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UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
FORM 13F
FORM 13F COVER PAGE
Report for the Calendar Year or Quarter Ended: SEPTEMBER 30, 2000
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Check here if Amendment [ ] Amendment Number:
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This Amendment (Check only one.): [ ] is a restatement
[ ] adds new holdings entries
Institutional Investment Manager Filing this Report
Name: Lee Munder Investments Ltd.
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Address: 231 Royal Palm Way, Suite 120
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Palm Beach, Florida 33480
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Form 13F File Number: 28-
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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: Terry H. Gardner
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Title: Chief Financial Officer
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Phone: (561) 802-8800
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Signature, Place, and Date of Signing
/S/ Terry H. Gardner Palm Beach, Florida November 13, 2000
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(Signature) (City, State) (Date)
Report Type (Check only one.):
[X] 13F HOLDINGS REPORT. (Check here if all holdings of this reporting
manager are reported in this report.)
[ ] 13F NOTICE. (Check here if no holdings reported are in this report, and
all holdings are reported by other reporting manager(s).)
[ ] 13F COMBINATION 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
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FORM 13F SUMMARY PAGE
Report Summary:
Number of Other Included Managers: 0
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Form 13F Information Table Entry Total: 167
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Form 13F Information Table Value Total: $348,276
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(Thousands)
List of Other Included Managers:
Provide a numbered list of the name(s) and Form 13F file number(s) of all
institutional investment managers with respect to which this report is filed,
other than the manager filing this report.
NONE
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LEE MUNDER INVESTMENTS LTD.
FORM 13F INFORMATION TABLE
<TABLE>
<CAPTION>
Voting Authority
Title of Value Shares/ Put/ Invstmnt Other ---------------------
Name of Issuer Class Cusip (X$1,000) Prn Amt Sh/prn Call Dscretn Managers Sole Shared None
-------------- -------- --------- --------- ------- ------ ---- ------- -------- ---- ------ ----
<C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
02 Micro International Lt COM g6797e106 235 23,400 SH Sole 23,400
ATMI Inc COM 00207R101 4,071 215,685 SH Sole 215,685
Abbott Labs COM 002824100 1,067 20,200 SH Sole 20,200
Accredo Health Inc COM 00437V104 4,114 95,125 SH Sole 95,125
Active Power Inc. COM 00504W100 3,542 92,900 SH Sole 92,900
Acxiom Corp COM 005125109 4,174 103,700 SH Sole 103,700
Adac Labs COM 005313200 2,738 210,635 SH Sole 210,635
Alexion Pharmaceutical COM 015351109 6,616 64,000 SH Sole 64,000
Alkermes Inc COM 01642T108 4,973 134,170 SH Sole 134,170
America Online Inc. COM 02364J104 909 18,000 SH Sole 18,000
American Home Prods COM 026609107 1,097 17,280 SH Sole 17,280
American Intl Group COM 026874107 360 3,679 SH Sole 3,679
Amgen Inc COM 031162100 165 2,850 SH Sole 2,850
Anadarko Petroleum COM 032511107 306 4,770 SH Sole 4,770
Angiotech Pharmaceutls COM 034918102 5,642 102,579 SH Sole 102,579
Antec Corp. COM 03664P105 2,451 201,100 SH Sole 201,100
Antigenics Inc COM 037032109 339 22,700 SH Sole 22,700
Arena Pharmaceuticals COM 040047102 1,680 48,100 SH Sole 48,100
Aspen Technology Inc COM 045327103 4,656 112,700 SH Sole 112,700
Atlantic Coast Air Hld COM 048396105 4,879 136,470 SH Sole 136,470
Automatic Data Process COM 053015103 1,283 19,650 SH Sole 19,650
Avocent Corp COM 053893103 6,706 94,530 SH Sole 94,530
BP Amoco P L C COM 055622104 431 8,468 SH Sole 8,468
Bank One Corp COM 06423A103 658 18,017 SH Sole 18,017
Bed Bath & Beyond Inc COM 075896100 516 20,000 SH Sole 20,000
Block H & R Inc. COM 093671105 357 10,000 SH Sole 10,000
Bristol Myers Squibb COM 110122108 1,568 25,736 SH Sole 25,736
Broadband Holders Tr COM 11130P104 646 10,000 SH Sole 10,000
Buca Inc COM 117769109 630 40,300 SH Sole 40,300
C Cor Net Corp COM 125010108 2,986 191,100 SH Sole 191,100
CNET Networks Inc COM 12613R104 2,439 77,425 SH Sole 77,425
</TABLE>
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<TABLE>
<CAPTION>
Voting Authority
Title of Value Shares/ Put/ Invstmnt Other ---------------------
Name of Issuer Class Cusip (X$1,000) Prn Amt Sh/prn Call Dscretn Managers Sole Shared None
-------------- -------- --------- --------- ------- ------ ---- ------- -------- ---- ------ ----
<C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
CV Therapeutics Inc COM 126667104 465 5,900 SH Sole 5,900
Cal Dive Intl Inc COM 127914109 4,415 88,750 SH Sole 88,750
Capital Automotive Reit COM 139733109 580 45,000 SH Sole 45,000
Capstone Turbine Corp COM 14067D102 4,588 82,670 SH Sole 82,670
Cardinal Health Inc COM 14149Y108 199 2,100 SH Sole 2,100
Career Education Corp COM 141665109 4,248 109,805 SH Sole 109,805
Catalina Marketing Cp COM 148867104 793 20,200 SH Sole 20,200
Chase Manhattan COM 16161A108 341 7,500 SH Sole 7,500
Cisco Systems Inc. COM 17275R102 351 6,520 SH Sole 6,520
Comerica Inc COM 200340107 1,568 26,000 SH Sole 26,000
Compaq Computer Corp COM 204493100 608 20,000 SH Sole 20,000
Cor Therapeutics Inc COM 217753102 3,962 70,120 SH Sole 70,120
Core Laboratories COM N22717107 1,335 61,900 SH Sole 61,900
Corporate Exec Brd Co COM 21988R102 5,254 113,900 SH Sole 113,900
Corvas Intl Inc COM 221005101 4,501 211,800 SH Sole 211,800
Costar Group Inc COM 22160N109 5,290 169,265 SH Sole 169,265
Cubist Pharmaceuticals COM 229678107 3,405 79,235 SH Sole 79,235
Cysive Inc COM 23281T108 119 15,000 SH Sole 15,000
Dendreon Corp COM 24823Q107 3,322 202,900 SH Sole 202,900
Devry Inc Del COM 251893103 262 7,100 SH Sole 7,100
Diamond Tech Partners Cl A COM 252762109 214 4,800 SH Sole 4,800
Dmc Stratex Networks COM 23322L106 5,168 223,500 SH Sole 223,500
Doubleclick Inc COM 258609304 458 28,200 SH Sole 28,200
Dril-Quip Inc COM 262037104 1,395 42,285 SH Sole 42,285
Dupont Photomasks Inc COM 26613X101 4,004 71,340 SH Sole 71,340
Dycom Inds Inc COM 267475101 1,328 35,300 SH Sole 35,300
Eden Bioscience Corporation COM 279445100 4,939 130,400 SH Sole 130,400
Egl Inc COM 268484102 5,925 207,880 SH Sole 207,880
Elantec Semiconductor COM 284155108 5,251 47,200 SH Sole 47,200
Emerge Interactive Inc COM 29088W103 218 19,500 SH Sole 19,500
Emulex Corp COM 292475209 3,579 24,370 SH Sole 24,370
Enzon Inc COM 293904108 1,803 25,300 SH Sole 25,300
</TABLE>
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<PAGE> 5
<TABLE>
<CAPTION>
Voting Authority
Title of Value Shares/ Put/ Invstmnt Other ---------------------
Name of Issuer Class Cusip (X$1,000) Prn Amt Sh/prn Call Dscretn Managers Sole Shared None
-------------- -------- --------- --------- ------- ------ ---- ------- -------- ---- ------ ----
<C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
Equitable Res Inc COM 294549100 255 4,400 SH Sole 4,400
Exar Corp COM 300645108 5,376 120,310 SH Sole 120,310
Expeditors Intl COM 302130109 3,790 73,060 SH Sole 73,060
F5 Networks Inc COM 315616102 3,100 100,000 SH Sole 100,000
Forward Air Corp COM 349853101 3,954 96,150 SH Sole 96,150
Fuelcell Energy, Inc. COM 35952H106 2,595 33,900 SH Sole 33,900
GSI Lumonics Inc COM 36229U102 442 35,000 SH Sole 35,000
Gasonics Intl Corp COM 367278108 815 39,900 SH Sole 39,900
Gateway Inc. COM 367626108 516 10,000 SH Sole 10,000
Genaissance Pharmaceut COM 36867W105 616 25,800 SH Sole 25,800
General Elec Co COM 369604103 4,747 86,600 SH Sole 86,600
General Mills Inc. COM 370334104 401 9,600 SH Sole 9,600
Genomica Corp COM 37243Q101 2,085 166,000 SH Sole 166,000
Getty Images Inc COM 374276103 562 17,700 SH Sole 17,700
Global Inds Ltd COM 379336100 290 27,600 SH Sole 27,600
Hanover Compressor Co COM 410768105 1,194 36,600 SH Sole 36,600
Hewlett Packard Co COM 428236103 628 13,500 SH Sole 13,500
Home Depot Inc. COM 437076102 475 11,050 SH Sole 11,050
Ilex Oncology Inc COM 451923106 3,618 99,820 SH Sole 99,820
Imclone Sys Inc COM 45245W109 1,039 19,000 SH Sole 19,000
Inhale Therapeutic Sys COM 457191104 5,172 103,960 SH Sole 103,960
Int'l Business Machines COM 459200101 353 3,588 SH Sole 3,588
Intel Corp COM 458140100 216 4,800 SH Sole 4,800
Internatl Rectifier Cp COM 460254105 4,881 109,370 SH Sole 109,370
Internet Sec Sys Inc COM 46060X107 212 2,400 SH Sole 2,400
Johnson & Johnson COM 478160104 907 9,840 SH Sole 9,840
Jupiter Media Metrix COM 48206U104 688 50,500 SH Sole 50,500
Kimberly Clark Corp COM 494368103 475 7,200 SH Sole 7,200
Kopin Corp. COM 500600101 208 14,700 SH Sole 14,700
Kroger Co COM 501044101 289 12,800 SH Sole 12,800
Level 8 Sys Inc. COM 52729m102 339 35,200 SH Sole 35,200
Lexent Inc COM 52886Q102 2,324 80,300 SH Sole 80,300
Lightpath Technologies COM 532257102 1,730 63,500 SH Sole 63,500
Inc - A
</TABLE>
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<PAGE> 6
<TABLE>
<CAPTION>
Voting Authority
Title of Value Shares/ Put/ Invstmnt Other ---------------------
Name of Issuer Class Cusip (X$1,000) Prn Amt Sh/prn Call Dscretn Managers Sole Shared None
-------------- -------- --------- --------- ------- ------ ---- ------- -------- ---- ------ ----
<C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
London Pac Group Ltd COM 542073101 397 28,100 SH Sole 28,100
Marsh & Mclennan Cos COM 571748102 170 1,300 SH Sole 1,300
Mastec Inc COM 576323109 3,268 112,925 SH Sole 112,925
Medicis Pharmaceutical COM 584690309 1,825 24,786 SH Sole 24,786
Mellon Financial Corp. COM 58551A108 236 4,900 SH Sole 4,900
Merck & Co. Inc. COM 589331107 220 2,450 SH Sole 2,450
Mercury Interactive Cp COM 589405109 2,333 21,015 SH Sole 21,015
Merix Corp Com COM 590049102 3,120 66,800 SH Sole 66,800
Merrill Lynch & Co. Inc. COM 590188108 1,050 15,000 SH Sole 15,000
Micrel Inc COM 594793101 3,158 69,800 SH Sole 69,800
Microsoft Corp COM 594918104 243 3,525 SH Sole 3,525
Midcap Spdr Tr Unit COM 595635103 2,360 24,840 SH Sole 24,840
Morgan J P & Co Inc. COM 616880100 1,390 8,400 SH Sole 8,400
Motorola Inc. COM 620076109 950 38,100 SH Sole 38,100
NASDAQ 100 Tr Unit Ser 1 COM 631100104 1,683 20,595 SH Sole 20,595
National-Oilwell Inc COM 637071101 4,158 142,170 SH Sole 142,170
Netscout Sys Inc. COM 64115t104 3,818 204,300 SH Sole 204,300
Network Engines Inc COM 64121A107 3,472 111,100 SH Sole 111,100
Newfield Expl Co COM 651290108 2,057 54,500 SH Sole 54,500
Newpark Res Inc COM 651718504 2,743 304,800 SH Sole 304,800
Nortel Networks COM 656568102 152 3,350 SH Sole 3,350
Omnicom Group Inc. COM 681919106 281 3,050 SH Sole 3,050
Oracle Corp COM 68389X105 213 6,448 SH Sole 6,448
Pain Therapeutics Inc COM 69562K100 5,290 246,750 SH Sole 246,750
Paine Webber Group Inc. COM 695629105 1,069 15,000 SH Sole 15,000
Peco II Inc. COM 705221109 2,347 59,600 SH Sole 59,600
Pepsico Inc. COM 713448108 233 4,800 SH Sole 4,800
Pericom Semiconductor COM 713831105 970 36,600 SH Sole 36,600
Pfizer Inc. COM 717081103 4,985 115,434 SH Sole 115,434
Photon Dynamics Inc. COM 719364101 1,739 48,300 SH Sole 48,300
Photronics Inc COM 719405102 4,811 213,210 SH Sole 213,210
Pixel Works Inc. COM 72581m107 393 11,800 SH Sole 11,800
Polymedica Corp COM 731738100 5,510 95,825 SH Sole 95,825
</TABLE>
4
<PAGE> 7
<TABLE>
<CAPTION>
Voting Authority
Title of Value Shares/ Put/ Invstmnt Other ---------------------
Name of Issuer Class Cusip (X$1,000) Prn Amt Sh/prn Call Dscretn Managers Sole Shared None
-------------- -------- --------- --------- ------- ------ ---- ------- -------- ---- ------ ----
<C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
Protein Design Labs COM 74369L103 946 7,000 SH Sole 7,000
PurchasePro.com Inc COM 746144104 316 11,700 SH Sole 11,700
Qlogic Corp COM 747277101 6,795 70,230 SH Sole 70,230
Quanta Svcs Inc COM 74762E102 1,361 43,800 SH Sole 43,800
Quicklogic Corp COM 74837P108 2,785 313,850 SH Sole 313,850
Remec Inc COM 759543101 638 21,400 SH Sole 21,400
Ryanair Holdings Plc Adr COM 783513104 1,350 33,500 SH Sole 33,500
SBA Communications COM 78388J106 4,632 92,400 SH Sole 92,400
SBC Communications COM 78387G103 311 5,394 SH Sole 5,394
SBS Broadcasting COM L8137F102 4,527 151,532 SH Sole 151,532
Satcon Technology Corp COM 803893106 204 8,000 SH Sole 8,000
Schlumberger Ltd COM 806857108 761 10,000 SH Sole 10,000
Semtech Corp COM 816850101 5,916 183,440 SH Sole 183,440
Sipex Corp. COM 829909100 3,245 82,400 SH Sole 82,400
Skywest Inc. COM 830879102 2,409 47,700 SH Sole 47,700
Smartforce Pub Ltd Co COM 83170A206 1,928 38,300 SH Sole 38,300
Sothebys Hldgs Inc COM 835898107 685 25,200 SH Sole 25,200
Spectra-Physics Lasers COM 847568102 1,653 46,800 SH Sole 46,800
Stanford Microdevices COM 854399102 2,570 102,550 SH Sole 102,550
Starbucks Corp COM 855244109 228 5,100 SH Sole 5,100
Stone Energy Corp COM 861642106 1,306 25,500 SH Sole 25,500
Symyx Technologies COM 87155S108 3,742 79,300 SH Sole 79,300
Sysco Corp COM 871829107 459 8,800 SH Sole 8,800
Target Corp COM 87612E106 6,769 245,036 SH Sole 245,036
Taubman Centers Inc. COM 876664103 1,094 100,000 SH Sole 100,000
Transkaryotic Therapie COM 893735100 317 8,500 SH Sole 8,500
Trex Company Inc. COM 89531P105 471 12,600 SH Sole 12,600
Tricord Systems Inc COM 896121100 754 45,700 SH Sole 45,700
Tweeter Home Entmt Grp COM 901167106 710 29,500 SH Sole 29,500
Tyco Intl Ltd COM 902124106 289 5,100 SH Sole 5,100
Universal Compression COM 913431102 3,060 105,985 SH Sole 105,985
Veeco Instrs Inc COM 922417100 3,196 48,270 SH Sole 48,270
Vical Inc COM 925602104 1,911 89,925 SH Sole 89,925
</TABLE>
5
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<TABLE>
<CAPTION>
Voting Authority
Title of Value Shares/ Put/ Invstmnt Other ---------------------
Name of Issuer Class Cusip (X$1,000) Prn Amt Sh/prn Call Dscretn Managers Sole Shared None
-------------- -------- --------- --------- ------- ------ ---- ------- -------- ---- ------ ----
<C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
Watchguard Technologies COM 941105108 2,925 58,500 SH Sole 58,500
Watson Wyatt & Co Holdings COM 942712100 2,147 124000 SH Sole 124,000
Williams Sonoma Inc COM 969904101 1,093 52,500 SH Sole 52,500
Worldcom Inc. COM 98157D106 306 12,890 SH Sole 12,890
Zygo Corp COM 989855101 1,411 28,500 SH Sole 28,500
</TABLE>
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