UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
Form 13F
Form 13F COVER PAGE
Report for the Calendar Year or Quarter Ended: Mar 31, 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___________ 05/01/00
[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: 180
Form 13F Information Table Value Total: $292829
(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>
<CAPTION>
13-F INFORMATION TABLE
COLUMN 1 COLUMN 2 COLUMN 3 COLUMN 4 COLUMN 5 COLUMN 6 COLUMN 7 COLUMN 8
- -------------- ----------- --------- --------- ----------------- ---------- -------- ---------------------
VALUE SHARES/ SH/ PUT/ INVSTMT OTHER
NAME OF ISSUER TITLE OF CLASS CUSIP (x$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
<S> <C> <C> C> <C> <C> <C> <C> <C> <C> <C> <C>
Alcoa Inc C. Stock 013817101 1704 24260 SH Sole None 24260 0 0
Adobe Systems C. Stock 00724F101 4659 41880 SH Sole None 41880 0 0
Adc Telecomm C. Stock 000886101 221 4100 SH Sole None 4100 0 0
Adv Dgtl Info C. Stock 007525108 24 700 SH Sole None 700 0 0
Amer Eagle Ou C. Stock 02553E106 1886 49710 SH Sole None 49710 0 0
Aflac Inc C. Stock 001055102 2962 65010 SH Sole None 65010 0 0
Allergan Inc C. Stock 018490102 1651 33020 SH Sole None 33020 0 0
Amerada Hess C. Stock 023551104 204 3150 SH Sole None 3150 0 0
Adv Micro Dev C. Stock 007903107 2357 41300 SH Sole None 41300 0 0
Arrow Electro C. Stock 042735100 1724 48910 SH Sole None 48910 0 0
Asyst Tech In C. Stock 04648X107 41 710 SH Sole None 710 0 0
Atmi Inc C. Stock 00207R101 24 500 SH Sole None 500 0 0
Avis Rent A C C. Stock 053790101 2103 119300 SH Sole None 119300 0 0
Axa Finl Inc C. Stock 002451102 2365 65910 SH Sole None 65910 0 0
Astrazeneca P C. Stock 046353108 952 23500 SH Sole None 23500 0 0
Baxter Intl C. Stock 071813109 1563 24930 SH Sole None 24930 0 0
Bard C R Inc C. Stock 067383109 2485 64245 SH Sole None 64245 0 0
Biogen Inc C. Stock 090597105 1385 19860 SH Sole None 19860 0 0
Barnes & Nobl C. Stock 067774109 1769 76910 SH Sole None 76910 0 0
Ball Corp C. Stock 058498106 2319 67085 SH Sole None 67085 0 0
Biomet C. Stock 090613100 2261 62700 SH Sole None 62700 0 0
Bausch & Lomb C. Stock 071707103 130 2500 SH Sole None 2500 0 0
Brooks Automa C. Stock 11434A100 27 440 SH Sole None 440 0 0
Brooktrout In C. Stock 114580103 949 32730 SH Sole None 32730 0 0
Anheuser Busc C. Stock 035229103 3648 58595 SH Sole None 58595 0 0
Citigroup Inc C. Stock 172967101 4996 84230 SH Sole None 84230 0 0
Comp Associat C. Stock 204912109 1496 25270 SH Sole None 25270 0 0
Comp Associat C. Stock 204912109 717 13460 SH Sole None 13460 0 0
Conagra Inc C. Stock 205887102 793 43750 SH Sole None 43750 0 0
Cardinal Heal C. Stock 14149Y108 3023 65900 SH Sole None 65900 0 0
Csk Auto Corp C. Stock 125965103 51 3650 SH Sole None 3650 0 0
Canandaigua - C. Stock 137219200 1297 25440 SH Sole None 25440 0 0
Cognex Corp C. Stock 192422103 36 620 SH Sole None 620 0 0
Champion Intl C. Stock 158525105 2484 46650 SH Sole None 46650 0 0
Check Pt Soft C. Stock M22465104 1804 10550 SH Sole None 10550 0 0
Cigna Corp C. Stock 125509109 1275 16830 SH Sole None 16830 0 0
Colgate Palmo C. Stock 194162103 2422 42960 SH Sole None 42960 0 0
Credence Sys C. Stock 225302108 31 250 SH Sole None 250 0 0
Comverse Tech C. Stock 205862402 1273 6740 SH Sole None 6740 0 0
Cooper Cos C. Stock 216648402 2680 83260 SH Sole None 83260 0 0
Costco Whole C. Stock 22160K105 1730 32950 SH Sole None 32950 0 0
Cdn Pac Ltd C. Stock 135923100 3285 146800 SH Sole None 146800 0 0
Goldman Sachs C. Stock 38141G104 2009 41060 SH Sole None 41060 0 0
Commscope Inc C. Stock 203372107 1633 35800 SH Sole None 35800 0 0
Centex Corp C. Stock 152312104 963 40430 SH Sole None 40430 0 0
Cvs Corp C. Stock 126650100 2996 79750 SH Sole None 79750 0 0
Cymer Inc C. Stock 232572107 1938 38800 SH Sole None 38800 0 0
Ditech Comm C. Stock 25500M103 91 860 SH Sole None 860 0 0
Dow Jones & C C. Stock 260561105 3737 52040 SH Sole None 52040 0 0
Dover Corp C. Stock 260003108 3137 65530 SH Sole None 65530 0 0
Dow Chemical C. Stock 260543103 3803 33360 SH Sole None 33360 0 0
Delphi Automo C. Stock 247126105 2029 126840 SH Sole None 126840 0 0
Brinker Intl C. Stock 109641100 3666 123480 SH Sole None 123480 0 0
Engelhard Cor C. Stock 292845104 1424 94180 SH Sole None 94180 0 0
Electr Data S C. Stock 285661104 3873 60340 SH Sole None 60340 0 0
Electrn Imagi C. Stock 286082102 1970 32895 SH Sole None 32895 0 0
Electroglas I C. Stock 285324109 25 720 SH Sole None 720 0 0
Eastman Kodak C. Stock 277461109 2082 38340 SH Sole None 38340 0 0
Elan Cp Plc A C. Stock 284131208 2249 47350 SH Sole None 47350 0 0
Electro Sci I C. Stock 285229100 300 5200 SH Sole None 5200 0 0
Fleet Boston C. Stock 339030108 1372 37600 SH Sole None 37600 0 0
Federated Dep C. Stock 31410H101 3795 90890 SH Sole None 90890 0 0
Fleming Cos I C. Stock 339130106 27 1800 SH Sole None 1800 0 0
Fmc Corp C. Stock 302491303 2422 42870 SH Sole None 42870 0 0
Fannie Mae C. Stock 313586109 2039 36130 SH Sole None 36130 0 0
Fossil Inc C. Stock 349882100 1155 50080 SH Sole None 50080 0 0
Firstar Cp-Ne C. Stock 33763V109 1949 84980 SH Sole None 84980 0 0
Genl Dynamics C. Stock 369550108 2482 49880 SH Sole None 49880 0 0
Genl Motors C. Stock 370442105 2886 34850 SH Sole None 34850 0 0
Georgia-Pac G C. Stock 373298108 1038 26240 SH Sole None 26240 0 0
Granite Const C. Stock 387328107 30 1100 SH Sole None 1100 0 0
Helix Tech Cp C. Stock 423319102 24 400 SH Sole None 400 0 0
Block H & R C. Stock 093671105 2651 59235 SH Sole None 59235 0 0
Hewlett Packa C. Stock 428236103 2696 20340 SH Sole None 20340 0 0
Integr Device C. Stock 458118106 1662 42010 SH Sole None 42010 0 0
In Focus Sys C. Stock 452919103 38 1070 SH Sole None 1070 0 0
Ivax Corp C. Stock 465823102 1006 36900 SH Sole None 36900 0 0
Jakks Pacific C. Stock 47012E106 36 1680 SH Sole None 1680 0 0
Jones Pharma C. Stock 480236108 821 27100 SH Sole None 27100 0 0
Jones Apparel C. Stock 480074103 1148 36030 SH Sole None 36030 0 0
Jeff-Pilot Co C. Stock 475070108 1821 27360 SH Sole None 27360 0 0
Justin Inds I C. Stock 482171105 28 1570 SH Sole None 1570 0 0
Keebler Foods C. Stock 487256109 1983 69130 SH Sole None 69130 0 0
Kenneth Cole C. Stock 193294105 31 780 SH Sole None 780 0 0
Kemet Corp C. Stock 488360108 30 480 SH Sole None 480 0 0
King Pharmace C. Stock 495582108 1225 37415 SH Sole None 37415 0 0
Kulicke & Sof C. Stock 501242101 2466 38500 SH Sole None 38500 0 0
Kimberly Clar C. Stock 494368103 3306 59035 SH Sole None 59035 0 0
Kinder Morg E C. Stock 494550106 2099 52890 SH Sole None 52890 0 0
Knight Ridder C. Stock 499040103 1840 36130 SH Sole None 36130 0 0
Lehman Bros H C. Stock 524908100 3574 36845 SH Sole None 36845 0 0
Lilly Eli & C C. Stock 532457108 266 4230 SH Sole None 4230 0 0
Lam Research C. Stock 512807108 2774 61550 SH Sole None 61550 0 0
Lattice Semic C. Stock 518415104 4162 61540 SH Sole None 61540 0 0
Lsi Logic C. Stock 502161102 3019 41570 SH Sole None 41570 0 0
Landstar Syst C. Stock 515098101 27 500 SH Sole None 500 0 0
Limited Inc C. Stock 532716107 3193 75790 SH Sole None 75790 0 0
Learning Tree C. Stock 522015106 817 22880 SH Sole None 22880 0 0
Lubrizol Corp C. Stock 549271104 1315 45640 SH Sole None 45640 0 0
Manpower Inc C. Stock 56418H100 2639 74330 SH Sole None 74330 0 0
Mgm Grand Inc C. Stock 552953101 1857 77360 SH Sole None 77360 0 0
Mcgraw-Hill C C. Stock 580645109 1674 36800 SH Sole None 36800 0 0
Millipore Cor C. Stock 601073109 3287 58250 SH Sole None 58250 0 0
Mccormick & C C. Stock 579780206 2509 77800 SH Sole None 77800 0 0
Motorola Inc C. Stock 620076109 3067 21540 SH Sole None 21540 0 0
Marchfirst In C. Stock 566244109 2380 67044 SH Sole None 67044 0 0
Mgic Invt Cp C. Stock 552848103 1697 38900 SH Sole None 38900 0 0
Macrovision C C. Stock 555904101 48 560 SH Sole None 560 0 0
Mylan Labs C. Stock 628530107 96 3500 SH Sole None 3500 0 0
Inco Ltd C. Stock 453258402 1781 97250 SH Sole None 97250 0 0
Nco Group Inc C. Stock 628858102 1150 36070 SH Sole None 36070 0 0
Nationwide Fi C. Stock 638612101 2586 88410 SH Sole None 88410 0 0
Neiman Marcus C. Stock 640204202 994 35750 SH Sole None 35750 0 0
Northrop Grum C. Stock 666807102 1033 19520 SH Sole None 19520 0 0
Natl Semicon C. Stock 637640103 1240 20460 SH Sole None 20460 0 0
Nucor Corp C. Stock 670346105 2248 44965 SH Sole None 44965 0 0
Nvidia Corp C. Stock 67066G104 1490 17650 SH Sole None 17650 0 0
Quaker Oats C C. Stock 747402105 3597 59340 SH Sole None 59340 0 0
Olin Corp C. Stock 680665205 29 1660 SH Sole None 1660 0 0
Omnicom Grp C. Stock 681919106 2086 22330 SH Sole None 22330 0 0
Oracle Corp C. Stock 68389X105 5129 65750 SH Sole None 65750 0 0
Pepsi Bottlin C. Stock 713409100 3979 198960 SH Sole None 198960 0 0
Pinnacle Sys C. Stock 723481107 133 4000 SH Sole None 4000 0 0
Paradyne Ntwr C. Stock 69911G107 24 800 SH Sole None 800 0 0
Pepsico Inc C. Stock 713448108 1756 50800 SH Sole None 50800 0 0
Petco Animal C. Stock 716016100 75 6300 SH Sole None 6300 0 0
Polycom Inc C. Stock 73172K104 206 2600 SH Sole None 2600 0 0
Pall Corp C. Stock 696429307 2345 104510 SH Sole None 104510 0 0
Price Comm Co C. Stock 741437305 25 1100 SH Sole None 1100 0 0
Peoplesoft In C. Stock 712713106 2 100 SH Sole None 100 0 0
Quanta Servic C. Stock 74762E102 2330 38400 SH Sole None 38400 0 0
Ralston Purin C. Stock 751277302 2793 102030 SH Sole None 102030 0 0
Readers Diges C. Stock 755267101 4113 116280 SH Sole None 116280 0 0
Coors Adolph C. Stock 217016104 1992 41660 SH Sole None 41660 0 0
Sears Roebuck C. Stock 812387108 3217 104200 SH Sole None 104200 0 0
Sci Sys Inc C. Stock 783890106 2407 44730 SH Sole None 44730 0 0
Scientific At C. Stock 808655104 2634 41520 SH Sole None 41520 0 0
Schering Plou C. Stock 806605101 3938 107150 SH Sole None 107150 0 0
Silicon Vy Bc C. Stock 827064106 2137 30200 SH Sole None 30200 0 0
Shopko Stores C. Stock 824911101 71 4000 SH Sole None 4000 0 0
Sara Lee C. Stock 803111103 83 4600 SH Sole None 4600 0 0
Supervalu Inc C. Stock 868536103 1795 94760 SH Sole None 94760 0 0
Stillwater Mn C. Stock 86074Q102 2793 69820 SH Sole None 69820 0 0
Safeway Inc C. Stock 786514208 192 4250 SH Sole None 4250 0 0
Sysco Corp C. Stock 871829107 1671 46820 SH Sole None 46820 0 0
At&T Corp C. Stock 001957109 180 3200 SH Sole None 3200 0 0
Timberland Co C. Stock 887100105 34 670 SH Sole None 670 0 0
Teradyne Inc C. Stock 880770102 3849 46800 SH Sole None 46800 0 0
Three-Five Sy C. Stock 88554L108 180 3000 SH Sole None 3000 0 0
Tiffany & Co C. Stock 886547108 2597 31060 SH Sole None 31060 0 0
Telmex Adr-Cl C. Stock 879403780 3737 55770 SH Sole None 55770 0 0
True North Co C. Stock 897844106 220 5600 SH Sole None 5600 0 0
Topps Inc C. Stock 890786106 30 3580 SH Sole None 3580 0 0
Texaco Inc C. Stock 881694103 0 3300 SH Sole None 3300 0 0
Tyco Intl Ltd C. Stock 902124106 177 77735 SH Sole None 77735 0 0
Unionbancal C C. Stock 908906100 3877 88350 SH Sole None 88350 0 0
Univl Foods C. Stock 913538104 2435 44120 SH Sole None 44120 0 0
Usfreightways C. Stock 916906100 943 67780 SH Sole None 67780 0 0
Utd Techs Cor C. Stock 913017109 2533 33070 SH Sole None 33070 0 0
Viacom Inc Cl C. Stock 925524308 2090 59250 SH Sole None 59250 0 0
Audiovox Corp C. Stock 050757103 3125 470 SH Sole None 470 0 0
Vishay Intert C. Stock 928298108 20 63090 SH Sole None 63090 0 0
Waters Corp C. Stock 941848103 3509 14430 SH Sole None 14430 0 0
Whirlpool Cor C. Stock 963320106 1374 38100 SH Sole None 38100 0 0
Willamette In C. Stock 969133107 2234 55610 SH Sole None 55610 0 0
Wellpoint Hlt C. Stock 94973H108 2231 27530 SH Sole None 27530 0 0
Wal-Mart Stor C. Stock 931142103 1924 39330 SH Sole None 39330 0 0
Yellow Corp C. Stock 985509108 2183 1600 SH Sole None 1600 0 0
Zale Corp New C. Stock 988858106 30 49250 SH Sole None 49250 0 0
</TABLE>