LYNCH & ASSOCIATES/IN
13F-HR, 2000-11-13
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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: September 30, 2000

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

Institutional Investment Manage Filing this Report:

Name:				LYNCH & Associates
Address:			P.O. box 5585
				Evansville, IN 47716

13F File Number		028-05643

The institutional investment manager filing this report and
the personby whom it is signed herby represent that the person
signing the reportis 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: 		John Zachary Hopkins
Title:		Assistant Vice President
Phone:		(812) 853-0878

Signature, Place, and Date of Signing:

John Zachary Hopkins   Newburgh, Indiana  September 30, 2000

Report Type (Check only one.):
 [X]	13F HOLDINGS REPORT
 [ ] 	13F NOTICE
 [ ]	13F COMBINATION REPORT

List of Other Managers Reporting for this Manager:

FORM 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:	0

Form 13F Information Table Entry Total:	64

Form 13F Information Table Value Total:	$144,559,000

<TABLE>			<C>		<C>

			FORM 13F INFORMATION TABLE

			Title of		VALUE		INVEST.	OTHER	VOTING
Name of Issuer		Class	  CUSIP		(x1000)	SHARES	DESCR.	MGRS.	AUTHORITY
--------------------	-------	---------	----	------	----	-----	-------
GENESIS HLTH INC COM	Common	371912106	2	10000	Yes	No	None
LOEWEN GROUP INC	Common	54042L100	3	10000	Yes	No	None
NEOGEN CORPORATION	Common	640491106	187	27000	Yes	No	None
IPALCO ENTERPRISES INC	Common	462613100	212	9275	Yes	No	None
FLEXTRONICS INTL INC	Common	Y2573F102	218	2660	Yes	No	None
ALLEGHENY ENERGY INC	Common	017361106	229	6000	Yes	No	None
MCDONALDS CORP		Common	580135101	251	8315	Yes	No	None
NISOURCE INC		Common	65473P105	262	10748	Yes	No	None
TECHNITROL INC		Common	878555101	263	2600	Yes	No	None
ALTERA CORP		Common	021441001	268	5600	Yes	No	None
BROCADE COMMUNICATIONS	Common	111621108	283	1200	Yes	No	None
TIMBERLAND BANCORP INC	Common	887098101	302	25200	Yes	No	None
ALLIANT ENERGY CORP	Common	018802108	317	10800	Yes	No	None
FORD MTR CO		Common	345370860	339	13411	Yes	No	None
AMERICA ONLINE INC	Common	02364J104	343	6385	Yes	No	None
GILLETTE CO		Common	375766102	350	11350	Yes	No	None
PROCTER & GAMBLE CO	Common	742718109	377	5621	Yes	No	None
PHILIP MORRIS COS INC	Common	718154107	390	13261	Yes	No	None
TRANSWITCH CORP		Common	894065101	422	6618	Yes	No	None
KEYCORP NEW		Common	493267108	433	17100	Yes	No	None
HEWLETT PACKARD CO	Common	428236103	438	4516	Yes	No	None
ELANTEC SEMI INC	Common	284155108	463	4652	Yes	No	None
CINN FINANCIAL CORP	Common	172062101	497	14009	Yes	No	None
SBC COMMUNICATIONS INC	Common	78387G103	532	10644	Yes	No	None
GUIDANT CORP		Common	401698105	537	7600	Yes	No	None
CHEVRON CORP		Common	166751107	594	6976	Yes	No	None
INTEGRA BANK CORP	Common	45814P105	630	28407	Yes	No	None
OLD NATL BANCP IND	Common	680033107	704	23267	Yes	No	None
VECTREN CORP		Common	92240G101	716	35250	Yes	No	None
BP AMOCO PLC SPON ADR	Common	055622104	744	14030	Yes	No	None
DU PONT E I DE NEMOURS	Common	263534109	870	21005	Yes	No	None
BRISTOL MYERS SQUIBB	Common	110122108	927	16220	Yes	No	None
LILLY ELI & CO		Common	532457108       1202	14821	Yes	No	None
VERIZON COMMUNICATIONS	Common	92343V104	1230	25400	Yes	No	None
COLGATE PALMOLIVE	Common	194162103	1238	26233	Yes	No	None
NOKIA CORP		Common	654902204	1303	32725	Yes	No	None
CHASE MANHATTAN CORP	Common	16161A108	1733	37524	Yes	No	None
AMGEN INC		Common	031162100	2207	31600	Yes	No	None
HOME DEPOT		Common	437076102	2226	41952	Yes	No	None
AUTO DATA PROCESS INC	Common	053015103	2275	34025	Yes	No	None
WAL MART STORES INC	Common	931142103       2308	47955	Yes	No	None
LUCENT TECHNOLOGY	Common	549282101	2536	82969	Yes	No	None
KIMBERLY CLARK CORP	Common	494368103	2596	46518	Yes	No	None
AMERICAN EXPRESS CO	Common	025816109	2704	44511	Yes	No	None
ABBOTT LABS		Common	002824100	3074	64630	Yes	No	None
ORACLE CORP		Common	68389X105	3109	39481	Yes	No	None
SUN MICROSYSTEMS INC	Common	866810104	3175	27195	Yes	No	None
COCA COLA CO		Common	191216100	3183	57746	Yes	No	None
DISNEY WALT CO		Common	254687106	3212	83966	Yes	No	None
CISCO SYSTEMS INC	Common	17275R102	3609	65315	Yes	No	None
FIFTH THIRD BANCORP	Common	316773100	3775	70074	Yes	No	None
WELLS FARGO & CO	Common	949746101	3896	84815	Yes	No	None
EMC CORP MASS		Common	268648102	3906	39404	Yes	No	None
WALGREEN CO		Common	931422109	4030	106216	Yes	No	None
PFIZER INC		Common	717081103	4490	99921	Yes	No	None
AMERICAN INTL GROUP INC	Common	026874107	4853	50716	Yes	No	None
CITIGROUP INC		Common	172967101	4940	91380	Yes	No	None
MERCK & CO INC		Common	589331107	5046	67789	Yes	No	None
JOHNSON & JOHNSON	Common	478160104	5635	59982	Yes	No	None
INTEL CORP		Common	458140100	5739	138073	Yes	No	None
MICROSOFT CORP		Common	594918104	6766	112186	Yes	No	None
INTL BUS MACHINES	Common	459200101	7305	64930	Yes	No	None
EXXON MOBIL CORP	Common	30231G102	8701	97629	Yes	No	None
GENERAL ELEC CO		Common	369604103	11842	205280	Yes	No	None

TOTAL							144599
</TABLE>


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