Capital West Asset
Management, LLC
Security Holdings for 13F
Report
March 31, 2000
1. Company Name 2. Title 3. 4. Fair 5. Shares
of Class Cusip Market Fund Prin Amt
a AGILENT TECHONOLOGIES Common 00846U1 46,800 450
01
aa ALCOA INC Common 0138171 -323,150 -4,600
01
adbe ADOBE SYSTEMS INC OF Common 00724F1 189,231 1,700
DEL 01
adct ADC Common 0008861 56,569 1,050
01
adi ANALOG DEVICES INC Common 0326541 66,815 830
05
adi ANALOG DEVICES INC Common 0326541 -225,400 -2,800
05
aes AES CORP Common 00130H1 409,500 5,200
05
agn ALLERGAN Common 01849010 3,652,000 73,040
2
ahc AMERADA HESS CORP Common 0235511 3,891,718 60,220
04
ahp AMERICAN HOME Common 0266091 4,838 90
07
al ALCAN ALUMINUM Common 0137161 3,553,741 104,330
05
alo ALPHARMA INC Common 0208131 467,828 12,730
01
amat APPLIED MATERIALS Common 0382221 4,749,258 50,390
05
amat APPLIED MATERIALS Common 0382221 -245,050 -2,600
05
amcc APPLIED MICRO CIRCUIT Common 03822W1 52,522 350
CORP 09
amd ADVANCED MICRO DEVICES Common 0079031 6,165,033 108,040
07
amgn AMGEN INCORPORATED Common 0311621 12,275 200
00
amgn AMGEN INCORPORATED Common 0311621 -362,113 -5,900
00
amr AMR CORP Common 0017651 -191,250 -6,000
06
apa APACHE CORP Common 0374111 4,422,278 88,890
05
apcc AMER PWR CONVERS Common 0290661 92,181 2,150
07
apht APHTON CORP Common 03759P1 35,378 1,060
01
asd AMERICAN STANDARD Common 0297121 16,650 450
06
at ALLTEL CORP Common 0200391 -202,400 -3,200
03
atis ADVANCED TISSUE Common 00755F1 22,275 3,300
SCIENCES 03
atk ALLIANT TECHSYSTEMS Common 0188041 24,139 410
04
atml ATMEL CORP Common 0495131 25,813 500
04
aud AUTOMATIC DATA Common 0530151 -226,775 -4,700
PROCESSING 03
avi AVIS GROUP HOLDINGS, Common 0537901 634,500 36,000
INC. 01
avy AVERY Common 0536111 3,359,048 55,010
09
axe ANIXTER INTERNATIONAL Common 0352901 28,154 1,010
INC 05
axp AMERICAN EXPRESS CO Common 0258161 -372,344 -2,500
09
azpn ASPEN TECHNOLOGY INC Common 0453271 463,101 11,470
03
azr AZTAR CORPORATION Common 0548021 19,855 2,090
03
ba BOEING CORP Common 0970231 3,184,947 84,230
05
bby BEST BUY Common 0865161 180,600 2,100
01
ben FRANKLIN RES Common 3546131 -214,000 -6,400
01
bgen BIOGEN INC Common 0905971 3,067,513 43,900
05
bgg BRIGGS & STRTN Common 1090431 465,124 11,310
09
bhi BAKER HUGHES Common 0572241 -390,225 -12,900
07
bj BJ'S WHOLESALE CLUB Common 05548J1 23,409 610
06
bjs BJ SVCS CO Common 0554821 31,766 430
03
bks BARNES & NOBLE, INC. Common 0677741 18,516 790
09
bll BALL Common 0584981 63,595 1,840
06
bls BELLSOUTH CORP Common 0798601 337,031 7,190
02
brcd BROCADE COMMUNICATIONS Common 1116211 62,759 350
08
brkb BERKSHIRE HATHAWAY CL Common 3,334 2
B
bsc BEAR STEARNS Common 0739021 -177,938 -3,900
08
bud ANHEUSER BUSCH Common 0352291 3,134,910 50,360
03
bwc BELDEN INC Common 0774591 28,875 1,050
05
c CITIGROUP INC Common 1729671 5,137,275 85,800
01
ca COMPUTER ASSOC INTL Common 2049121 -165,725 -2,800
09
cag CONAGRA Common 2058871 57,638 3,180
02
cat CATERPILLAR INC Common 1491231 -224,794 -5,700
01
cb CHUBB Common 1712321 -310,788 -4,600
01
cbh COMMERCE BANC NJ Common 2005191 21,386 578
06
cbm CAMBREX CORP Common 1320111 495,900 11,400
07
cce COCA COLA ENTERPRISES Common 1912191 58,866 2,730
04
ccu CLEAR CHANNEL COMMUN Common 1845021 -338,406 -4,900
02
cdb CANANDAIGUA BRANDS INC Common 1372192 24,480 480
00
ceph CEPHALON INC Common 1567081 411,750 10,980
09
cgnx COGNEX CORP Common 1924221 27,113 470
03
ci CIGNA Common 1255091 13,635 180
09
cl COLGATE PALMOLIVE Common 1941621 191,675 3,400
03
clc CLARCOR INC Common 1798951 25,560 1,440
07
clx CLOROX Common 1890541 -165,000 -5,000
09
clzr CANDELA CORPORATION Common 1369071 70,125 5,100
02
cmb CHASE MANHATTAN Common 16161A1 209,250 2,400
08
cmcs COMCAST CLA Common 2003002 -268,925 -6,200
.k 00
cmvt COMVERSE TECHNOLOGY Common 2058624 189,000 1,000
02
cnf CONSOLIDATED Common 12612W1 16,928 610
FREIGHTWAYS 04
cnxt CONEXANT SYSTEMS Common 2071421 404,700 5,700
00
coo COOPER COMPANIES INC Common 2166484 386,250 12,000
02
cost COSTCO COMPANIES Common 22160Q1 152,431 2,900
02
cpb CAMPBELL SOUP Common 1344291 16,913 550
09
cpn CALPINE CORP Common 1313471 18,800 200
06
csc COMPUTER SCIENCES Common 2053631 -158,250 -2,000
04
csco CISCO Common 17275R1 54,892 710
02
csco CISCO Common 17275R1 -316,981 -4,100
02
cts CTS CORP Common 1265011 22,230 390
05
ctv COMMSCOPE INC. Common 2033721 36,550 800
07
cy CYPRESS SEMICONDUCTOR Common 2328061 31,360 640
09
dci DONALDSON INC Common 2576511 40,387 1,790
09
dd DU PONT Common 2635341 -169,400 -3,200
09
dds DILLARD'S INC CLASS A Common 2540671 -193,963 -11,800
01
de DEERE & CO Common 2441991 -205,200 -5,400
05
dell DELL Common 2470251 -210,356 -3,900
09
dis DISNEY Common 2546871 73,425 1,780
06
dj DOW JONES & CO Common 2605611 4,854,525 67,600
05
dme DIME BANCORP INC Common 25429Q1 3,330 180
02
dna GENENTECH INC Common 3687104 1,520 10
06
dow DOW CHEM CO Common 2605431 182,400 1,600
03
dpl D.P.L. INC Common 2332931 20,634 930
09
dri DARDEN RESTAURANTS Common 2371941 17,813 1,000
05
dryr DREYERS GRAND ICE Common 2618781 21,373 830
CREAM INC 02
dscp DATASCOPE CORP Common 2381131 34,608 1,090
04
dy DYCOM INDUSTRIES INC Common 2674751 39,975 820
01
dynm Dynamic IT Inc Common 1964721 180 36
04
egls ELECTROGLAS Common 2853241 514,093 15,010
09
egn ENERGEN CORP Common 29265N1 27,094 1,700
08
eix EDISON INTL Common 2810201 -326,281 -19,700
07
ene ENRON CORP Common 2935611 344,425 4,600
06
eric ERICKSSON TEL Common 2948214 46,865 520
y 00
esio ELECTRO SCIENTIFIC IND Common 2852291 433,840 7,480
00
ev EATON VANCE CORP Common 2782651 27,909 650
03
expd EXPEDITORS INTL WASH Common 3021301 25,838 650
INC 09
f FORD Common 3453701 3,526,163 76,760
00
fbn FURNITURE BRANDS INTL Common 3609211 16,931 900
00
fcs FAIRCHILD SEMIN INT'L Common 3037261 30,295 830
03
fdry FOUNDRY NETWORKS INC Common 35063R1 31,625 220
00
gblx GLOBAL CROSSING LTD. Common G3921A1 -200,594 -4,900
00
gci GANNETT Common 3647301 -182,975 -2,600
01
gdt GUIDANT CORP Common 4016981 -223,725 -3,800
05
ge GENERAL ELECTRIC CO Common 3696041 389,063 2,500
03
ggc GEORGIA GULF CORP Common 3732002 16,380 630
03
gm GENERAL MOTORS Common 3704421 244,711 2,955
05
gnet GO 2 NET, INC. Common 3834861 690,018 8,565
07
gps GAP Common 3647601 144,456 2,900
08
gte GTE Common 3623201 130,853 1,843
03
guid GUIDON OIL & GAS INC Common 0 400
d
gww GRAINGER WW INC Common 3848021 -265,825 -4,900
04
hal HALLIBURTON CO Common 4062161 -254,975 -6,200
01
hd HOME DEPOT INC Common 4370761 270,900 4,200
02
helx HELIX Common 4233191 597,021 9,940
02
hh HOOPER HOLMES INC Common 4391041 33,283 970
00
hmsr HEMASURE INC. Common 4235041 54,390 5,180
09
hp HELEMERICH & PAYNE Common 4234521 18,600 600
01
hrz HERTZ CORP Common 4280401 4,088 120
09
hsc HARSCO Common 4158641 21,993 760
07
hsy HERSHEY FOODS Common 4278661 -268,125 -5,500
08
ibm INTL BUS MACH Common 4592001 -295,000 -2,500
01
ifmx INFORMIX CORP Common 4567791 20,833 1,230
07
ijnt IJNT.NET IN Common 4496381 30,120 2,510
05
imnx IMMUNEX CORP Common 4525281 61,217 965
02
isil INTERSIL HOLDING CORP Common 46069S1 15,506 300
09
itra INTRAWARE, INC Common 46118M1 10,328 250
03
ivoc IVOICE.COM INC Common 3,800 1,900
ivx IVAX CORPORATION Common 4658231 40,603 1,490
02
jdsu JDS UNIPHASE CP Common 46612J1 43,403 360
01
jmed JONES MEDICAL Common 4802361 30,041 989
08
jnpr JUNIPER NETWORKS Common 48203R1 47,441 180
04
jny JONES APPAREL GROUP Common 4800741 658,433 20,820
03
jpm JP MORGAN & CO INC Common 6168801 276,675 2,100
00
kem KEMET CORPORATION Common 4883601 547,745 8,660
08
klac KLA -TENCOR Common 4824801 5,778,708 68,590
CORPORATION 00
klic KULICKE & SOFFA Common 5012421 705,969 11,020
01
kmb KIMBERLY CLARK Common 4943681 -263,494 -4,700
03
kmg KERR MCGEE CORP Common 4923861 4,544,348 78,690
07
ko COCA-COLA CO Common 1912161 -197,138 -4,200
00
krb MBNA Common 55262L1 3,898,185 152,870
00
kse KEYSPAN ENERGY Common 49337W1 21,548 780
00
kss KOHLS CORP Common 5002551 184,500 1,800
04
ksu KANSAS CITY SOUTHN Common 4851701 5,033,359 58,570
INDS INC 04
lby LIBBY INC. Common 5298981 27,649 1,010
08
lea LEAR CORP Common 5218651 12,656 450
05
leh LEHMAN BROS HLDGS Common 5249081 5,274,860 54,380
00
liz LIZ CLAIBORNE Common 5393201 4,741,136 103,490
01
lll L3 COMMUNICATIONS HLDG Common 5024241 23,372 450
04
lly ELI LILLY Common 5324571 -169,088 -2,700
08
lscc LATTICE SEMICONDUCTOR Common 5184151 432,523 6,390
04
ltd THE LIMITED Common 5327161 5,215,918 123,820
07
lz LUBRIZOL Common 5492711 19,304 670
04
lzb LA-Z-BOY CHAIR CO Common 5053361 23,370 1,520
07
mafb MAF BANCORP Common 55261R1 14,569 900
08
mchp MICROCHIP TECH INC Common 5950171 26,958 410
04
mdt MEDTRONIC INC Common 5850551 195,463 3,800
06
mdy S&P MIDCAP 400 DEP REC Common 5956351 57,488 630
03
medq MEDQUIST INC Common 5849491 25,013 920
01
mer MERRILL LYNCH & CO INC Common 5901881 12,075 115
08
mhk MOHAWK INDS Common 6081901 371,425 16,600
04
mi MARSHALL & ILSLEY CORP Common 5718341 15,015 260
00
mike MICHAELS STORES INC Common 5940871 464,143 11,390
08
mkg MALLINCKRODT INC Common 5612321 577,875 20,100
09
mlg MUSICLAND Common 62758B1 16,575 2,600
09
mmm MINN MNG & MFG Common 6040591 4,067,676 45,930
05
mrbk MERCANTILE BANKSHARES Common 5874051 14,976 490
CORP 01
mro USX MARATHON Common 9029058 3,909 150
27
mtg MGIC INVT CORP WIS Common 5528481 519,574 11,910
03
mu MICRON TECH Common 5951121 -226,800 -1,800
03
mwd MORGAN STLY DEAN WTR Common 6174464 6,708,731 80,950
48
n INCO LTD Common 4532584 12,679 690
02
ncbc NATIONAL COMM Common 6354491 22,755 1,230
BANCORPORATION 01
nsit INSIGHT ENTERPRISES Common 45765U1 445,995 12,240
03
nsm NATIONAL SEMICONDUCTOR Common 6376401 182,250 3,000
03
nsol NETWORK SOLUTIONS Common 64121Q1 42,268 275
02
nt NORTEL NETWORKS CORP Common 6565691 -252,250 -2,000
00
ntap NETWORK APPLIANCE, Common 64120L1 341,758 4,130
INC. 04
ntrs NORTHERN TRUST CORP Common 6658591 -182,419 -2,700
04
nvda NVIDIA CORP Common 67066G1 20,276 240
04
nvls NOVELLUS Common 6700081 26,940 480
01
nxtl NEXTEL COMMUNICATIONS Common 65332V1 -355,800 -2,400
CL A 03
nyt NEW YORK TIMES Common 6501111 4,325,953 100,750
07
nzro NETZERO INC Common 64122R1 333,060 21,840
09
oei OCEAN ENERGY INC Common 67481E1 36,081 2,510
06
oge OKLAHOMA G&E Common 6708371 15,350 800
03
olog OFFSHORE Common 6762551 32,329 2,330
02
omc OMNICOM GROUP INC Common 6819191 299,600 3,200
06
omg OM GROUP INC Common 6708721 555,100 12,200
00
omkt OPEN MKT INC Common 68370M1 12,103 470
00
orbk ORBOTECH LT Common M752531 25,500 300
00
orcl ORACLE CORP Common 68389X1 252,923 3,240
05
oxhp OXFORD HEALTH PLANS Common 6914711 24,705 1,620
06
oxy OCCIDENTAL PETE CORP Common 6745991 187,995 9,060
05
payx PAYCHEX INC Common 7043261 193,788 3,700
07
pcg P G & E CORP Common 69331C1 11,970 570
08
pe PECO ENERGY CO Common 6933041 202,813 5,500
07
peg PUBLIC SVC ENTERPRS Common 7445731 2,961,019 99,950
06
pfe PFIZER Common 7170811 45,703 1,250
03
pg PROCTER & GAMBLE Common 7427181 -254,250 -4,500
09
pll PALL CORP Common 6964293 12,565 560
07
pmi PMI GROUP INC Common 69344M1 19,924 420
01
ppl PP&L RESOURCES INC Common 69351T1 3,756,816 179,430
06
prox PROXIM, INC Common 7442841 568,516 4,750
00
prsf PORTAL SOFTWARE Common 7361261 42,134 740
03
psd PUGET SOUND ENERGY INC Common 7453321 625,909 28,210
06
psun PACIFIC SUNWEAR Common 6948731 566,143 14,705
00
ptsc PATRIOT SCIENTIFIC Common 70336N1 7,906 2,300
CORP 07
pwav POWERWAVE TECHNOLOGIES Common 7393631 31,250 250
09
qcom QUALCOM Common 7475251 283,694 1,900
03
qsc QUESTCOR Common 74835Y1 11,456 3,900
PHARACEUTICALS 01
ral RALSTON PURINA CO Common 7512773 187,000 6,800
02
rdc ROWAN COS INC Common 7793821 373,856 12,700
00
rei RELIANT ENERGY INC Common 75952J1 13,902 590
08
rgbk REGIONS FINANCIAL CORP Common 7589401 -223,563 -9,800
00
rky COORS Common 2170161 12,000 250
04
rmd RESMED, INC Common 7611521 32,119 450
07
rnwk REAL NETWORKS, INC Common 75605L1 11,388 200
04
roh ROHM & HAAS Common 7753711 196,350 4,400
07
rost ROSS STORES Common 7782961 28,875 1,200
03
rs RELIANCE STEEL & ALUM Common 7595091 369,859 16,530
02
safc SAFECO CORP Common 7864291 -207,188 -7,800
00
sbux STARBUCKS CORPORATION Common 8552441 25,095 560
09
sch SCHWAB CHARLES Common 8085131 31,815 560
05
schl SCHOLASTIC CORPORATION Common 8070661 17,260 320
05
sdli SDL INC Common 7840761 60,669 285
01
sebl SIEBEL Common 8261701 81,218 680
02
seg SEAGATE TECH Common 8118041 3,705 60
03
sfa SCIENTIFIC ATLANTA INC Common 8086551 3,774,760 59,680
04
sfp SALTON Common 7957571 45,544 1,050
03
sgp SCHERING PLOUGH Common 8066051 425,081 11,450
01
shw SHERWIN WILLIAMS Common 8243481 4,306,410 194,640
06
sivb SILICON VALLEY Common 8270641 580,750 8,080
BANCSHARES 06
slb SCHLUMBERGER Common 8068571 -420,750 -5,500
08
snps SYNOPSYS INC Common 8716071 523,575 10,740
07
sonc SONIC CORP Common 8354511 22,890 840
05
spc ST. PAUL COS. INC. Common 7928601 -273,000 -8,000
08
spy S&P500 DEP RCPTS Common 78462F1 61,654 410
03
srm SENSORMATIC ELECTRS CP Common 8172651 24,233 1,080
01
ssw STERLING SOFTWARE INC Common 8595471 736,875 22,500
01
stt STATE STR CORP Common 8574771 213,125 2,200
03
sunw SUN MICROSYS Common 8668101 43,572 465
04
svgi SILICON VALLEY GROUP Common 8270661 29,150 1,060
01
syy SYSCO CORP Common 8718291 350,413 9,700
07
sza SUIZA FOODS CORP Common 8650771 20,528 510
01
t AT&T CORP Common 0019571 29,564 525
09
t AT&T CORP Common 0019571 -191,463 -3,400
09
talk TALK.COM INC Common 8742641 20,800 1,300
04
tdw TIDEWATER Common 8864231 22,905 720
02
tfs THREE-FIVE SYSTEMS Common 88554L1 60 1
08
tgh TRIGON HEALTHCARE INC. Common 89618L1 20,378 570
00
tgt TARGET CORP Common 87612E1 4,223,375 56,500
06
thqi THQ INC Common 8724434 24,131 1,350
03
tif TIFFANY & CO Common 8865471 20,906 250
08
tjx TJX COS Common 8725401 521,406 23,500
09
trb TRIBUNE CO Common 8960471 -160,875 -4,400
07
trow T ROWE PRICE Common 7414771 886,775 22,450
03
trow T ROWE PRICE Common 7414771 -213,300 -5,400
03
txi TEXAS INDS Common 8824911 19,608 620
03
txn TEXAS INSTRS Common 8825081 5,768,000 36,050
04
tyc TYCO Common 9021241 4,233,558 84,460
06
ub UNIONBANCAL CORP Common 9089061 518,175 18,800
00
uhs UNIVERSAL HLTH Common 9139031 27,195 555
00
unh UTD HEALTHCARE CORP Common 91324P1 4,648,961 77,970
02
usfc US FREIGHTWAYS Common 9169061 575,040 15,360
00
vign VIGNETTE CORP Common 9267341 30,448 190
04
vitr VITRIA TECH INC Common 92849Q1 2,520 25
04
vlnc VALENCE TECHNOLOGY INC Common 9189141 30,160 1,280
02
vmc VULCAN MATLS CO Common 9291601 -334,431 -7,300
09
vpi VINTAGE PETE INC Common 9274601 730,135 36,280
05
vrsn VERISIGN, INC. Common 92343E1 20,930 140
02
vsh VISHAY INTRTCH Common 9282981 33,931 610
08
wag WALGREEN COMPANY Common 9314221 -208,575 -8,100
09
wbb WEBB DEL CORP Common 9474231 466,446 31,490
09
wcom MCI WORLDCOM INC Common 98157D1 4,650,875 102,640
06
wfc WELLS FARGO & COMPANY Common 9497461 -260,800 -6,400
01
whr WHIRLPOOL CORP Common 9633201 3,754,345 64,040
06
wlp WELLPOINT HLT NETW Common 94973H1 13,975 200
08
wmb WILLIAMS COS INC DEL Common 9694571 -461,344 -10,500
00
wmt WAL MART STORES INC Common 9311421 192,100 3,400
03
wnc WABASH NATIONAL CORP Common 9295661 27,645 1,940
07
wtny WHITNEY HLDG CORP Common 9666121 27,731 850
03
xirc XIRCOM Common 9839221 1,850 50
05
xlnx XILINX INC Common 9839191 24,016 290
01
yhoo YAHOO! Common 9843321 119,963 700
06
zlc ZALE CORP Common 9888581 440,259 9,330
06
zqk QUIKSILVER, INC Common 74838C1 531,090 30,240
06
Grand Total 164,152,297
6. Manager exercises sole
investment discretion with respect
to all accounts.
7. This report is filed only on
the behalf of Capital West Asset
Management, LLC
8. Manager has sole voting
authority over all securities.