330SH Sole None 49330 0
Tyco Intl Ltd C. Stock 902124106 4723 91045SH Sole None 91045 0
Univl Hlth Svcs C. Stock 913903100 2153 25150SH Sole None 25150 0
Utd Techs Corp C. Stock 913017109 1982 28620SH Sole None 28620 0
Univision Comm C. Stock 914906102 357 9560SH Sole None 9560 0
Vishay Intertec C. Stock 928298108 1125 36590SH Sole None 36590 0
Westvaco Corp C. Stock 961548104 2940 110160SH Sole None 110160 0
Wellpoint Hlth C. Stock 94973H108 156 1620SH Sole None 1620 0
Williams Cos C. Stock 969457100 168 3970SH Sole None 3970 0
Zale Corp New C. Stock 988858106 1938 59740SH Sole None 59740 0
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