CORDILLERA ASSET MANAGEMENT
13F-HR, 2000-08-03
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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

     Check here if Amendment [ ]; Amendment Number:
     This Amendment (Check only one.): [ ] is a restatement.
                                       [ ] adds new holdings entries.

     Institutional Investment Manager Filing this Report:

     Name:          Cordillera Asset Management
     Address:       1200 17th Street, Suite 2150
                    Denver, CO  80202

     13F File Number:  801-41021

     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:          Timothy J. Meisinger
     Title:         Director of Administration
     Phone:         303-572-6897
     Signature, Place and Date of Signing:

     Timothy J. Meisinger,  Denver, CO,  August 1, 2000

     Report Type (Check only one.):

     [X]          13F HOLDINGS REPORT.

     [ ]          13F NOTICE.

     [ ]          13F COMBINATION REPORT.

     List of Other Managers Reporting for this Manager:  NONE

     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:          0

     Form 13F Information Table Entry Total:     52

     Form 13F Information Table Value Total:     $204,180


     List of Other Included Managers: N/A
<PAGE>

<TABLE>
<CAPTION>
                                               FORM 13F INFORMATION TABLE
                              TITLE            VALUE  SHARES/ SH/ PUT/ INVSTMT OTHR  VOTING AUTHORITY
     NAME OF ISSUER          OF CLASS  CUSIP  (X1000) PRN AMT PRN CALL DSCRETN MNGRS SOLE SHARED NONE
 .....................................................................................................
<C>                           <C>    <C>        <C>   <C>     <C> <C>    <C>   <C>  <C>    <C>   <C>
ACCREDO HEALTH INC            COM    00437V104  4967  143699  SH         SOLE       143699
ADVANCED ENERGY INDUSTRIES    COM    007973100  4856   82400  SH         SOLE        82400
ALLAIRE CORP                  COM    016714107  3179   86500  SH         SOLE        86500
ALPHA INDUSTRIES              COM    020753109  3648   82800  SH         SOLE        82800
ANADIGICS INC                 COM    032515108  3752  110150  SH         SOLE       110150
ARTHROCARE CORP               COM    043136100  4694   88150  SH         SOLE        88150
ASYST TECHNOLOGIES            COM    04648X107  3990  116500  SH         SOLE       116500
AUDIOCODES LTD                COM    M15342104  5553   46275  SH         SOLE        46275
BLACKROCK INC                 COM    09347T109  3671  126600  SH         SOLE       126600
BROADVISION INC               COM    111412102    23     450  SH         SOLE          450
CEC ENTERTAINMENT INC         COM    125137109  4264  166400  SH         SOLE       166400
CELERITEK INC                 COM    150926103  4011   98300  SH         SOLE        98300
CLARENT CORP                  COM    180461105     7     100  SH         SOLE          100
COMMSCOPE                     COM    203372107  4666  113800  SH         SOLE       113800
CRITICAL PATH INC             COM    22674V100  5362   91950  SH         SOLE        91950
CYTYC CORPORATION             COM    232946103  3784   70900  SH         SOLE        70900
DAIN RAUSCHER CORP            COM    233856103  4976   75400  SH         SOLE        75400
DIAMETRICS MEDICAL INC        COM    252532106  3769  666300  SH         SOLE       666300
DIGITAL MICROWAVE CORP        COM    253859102  5486  143900  SH         SOLE       143900
DUSA PHARMACEUTICALS INC      COM    266898105    35    1200  SH         SOLE         1200
EMISPHERE TECHNOLOGIES        COM    291345106  3877   91000  SH         SOLE        91000
EXAR CORP                     COM    300645108  5022   57600  SH         SOLE        57600
FRONTIER AIRLINES INC         COM    359065109  4720  329800  SH         SOLE       329800
GABELLI ASSET MANAGEMENT INC  COM    36239Y102  5200  208000  SH         SOLE       208000
GREATER BAY BANCORP           COM    391648102  2669   57100  SH         SOLE        57100
HANOVER COMPRESSOR CO         COM    410768105  5088  133900  SH         SOLE       133900
HELIX TECH                    COM    423319102  3933  102400  SH         SOLE       102400
IMMUNOMEDICS INC              COM    452907108  4138  168900  SH         SOLE       168900
INVITROGEN CORP               COM    46185R100  4076   54200  SH         SOLE        54200
JONES PHARMA                  COM    480236108  3778   94600  SH         SOLE        94600
KEYNOTE SYSTEMS INC           COM    493308100  4671   66200  SH         SOLE        66200
MACROMEDIA                    COM    556100105    24     250  SH         SOLE          250
MERCURY INTERACTIVE CORP      COM    589405109  2854   29500  SH         SOLE        29500
MMC NETWORKS                  COM    55308N102  3949   73900  SH         SOLE        73900
NEWFIELD EXPLORATION          COM    651290108  3631   92800  SH         SOLE        92800
NEWFOCUS INC                  COM    644383101  2891   35200  SH         SOLE        35200
POWERWAVE TECHNOLOGIES        COM    739363109  3297   74940  SH         SOLE        74940
PRI AUTOMATION                COM    69357H106  3297   63200  SH         SOLE        63200
PROTEIN DESIGN LABS           COM    74369L103  1691   10250  SH         SOLE        10250
PROXIM INC                    COM    744284100  4988   50400  SH         SOLE        50400
QUIKSILVER                    COM    74838C106  2216  142400  SH         SOLE       142400
SAWTEK INC                    COM    805468105  4556   79150  SH         SOLE        79150
SEMTECH CORP                  COM    816850101  5001   65400  SH         SOLE        65400
SOUTHWEST SECURITIES GROUP    COM    845224104  5088  136600  SH         SOLE       136600
TALBOTS INC                   COM    874161105  2638   48000  SH         SOLE        48000
TECHNE CORP                   COM    878377100  4352   33475  SH         SOLE        33475
TRANSWITCH CORP               COM    894065101    29     375  SH         SOLE          375
WESTERN GAS RESOURCES         COM    958259103  3801  181000  SH         SOLE       181000
ZALE CORP                     COM    988858106  3497   95800  SH         SOLE        95800
ZOLL MEDICAL CORP             COM    989922109  4243   86600  SH         SOLE        86600
ZORAN CORP                    COM    98975F101  5249   79600  SH         SOLE        79600
CASH                          CASH   CASH      14122                     SOLE

</TABLE>


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