UNITED
STATES SECURITIES AND
EXCHANGE COMMISSION
Washington, D.C.
20549
FORM 13F
FORM 13F COVER PAGE
Report for the Calendar Year or Quarter Ended:
September 30, 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: C.M. Bidwell & Associates, Ltd.
Address: 8400 East Prentice Avenue, Suite 1401
Englewood, CO 80111
13F File Number:
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, statement, schedules, lists, and
tables, are considered integral parts of this
form.
Person signing this Report on Behalf of
Reporting Manager:
Name: John R. Riddle
Title: Senior Member
Phone: 303-414-1100
Signature, Place, and Date of Signing:
John R. Riddle Englewood, CO
November 2, 1999 Report Type (Check only one.):
[X] 13F HOLDINGS REPORT.
[ ] 13F NOTICE.
[ ] 13F COMINATION REPORT.
List of Other Managers Reporting for this Manager:
No. 13F File Number Name
C.M. Bidwell & Associates, Ltd
Security Holdings for 13F
Report
September 30, 1999
1. Company Name 2. Title 3. Cusip 4. Fair 5. Shares
of Class Market Fund Princ Amt
aair AIRTRAN HOLDINGS common 00949P10 1,761 350
8
aapl APPLE COMPUTERS common 03783310 3,393,550 53,600
0
acf AMERICREDIT CORP common 03060R10 26,290 1,760
1
ad ADVO common 00758510 4,185,878 209,950
2
adbe ADOBE SYSTEMS INC OF DEL common 00724F10 351,850 3,100
1
adsk AUTODESK INC common 05276910 -258,125 -11,800
6
aep AMER ELEC PWR common 02553710 -242,288 -7,100
1
afc ALLMERICA FINANCIAL CP common 01975410 259,985 5,459
0
afwy AMERICAN FREIGHTWAYS CORP common 02629V10 22,371 1,230
8
agn ALLERGAN common 01849010 11,000 100
2
ahc AMERADA HESS CORP common 02355110 5,252,800 85,760
4
ahe AMERICAN HEALTH PROP common 02649410 11,888 591
4
ahp AMERICAN HOME common 02660910 -273,900 -6,600
7
air AAR CORP common 00036110 22,680 1,260
5
ait AMERITECH CORP common 03095410 305,048 4,570
1
ajg GALLAGHER ARTHUR J common 36357610 25,560 480
9
ald ALLIEDSIGNAL INC common 01951210 6,071,069 101,290
2
alk ALASKA AIR GRP common 01165910 3,820,963 93,910
9
amat APPLIED MATERIALS common 03822210 6,110,899 78,660
5
amd ADVANCED MICRO DEVICES common 00790310 -264,688 -15,400
7
ames AMES DEPT STORES common 03078950 31,875 1,000
7
amgn AMGEN INCORPORATED common 03116210 13,614,983 167,055
0
amr AMR CORP common 00176510 -223,450 -4,100
6
anf ABERCROMBIE & FITCH common 00289620 159,413 4,680
7
ann ANNTAYLOR STORES CORP common 03611510 22,481 550
3
apa APACHE CORP common 03741110 5,567,301 128,910
5
asd AMERICAN STANDARD common 02971210 191,194 4,950
6
avi AVIS RENT A CAR, INC common 05379010 3,799,041 181,990
1
awa AMERICA WEST HOLDINGS CORP common 02365720 124,650 7,200
CLA 8
axe ANIXTER INTERNATIONAL INC common 03529010 28,598 1,230
5
aye ALLEGHENY ENERGY common 01736110 201,131 6,310
6
azo AUTOZONE INC common 05333210 -258,175 -9,200
2
bax BAXTER INTL common 07181310 2,222 37
9
bcc BOISE CASCADE common 09738310 5,231,696 143,580
3
bgen BIOGEN INC common 09059710 254,564 3,230
5
bgg BRIGGS & STRTN common 10904310 5,002,154 85,690
9
bhi BAKER HUGHES common 05722410 -252,300 -8,700
7
bj BJ'S WHOLESALE CLUB common 05548J10 224,675 7,600
6
bke BUCKLE common 11844010 121,958 7,070
6
bll BALL common 05849810 4,027,313 91,400
6
bls BELLSOUTH CORP common 07986010 5,530,950 122,910
2
bmy BRISTOL MYERS SQUIBB common 11012210 5,763,825 85,390
8
brr BARRETT RESOURCES CORP common 06848020 27,334 740
1
bs BETHLEHEM STL common 08750910 -269,925 -36,600
5
bsc BEAR STEARNS common 07390210 231,240 6,016
8
bth BLYTH INDUSTRIES INC common 09643P10 201,489 7,180
8
bud ANHEUSER BUSCH common 03522910 266,238 3,800
3
c CITIGROUP INC common 17296710 5,196,400 118,100
1
ca COMPUTER ASSOC INTL common 20491210 317,850 5,200
9
cat CATERPILLAR INC common 14912310 -241,175 -4,400
1
cath CATHERINES STORES CORP common 14916F10 1,643,906 125,250
0
cce COCA COLA ENTERPRISES common 19121910 -205,319 -9,100
4
cck CROWN CORK & SEAL INC common 22825510 -227,950 -9,400
5
ccu CLEAR CHANNEL COMMUN common 18450210 -311,513 -3,900
2
cdd CORDANT TECHNOLOGIES INC. common 21841210 1,376,079 45,210
4
cgnx COGNEX CORP common 19242210 24,452 810
3
cgx CONSOLIDATED GRAPHICS common 20934110 14,744 350
6
cha CHAMPOIN INTL CORP common 15852510 5,090,235 99,080
5
chtt CHATTEM INC. common 16245610 244,894 11,100
7
ci CIGNA common 12550910 -233,250 -3,000
9
clx CLOROX common 18905410 -244,800 -6,400
9
cmb CHASE MANHATTAN common 16161A10 248,738 3,300
8
cmc COMMERCIAL METALS CO common 20172310 23,000 800
3
cmin COMMONWEALTH INDUSTRIES common 20300410 28,622 2,130
INC 6
cng CONSOL NAT GAS common 20961510 -280,688 -4,500
3
cpn CALPINE CORP common 13134710 1,828,844 21,500
6
cpo CORN PRODUCTS INTL INC common 21902310 21,306 700
8
cpq COMPAQ COMPUTER common 20449310 -247,050 -10,800
0
cpwr COMPUWARE CORP common 20563810 132,137 5,070
9
ctas CINTAS CORPORATION common 17290810 151,469 2,620
5
ctl CENTURY TEL ENTERPRISES common 15670010 272,188 6,700
6
ctv COMMSCOPE INC. common 20337210 29,900 920
7
cum CUMMINS ENGINE INC common 23102110 5,119,231 102,770
6
cvty COVENTRY CORP common 22286210 18,145 1,910
4
dcn DANA CORP common 23581110 -226,463 -6,100
6
dds DILLARD'S INC CLASS A common 25406710 -229,531 -11,300
1
de DEERE & CO common 24419910 -286,288 -7,400
5
dfg DELPHI FINANCIAL GROUP common 24713110 20,829 690
5
dh DAYTON HUDSON common 23975310 60,063 1,000
6
dis DISNEY common 25468710 -239,200 -9,200
6
dme DIME BANCORP INC common 25429Q10 2,817,850 161,020
2
dow DOW CHEM COMPANY common 26054310 28,406 250
3
dri DARDEN RESTAURANTS common 23719410 23,475 1,200
5
drte DENDRITE common 24823910 42,525 900
5
dscp DATASCOPE CORP common 23811310 366,705 10,440
4
dy DYCOM INDUSTRIES INC common 26747510 26,156 620
1
dynm Dynamic IT Inc common 19647210 18 36
4
egls ELECTROGLAS common 28532410 22,908 980
9
egn ENERGEN CORP common 29265N10 26,528 1,310
8
eix EDISON INTL common 28102010 233,400 9,600
7
flgs FLAGSTAR BANCORP common 33793010 913,275 59,400
1
fm FOODMAKER common 34483920 20,698 830
4
fnv FINOVA GROUP INC common 31792810 111,325 3,050
9
fon SPRINT CORP common 85206110 32,550 600
0
fon SPRINT CORP common 85206110 -320,075 -5,900
0
fosl FOSSIL INC common 34988210 21,921 810
0
fpc FLORIDA PROGRESS common 34110910 4,990,375 107,900
6
ftl FRUIT OF THE LOOM INC CL A common G3682L10 -135,438 -39,400
5
ftu FIRST UNION common 33735810 -206,625 -5,800
5
full FULLER H B CO common 35969410 247,153 4,060
6
fwc FOSTER WHEELER CORP common 35024410 -241,250 -20,000
9
g GILLETTE common 37576610 -207,019 -6,100
2
gas NICOR common 65408610 -267,750 -7,200
7
gci GANNETT common 36473010 34,594 500
1
gd GENERAL DYNMCS common 36955010 5,629,989 90,170
8
gdt GUIDANT CORP common 40169810 5,110,999 95,310
5
gdw GOLDEN WEST FINANCIAL common 38131710 5,722,771 58,210
6
genz GENZYME CORP common 37291710 206,386 4,580
4
gp GEORGIA PAC CORP common 37329810 222,406 5,500
8
gps GAP common 36476010 4,741,504 148,172
8
gpu GENERAL PUB UTILS common 36225X10 257,738 7,900
0
gr GOODRICH common 38238810 17,400 600
6
gte GTE common 36232010 141,681 1,843
3
gww GRAINGER WW INC common 38480210 -273,956 -5,700
4
hal HALLIBURTON CO common 40621610 -246,000 -6,000
1
hcr MANOR CARE INC common 56405510 -183,906 -10,700
1
hd HOME DEPOT INC common 43707610 288,225 4,200
2
helx HELIX common 42331910 43,890 1,320
2
het HARRAH'S ENTERTAINMENT INC common 41361910 344,100 12,400
7
hh HOOPER HOLMES INC common 43910410 26,650 1,040
0
hon HONEYWELL common 43850610 146,933 1,320
7
hp HELEMERICH & PAYNE common 42345210 258,188 10,200
1
hpk HOLLYWOOD PK INC common 43625510 840,398 54,660
3
hrl HORMEL GEO A common 44045210 230,111 5,570
0
hrs HARRIS common 41387510 -259,675 -9,400
5
hrz HERTZ CORP common 42804010 201,300 4,575
9
hum HUMANA common 44485910 -164,313 -23,900
2
hwp HEWLETT PACKARD common 42823610 163,350 1,800
3
ibp IBP common 44922310 406,356 16,460
6
idph IDEC PHARMACEUTICALS common 44937010 30,090 320
5
idti INTEGRATED DEVICE common 45811810 208,865 11,290
TECHNOLOGY 6
inmt INTERMET CORP common 45881K10 2,518,282 297,360
4
insu. INSITUFORM TECHNOLOGIES CL common 45766710 28,750 1,150
a A 3
intc INTEL common 45814010 25,266 340
0
intu INTUIT common 46120210 251,573 2,870
3
ir INGERSOLL RAND CO common 45686610 236,231 4,300
2
irf INTERNATIONAL RECTIFIER common 46025410 26,993 1,770
CORP 5
jh HARLAND JOHN H common 41269310 24,491 1,260
3
jmed JONES MEDICAL common 48023610 28,683 870
8
jny JONES APPAREL GROUP common 48007410 4,091,413 142,310
3
jpm JP MORGAN & CO INC common 61688010 217,075 1,900
0
kmb KIMBERLY CLARK common 49436810 4,857,748 92,090
3
kmet KEMET CORPORATION common 48836010 35,485 1,110
8
kmg KERR MCGEE CORP common 49238610 6,276,574 113,990
7
ko COCA-COLA CO common 19121610 -212,300 -4,400
0
kse KEYSPAN ENERGY common 49337W10 223,275 7,800
0
lce LONE STAR INDS common 54229040 117,705 2,360
8
le LANDS' END INC common 51508610 271,260 4,110
6
lea LEAR CORP common 52186510 199,513 5,670
5
leh LEHMAN BROS HLDGS common 52490810 5,745,851 98,430
0
lgto LEGATO SYSTEMS INC common 52465110 220,148 5,050
6
lipo LIPOSOME CO INC common 53631010 9,512 1,250
5
lm LEGG MASON INCORPORATED common 52490110 29,118 760
5
lmt LOCKHEED MARTIN common 53983010 -228,813 -7,000
9
lsi LSI LOGIC CORP common 50216110 6,069,440 116,720
2
luv SOUTHWEST AIRLS CO common 84474110 195,919 12,900
8
lxk LEXMARK INTL GROUP common 52977110 10,239,600 127,200
7
lzb LA-Z-BOY CHAIR CO common 50533610 20,778 1,090
7
macr MACROMEDIA INC common 55610010 24,934 610
5
mafb MAF BANCORP common 55261R10 19,478 980
8
mbg MANDALAY RESORT GROUP common 56256710 7,265,235 367,860
7
mbi MBIA common 55262C10 -242,450 -5,200
0
mck MCKESSON HBOC common 58155Q10 -252,300 -8,700
3
mdy S&P MIDCAP 400 DEP REC common 59563510 3,650,229 50,830
3
medi MEDIMMUNE INC common 58469910 329,862 3,310
2
mfnx METROMEDIA FIBER NETWORK common 59168910 1,685,723 68,805
INC 4
mhk MOHAWK INDS common 60819010 2,542,031 127,500
4
mir MIRAGE RESORTS common 60462E10 -239,400 -17,100
4
mlg MUSICLAND common 62758B10 3,167,931 356,950
9
mli MUELLER INDUSTRIES INC common 62475610 28,797 970
2
mtw MANITOWOC common 56357110 22,181 650
8
mtx MINERALS TECHNOLOGIES common 60315810 217,560 4,480
6
mu MICRON TECHNOLOGY common 59511210 -285,950 -4,300
3
mwd MORGAN STLY DEAN WTR common 61744644 3,837,738 43,030
8
mxt METRIS COS INC common 59159810 147,913 5,014
7
ne NOBLE DRILLING common 65504210 235,594 10,770
9
nyt NEW YORK TIMES common 65011110 30,000 800
7
oat QUAKER OATS CO common 74740210 18,563 300
5
oei OCEAN ENERGY INC common 67481E10 205,788 20,200
6
ok OLD KENT FINL CORP common 67983310 180,056 4,850
3
orbk ORBOTECH LT common M7525310 5,673,938 91,700
0
oxhp ORFORD HEALTH PLANS common 69147110 151,625 12,130
6
peg PUBLIC SVC ENTERPRS common 74457310 5,533,804 143,270
6
pll PALL CORP common 69642930 5,853,916 252,460
7
pma PMI GROUP INC common 69344M10 213,981 5,235
1
pmi PREMARK INTL common 74045910 307,545 6,090
2
pom POTOMAC ELECTRIC POWER CO. common 73767910 221,561 8,710
0
prgx PROFIT RECOVERY GROUP common 74316810 34,138 765
6
psd PUGET SOUND ENERGY INC common 74533210 3,520,668 156,910
6
psun PACIFIC SUNWEAR common 69487310 29,012 1,035
0
pwav POWERWAVE TECHNOLOGIES INC common 73936310 32,307 670
9
pwj PAINE WEBBER INC common 69562910 4,971,688 137,150
5
qcom QUALCOM common 74752510 5,669,949 29,970
3
qlgc QLOGIC CORP common 74727710 225,494 3,230
1
rad RITE AID common 76775410 -194,756 -14,100
4
rgbk REGIONS FINANCIAL CORP common 75894010 -225,000 -7,500
0
rky COORS common 21701610 4,975,711 91,930
4
rnwk REAL NETWORKS, INC common 75605L10 211,216 2,020
4
rost ROSS STORES common 77829610 5,446,630 270,640
3
rpc ROBERTS PHARMACEUTICAL common 77049110 27,528 910
8
sch SCHWAB CHARLES common 80851310 334,375 10,000
5
scoc SANTA CRUZ OPERATION INC common 80183310 3,279,470 274,720
4
scor SYNCOR INTERNATIONAL CORP common 87157J10 24,375 650
NEW 6
sebl SIEBEL common 82617010 263,835 3,960
2
seg SEAGATE TECH common 81180410 41,344 1,350
3
seg SEAGATE TECH common 81180410 -306,250 -10,000
3
sfp SALTON common 79575710 5,940,375 191,625
3
sgp SCHERING PLOUGH common 80660510 3,145,363 72,100
1
sivb SILICON VALLEY BANCSHARES common 82706410 24,849 1,030
6
smg SCOTTS COMPANY common 81018610 19,044 550
6
spy S&P500 DEP RCPTS common 78462F10 52,788 410
3
ssw STERLING SOFTWARE INC common 85954710 2,931,600 146,580
1
svu SUPERVALU INC common 86853610 5,180,716 234,820
3
swd SHOREWOOD PACKAGING common 82522910 18,852 1,390
7
swft SWIFT TRANSPORTATION CO common 87075610 212,428 10,790
INC 3
t AT&T CORP common 00195710 299,498 6,885
9
talk TALK.COM INC common 87426410 24,651 1,910
4
tcb TCF FINANCIAL common 87227510 222,788 7,800
2
ten TENNECO INC common 88037E10 -178,500 -10,500
1
ter TERADYNE INC common 88077010 279,180 7,920
2
thc TENET HEALTHCARE CORP common 88033G10 -247,631 -14,100
0
thqi THQ INC common 87244340 516,638 11,980
3
tin TEMPLE INLAND INC common 87986810 231,800 3,800
7
tjx TJX COS common 87254010 4,452,958 158,680
9
tkr TIMKEN common 88738910 -233,813 -14,500
4
tom TOMMY HILFIGER ORD SHR common G8915Z10 63,422 2,250
2
trb TRIBUNE CO common 89604710 6,988,383 140,470
7
trow T ROWE PRICE common 74147710 93,288 3,400
3
ttii TRANSPORTATION TEC IND common 89388T10 337,767 19,510
1
tup TUPPERWARE CORP common 89989610 5,186,228 256,110
4
twr TOWER AUTOMOTIVE INC common 89170710 22,784 1,150
1
txn TEXAS INSTRS common 88250810 5,676,895 69,020
4
tyc TYCO common 90212410 6,281,730 60,840
6
ub UNIONBANCAL CORP common 90890610 4,783,913 131,970
0
ucm UNICOM CORP common 90491110 5,498,886 148,870
4
uis UNISYS CORP common 90921410 279,775 6,200
8
unp UNION PACIFIC common 90781810 5,213,339 108,470
8
usb US BANCORP common 90297310 -247,538 -8,200
6
usfc US FREIGHTWAYS common 91690610 24,635 520
0
vci VALASSIS COMMUNICATIONS common 91886610 332,827 7,575
INC. 4
visx VISX common 92844S10 11,701,920 147,950
5
vo SEAGRAM common 81185010 227,500 5,000
6
vsh VISHAY INTRTCH common 92829810 262,200 11,040
8
wbb WEBB DEL CORP common 94742310 3,816,560 173,480
9
wern WERNER common 95075510 37,453 2,125
8
wh WHITMAN CORPORATION common 96647R10 180,263 12,650
7
whit WHITTMAN-HART, INC. common 96683410 36,454 940
3
whr WHIRLPOOL CORP common 96332010 6,001,566 91,890
6
wlp WELLPOINT HLT NETW common 94973H10 185,250 3,250
8
wm WASHINGTON MUTUAL INC common 93932210 -222,300 -7,600
3
wmb WILLIAMS COS INC DEL common 96945710 -255,850 -6,800
0
wmt WAL MART STORES INC common 93114210 280,619 5,900
3
wy WEYERHAEUSER CO common 96216610 5,042,764 87,510
4
x USX-US STEEL common 90337T10 -265,225 -10,300
1
xirc XIRCOM common 98392210 3,279,467 76,825
5
zlc ZALE CORP common 98885810 26,436 690
6
zqk QUIKSILVER, INC common 74838C10 18,615 1,020
6
Grand Total 334,250,853
6. Manager exercises sole investment discretion with respect to all
accounts.
7. This report is filed only on behalf of C.M. Bidwell & Associates,
Ltd.
8. Manager has sole voting authority over all securities.