CORDILLERA ASSET MANAGEMENT
13F-HR, 2000-01-12
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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

     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,  January 10, 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:     69

     Form 13F Information Table Value Total:     $125,074


     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>
24/7 MEDIA INC                COM    901314104    42     750  SH         SOLE          750
ADVENT SOFTWARE               COM    007974108    13     200  SH         SOLE          200
AIRNET COMMUNICATIONS CORP    COM    00941P106     4     100  SH         SOLE          100
ALPHA INDUSTRIES              COM    020753109  2327   40600  SH         SOLE        40600
ANADIGICS INC                 COM    032515108  3249   68850  SH         SOLE        68850
APPLIED MICRO CIRCUITS        COM    03822W109    64     500  SH         SOLE          500
ARTHROCARE CORP               COM    043136100  3178   52100  SH         SOLE        52100
AUDIOCODES LTD                COM    M15342104  3450   37500  SH         SOLE        37500
BRAUN CONSULTING              COM    105651103  3425   47900  SH         SOLE        47900
BROADVISION INC               COM    111412102    51     300  SH         SOLE          300
C-BRIDGE INTERNET SOLUTIONS   COM    12500B105  2699   55500  SH         SOLE        55500
CALIPER TECHNOLOGIES CORP     COM    430876105     7     100  SH         SOLE          100
CEC ENTERTAINMENT INC         COM    125137109  2066   73800  SH         SOLE        73800
CHICO'S FAS INC               COM    168615102  2359   62700  SH         SOLE        62700
CHURCH & DWIGHT CO            COM    171340102  2524   94800  SH         SOLE        94800
CIBER                         COM    17163B102    22     800  SH         SOLE          800
CLARENT CORP                  COM    180461105    29     375  SH         SOLE          375
COMMSCOPE                     COM    203372107  2973   73400  SH         SOLE        73400
COST PLUS INC                 COM    221485105  2957   83000  SH         SOLE        83000
CRITICAL PATH INC             COM    22674V100  2803   29700  SH         SOLE        29700
CYMER                         COM    232572107  2778   60400  SH         SOLE        60400
CYTYC CORPORATION             COM    232946103  3499   57300  SH         SOLE        57300
DAIN RAUSCHER CORP            COM    233856103  2522   54300  SH         SOLE        54300
DIAMOND TECH PARTNERS INC     COM    252762109  2415   28100  SH         SOLE        28100
DIEDRICH COFFEE INC           COM    253675102  1419  349200  SH         SOLE       349200
DIGIMARC CORP                 COM    253807101     5     100  SH         SOLE          100
DIGITAL MICROWAVE CORP        COM    253859102  2937  125300  SH         SOLE       125300
DITECH COMMUNICATIONS CORP    COM    25500M103    35     375  SH         SOLE          375
EMULEX CORP                   COM    292475209  2813   25000  SH         SOLE        25000
ETHAN ALLEN                   COM    297602104    24     750  SH         SOLE          750
EXPEDITORS INTL               COM    302130109  1450   33100  SH         SOLE        33100
FINISAR CORPORATION           COM    31787A101     9     100  SH         SOLE          100
FRONTIER AIRLINES INC         COM    359065109  2241  197000  SH         SOLE       197000
GRIC COMMUNICATIONS INC       COM    398081109  1713   67500  SH         SOLE        67500
HANOVER COMPRESSOR CO         COM    410768105    23     600  SH         SOLE          600
HARMONIC INC                  COM    413160102  3949   41600  SH         SOLE        41600
HELIX TECH                    COM    423319102  2299   51300  SH         SOLE        51300
HOOPER HOLMES INC             COM    439104100  2249   86900  SH         SOLE        86900
INFOSPACE.COM INC             COM    45678T102    43     200  SH         SOLE          200
INVITROGEN CORP               COM    46185R100  3402   56700  SH         SOLE        56700
JAKKS PACIFIC INC             COM    47012E106   353   18900  SH         SOLE        18900
JONES PHARMA                  COM    480236108  3169   72950  SH         SOLE        72950
KEYNOTE SYSTEMS INC           COM    493308100  3227   43750  SH         SOLE        43750
KING PHARMACEUTICALS INC      COM    495582108  2428   43300  SH         SOLE        43300
LEGATO SYSTEMS INC            COM    524651106    17     250  SH         SOLE          250
MACROMEDIA                    COM    556100105    18     250  SH         SOLE          250
MANAGEMENT NETWORK GROUP INC  COM    561696102    81    2500  SH         SOLE         2500
MERCURY INTERACTIVE CORP      COM    589405109  2677   24800  SH         SOLE        24800
MICHAELS STORES INC           COM    594087108  2038   71500  SH         SOLE        71500
ON DISPLAY INC                COM    68232L100  2608   28700  SH         SOLE        28700
OPTICAL COATING LABORATORY    COM    683829105    59     200  SH         SOLE          200
ORTEL CORP                    COM    68749W102  3720   31000  SH         SOLE        31000
PEGASUS SYSTEMS INC           COM    705906105    33     550  SH         SOLE          550
PROXIM INC                    COM    744284100  3465   31500  SH         SOLE        31500
QUIKSILVER                    COM    74838C106    12     800  SH         SOLE          800
SAWTEK INC                    COM    805468105  3022   45400  SH         SOLE        45400
SDL INC                       COM    784076101   480    2200  SH         SOLE         2200
TALBOTS INC                   COM    874161102  1897   42500  SH         SOLE        42500
TECHNE CORP                   COM    878377100  2676   48600  SH         SOLE        48600
TRANSWITCH CORP               COM    894065101    18     250  SH         SOLE          250
USFREIGHTWAYS CORPORATION     COM    916906100  1747   36500  SH         SOLE        36500
VA LINUX SYSTEMS INC          COM    91819B105    10      50  SH         SOLE           50
VALASSIS COMMUNICATIONS INC   COM    918866104  2362   55900  SH         SOLE        55900
XIRCOM INC                    COM    983922105    23     300  SH         SOLE          300
ZALE CORP                     COM    988858106  2554   52800  SH         SOLE        52800
ZOMAX OPTICAL MEDIA INC       COM    989929104  2611   57700  SH         SOLE        57700
ZORAN CORP                    COM    98975F101  3696   66300  SH         SOLE        66300
CASH                          CASH   CASH       7714                     SOLE

</TABLE>


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