UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, DC 20549
Form 13F
Form 13F COVER PAGE
Report for the Calendar Year or Quarter Ended:September 30, 2000
Check here if Amendment [ ]; Amendment Number:
This Amendment (Check only one.): [ ] is a restatement.
[ ] adds new holdings entries.
Institutional Investment Manager Filing this Report:
Name: White Mountain Investment, Inc.
Address: 114 North Main Street
Suite 301
Concord, NH 03301
13F File Number:
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: Cynthia J. Rouvalis
Title: Portfolio Manager
Phone: 603-224-2330
Signature, Place, and Date of Signing:
Concord, NH October 26, 2000
Report Type (Check only one.):
[X] 13F HOLDINGS REPORT.
[ ] 13F NOTICE.
[ ] 13F COMBINATION REPORT.
List of Other Managers Reporting for this Manager: None.
FORM 13F SUMMARY PAGE
Report Summary:
Number of Other Included Managers: 0
Form 13F Information Table Entry Total: 81
Form 13F Information Table Value Total: 180,532
List of Other Included Managers: None.
No. 13F File Number Name
WHITE MOUNTAIN INVESTMENT, INC.
FORM 13F
September 30, 2000
<TABLE>
Voting Authority
--------------------------
Value Shares/ Sh/ Put/ Invstmt Other
Name of Title ofCUSIP (x$1000)Prn Amt Prn Call Dscretn ManagersSole Shared None
------------------------------------------- ---- ------- --------------------------------
<S> <C> <C> <C> <S> <C>
H & Q LiMFE 40405310 426 13610SH Sole 13610
Mass MutMFF 57629210 548 23500SH Sole 11000 12500
MuniVestMFF 62629510 229 28000SH Sole 28000
AES CorpCOM 00130H10 1055 15400SH Sole 15400
AMB PropCOM 00163T10 901 36700SH Sole 10500 26200
Acxiom CCOM 00512510 527 16600SH Sole 11800 4800
AmericanCOM 02581610 273 4500SH Sole 4500
AmericanCOM 02660910 2398 42400SH Sole 10000 32400
AmericanCOM 02687410 7505 78437SH Sole 15113 63324
ArchstonCOM 03958110 1024 41704SH Sole 15694 26010
Bank of COM 06405710 3162 56400SH Sole 27400 29000
Barrett COM 06848020 454 12000SH Sole 12000
BellSoutCOM 07986010 219 5450SH Sole 5450
Boston PCOM 10112110 365 8500SH Sole 1000 7500
Bristol-COM 11012210 1048 18350SH Sole 1500 16850
BurlingtCOM 12201410 2179 59186SH Sole 13800 45386
CVS COM 12665010 4891 105600SH Sole 27000 78600
CardinalCOM 14149Y10 8704 98700SH Sole 25000 73700
Chubb CoCOM 17123210 2532 32000SH Sole 10100 21900
Cisco SyCOM 17275R10 13799 249759SH Sole 12000 237759
CitigrouCOM 17296710 312 5773SH Sole 5773
Coca ColCOM 19121610 374 6787SH Sole 3600 3187
ConvergyCOM 21248510 4408 113400SH Sole 24000 89400
Corning COM 21935010 5093 17147SH Sole 1500 15647
DendriteCOM 24823910 3258 121500SH Sole 34000 87500
EMC COM 26864810 3654 36864SH Sole 36864
EOG ResoCOM 26875P10 397 10200SH Sole 4000 6200
El Paso COM 28390510 2046 33200SH Sole 9000 24200
Enron COM 29356110 4500 51350SH Sole 18600 32750
Enzon InCOM 29390410 4200 63634SH Sole 63634
Exxon MoCOM 30231g10 2229 25012SH Sole 25012
FEDEX CoCOM 31428x10 568 12800SH Sole 4000 8800
Fair IsaCOM 30325010 555 13000SH Sole 3500 9500
Fannie MCOM 31358610 12688 177454SH Sole 41300 136154
Fed. HomCOM 31340030 1600 29600SH Sole 16000 13600
First HeCOM 32096010 2561 79420SH Sole 12300 67120
Fiserv ICOM 33773810 769 12837SH Sole 12837
Fleet BoCOM 33903010 258 6605SH Sole 4000 2605
General COM 36960410 17701 306847SH Sole 47700 259147
Health CCOM 42191510 750 25300SH Sole 12800 12500
Hewlett COM 42823610 673 6936SH Sole 1500 5436
Home DepCOM 43707610 9047 170501SH Sole 35988 134513
HoneywelCOM 43851610 1003 28152SH Sole 6875 21277
Hooper HCOM 43910410 1759 185000SH Sole 61000 124000
IDEXX LaCOM 45168D10 214 8004SH Sole 8004
IndependCOM 45383610 364 30375SH Sole 30375
Intel CoCOM 45814010 3773 90780SH Sole 39200 51580
InternatCOM 45920010 2270 20180SH Sole 20180
J.P. MorCOM 61688010 392 2400SH Sole 2400
Johnson COM 47816010 4409 46932SH Sole 6400 40532
Kronos COM 50105210 558 18600SH Sole 800 17800
MedtroniCOM 58505510 3005 58000SH Sole 6000 52000
Merck COM 58933110 8456 113597SH Sole 23620 89977
Miller HCOM 60054410 2175 67850SH Sole 15500 52350
Molex 'ACOM 60855420 2751 66389SH Sole 20110 46279
Mutual RCOM 62835110 1858 84702SH Sole 12666 72036
Nestle ACOM 64106940 1041 10000SH Sole 2000 8000
New YorkCOM 65011110 4521 115000SH Sole 27300 87700
Nortel NCOM 65656810 599 10052SH Sole 10052
Paychex,COM 70432610 1673 31874SH Sole 16874 15000
PepsiCo COM 71344810 248 5400SH Sole 5400
Pfizer ICOM 71708110 449 9983SH Sole 9983
Pitney BCOM 72447910 2694 68300SH Sole 14500 53800
Procter COM 74271810 4929 73574SH Sole 19300 54274
ProvidiaCOM 74406a10 267 2100SH Sole 2100
Reader'sCOM 75526720 470 14900SH Sole 2500 12400
Royal DuCOM 78025780 1532 25556SH Sole 4400 21156
S.B.C. CCOM 78387G10 304 6084SH Sole 6084
ScheringCOM 80660510 1246 26800SH Sole 1200 25600
Simon PrCOM 82880610 366 15600SH Sole 8000 7600
Staples COM 85503010 3106 218895SH Sole 54375 164520
State StCOM 85747710 520 4000SH Sole 4000
SynopsysCOM 87160710 3022 79800SH Sole 15700 64100
Tellabs COM 87966410 358 7500SH Sole 4000 3500
TransatlCOM 89352110 555 6000SH Sole 6000
Tyco COM 90212410 2807 54114SH Sole 14700 39414
UnileverCOM 90478470 948 19642SH Sole 2857 16785
Verizon COM 92343v10 304 6267SH Sole 6267
Waste MaCOM 94106L10 316 18096SH Sole 18096
Wells FaCOM 94974610 2664 58000SH Sole 10000 48000
Young & COM 98742510 445 9000SH Sole 800 8200
REPORT S 81DATA REC 180532 0 OTHER MANAGERS ON WHOSE BEHALF REPORT IS FILED
</TABLE>