ZACKS INVESTMENT MANAGEMENT
13F-HR, 2000-10-27
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                                              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

</TABLE>


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