ENDEX CAPITAL MANAGMENT LLC
13F-HR, 2000-04-11
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UNITES STATES
SECURITIES AND EXCHANGE COMMISSION
WASHINGTON, D.C. 20549

Form 13 F

Form 13 F COVER PAGE

Report for the Calendar Year or Quarter Ended:	March 31, 2000

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

Institutional Investment Manager Filing this Report:

Name:		ENDEX Capital Management, LLC	    801-154632
Address:		6320 Lamar Avenue
		Suite 100
Overland Park, KS 66202

Form 13 F File Number:	28-5599

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:	Jeffrey L. Hoffman
Title:	 Chief Executive Officer
Phone:	913/384-2720

Signature, Place, and Date of Signing:

Jeffrey L. Hoffman	Overland Park, KS	April 5, 2000
(Signature)		(City, State)		(Date)

Report Type (Check only one.):

[ X] 	13 F HOLDINGS REPORT. (Check here if all holdings of this
reporting manager are reported in this report.

[   ]	13 F NOTICE. (Check here if no holdings reported are in this
report, and all holdings are reported by other reporting manager(s).)

[   ]	13 F COMINATION REPORT. (Check here if a portion of the
holdings for this reporting manager are reported in this report and a portion
are reported by other reporting manager(s).)

List of Other Managers Reporting for this Manager:

	NONE

Form 13 F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:		NONE

Form 13 F Information Table Entry Total:		337

Form 13 F Information Table Value Total:		$163,693
						(thousands)

List of Other Included Managers:			NONE






<TABLE>				<C>							<C>
                                                        FORM 13 F INFORMATION TABLE
          Column 1           Column 2 Column 3  Column 4   <<<<<<<<Column 5>  Column 6  Column 7 <<<<<Column 8>>>>>>>>>
                              TITLE                      SHARES  SHS/   PU  TABLE OF
                               0F                          OR       OR     INVESTMENT   OTHER          VOTING AUTHORITY
       NAME OF ISSUER         CLASS   CUSIP     VALUE   PRINCIPLEPRN  CALL DISCRETION  MANAGER   SOLE   SHARED   NONE
ABBOTT LABORATORIES            Com   2824100   503000.0014300.000 Shares      Sole       N/A      0       0    14300.000
AEGON N.V. ADR                 Com   7924100    62000.00  774.000 Shares      Sole       N/A      0       0      774.000
AETNA INC                      Com   8117100    78000.00 1400.000 Shares      Sole       N/A      0       0     1400.000
AIR PRODUCTS & CHEMICALS INC   Com   9158100    60000.00 2100.000 Shares      Sole       N/A      0       0     2100.000
ALBERTO-CULVER CO  -CL B       Com  13104100    10000.00  400.000 Shares      Sole       N/A      0       0      400.000
ALBERTSONS INC                 Com  13104100   111000.00 3597.000 Shares      Sole       N/A      0       0     3597.000
ALCAN ALUMINIUM LTD            Com  13716100    72000.00 2100.000 Shares      Sole       N/A      0       0     2100.000
ALCOA                          Com  13817100   246000.00 3500.000 Shares      Sole       N/A      0       0     3500.000
ALLEGHENY TECHNOLOGIES INC     Com  17415100    18000.00  900.000 Shares      Sole       N/A      0       0      900.000
ALLERGAN INC                   Com  18490100   200000.00 4000.000 Shares      Sole       N/A      0       0     4000.000
ALLSTATE CORP                  Com  20002100   186000.00 7800.000 Shares      Sole       N/A      0       0     7800.000
ALLTEL CORP                    Com  20039100   341000.00 5400.000 Shares      Sole       N/A      0       0     5400.000
AMERADA HESS CORP              Com  23551104    13000.00  200.000 Shares      Sole       N/A      0       0      200.000
AMERICA ON LINE                Com  02364J100 3662000.0054300.000 Shares      Sole       N/A      0       0    54300.000
AMERICAN EXPRESS               Com  25816109   640000.00 4300.000 Shares      Sole       N/A      0       0     4300.000
AMERICAN GENERAL CORP          Com  26351106   140000.00 2500.000 Shares      Sole       N/A      0       0     2500.000
AMERICAN HOME PRODUCTS CORP    Com  26609107  1274000.0023700.000 Shares      Sole       N/A      0       0    23700.000
AMERICAN INTERNATIONAL GROUP   Com  26874107  1371000.0012525.000 Shares      Sole       N/A      0       0    12525.000
AMGEN INC                      Com   3116210  1817000.0029600.000 Shares      Sole       N/A      0       0    29600.000
AMR CORP/DE                    Com   1765106    45000.00 1400.000 Shares      Sole       N/A      0       0     1400.000
AMSOUTH BANCORPORTION          Com  32165100    17000.00 1150.000 Shares      Sole       N/A      0       0     1150.000
ANADARKO PETROLEUM CORP        Com   3251110    39000.00 1000.000 Shares      Sole       N/A      0       0     1000.000
ANHEUSER-BUSCH COS INC         Com  35229103   293000.00 4700.000 Shares      Sole       N/A      0       0     4700.000
APPLIED MATERIALS INC          Com  38222105   660000.00 7000.000 Shares      Sole       N/A      0       0     7000.000
ARCH COAL INC                  Com  39308100     1000.00  147.660 Shares      Sole       N/A      0       0      147.660
ARCHER-DANIELS-MIDLAND CO      Com  39483102    63000.00 6062.000 Shares      Sole       N/A      0       0     6062.000
ASHLAND INC                    Com  44204105    20000.00  600.000 Shares      Sole       N/A      0       0      600.000
ASSOC FST CAPITAL CP  -CL A    Com   4600810   143000.00 6700.000 Shares      Sole       N/A      0       0     6700.000
AT&T CORP                      Com   1957109  4353000.0077300.000 Shares      Sole       N/A      0       0    77300.000
ATLANTIC RICHFIELD CO          Com  48825103   247000.00 2900.000 Shares      Sole       N/A      0       0     2900.000
AUTODESK INC                   Com  52769106    18000.00  400.000 Shares      Sole       N/A      0       0      400.000
AUTOMATIC DATA PROCESSING      Com  53015103   275000.00 5700.000 Shares      Sole       N/A      0       0     5700.000
AUTOZONE INC                   Com   5333210    39000.00 1400.000 Shares      Sole       N/A      0       0     1400.000
AVERY DENNISON CORP            Com  53611109    61000.00 1000.000 Shares      Sole       N/A      0       0     1000.000
AVON PRODUCTS                  Com  54303102    73000.00 2500.000 Shares      Sole       N/A      0       0     2500.000
BALL CORP                      Com  58498106    14000.00  400.000 Shares      Sole       N/A      0       0      400.000
BANC ONE CORP                  Com   5943810   378000.0011008.000 Shares      Sole       N/A      0       0    11008.000
BANK OF AMERICA CORP           Com  66050105   862000.0016447.000 Shares      Sole       N/A      0       0    16447.000
BANK OF NEW YORK CO INC        Com  64057102   295000.00 7100.000 Shares      Sole       N/A      0       0     7100.000
BARD (C.R.) INC                Com  67383109    15000.00  400.000 Shares      Sole       N/A      0       0      400.000
BARRICK GOLD CORPORATION       Com  67901108    55000.00 3500.000 Shares      Sole       N/A      0       0     3500.000
BAXTER INTERNATIONAL INC       Com  71813109   157000.00 2500.000 Shares      Sole       N/A      0       0     2500.000
BB&T CORP                      Com   5493710    81000.00 2900.000 Shares      Sole       N/A      0       0     2900.000
BEAR STARNS COS. INC. Common   Com  73902100    55000.00 1208.000 Shares      Sole       N/A      0       0     1208.000
BECTON DICKINSON & CO          Com  75887109    66000.00 2500.000 Shares      Sole       N/A      0       0     2500.000
BELL ATLANTIC CORP             Com   7785310  1064000.0017400.000 Shares      Sole       N/A      0       0    17400.000
BELLSOUTH CORP                 Com  79860102   853000.0018200.000 Shares      Sole       N/A      0       0    18200.000
BEMIS CO                       Com  81437105    15000.00  400.000 Shares      Sole       N/A      0       0      400.000
BESTFOODS                      Com  08658U10   117000.00 2500.000 Shares      Sole       N/A      0       0     2500.000
BETHLEHEM STEEL CORP           Com  87509105     6000.00 1000.000 Shares      Sole       N/A      0       0     1000.000
BIOMET INC                     Com  90613100    36000.00 1000.000 Shares      Sole       N/A      0       0     1000.000
BLACK & DECKER CORP            Com  91797100    23000.00  600.000 Shares      Sole       N/A      0       0      600.000
BOEING CO                      Com   9702310   340000.00 9000.000 Shares      Sole       N/A      0       0     9000.000
BOSTON SCIENTIFIC CORP         Com  10113710    75000.00 3500.000 Shares      Sole       N/A      0       0     3500.000
BRIGGS & STRATTON              Com  109043109   16000.00  400.000 Shares      Sole       N/A      0       0      400.000
BRISTOL MYERS SQUIBB           Com  110122108 3376000.0058200.000 Shares      Sole       N/A      0       0    58200.000
BRUNSWICK CORP                 Com  11704310    11000.00  600.000 Shares      Sole       N/A      0       0      600.000
BURLINTON NORTHER SANTA FE     Com  12189T10    98000.00 4300.000 Shares      Sole       N/A      0       0     4300.000
CAMPBELL SOUP CO               Com  134429109  132000.00 4300.000 Shares      Sole       N/A      0       0     4300.000
CAPITAL ONE FINANCIAL CORPORA  Com  14040H10   101000.00 2100.000 Shares      Sole       N/A      0       0     2100.000
CARDINAL HEALTH INC            Com  14149Y10   115000.00 2500.000 Shares      Sole       N/A      0       0     2500.000
CARNIVAL CORP.                 Com  146358100  439000.0017700.000 Shares      Sole       N/A      0       0    17700.000
CATERPILLAR INC                Com  149123101  130000.00 3300.000 Shares      Sole       N/A      0       0     3300.000
CBS CORP                       Com  12490K107   29000.00  505.000 Shares      Sole       N/A      0       0      505.000
CENDANT CORP                   Com  151313103  144000.00 7800.000 Shares      Sole       N/A      0       0     7800.000
CENTEX CORP                    Com  152312104   14000.00  600.000 Shares      Sole       N/A      0       0      600.000
CENTURY TELEPHONE ENTERPRISES  Com  156700100  156000.00 4200.000 Shares      Sole       N/A      0       0     4200.000
CERIDIAN CORP                  Com  15677T10    27000.00 1400.000 Shares      Sole       N/A      0       0     1400.000
CHASE MANHATTAN CORP           Com  16161A10   680000.00 7800.000 Shares      Sole       N/A      0       0     7800.000
CHEVRON CORP                   Com  166751107  564000.00 6100.000 Shares      Sole       N/A      0       0     6100.000
CIGNA CORP                     Com  125509109  136000.00 1800.000 Shares      Sole       N/A      0       0     1800.000
CIRCUIT CITY STR CRCT CTY GP   Com  172737108  359000.00 5900.000 Shares      Sole       N/A      0       0     5900.000
CISCO SYSTEMS INC              Com  17275R10  4639000.0060000.000 Shares      Sole       N/A      0       0    60000.000
CITIGROUP                      Com  173034109 1434000.0023950.000 Shares      Sole       N/A      0       0    23950.000
CLEAR CHANNEL COMMUNICATIONS   Com  184502102  173000.00 2500.000 Shares      Sole       N/A      0       0     2500.000
CLOROX CO/DE                   Com  189054109   69000.00 2100.000 Shares      Sole       N/A      0       0     2100.000
COCA-COLA CO                   Com  19121610  1094000.0023300.000 Shares      Sole       N/A      0       0    23300.000
COLGATE-PALMOLIVE CO           Com  194162103  321000.00 5700.000 Shares      Sole       N/A      0       0     5700.000
COLUMBIA ENERGY GROUP          Com  19764810    36000.00  600.000 Shares      Sole       N/A      0       0      600.000
COMCAST CORP  -CL A SPL        Com  200300200  933000.0021500.000 Shares      Sole       N/A      0       0    21500.000
COMERICA INC                   Com  200340107   59000.00 1400.000 Shares      Sole       N/A      0       0     1400.000
COMPAQ COMPUTER CORP           Com  204493100 1284000.0050000.000 Shares      Sole       N/A      0       0    50000.000
COMPUTER SCIENCES CORP         Com  205363104  111000.00 1400.000 Shares      Sole       N/A      0       0     1400.000
CONAGRA INC                    Com  205887102   85000.00 4700.000 Shares      Sole       N/A      0       0     4700.000
COOPER TIRE & RUBBER           Com  216831107    8000.00  600.000 Shares      Sole       N/A      0       0      600.000
COORS (ADOLPH)  -CL B          Com  217016104   19000.00  400.000 Shares      Sole       N/A      0       0      400.000
CORNING INC                    Com  219350105  407000.00 2100.000 Shares      Sole       N/A      0       0     2100.000
COSTCO WHOLESALE CORP.         Com  22160Q102  673000.0012800.000 Shares      Sole       N/A      0       0    12800.000
CSX CORP                       Com  126408103   49000.00 2100.000 Shares      Sole       N/A      0       0     2100.000
CVS CORP                       Com  126650100  131000.00 3500.000 Shares      Sole       N/A      0       0     3500.000
DANAHER CORP.                  Com  235851100   71000.00 1400.000 Shares      Sole       N/A      0       0     1400.000
DARDEN RESTAURANTS INC         Com  237194105   18000.00 1000.000 Shares      Sole       N/A      0       0     1000.000
DEERE & CO                     Com  24419910    80000.00 2100.000 Shares      Sole       N/A      0       0     2100.000
DELL COMPUTER CORP             Com  247025109 4040000.0074900.000 Shares      Sole       N/A      0       0    74900.000
DELPHI AUTOMOTIVE SYSTEMS COR  Com  247126105   19000.00 1188.000 Shares      Sole       N/A      0       0     1188.000
DELTA AIR LINES INC            Com  247361108  224000.00 4200.000 Shares      Sole       N/A      0       0     4200.000
DISNEY (WALT) COMPANY          Com  254687106  809000.0019600.000 Shares      Sole       N/A      0       0    19600.000
DOLLAR GENERAL STORES          Com  25666910    61000.00 2256.000 Shares      Sole       N/A      0       0     2256.000
DONNELLEY (R R) & SONS CO      Com  257867101   21000.00 1000.000 Shares      Sole       N/A      0       0     1000.000
DOVER CORP                     Com  260003108  101000.00 2100.000 Shares      Sole       N/A      0       0     2100.000
DOW CHEMICAL                   Com  26054310   239000.00 2100.000 Shares      Sole       N/A      0       0     2100.000
DOW JONES & CO INC             Com  260561105   43000.00  600.000 Shares      Sole       N/A      0       0      600.000
DU PONT (E I) DE NEMOURS       Com  26353410   561000.0010600.000 Shares      Sole       N/A      0       0    10600.000
DUN & BRADSTREET CORP          Com  264830100   40000.00 1400.000 Shares      Sole       N/A      0       0     1400.000
EASTERN ENTERPRISES            Com  27637F10    24000.00  400.000 Shares      Sole       N/A      0       0      400.000
EASTMAN KODAK CO               Com  277461109  158000.00 2900.000 Shares      Sole       N/A      0       0     2900.000
EATON CORP                     Com  278058102   47000.00  600.000 Shares      Sole       N/A      0       0      600.000
ECOLAB INC                     Com  278865100   37000.00 1000.000 Shares      Sole       N/A      0       0     1000.000
ELECTRONIC DATA SYSTEMS        Com  28566110   918000.0014300.000 Shares      Sole       N/A      0       0    14300.000
EMC CORP/MA                    Com  268648102 3667000.0029100.000 Shares      Sole       N/A      0       0    29100.000
EMERSON ELECTRIC CO            Com  291011104  207000.00 3900.000 Shares      Sole       N/A      0       0     3900.000
ENGELHARD CORP                 Com  292845104   21000.00 1400.000 Shares      Sole       N/A      0       0     1400.000
ENTERGY CORP                   Com  29364G10    42000.00 2100.000 Shares      Sole       N/A      0       0     2100.000
EQUIFAX INC                    Com  294429105   35000.00 1400.000 Shares      Sole       N/A      0       0     1400.000
EXXON MOBIL CORP.              Com  30231G100 2561000.0032856.000 Shares      Sole       N/A      0       0    32856.000
FED HOME LOAN MTG CO           Com  313400301  283000.00 6400.000 Shares      Sole       N/A      0       0     6400.000
FEDERAL NATIONAL MORTGAGE ASS  Com  313586109  543000.00 9600.000 Shares      Sole       N/A      0       0     9600.000
FEDEX CORP                     Com  31304N107  113000.00 2900.000 Shares      Sole       N/A      0       0     2900.000
FIFTH THIRD BANCORP            Com  31677310   158000.00 2500.000 Shares      Sole       N/A      0       0     2500.000
FIRST DATA CORP                Com  319963104  173000.00 3900.000 Shares      Sole       N/A      0       0     3900.000
FIRST UNION CORP (N C)         Com  337358105  335000.00 9000.000 Shares      Sole       N/A      0       0     9000.000
FIRSTAR CORP.                  Com  33763V100  140000.00 6100.000 Shares      Sole       N/A      0       0     6100.000
FLEETBOSTON FINANCIAL          Com  338915101  193000.00 5300.000 Shares      Sole       N/A      0       0     5300.000
FLEETWOOD ENTERPRISES          Com  339099103    6000.00  400.000 Shares      Sole       N/A      0       0      400.000
FLUOR CORP                     Com  343861100   19000.00  600.000 Shares      Sole       N/A      0       0      600.000
FMC CORP                       Com  302491303   23000.00  400.000 Shares      Sole       N/A      0       0      400.000
FORD MOTOR CO                  Com  34537010   524000.0011400.000 Shares      Sole       N/A      0       0    11400.000
FORTUNE BRANDS INC             Com  34963110    35000.00 1400.000 Shares      Sole       N/A      0       0     1400.000
FREEPRT MCMOR COP&GLD  -CL B   Com  35671D85    17000.00 1400.000 Shares      Sole       N/A      0       0     1400.000
GAP INC                        Com  36476010   396000.00 7950.000 Shares      Sole       N/A      0       0     7950.000
GARTNER GROUP CLASS B          Com  366651200    5000.00  386.000 Shares      Sole       N/A      0       0      386.000
GATEWAY INC                    Com  36783310   154000.00 2900.000 Shares      Sole       N/A      0       0     2900.000
GENERAL DYNAMICS CORP          Com  369550108  174000.00 3500.000 Shares      Sole       N/A      0       0     3500.000
GENERAL ELECTRIC CO            Com  36960410310318000.0066300.000 Shares      Sole       N/A      0       0    66300.000
GENERAL MILLS INC              Com  370334104  105000.00 2900.000 Shares      Sole       N/A      0       0     2900.000
GENERAL MOTORS CORP            Com  370442105  505000.00 6100.000 Shares      Sole       N/A      0       0     6100.000
GENUINE PARTS CO               Com  372460105   43000.00 1800.000 Shares      Sole       N/A      0       0     1800.000
GEORGIA-PACIFIC GROUP          Com  373298108   55000.00 1400.000 Shares      Sole       N/A      0       0     1400.000
GILLETTE CO                    Com  37576610   392000.0010400.000 Shares      Sole       N/A      0       0    10400.000
GLOBAL CROSSING LTD            Com  G3921A100  413000.0010100.000 Shares      Sole       N/A      0       0    10100.000
GOLDEN WEST FINANCIAL CORP     Com  381317106   37000.00 1200.000 Shares      Sole       N/A      0       0     1200.000
GOODRICH (B F) CO              Com  382388106   17000.00  600.000 Shares      Sole       N/A      0       0      600.000
GOODYEAR TIRE & RUBBER CO      Com  382550101   33000.00 1400.000 Shares      Sole       N/A      0       0     1400.000
GRAINGER (W W) INC             Com  38480210    33000.00  600.000 Shares      Sole       N/A      0       0      600.000
GREAT ATLANTIC & PAC TEA CO    Com  390064103   20000.00 1000.000 Shares      Sole       N/A      0       0     1000.000
GREAT LAKES CHEMICAL CORP      Com  39056810    14000.00  400.000 Shares      Sole       N/A      0       0      400.000
GTE CORP                       Com  362320103 2024000.0028500.000 Shares      Sole       N/A      0       0    28500.000
GUIDANT CORP                   Com  401698105  171000.00 2900.000 Shares      Sole       N/A      0       0     2900.000
HALLIBURTON CO                 Com  406216101  193000.00 4700.000 Shares      Sole       N/A      0       0     4700.000
HARTFORD FINL SVCS GRP INC     Com  416515104  111000.00 2100.000 Shares      Sole       N/A      0       0     2100.000
HASBRO INC                     Com  418056107   30000.00 1800.000 Shares      Sole       N/A      0       0     1800.000
HEINZ (H J) CO                 Com  423074103  115000.00 3300.000 Shares      Sole       N/A      0       0     3300.000
HELMERICH & PAYNE              Com  42345210    12000.00  400.000 Shares      Sole       N/A      0       0      400.000
HERSHEY FOODS CORP             Com  427866108   68000.00 1400.000 Shares      Sole       N/A      0       0     1400.000
HEWLETT-PACKARD CO             Com  428236103 1274000.00 9600.000 Shares      Sole       N/A      0       0     9600.000
HOME DEPOT INC                 Com  437076102 1345000.0020850.000 Shares      Sole       N/A      0       0    20850.000
HOMESTAKE MINING               Com  43761410    13000.00 2100.000 Shares      Sole       N/A      0       0     2100.000
HONEYWELL INC                  Com  438506107  279000.00 5300.000 Shares      Sole       N/A      0       0     5300.000
HUMANA INC                     Com  444859102   10000.00 1400.000 Shares      Sole       N/A      0       0     1400.000
HUNTINGTON BANCSHARES          Com  446150104   51000.00 2260.000 Shares      Sole       N/A      0       0     2260.000
IKON OFFICE SOLUTIONS          Com  45171310     9000.00 1400.000 Shares      Sole       N/A      0       0     1400.000
ILLINOIS TOOL WORKS            Com  452308109  138000.00 2500.000 Shares      Sole       N/A      0       0     2500.000
IMS HEALTH                     Com  44993410    49000.00 2900.000 Shares      Sole       N/A      0       0     2900.000
INGERSOLL-RAND CO              Com  456866102   62000.00 1400.000 Shares      Sole       N/A      0       0     1400.000
INTEL CORP                     Com  458140100 4090000.0031000.000 Shares      Sole       N/A      0       0    31000.000
INTERNATIONAL BUSINESS MACHIN  Com  459200101 4755000.0040300.000 Shares      Sole       N/A      0       0    40300.000
INTERNATIONAL FLAVORS & FRAGR  Com  45950610    35000.00 1000.000 Shares      Sole       N/A      0       0     1000.000
INTERNATIONAL PAPER CO         Com  460146103  126000.00 2945.000 Shares      Sole       N/A      0       0     2945.000
INTERPUBLIC GROUP OF COS       Com  46069010   137000.00 2900.000 Shares      Sole       N/A      0       0     2900.000
ITT INDUSTRIES INC             Com  450911102   19000.00  600.000 Shares      Sole       N/A      0       0      600.000
JEFFERSON-PILOT CORP           Com  47507010    67000.00 1000.000 Shares      Sole       N/A      0       0     1000.000
JOHNSON & JOHNSON              Com  478160104  878000.0012500.000 Shares      Sole       N/A      0       0    12500.000
JOHNSON CONTROLS INC           Com  478366107   32000.00  600.000 Shares      Sole       N/A      0       0      600.000
JOSTENS INC                    Com  481088102   10000.00  400.000 Shares      Sole       N/A      0       0      400.000
K MART CORP                    Com  48258410   139000.0014300.000 Shares      Sole       N/A      0       0    14300.000
KANSAS CITY SOUTHERN INDUSTRI  Com  485170100  275000.00 3200.000 Shares      Sole       N/A      0       0     3200.000
KAUFMAN & BROAD HOME           Com  486168107    9000.00  400.000 Shares      Sole       N/A      0       0      400.000
KEYCORP                        Com  493267108   82000.00 4300.000 Shares      Sole       N/A      0       0     4300.000
KLA-TENCOR CORP                Com  482480100  110000.00 1300.000 Shares      Sole       N/A      0       0     1300.000
KNIGHT-RIDDER INC              Com  499040103   31000.00  600.000 Shares      Sole       N/A      0       0      600.000
KOHLS CORP.                    Com  500255100  144000.00 1400.000 Shares      Sole       N/A      0       0     1400.000
KROGER CO                      Com  501044101  311000.0017700.000 Shares      Sole       N/A      0       0    17700.000
LEHMAN BROTHERS HOLDINGS INC   Com  524908100   97000.00 1000.000 Shares      Sole       N/A      0       0     1000.000
LILLY (ELI) & CO               Com  532457108 2017000.0032200.000 Shares      Sole       N/A      0       0    32200.000
LIMITED INC                    Com  532716107   88000.00 2100.000 Shares      Sole       N/A      0       0     2100.000
LINCOLN NATIONAL CORP          Com  534187109   70000.00 2100.000 Shares      Sole       N/A      0       0     2100.000
LIZ CLAIBORNE INC              Com  539320101   27000.00  600.000 Shares      Sole       N/A      0       0      600.000
LOEWS CORP                     Com  54042410    50000.00 1000.000 Shares      Sole       N/A      0       0     1000.000
LOWES COS                      Com  54866110   590000.0010100.000 Shares      Sole       N/A      0       0    10100.000
LSI LOGIC CORP                 Com  50216110   182000.00 2500.000 Shares      Sole       N/A      0       0     2500.000
LUCENT TECHNOLOGIES INC        Com  549463107 1575000.0024700.000 Shares      Sole       N/A      0       0    24700.000
MANOR CARE                     Com  404134100   14000.00 1000.000 Shares      Sole       N/A      0       0     1000.000
MARSH & MCLENNAN COS           Com  57174810   276000.00 2500.000 Shares      Sole       N/A      0       0     2500.000
MASCO CORP                     Com  574599106   68000.00 3300.000 Shares      Sole       N/A      0       0     3300.000
MAY DEPARTMENT STORES CO       Com  577778103   94000.00 3300.000 Shares      Sole       N/A      0       0     3300.000
MAYTAG CORP                    Com  578592107   20000.00  600.000 Shares      Sole       N/A      0       0      600.000
MBNA CORP                      Com  55262L100  181000.00 7100.000 Shares      Sole       N/A      0       0     7100.000
MCDERMOTT INTL INC             Com  580037109    6000.00  600.000 Shares      Sole       N/A      0       0      600.000
MCDONALDS CORP                 Com  580135101  482000.0012900.000 Shares      Sole       N/A      0       0    12900.000
MCGRAW HILL COMPANIES          Com  580645109   82000.00 1800.000 Shares      Sole       N/A      0       0     1800.000
MCI WORLDCOM INC/GA  -CL A     Com  98155K10  3648000.0080517.000 Shares      Sole       N/A      0       0    80517.000
MCKESSON HBOC INC              Com  58155Q100   21000.00  987.000 Shares      Sole       N/A      0       0      987.000
MEAD CORP                      Com  582834107   35000.00 1000.000 Shares      Sole       N/A      0       0     1000.000
MEDIAONE GROUP                 Com  912889201  462000.00 5700.000 Shares      Sole       N/A      0       0     5700.000
MEDTRONIC INC                  Com  585055106  545000.0010600.000 Shares      Sole       N/A      0       0    10600.000
MELLON FINANCIAL CORP          Com  585509102   74000.00 2500.000 Shares      Sole       N/A      0       0     2500.000
MERCK & CO                     Com  589331107 4305000.0069300.000 Shares      Sole       N/A      0       0    69300.000
MEREDITH CORP                  Com  589433101   11000.00  400.000 Shares      Sole       N/A      0       0      400.000
MERRILL LYNCH & CO             Com  590188108  347000.00 3300.000 Shares      Sole       N/A      0       0     3300.000
MICRON TECHNOLOGY INC          Com  595112103  315000.00 2500.000 Shares      Sole       N/A      0       0     2500.000
MICROSOFT CORP                 Com  594918104 5004000.0047100.000 Shares      Sole       N/A      0       0    47100.000
MILLIPORE CORP                 Com  60107310    23000.00  400.000 Shares      Sole       N/A      0       0      400.000
MIRAGE RESORTS INC             Com  6.05E+108   35000.00 1800.000 Shares      Sole       N/A      0       0     1800.000
MOORE CORP LTD                 Com  61578510     2000.00  600.000 Shares      Sole       N/A      0       0      600.000
MORGAN J P & CO                Com  61688010   237000.00 1800.000 Shares      Sole       N/A      0       0     1800.000
MORGAN STANLEY DEAN WITTER DS  Com  617446448  878000.0010600.000 Shares      Sole       N/A      0       0    10600.000
MOTOROLA INC                   Com  62007610   954000.00 6532.000 Shares      Sole       N/A      0       0     6532.000
NATIONAL CITY CORP             Com  635405103  134000.00 6500.000 Shares      Sole       N/A      0       0     6500.000
NATIONAL SERVICE INDS INC      Com  637657107    8000.00  400.000 Shares      Sole       N/A      0       0      400.000
NAVISTAR INTERNATIONL          Com  6.39E+112   24000.00  600.000 Shares      Sole       N/A      0       0      600.000
NEW YORK TIMES CO  -CL A       Com  650111107   77000.00 1800.000 Shares      Sole       N/A      0       0     1800.000
NEWELL RUBBERMAID INC          Com  651192106   34000.00 1351.000 Shares      Sole       N/A      0       0     1351.000
NICOR INC                      Com  65408610    13000.00  400.000 Shares      Sole       N/A      0       0      400.000
NIKE INC  -CL B                Com  65410610    99000.00 2500.000 Shares      Sole       N/A      0       0     2500.000
NORDSTROM INC                  Com  65566410    41000.00 1400.000 Shares      Sole       N/A      0       0     1400.000
NORTEL NETWORKS CORP.          Com  665815106 1536000.0012200.000 Shares      Sole       N/A      0       0    12200.000
NORTHERN TRUST CORP            Com  665859104  142000.00 2100.000 Shares      Sole       N/A      0       0     2100.000
NOVELL INC                     Com  670006105  283000.00 9900.000 Shares      Sole       N/A      0       0     9900.000
NUCOR CORP                     Com  67034610    30000.00  600.000 Shares      Sole       N/A      0       0      600.000
OMNICOM GROUP                  Com  681919106  131000.00 1400.000 Shares      Sole       N/A      0       0     1400.000
ORACLE CORP                    Com  68389X10  6628000.0084900.000 Shares      Sole       N/A      0       0    84900.000
OWENS-ILLINOIS INC             Com  690768403   24000.00 1400.000 Shares      Sole       N/A      0       0     1400.000
PACTIV CORPORATION             Com  695257100   12000.00 1400.000 Shares      Sole       N/A      0       0     1400.000
PALL CORP                      Com  69642930    22000.00 1000.000 Shares      Sole       N/A      0       0     1000.000
PARAMETRIC TECHNOLOGY CORP     Com  69917310    53000.00 2500.000 Shares      Sole       N/A      0       0     2500.000
PARKER-HANNIFIN CORP           Com  701094104   41000.00 1000.000 Shares      Sole       N/A      0       0     1000.000
PE CORP-PE BIOSYSTEMS GROUP    Com  69332S100  135000.00 1400.000 Shares      Sole       N/A      0       0     1400.000
PECO ENERGY CO                 Com  69330410    77000.00 2100.000 Shares      Sole       N/A      0       0     2100.000
PEP BOYS-MANNY MOE & JACK      Com  713278109    4000.00  600.000 Shares      Sole       N/A      0       0      600.000
PEPSICO INC                    Com  71344810   485000.0013900.000 Shares      Sole       N/A      0       0    13900.000
PERKIN-ELMER -CELERA GENOMICS  Com  69332S200   18000.00  200.000 Shares      Sole       N/A      0       0      200.000
PERKIN-ELMER INC               Com  714041100   27000.00  400.000 Shares      Sole       N/A      0       0      400.000
PFIZER INC                     Com  717081103 4161000.00113800.00 Shares      Sole       N/A      0       0    113800.000
PG&E CORP                      Com  69331C10    74000.00 3500.000 Shares      Sole       N/A      0       0     3500.000
PHARMACIA & UPJOHN INC         Com  71694110   881000.0014800.000 Shares      Sole       N/A      0       0    14800.000
PHELPS DODGE CORP              Com  717265102    8000.00  175.000 Shares      Sole       N/A      0       0      175.000
PHILIP MORRIS COS INC          Com  718154107  484000.0022900.000 Shares      Sole       N/A      0       0    22900.000
PHILLIPS PETROLEUM CO          Com  718507106  116000.00 2500.000 Shares      Sole       N/A      0       0     2500.000
PITNEY BOWES INC               Com  724479100  353000.00 7900.000 Shares      Sole       N/A      0       0     7900.000
PLACER DOME INC                Com  725906101   20000.00 2500.000 Shares      Sole       N/A      0       0     2500.000
PNC BANK CORP                  Com  693475105  131000.00 2900.000 Shares      Sole       N/A      0       0     2900.000
POTLATCH CORP                  Com  737628107   17000.00  400.000 Shares      Sole       N/A      0       0      400.000
PPG INDUSTRIES INC             Com  693506107   94000.00 1800.000 Shares      Sole       N/A      0       0     1800.000
PROCTER & GAMBLE CO            Com  742718109  706000.0012500.000 Shares      Sole       N/A      0       0    12500.000
PROGRESSIVE CORP-OHIO          Com  74331510    46000.00  600.000 Shares      Sole       N/A      0       0      600.000
PROVIDIAN FINANCIAL CORP       Com  74406A102  368000.00 4250.000 Shares      Sole       N/A      0       0     4250.000
PULTE CORP                     Com  745867101    8000.00  400.000 Shares      Sole       N/A      0       0      400.000
QUAKER OATS CO                 Com  74740210   249000.00 4100.000 Shares      Sole       N/A      0       0     4100.000
RAYTHEON - CL B                Com  755111400   59000.00 3300.000 Shares      Sole       N/A      0       0     3300.000
REYNOLDS METALS CO             Com  761763101   40000.00  600.000 Shares      Sole       N/A      0       0      600.000
ROCKWELL INTL CORP             Com  773903109   75000.00 1800.000 Shares      Sole       N/A      0       0     1800.000
ROHM & HAAS CO                 Com  775371107   80000.00 1794.000 Shares      Sole       N/A      0       0     1794.000
ROYAL DUTCH PET  -NY REG       Com  78025780  1156000.0020000.000 Shares      Sole       N/A      0       0    20000.000
RUSSELL CORP                   Com  782352108    6000.00  400.000 Shares      Sole       N/A      0       0      400.000
RYDER SYSTEM INC               Com  783549108   45000.00 2000.000 Shares      Sole       N/A      0       0     2000.000
SABRE HOLDINGS CORP            Com  785905100   37000.00 1011.060 Shares      Sole       N/A      0       0     1011.060
SAFECO CORP                    Com  78642910    37000.00 1400.000 Shares      Sole       N/A      0       0     1400.000
SAFEWAY                        Com  786514200  213000.00 4700.000 Shares      Sole       N/A      0       0     4700.000
SARA LEE CORP                  Com  803111103  155000.00 8600.000 Shares      Sole       N/A      0       0     8600.000
SBC COMMUNICATIONS INC         Com  78387G103 1358000.0032227.000 Shares      Sole       N/A      0       0    32227.000
SCHERING-PLOUGH                Com  806605101 1611000.0043400.000 Shares      Sole       N/A      0       0    43400.000
SCHWAB (CHARLES) CORP          Com  808513105 1364000.0024000.000 Shares      Sole       N/A      0       0    24000.000
SCIENTIFIC-ATLANTA INC         Com  808655104   76000.00 1200.000 Shares      Sole       N/A      0       0     1200.000
SEAGATE TECHNOLOGY             Com  81180410   416000.00 6900.000 Shares      Sole       N/A      0       0     6900.000
SEAGRAM CO LTD                 Com  811850106  208000.00 3500.000 Shares      Sole       N/A      0       0     3500.000
SHERWIN-WILLIAMS CO            Com  824348106   31000.00 1400.000 Shares      Sole       N/A      0       0     1400.000
SILICON GRAPHICS INC           Com  82705610    57000.00 5400.000 Shares      Sole       N/A      0       0     5400.000
SLM HOLDING COMPANY            Com  78442A10    47000.00 1400.000 Shares      Sole       N/A      0       0     1400.000
SNAP-ON INC                    Com  83303410    10000.00  400.000 Shares      Sole       N/A      0       0      400.000
SOLECTRON CORP.                Com  834182100  594000.0014800.000 Shares      Sole       N/A      0       0    14800.000
SOUTHTRUST CORP.               Com  844730100   36000.00 1400.000 Shares      Sole       N/A      0       0     1400.000
SOUTHWEST AIRLINES             Com  844741108  303000.0014575.000 Shares      Sole       N/A      0       0    14575.000
SPRINT CORP                    Com  852061100  876000.0013900.000 Shares      Sole       N/A      0       0    13900.000
SPRINT PCS                     Com  852061500  459000.00 7000.000 Shares      Sole       N/A      0       0     7000.000
ST PAUL COS                    Com  792860108   72000.00 2100.000 Shares      Sole       N/A      0       0     2100.000
ST. JUDE MEDICAL INC           Com  79084910    15000.00  600.000 Shares      Sole       N/A      0       0      600.000
STAPLES INC.                   Com  855030100   86000.00 4300.000 Shares      Sole       N/A      0       0     4300.000
STATE STREET CORP              Com  85747710   136000.00 1400.000 Shares      Sole       N/A      0       0     1400.000
SUN MICROSYSTEMS INC           Com  866810104 4207000.0044900.000 Shares      Sole       N/A      0       0    44900.000
SUNOCO INC                     Com  866762107   68000.00 2500.000 Shares      Sole       N/A      0       0     2500.000
SUPERVALU INC                  Com  868536103   19000.00 1000.000 Shares      Sole       N/A      0       0     1000.000
SYSCO CORP                     Com  871829107  119000.00 3300.000 Shares      Sole       N/A      0       0     3300.000
TANDY CORP                     Com  875382103  107000.00 2100.000 Shares      Sole       N/A      0       0     2100.000
TARGET CORPORATION             Com  239753106  321000.00 4300.000 Shares      Sole       N/A      0       0     4300.000
TEKTRONIX INC                  Com  879131100   22000.00  400.000 Shares      Sole       N/A      0       0      400.000
TELEDYNE TECHNOLOGIES, INC.    Com  879360100    5000.00  299.000 Shares      Sole       N/A      0       0      299.000
TEMPLE-INLAND INC              Com  879868107   20000.00  400.000 Shares      Sole       N/A      0       0      400.000
TENNECO AUTOMOTIVE             Com  8.80E+14     3000.00  320.000 Shares      Sole       N/A      0       0      320.000
TEXACO INC                     Com  88169410   263000.00 4900.000 Shares      Sole       N/A      0       0     4900.000
TEXAS INSTRUMENTS INC          Com  882508104 3632000.0022700.000 Shares      Sole       N/A      0       0    22700.000
TEXAS UTILITIES CO             Com  88284810    74000.00 2500.000 Shares      Sole       N/A      0       0     2500.000
TEXTRON INC                    Com  883203101   85000.00 1400.000 Shares      Sole       N/A      0       0     1400.000
TIME WARNER INC                Com  887315109 3450000.0034500.000 Shares      Sole       N/A      0       0    34500.000
TIMES MIRROR COMPANY  -SER A   Com  887364107   56000.00  600.000 Shares      Sole       N/A      0       0      600.000
TJX COMPANIES INC              Com  872540109   64000.00 2900.000 Shares      Sole       N/A      0       0     2900.000
TOO INC.                       Com  89033100    10000.00  327.000 Shares      Sole       N/A      0       0      327.000
TRICON GLOBAL RESTAURANTS      Com  895953107   43000.00 1400.000 Shares      Sole       N/A      0       0     1400.000
TRW INC                        Com  872649108   59000.00 1000.000 Shares      Sole       N/A      0       0     1000.000
TUPPERWARE CORP                Com  899896104    6000.00  400.000 Shares      Sole       N/A      0       0      400.000
TYCO INTERNATIONAL LTD         Com  902124106  607000.0012100.000 Shares      Sole       N/A      0       0    12100.000
U S WEST COMMUNICATIONS GRP    Com  912889102  341000.00 4700.000 Shares      Sole       N/A      0       0     4700.000
UNILEVER N V  -NY SHARES       Com  904784501  293000.00 6078.000 Shares      Sole       N/A      0       0     6078.000
UNION CARBIDE CORP             Com  905581104   58000.00 1000.000 Shares      Sole       N/A      0       0     1000.000
UNION PACIFIC CORP             Com  90781810    82000.00 2100.000 Shares      Sole       N/A      0       0     2100.000
UNION PACIFIC RESOURCES GRP    Com  907834105   30000.00 2100.000 Shares      Sole       N/A      0       0     2100.000
UNISYS CORP                    Com  909214108   64000.00 2500.000 Shares      Sole       N/A      0       0     2500.000
UNITED HEALTHCARE CORP         Com  910581107  107000.00 1800.000 Shares      Sole       N/A      0       0     1800.000
UNITED TECHNOLOGIES CORP       Com  913017109  423000.00 6700.000 Shares      Sole       N/A      0       0     6700.000
UNOCAL CORP                    Com  915289102   62000.00 2100.000 Shares      Sole       N/A      0       0     2100.000
USX-MARATHON GROUP             Com  902905827   76000.00 2900.000 Shares      Sole       N/A      0       0     2900.000
USX-U S STEEL GROUP            Com  90337T101   15000.00  600.000 Shares      Sole       N/A      0       0      600.000
V F CORP                       Com  918204108   24000.00 1000.000 Shares      Sole       N/A      0       0     1000.000
VIACOM INC  -CL B              Com  925524308  338000.00 6400.000 Shares      Sole       N/A      0       0     6400.000
VODAFONE AIRTOUCH PLC          Com  92857T100 2334000.0042000.000 Shares      Sole       N/A      0       0    42000.000
WACHOVIA CORP                  Com  929771103  122000.00 1800.000 Shares      Sole       N/A      0       0     1800.000
WAL MART STORES                Com  931142103 7051000.00124800.00 Shares      Sole       N/A      0       0    124800.000
WALGREEN CO                    Com  931422109  749000.0029100.000 Shares      Sole       N/A      0       0    29100.000
WARNER-LAMBERT CO              Com  934488107  762000.00 7800.000 Shares      Sole       N/A      0       0     7800.000
WATER PIK TECHNOLOGIES, INC    Com  94113U100    1000.00   70.000 Shares      Sole       N/A      0       0       70.000
WELLS FARGO & CO               Com  94974010   623000.0015300.000 Shares      Sole       N/A      0       0    15300.000
WENDY'S INTERNATIONAL INC      Com  950590109   20000.00 1000.000 Shares      Sole       N/A      0       0     1000.000
WESTVACO CORP                  Com  961548104   33000.00 1000.000 Shares      Sole       N/A      0       0     1000.000
WEYERHAEUSER CO                Com  962166104  103000.00 1800.000 Shares      Sole       N/A      0       0     1800.000
WHIRLPOOL CORP                 Com  96332010    35000.00  600.000 Shares      Sole       N/A      0       0      600.000
WILLAMETTE INDUSTRIES          Com  96913310    40000.00 1000.000 Shares      Sole       N/A      0       0     1000.000
WORTHINGTON INDUSTRIES         Com  98181110     7000.00  600.000 Shares      Sole       N/A      0       0      600.000
XEROX CORP                     Com  984121103  159000.00 6100.000 Shares      Sole       N/A      0       0     6100.000

                                             163693000.00

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