C.M. BIDWELL & ASSOCIATES,
LTD.
Security Holdings for 13F
Report
June 30, 2000
1. Company Name 2. 3. Cusip 4. Fair 5.Shar
Title es
of
Class Market Prn
Value Amt
jny JONES APPAREL GROUP common 48007410 601,365 25,590
3
zqk QUIKSILVER, INC common 74838C10 368,520 23,680
6
bud ANHEUSER BUSCH common 03522910 3,658,194 48,980
3
rky COORS common 21701610 57,475 950
4
dryr DREYERS GRAND ICE CREAM common 26187810 265,440 12,640
INC 2
mikl MICHAEL FOODS INC common 59407910 686,000 28,000
5
sfd SMITHS FOOD&DRG common 83224810 1,221,561 43,530
8
sza SUIZA FOODS CORP common 86507710 3,151,949 64,490
1
dj DOW JONES & CO common 26056110 6,700,178 91,470
5
mhp MCGRAW HILL common 58064510 2,166,480 40,120
9
nyt NEW YORK TIMES common 65011110 1,980,925 50,150
7
schl SCHOLASTIC CORPORATION common 80706610 284,843 4,660
5
cl COLGATE PALMOLIVE common 19416210 143,700 2,400
3
fbn FURNITURE BRANDS INTL common 36092110 1,564,681 103,45
0 0
sfp SALTON common 79575710 956,906 25,950
3
whr WHIRLPOOL CORP common 96332010 1,567,533 33,620
6
agy ARGOSY GAMING COMPANY common 04022810 674,906 46,950
8
azr AZTAR CORPORATION common 05480210 1,323,080 85,360
3
mbg MANDALAY RESORT GROUP common 56256710 569,000 28,450
7
mgg MGM GRAND INC. common 55295310 578,250 18,000
1
dis DISNEY common 25468710 73,744 1,900
6
won WESTWOOD ONE INC common 96181510 1,010,783 29,620
7
pool SCP POOL CORP common 78402810 1,145,978 48,765
2
appb APLEBEE'S INTL INC common 03789910 979,094 32,300
1
sonc SONIC CORP common 83545110 32,900 1,120
5
bbby BED BATH & BEYOND common 07589610 43,500 1,200
0
bby BEST BUY common 08651610 63,250 1,000
1
bj BJ'S WHOLESALE CLUB common 05548J10 300,300 9,100
6
cdwc CDW COMPUTER CENTERS common 12512910 3,836,250 61,380
6
chcs CHICOS FAS common 16861510 770,600 38,530
2
fast FASTENAL CO common 31190010 2,174,850 42,960
4
nsit INSIGHT ENTERPRISES common 45765U10 2,592,549 43,710
3
mike MICHAELS STORES INC common 59408710 1,416,523 30,920
8
mlg MUSICLAND common 62758B10 404,600 54,400
9
rost ROSS STORES common 77829610 693,591 40,650
3
tgt TARGET CORP common 87612E10 1,719,120 29,640
6
ltd THE LIMITED common 53271610 3,461,730 160,08
7 0
tif TIFFANY & CO common 88654710 2,533,950 37,540
8
wmt WAL MART STORES INC common 93114210 345,750 6,000
3
zlc ZALE CORP common 98885810 966,885 26,490
6
abt ABBOT LABS common 00282410 1,247,750 28,000
0
alo ALPHARMA INC common 02081310 1,752,338 28,150
1
apht APHTON CORP common 03759P10 259,818 10,090
1
dura DURA PHARM common 26632S10 1,179,325 82,040
9
dna GENENTECH INC common 36871040 68,800 400
6
imnx IMMUNEX CORP common 45252810 64,269 1,300
2
ivx IVAX CORPORATION common 46582310 3,924,033 94,555
2
jmed JONES MEDICAL common 48023610 960,896 24,060
8
pdli PROTEIN DESIGN LABS common 74369L10 1,501,073 9,100
3
sgp SCHERING PLOUGH common 80660510 707,000 14,000
1
aet AETNA INC common 00811710 96,281 1,500
3
oxhp OXFORD HEALTH PLANS common 69147110 4,745,831 199,30
6 0
phsy PACIFICARE HEALTH SYSTEMS common 69511210 67,410 1,120
2
rhb REHABCARE GROUP INC common 75914810 914,510 33,560
9
tgh TRIGON HEALTHCARE INC. common 89618L10 3,372,188 65,400
0
uhs UNIVERSAL HLTH common 91390310 1,446,895 22,090
0
agn ALLERGAN common 01849010 2,249,900 30,200
2
bol BAUSCH & LOMB common 07170710 2,558,018 33,060
3
bmet BIOMET INC common 09061310 2,441,934 63,530
0
hmsr HEMASURE INC. common 42350410 45,200 9,040
9
mkg MALLINCKRODT INC common 56123210 1,135,891 26,150
9
rmd RESMED, INC common 76115210 731,345 27,340
7
tech TECHNE CORP common 87837710 595,400 4,580
0
dph DELPHI AUTOMTV SYS CO common 24712610 30,523 2,096
5
f FORD common 34537010 2,312,540 53,780
0
gm GENERAL MOTORS common 37044210 174,188 3,000
5
lea LEAR CORP common 52186510 1,199,600 59,980
5
vc VISTEON CORP common 92839U10 85,178 7,025
7
wnc WABASH NATIONAL CORP common 92956610 1,019,343 85,390
7
apd AIR PRODUCTS & CHEM common 00915810 2,091,244 67,870
6
cbm CAMBREX CORP common 13201110 1,211,850 26,930
7
dd DU PONT common 26353410 350,000 8,000
9
emn EASTMAN CHEM CO common 27743210 803,633 16,830
0
ggc GEORGIA GULF CORP common 37320020 1,540,333 74,010
3
lyo LYONDELL common 55207810 2,733,935 163,22
7 0
omg OM GROUP INC common 67087210 1,264,120 28,730
0
pha PHARMACIA CORPORATION common 71713U10 2,247,889 43,490
2
rs RELIANCE STEEL & ALUM common 75950910 866,554 45,310
2
bms BEMIS COMPANY INC common 08143710 2,872,920 85,440
5
bwc BELDEN INC common 07745910 372,075 14,520
5
cdt CABLE DESIGN CORP common 12692410 918,905 27,430
9
ctv COMMSCOPE INC. common 20337210 1,190,640 29,040
7
srm SENSORMATIC ELECTRS CP common 81726510 1,818,121 114,98
1 0
de DEERE & CO common 24419910 1,847,410 49,930
5
dov DOVER CORP common 26000310 623,040 15,360
8
iex IDEX CORP common 45167R10 1,220,206 38,660
4
ndsn NORDSON CORP common 65566310 61,763 1,220
2
dci DONALDSON INC common 25765110 1,979,740 100,24
9 0
asd AMERICAN STANDARD common 02971210 2,323,880 56,680
6
shw SHERWIN WILLIAMS common 82434810 2,150,531 101,50
6 0
dy DYCOM INDUSTRIES INC common 26747510 1,046,040 22,740
1
ryl RYLAND GROUP INC common 78376410 1,148,509 51,910
3
wbb WEBB DEL CORP common 94742310 713,409 46,590
9
ge GENERAL ELECTRIC CO common 36960410 3,561,070 67,190
3
imn IMATION CORP common 45245A10 2,694,569 91,730
7
mtw MANITOWOC common 56357110 1,013,290 37,880
8
mmm MINN MNG & MFG common 60405910 412,500 5,000
5
bbox BLACK BOX CORP common 09182610 26,918 340
7
brcd BROCADE COMMUNICATIONS common 11162110 73,394 400
8
cgnx COGNEX CORP common 19242210 382,950 7,400
3
dell DELL common 24702510 197,250 4,000
9
fdry FOUNDRY NETWORKS INC common 35063R10 636,900 5,790
0
hwp HEWLETT PACKARD common 42823610 49,950 400
3
ibm INTL BUS MACH common 45920010 54,781 500
1
jnpr JUNIPER NETWORKS common 48203R10 58,225 400
4
orbk ORBOTECH LT common M7525310 834,018 8,980
0
sunw SUN MICROSYS common 86681010 54,563 600
4
tibx TIBCO SOFTWARE INC common 88632Q10 53,617 500
3
adbe ADOBE SYSTEMS INC OF DEL common 00724F10 52,000 400
1
aol AMERICA ONLINE INC common 02364J10 1,211,813 23,000
4
bvsn BROADVISION INC common 11141210 50,813 1,000
2
ca COMPUTER ASSOC INTL common 20491210 791,564 15,464
9
gnet GO 2 NET, INC. common 38348610 370,300 7,360
7
ijnt IJNT.NET IN common 44963810 100,455 21,720
5
nzro NETZERO INC common 64122R10 79,012 15,140
9
orcl ORACLE CORP common 68389X10 58,844 700
5
vrty VERITY INC common 92343C10 1,027,140 27,030
6
yhoo YAHOO! common 98433210 1,610,375 13,000
6
actl ACTEL CORPORATION common 00493410 1,593,681 34,930
5
amd ADVANCED MICRO DEVICES common 00790310 4,193,903 54,290
7
anad ANADIGICS INC common 03251510 180,531 5,300
8
adi ANALOG DEVICES INC common 03265410 3,587,200 47,200
5
bbrc BURR BROWN common 12257410 1,670,468 19,270
6
cnxt CONEXANT SYSTEMS common 20714210 77,800 1,600
0
cy CYPRESS SEMICONDUCTOR common 23280610 2,497,398 59,110
9
fcs FAIRCHILD SEMIN INT'L common 30372610 62,370 1,540
3
idti INTEGRATED DEVICE common 45811810 3,789,489 63,290
TECHNOLOGY 6
intc INTEL common 45814010 802,125 6,000
0
lscc LATTICE SEMICONDUCTOR common 51841510 1,080,424 15,630
4
mchp MICROCHIP TECH INC common 59501710 2,821,513 48,425
4
mu MICRON TECH common 59511210 228,963 2,600
3
qlgc QLOGIC CORP common 74727710 162,514 2,460
1
sdli SDL INC common 78407610 162,557 570
1
scor SYNCOR INTERNATIONAL CORP common 87157J10 2,088,000 29,000
NEW 6
txn TEXAS INSTRS common 88250810 2,555,175 37,200
4
txcc TRANSWITCH CORPORATION common 89406510 2,130,375 27,600
1
axe ANIXTER INTERNATIONAL INC common 03529010 1,144,800 43,200
5
avt AVNET INC common 05380710 2,236,688 37,750
3
cmos CREDENCE SYSTEMS CORP common 22530210 39,735 720
8
jbl JABIL CIRCUIT common 46631310 2,947,229 59,390
3
kem KEMET CORPORATION common 48836010 1,212,774 48,390
8
plxs PLEXUS CORP common 72913210 1,426,060 12,620
0
sanm SANMINA CORP common 80090710 380,475 4,450
7
saws SAWTEK INCORPORATED common 80546810 2,951,229 51,270
5
tnl TECHNITROL INC common 87855510 1,484,125 15,320
1
ter TERADYNE INC common 88077010 36,750 500
2
tfs THREE-FIVE SYSTEMS common 88554L10 964,060 16,340
8
trmb TRIMBLE NAVIGATION LTD common 89623910 1,344,784 27,550
0
vlnc VALENCE TECHNOLOGY INC common 91891410 28,209 1,530
2
vsh VISHAY INTRTCH common 92829810 1,878,475 49,515
8
amat APPLIED MATERIALS common 03822210 2,387,969 26,350
5
clzr CANDELA CORPORATION common 13690710 449,863 49,300
2
esio ELECTRO SCIENTIFIC IND common 28522910 19,374 440
0
klic KULICKE & SOFFA common 50124210 974,344 16,410
1
mil MILLIPORE CORP common 60107310 2,663,753 35,340
9
nvls NOVELLUS common 67000810 3,619,434 63,990
1
adct ADC common 00088610 2,563,220 30,560
1
dlk DATALINK.NET INC common 23804A20 102,113 7,780
6
lu LUCENT TECHNOLOGIES common 54946310 1,481,250 25,000
7
pwav POWERWAVE TECHNOLOGIES common 73936310 1,132,120 25,730
INC 9
sfa SCIENTIFIC ATLANTA INC common 80865510 59,600 800
4
cq COMSAT CP-SER 1 common 20564D10 94,000 4,000
7
swcm SOFTWARE.COM INC common 83402P10 111,693 860
4
sybs SYBASE INC common 87113010 46,000 2,000
0
vod VODAFONE AIRTCH common 92857W10 828,750 20,000
0
atk ALLIANT TECHSYSTEMS common 01880410 1,095,185 16,240
4
ba BOEING CORP common 09702310 543,563 13,000
5
gr GOODRICH common 38238810 2,083,603 61,170
6
lit LITTON INDS INC common 53802110 2,578,380 61,390
6
pcp PRECISION CASTPARTS common 74018910 64,708 1,430
5
bpa BP AMOCO-ADR common 05562210 565,625 10,000
4
str QUESTAR common 74835610 279,000 14,400
2
apa APACHE CORP common 03741110 3,543,453 60,250
5
cog CABOT OIL & GAS common 12709710 527,357 24,890
3
chk CHESAPEAKE ENERGY CORP common 16516710 760,275 98,100
7
dvn DEVON ENERGY common 25179M10 2,903,770 51,680
3
oei OCEAN ENERGY INC common 67481E10 3,324,131 234,30
6 0
vpi VINTAGE PETE INC common 92746010 1,066,304 47,260
5
ahc AMERADA HESS CORP common 02355110 1,967,355 31,860
4
chv CHEVRON CORP common 16675110 424,063 5,000
7
xom EXXON MOBIL CORP. common 30231G10 638,990 8,140
2
p PHILLIPS PETROLEUM CO common 71850710 2,178,042 42,970
6
cyn CITY NATIONAL CORP common 17856610 2,345,625 67,500
5
dsl DOWNEY FINANCIAL CORP common 26101810 1,262,370 43,530
5
mrbk MERCANTILE BANKSHARES common 58740510 1,645,054 55,180
CORP 1
sivb SILICON VALLEY BANCSHARES common 82706410 1,690,508 39,660
6
wtny WHITNEY HLDG CORP common 96661210 27,692 810
3
acf AMERICREDIT CORP common 03060R10 34,340 2,020
1
c CITIGROUP INC common 17296710 3,193,853 53,010
1
fnm FEDERAL NAT MTG common 31358610 3,757,500 72,000
9
rdn RADIAN GROUP INC common 75023610 2,669,265 51,580
1
ajg GALLAGHER ARTHUR J common 36357610 1,218,000 29,000
9
mtg MGIC INVT CORP WIS common 55284810 2,736,370 60,140
3
pmi PMI GROUP INC common 69344M10 2,330,825 49,070
1
ac ALLIANCE CAP MGMT LP common 01855A10 990,495 20,880
1
itg INVESTMENT TECHNOLOGY common 46145F10 2,678,100 67,800
GROUP 5
lm LEGG MASON INCORPORATED common 52490110 70,000 1,400
5
leh LEHMAN BROS HLDGS common 52490810 213,711 2,260
0
mer MERRILL LYNCH & CO INC common 59018810 3,121,100 27,140
8
mwd MORGAN STLY DEAN WTR common 61744644 3,153,510 37,880
8
trow T ROWE PRICE common 74147710 688,075 16,190
3
cpn CALPINE CORP common 13134710 3,291,445 50,060
6
dpl D.P.L. INC common 23329310 2,374,954 108,26
9 0
dte DTE ENERGY common 23333110 123,778 4,050
7
etr ENTERGY CORP common 29364G10 1,925,691 70,830
3
fpl FPL GROUP INC common 30257110 2,121,075 42,850
4
pcg P G & E CORP common 69331C10 2,569,865 104,36
8 0
psd PUGET SOUND ENERGY INC common 74533210 558,388 26,200
6
cgc CASCADE NATURAL GAS CORP common 14733910 1,131,579 67,810
5
egn ENERGEN CORP common 29265N10 1,541,708 70,680
8
kse KEYSPAN ENERGY common 49337W10 3,122,355 101,54
0 0
nfg NATIONAL FUEL GAS common 63618010 2,602,275 53,380
1
t AT&T CORP common 00195710 537,625 17,000
9
bel BELL ATLANTIC common 07785310 1,016,250 20,000
9
bls BELLSOUTH CORP common 07986010 1,150,875 27,000
2
gte GTE common 36232010 435,750 7,000
3
sbc SBC COMMUNICATIONS INC. common 78387G10 696,325 16,100
3
cnf CONSOLIDATED FREIGHTWAYS common 12612W10 1,913,503 84,110
4
cal.a CONTL AIRLS.A common 21079530 190,000 4,000
8
afwy AMERICAN FREIGHTWAYS CORP common 02629V10 820,845 56,610
8
chrw C H ROBINSON WORLDWIDE common 12541W10 2,761,110 55,780
INC 0
cp CANADIAN PACIFIC LIMITED common 13592310 874,139 33,380
0
frtz FRITZ COS INC common 35884610 70,331 6,820
3
ksu KANSAS CITY SOUTHN INDS common 48517010 2,598,544 29,300
INC 4
avi AVIS GROUP HOLDINGS, INC. common 05379010 544,500 29,040
1
hrz HERTZ CORP common 42804010 42,094 1,500
9
hh HOOPER HOLMES INC common 43910410 189,120 23,640
0
pme PENTON MEDIA INC common 70966810 1,229,550 35,130
7
Grand Total 297,924,7
01
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.