C.M. Bidwell & Associates
Security Holdings for 13F
Report
March 31, 1999
1. Company Name 2. 3. 4. Fair 5.
Title Cusip Market Shares
of Value Princ
Class Amt
aapl APPLE COMPUTERS common 0378331 3,243,359 90,250
00
abcw ANCHOR BANCORP common 0328391 23,985 1,560
02
abk AMBAC common 0231391 291,600 5,400
08
ad ADVO common 0075851 13,519 700
02
adbe ADOBE SYSTEMS INC OF DEL common 00724F1 1,128,190 19,880
01
aee AMEREN CORPORATION common 0236081 901,069 24,900
02
aeos AMERN EAGLE OUTFITTERS common 02553E1 21,506 300
0
aes AES CORP common 00130H1 -946,150 -25,400
05
afl AFLAC common 0010551 281,986 5,180
02
afwy AMERICAN FREIGHTWAYS CORP common 02629V1 20,986 1,630
08
agn ALLERGAN common 0184901 6,113,464 69,570
02
ahc AMERADA common 0235511 -956,450 -18,800
04
ahg APRIA HEALTHCARE GROUP common 0379331 136,563 11,500
08
ahp AMERICAN HOME common 0266091 -998,325 -15,300
07
ait AMERITECH CORP common 0309541 5,021,443 87,140
01
alb ALBEMARLE CORP common 0126531 36,850 1,760
01
alk ALASKA AIR GRP common 0116591 4,436,500 93,400
09
all ALLSTATE common 0200021 18,531 500
01
alo ALPHARMA INC common 0208131 29,045 740
01
altr ALTERA CORPORATION common 0214411 95,200 1,600
00
amat APPLIED MATERIALS common 0382221 5,053,440 81,920
05
amd ADVANCED MICRO DEVICES common 0079031 -869,550 -56,100
07
ames AMES DEPT STORES common 0307895 108,405 2,920
07
amgn AMGEN INCORPORATED common 0311621 13,622,009 181,930
00
amr AMR CORP common 0017651 -1,042,413 -17,800
06
amsy AMERICAN MGMT SYS INC common 0273521 26,276 770
03
andw ANDREW CORP common 0344251 2,463 200
08
andw ANDREW CORP common 0344251 -952,988 -77,400
08
anf ABERCROMBIE & FITCH common 0028962 428,040 4,640
07
ann ANNTAYLOR STORES CORP common 0361151 29,164 660
03
aol AMERICA ONLINE INC common 02364J1 6,488,580 44,140
04
apc ANADARKO PETROLEUM CO common 0325111 -1,034,350 -27,400
07
apd AIR PRODUCTS & CHEM common 0091581 35,791 1,045
06
asd AMERICAN STANDARD common 0297121 118,594 3,450
06
asfc ASTORIA FINANCIAL common 0462651 17,500 350
04
atg ATLANTA GAS common 0012041 288,552 16,430
06
atk ALLIANT TECHSYSTEMS common 0188041 17,091 220
04
avi AVIS RENT A CAR, INC common 0537901 5,411,522 195,450
01
avt AVNET INC common 0538071 6,431 175
03
awa AMERICA WEST HOLDINGS CORP common 0236572 137,250 7,200
CLA 08
bac BANK AMERICA CORP common 06605F1 -946,375 -13,400
02
bcc BOISE CASCADE common 0973831 5,834,025 180,900
03
Page Total 51,692,328
bgen BIOGEN INC common 0905971 409,239 3,580
05
bgg BRIGGS & STRTN common 1090431 5,294,190 107,360
09
bke BUCKLE common 1184401 4,322,363 192,105
06
bll BALL common 0584981 5,702,906 121,500
06
bls BELLSOUTH CORP common 0798601 4,829,534 120,550
02
bni BURLINGTON NSF CP common 12189T1 6,904 210
04
bosa BOSTON ACOUSTICS common 1005341 49,075 3,020
06
bs BETHLEHEM STL common 0875091 -900,075 -
05 109,100
bsc BEAR STEARNS common 0739021 6,530,631 146,140
08
bsx BOSTON SCIENTIFIC common 1011371 -1,027,813 -25,300
07
bud ANHEUSER BUSCH common 0352291 1,065,750 14,000
03
ca COMPUTER ASSOC INTL common 2049121 7,468 210
09
cag CONAGRA common 2058871 34,594 1,350
02
cath CATHERINES STORES CORP common 14916F1 665,700 95,100
00
cb CHUBB common 1712321 -931,144 -15,900
01
cck CROWN CORK & SEAL INC common 2282551 -993,975 -34,800
05
ccl CARNIVAL common 1436581 6,078,568 125,170
02
ccr COUNTRYWIDE CR common 2223721 6,375 170
04
cdd CORDANT TECHNOLOGIES INC. common 2184121 3,993,592 100,310
04
cei CRESCENT REAL EST EQUITIES common 2257561 5,160 240
CO 05
cfwy CONSOLIDATED FREIGHTWAYS common 2092321 34,310 2,920
07
cgp COASTAL common 1904411 4,443,120 134,640
05
cgsv COLORADO GOLD & SILVER common 1964721 0 3,600
04
cgx CONSOLIDATED GRAPHICS common 2093411 23,678 410
06
chd CHURCH & DWIGHT INC common 1713401 141,810 3,480
02
chrz COMP HORIZONS common 2059081 7,109 650
06
ci CIGNA common 1255091 10,812 129
09
cir CIRCUS CIRCUS ENTERPRISES common 1729091 7,101,573 404,360
03
ckr CKE RESTAURANTS INC common 12561E1 5,747 291
05
clx CLOROX common 1890541 5,155,078 43,990
09
cmb CHASE MANHATTAN common 16161A1 971,618 11,940
08
cmvt COMVERSE TECHNOLOGY common 2058624 28,900 340
02
cnc CONSECO common 2084641 7,101 230
07
cng CONSOL NAT GAS common 2096151 -886,113 -18,200
03
coms 3COM CORP common 8855351 17,951 770
04
coms 3COM CORP common 8855351 -874,219 -37,500
04
cpb CAMPBELL SOUP common 1344291 -895,125 -22,000
09
cpq COMPAQ COMPUTER common 2044931 7,922 250
00
cpq COMPAQ COMPUTER common 2044931 -1,007,663 -31,800
00
cr CRANE common 2243991 21,769 900
05
csl CARLISLE COMPANIES INC common 1423391 221,128 4,730
00
csx CSX CORP common 1264081 5,841 150
03
ctas CINTAS CORPORATION common 1729081 127,481 1,950
05
ctl CENTURY TEL ENTERPRISES common 1567001 148,930 2,120
06
ctx CENTEX common 1523121 10,050,381 301,135
04
ctxs CITRIX SYS common 1773761 299,663 7,860
00
dal DELTA AIRLINES common 2473611 8,340 120
08
dcn DANA CORP common 2358111 -877,800 -23,100
06
ddim DATA DIMENSIONS INC common 2376542 703,000 152,000
07
Page Total 60,151,384
dds DILLARD'S INC CLASS A common 2540671 -997,238 -39,300
01
de DEERE & CO common 2441991 -992,663 -25,700
05
dfs DEPARTMENT 56, INC. common 2495091 3,981,225 130,800
00
dh DAYTON HUDSON common 2397531 66,625 1,000
06
dhi D R HORTON INC common 23331A1 23,283 1,390
09
dis DISNEY common 2546871 -983,550 -31,600
06
dltr DOLLAR TREE STORES common 2567471 89,100 2,880
06
dme DIME BANCORP INC common 25429Q1 4,131,317 178,170
02
dow DOW CHEM COMPANY common 2605431 936,534 10,050
03
dre DUKE REALTY INVESTMENTS common 2644115 4,730 220
05
dri DARDEN RESTAURANTS common 2371941 41,250 2,000
05
eds ELECTRONIC DATA SYSTEMS common 2856611 -954,275 -19,600
04
emr EMERSON ELECTRIC CO common 2910111 4,500 85
04
epg EL PASO ENERGY CORP common 2839051 125,847 3,850
07
erts ELECTRONIC ARTS INC common 2855121 155,800 3,280
09
ey ETHYL CORP common 2976591 1,921,425 452,100
04
faf FIRST AMERN FINL common 3185223 53,130 3,360
07
fbn FURNITURE BRANDS INTL common 3609211 134,520 6,080
00
fd FEDERATED DEPT STORES INC common 31410H1 -1,011,150 -25,200
01
flgs FLAGSTAR BANCORP common 3379301 3,870,590 146,060
01
flo FLOWERS INDUSTRIES INC common 3434961 32,013 1,300
05
flt FLEET FINL GROUP INC common 3389151 7,525 200
01
flt FLEET FINL GROUP INC common 3389151 -906,763 -24,100
01
fmc FMC CORP common 3024913 -883,813 -17,900
03
fmo FEDERAL MOGUL CORP common 3135491 68,400 1,600
07
fnf FIDELITY NATL FINL INC common 3163261 1,754,100 116,940
07
fon SPRINT CORP common 8520611 47,100 480
00
fpc FLORIDA PROGRESS common 3411091 283,125 7,500
06
ftl FRUIT OF THE LOOM INC CL A common G3682L1 -746,050 -69,400
05
ftu FIRST UNION common 3373581 2,672 50
05
full FULLER H B CO common 3596941 247,538 4,200
06
fwc FOSTER WHEELER CORP common 3502441 -943,325 -77,800
09
gac GULFSTREAM AEROSPACE common 4027341 3,843,025 88,600
07
gci GANNETT common 3647301 31,500 500
01
gd GENERAL DYNMCS common 3695501 6,217,473 96,770
08
gdt GUIDANT CORP common 4016981 6,159,505 101,810
05
gems GLENAYRE TECHNOLOGIES INC common 3778991 19,388 5,640
09
gle GLEASON CORP common 3773391 44,715 2,640
06
gm GENERAL MOTORS common 3704421 5,676,750 65,250
05
gntx GENTEX CORP common 3719011 24,797 1,150
09
gp GEORGIA PAC CORP common 3732981 6,125,625 82,500
08
gps GAP common 3647601 6,841,979 101,645
08
gpt GREENPOINT FINANCIAL CORP common 3953841 345,763 9,950
00
gr GOODRICH common 3823881 34,999 1,020
06
gra GRACE WR common 38388F1 29,464 2,430
08
gte GTE common 3623201 179,564 2,968
03
guidd GUIDON OIL & GAS INC common 0 400
gy GENCORP INC common 3686821 127,620 7,090
00
han HANSON TRUST common 4113524 29,480 670
04
Page Total 45,295,169
has HASBRO INC common 4180561 963,619 33,300
07
hcr HCR MANOR CARE INC common 4041341 -896,531 -39,300
08
he HAWAIIAN ELEC common 4198701 0 0
00
hon HONEYWELL common 4385061 176,643 2,330
07
hp HELEMERICH & PAYNE common 4234521 127,050 5,600
01
hrl HORMEL GEO A common 4404521 122,906 3,450
00
hrz HERTZ CORP common 4280401 288,365 5,390
09
hsy HERSHEY FOODS common 4278661 -835,331 -14,900
08
hwp HEWLETT PACKARD common 4282361 166,141 2,450
03
ibp IBP common 4492231 150,118 8,060
06
icn ICN PHARMA common 4489241 6,909 275
00
imc INTL MULTIFOODS CORP common 4600431 93,250 4,000
02
intc INTEL common 4581401 5,039,111 42,390
00
intu INTUIT common 4612021 353,073 3,470
03
ip INTERNATIONAL PAPER common 4601461 -894,375 -21,200
03
ir INGERSOLL RAND CO common 4568661 961,236 19,370
02
ivcr INVACARE CORP common 4612031 3,510,725 144,400
01
jaii JOHNSTOWN AMERICAN IND common 4794771 181,624 12,210
01
jci JOHNSON CTLS common 4783661 954,338 15,300
07
jcp PENNEY J C common 7081601 1,620 40
06
jcp PENNEY J C common 7081601 -972,000 -24,000
06
jlg JLG INDS common 4662101 24,253 1,780
01
jny JONES APPAREL GROUP common 4800741 4,293,435 153,680
03
kbh KAUFMAN & BROAD common 4861681 31,588 1,400
07
kmt KENNAMETAL INC common 4891701 2,644 150
00
krb MBNA common 55262L1 48,944 2,050
00
kri KNIGHT RIDDER INC common 4990401 85,000 1,700
03
kse KEYSPAN ENERGY common 49337K1 27,638 1,100
06
ksu KANSAS CITY SOUTHN INDS common 4851701 125,400 2,200
INC 04
lby LIBBY INC. common 5298981 169,260 5,460
08
lce LONE STAR INDS common 5422904 79,980 2,580
08
leh LEHMAN BROS HLDGS common 5249081 5,804,713 97,150
00
lly ELI LILLY common 5324571 33,950 400
08
lm LEGG MASON INCORPORATED common 5249011 30,993 920
05
lmt LOCKHEED MARTIN common 5398301 6,040 160
09
lncr LINCARE common 5327911 219,375 7,800
00
lnt INTERSTATE ENERGY common 4608451 195,161 7,330
CORPORATION 00
low LOWES COS INC common 5486611 5,383,895 88,990
07
lson LASON INC common 51808R1 24,750 440
07
lstr LANDSTAR SYS INC common 5150981 14,244 430
01
luv SOUTHWEST AIRLS CO common 8447411 6,678,293 220,770
08
lvci LASER VISION CENTERS INC common 51807H1 39,650 1,040
00
lxk LEXMARK INTL GROUP common 5297711 7,731,122 69,105
07
lzb LA-Z-BOY CHAIR CO common 5053361 29,159 1,550
07
man MANPOWER INC common 56418H1 311,121 13,310
00
mast MASTECH CORP common 57632N1 8,450 650
05
may MAY DEPARTMENT STORES common 5777781 7,629 195
03
mbi MBIA common 55262C1 -881,600 -15,200
00
mck MCKESSON HBOC common 58155Q1 -904,200 -13,700
03
Page Total 39,119,378
mdr MCDERMOTT INTL common 5800371 3,593,109 141,950
09
mdt MEDTRONIC INC common 5850551 38,094 530
06
mdy S&P MIDCAP 400 DEP REC common 5956351 537,713 7,800
03
medi MEDIMMUNE INC common 5846991 25,451 430
02
ment MENTOR GRAPHICS CORP common 5872001 304,155 22,530
06
mer MERRILL LYNCH & CO INC common 5901881 13,275 150
08
merq MERCURY INTERACTIVE CORP common 5894051 24,225 680
09
mhk MOHAWK INDS common 6081901 4,110,300 137,010
04
mlg MUSICLAND common 62758B1 3,461,400 384,600
09
mli MUELLER INDUSTRIES INC common 6247561 27,298 1,220
02
mrd MAC DERMID INC common 5542731 24,774 730
02
mre MEDCO RESEARCH INC common 5840591 157,040 6,040
09
mspg MINDSPRING ENTERPRISES common 6026831 2,530,238 29,400
04
mtrs METRIS COS INC common 5915981 110,183 2,729
07
mu MICRON TECHNOLOGY common 5951121 852,919 17,700
03
mwd MORGAN STLY DEAN WTR common 6174464 1,119,300 11,200
48
neg ENERGY EAST CORP common 29266M1 26,807 510
09
nke NIKE common 6541061 5,827,014 101,010
03
nns NEWPORT NEWS SHIPBUILDING common 6522281 36,441 1,150
INC 07
noc NORTHROP GRUMMAN common 6668071 -856,213 -14,300
02
nok.a NOKIA CORPORATION ADR 'A' common 6549022 32,708 210
04
novn NOVEN PHARMACEOTICAL INC common 6700091 14,014 3,030
09
nsp NORTHN STS PWR common 6657721 133,560 5,760
09
nwl NEWELL RUBBERMAID INC common 6512291 -1,076,375 -21,800
06
nyt NEW YORK TIMES common 6501111 22,800 800
07
oat QUAKER OATS CO common 7474021 5,045,985 81,060
05
oei OCEAN ENERGY INC common 67481E1 341,783 50,170
06
ok OLD KENT FINL CORP common 6798331 16,925 400
03
oke ONEOK common 6826801 -749,925 -30,300
03
one BANC ONE CORPORATION common 06423A1 8,755 159
03
orbk ORBOTECH LT common M752531 5,267,674 107,230
00
orcl ORACLE CORP common 68389X1 47,079 1,785
05
oxhp ORFORD HEALTH PLANS common 6914711 275,938 17,660
06
oxy OCCIDENTAL PETE CORP common 6745991 -1,036,800 -57,600
05
peg PUBLIC SVC ENTERPRS common 7445731 43,916 1,150
06
pgl PEOPLES ENERGY CORP common 7110301 -882,131 -27,300
06
pll PALL CORP common 6964293 -957,313 -57,800
07
pom POTOMAC ELECTRIC POWER CO. common 7376791 90,431 3,900
00
prd POLAROID CORP common 7310951 -908,438 -45,000
05
psd PUGET SOUND ENERGY INC common 7453321 3,933,540 170,560
06
pvn PROVIDIAN FINANCIAL CORP common 74406A1 6,327,200 57,520
02
pwj PAINE WEBBER INC common 6956291 258,390 6,480
05
rah RALCORP HOLDINGS INC common 7510281 25,270 1,330
01
ratl RATIONAL SOFTWARE CORP common 75409P2 109,395 4,080
02
rep REPSOL S A ADR common 76026T2 26,138 510
05
rig TRANSOCEAN OFFSHORE INC common 8938171 158,757 5,510
06
rky COORS common 2170161 5,281,200 97,800
04
rlm REYNOLDS METALS CO common 7617631 -1,048,381 -21,700
01
rnwk REAL NETWORKS, INC common 75605L1 4,732,322 38,730
04
Page Total 47,497,940
rost ROSS STORES common 7782961 6,656,652 151,935
03
rpc ROBERTS PHARMACEUTICAL common 7704911 22,410 1,080
08
rsln ROSLYN BANCORP common 7781621 94,095 5,576
07
ryl RYLAND GROUP INC common 7837641 18,478 730
03
safc SAFECO CORP common 7864291 -970,500 -24,000
00
sch SCHWAB CHARLES common 8085131 7,938,964 82,590
05
sebl SIEBEL common 8261701 162,925 3,430
02
seg SEAGATE TECH common 8118041 4,347,757 147,070
03
seic SEI INVESTMENTS COMPANY common 7841171 24,050 260
03
sfp SALTON common 7957571 3,358,934 137,450
03
sgp SCHERING PLOUGH common 8066051 5,467,540 98,960
01
sms SHARED MED SYS CORP common 8194861 5,569 100
01
soi SOLUTIA INC common 8343761 95,736 5,510
05
spg SIMON PPTY GROUP INC common 8288061 4,116 150
09
spy S&P500 DEP RCPTS common 78462F1 128,375 1,000
03
srv SERVICE CORP INTL common 8175651 6,128 430
04
srv SERVICE CORP INTL common 8175651 -869,250 -61,000
04
ssw STERLING SOFTWARE INC common 8595471 4,007,338 168,730
01
sun SUNOCO INC common 86764P1 25,244 700
09
sup SUPERIOR INDS INTL INC common 8681681 107,183 4,610
05
swc STILLWATER MNG CO common 86074Q1 18,067 685
02
t AT&T CORP common 0019571 4,536,543 56,840
09
tecu. TECUMSEH PRODUCTS CO CL-A common 8788952 218,013 4,280
a 00
tek TEKTRONIX common 8791311 -1,098,375 -43,500
00
ten TENNECO INC common 88037E1 -871,650 -31,200
01
ter TERADYNE INC common 8807701 114,581 2,100
02
thc TENET HEALTHCARE CORP common 88033G1 -859,763 -45,400
00
thqi THQ INC common 8724434 90,058 4,420
03
tif TIFFANY & CO common 8865471 310,213 4,150
08
tjx TJX COS common 8725401 6,903,700 203,050
09
tlb TALBOTS INC common 8741611 16,331 670
02
tmc TIMES MIRROR common 8873641 4,871 90
07
tno TRUE NORTH COMMUNICATIONS common 8978441 71,120 2,540
06
tom TOMMY HILFIGER ORD SHR common G8915Z1 118,809 1,725
02
trow T ROWE PRICE common 7414771 246,813 7,180
03
tyc TYCO common 9021241 5,856,235 81,620
06
tzh TRIZEC HAHN COPORATION common 8969381 4,039,841 219,110
07
uis UNISYS CORP common 9092141 35,994 1,300
08
unbc UNIONBANCAL CORP common 9089061 4,887,969 143,500
00
unh UTD HEALTHCARE CORP common 9105811 6,315 120
07
usb US BANCORP common 9029731 -1,066,156 -31,300
06
ustc US TRUST CORP common 91288L1 26,708 360
05
usw US WEST common 91273H1 44,050 800
01
utx UNITED TECHNOLOGIES CORP common 9130171 7,310,916 53,980
09
vfc V F CORP common 9182041 4,909,125 103,350
08
visx VISX common 92844S1 10,827,241 100,660
05
vnwk VISUAL NETWORKS, INC. common 9284441 2,672,313 71,500
08
vo SEAGRAM common 8118501 -1,005,000 -20,100
06
vtss VITESSE SEMICONDUCTOR common 9284971 28,856 570
06
Page Total 79,025,482
w WESTVACO CORP common 9615481 -915,600 -43,600
04
wcom MCI WORLDCOM INC common 55268B1 6,017,822 67,950
06
wern WERNER common 9507551 33,469 2,125
08
whr WHIRLPOOL CORP common 9633201 1,131,000 20,800
06
wm WASHINGTON MUTUAL INC common 9393221 7,766 190
0
wmt WAL MART STORES INC common 9311421 986,406 10,700
03
wpo WASHINGTON POST CO CL B common 9396401 8,866 17
08
wpsn WESTPOINT STEVENS INC common 9612381 26,580 960
02
wtr AQUARION CO common 03838W1 22,275 810
01
xirc XIRCOM common 9839221 1,624,834 64,670
05
xlnx XILINX INC common 9839191 146,025 3,600
01
xon EXXON common 3022901 4,627,489 65,580
01
zlc ZALE CORP common 9888581 20,171 590
06
zqk QUIKSILVER, INC common 74838C1 25,773 610
06
Page Total 13,762,876
Grand Total 336,544,55
7
6. Manager exercises sole investment discretion
with respect to all accounts.
7. This report is filed only on behalf of C.M.
Bidwell & Associates
8. Manager has sole voting authority over all
securities.