FIDUCIARY MANAGEMENT ASSOCIATES INC
13F-HR/A, 2000-05-09
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       			 	   UNITED STATES
		  	SECURITIES AND EXCHANGE COMMISSION
			       Washington, D.C.  20549

       				     FORM 13-F

       				FORM 13F COVER PAGE


Report for the Calendar Year of Quarter Ended:	March 31, 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:				Fiduciary Management Associates, Inc.
Address:			55 West Monroe Street
				Suite #2550
				Chicago, Illinois  60603

13F File Number:	28-1267

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:

         			      Robert W. Thornburgh,CFA
			              Executive Vice President
			              (312) 930-6850


Signature:_____________________  Place: Chicago,Illinois  Date:  May 9, 2000



Report Type (Check only one):

[ X  ]	13F Holdings Report.

[    ]	13F Notice.

[    ]	13F Combination Report.


List of other managers reporting for this Manager:

I am signing this report as required by the Securities Exchange Act of 1934.


                        FIDUCIARY MANAGEMENT ASSOCIATES

                             FORM 13F SUMMARY PAGE
                              AS OF DATE: 03/31/00


REPORT SUMMARY:

NUMBER OF OTHER INCLUDED MANAGERS:        0

FORM 13F INFORMATION TABLE ENTRY TOTAL:   148

FORM 13F INFORMATION TABLE VALUE TOTAL:   $720,712,000



LIST OF OTHER INCLUDED MANAGERS:

NO.   13F FILE NUMBER      NAME

<TABLE>
<S>                                            <C>         <C>   <C>    <S>                          <C>     <C>         <C>
		                              FIDUCIARY MANAGEMENT ASSOCIATES, INC.

                                                   FORM 13-F INFORMATION TABLE
                                                      AS OF DATE:  3/31/00

                                   TITLE OF               VALUE  SHARES/  SH/ PUT/ INVSTMT  OTHER       VOT        AUTHORIT
NAME OF ISSUER                     CLASS         CUSIP   (x$1000)PRN AMT  PRN CALL DSCRETN  MGRS      SOLE  SHARED    NONE
- ------------------------------     ----------- --------- ---------------- --- ---- -------  ---------------  ---     -----

ABBOTT LABS                        COM            2824100     811   23036 SH         SOLE             23036   0           0
ACTEL CORP COM                     COM            4934105    4544  127325 SH         SOLE            127325   0           0
ALASKA AIRGROUP                    COM           11659109    3632  120800 SH         SOLE            120800   0           0
ALCOA INC COM                      COM           13817101    5097   72550 SH         SOLE             72150   0         400
ALZA CORP COM                      COM           22615108    6489  172750 SH         SOLE            172750   0           0
AMERICAN EXPRESS CO                COM           25816109    7522   50507 SH         SOLE             50507   0           0
AMERICAN GENERAL CORP              COM           26351106     769   13700 SH         SOLE             13700   0           0
AMERICAN INTL GROUP INC            COM           26874107    9855   89999 SH         SOLE             89999   0           0
ANHEUSER BUSCH COS INC             COM           35229103    6395  102730 SH         SOLE            102730   0           0
APPLEBEES INTL INC COM             COM           37899101    4965  176550 SH         SOLE            176550   0           0
AT & T CORP                        COM            1957109     202    3583 SH         SOLE              2750   0         833
ATWOOD OCEANICS INC COM            COM           50095108    4513   68050 SH         SOLE             68050   0           0
AUTOMATIC DATA PROCESSING          COM           53015103    7273  150730 SH         SOLE            150330   0         400
AVERY DENNISON CORP COM            COM           53611109    6183  101250 SH         SOLE            101250   0           0
BALLY TOTAL FITNESS HLDG CRPCO     COM          05873K108    4092  167000 SH         SOLE            167000   0           0
BANK OF AMERICA                    COM           60505104     233    4449 SH         SOLE              3562   0         887
BANK UTD CORP CL A                 COM           65412108    3576  113300 SH         SOLE            113300   0           0
BAXTER INTL INC                    COM           71813109    7396  117975 SH         SOLE            117975   0           0
BELL ATLANTIC CORP                 COM           77853109    1042   17050 SH         SOLE             17050   0           0
BIO TECHNOLOGY GEN CORP COM        COM           90578105    3232  208500 SH         SOLE            208500   0           0
BORG WARNER AUTOMOTIVE INC         COM           99724106    3369   85570 SH         SOLE             85570   0           0
BP AMOCO                           COM           55622104     225    4234 SH         SOLE              4234   0           0
BRANDYWINE RLTY TR SH BEN INT      COM          105368203    3673  214500 SH         SOLE            214500   0           0
BRISTOL MYERS SQUIBB CO            COM          110122108    7010  120858 SH         SOLE            120858   0           0
CATERPILLAR TRACTOR                COM          149123101    2578   65375 SH         SOLE             65375   0           0
CBL & ASSOC PPTYS INC COM          COM          124830100    3502  171375 SH         SOLE            171375   0           0
CHEVRON CORP                       COM          166751107    4272   46220 SH         SOLE             46220   0           0
CHITTENDEN CORP COM                COM          170228100    5050  170100 SH         SOLE            170100   0           0
CISCO SYSTEMS                      COM          17275R102   11098  143544 SH         SOLE            143544   0           0
CITIGROUP INC.                     COM          172967101    1522   25425 SH         SOLE             25425   0           0
CLOROX CO                          COM          189054109     469   14200 SH         SOLE             14200   0           0
COCA COLA CO                       COM          191216100    2472   52672 SH         SOLE              4000   0       48672
COLGATE PALMOLIVE CO               COM          194162103    4919   87250 SH         SOLE             87250   0           0
COMPLETE BUSINESS SLTNSINC COM     COM          20452F107    2969  132700 SH         SOLE            132700   0           0
COMPUTER ASSOC INTL INC            COM          204912109     805   13600 SH         SOLE             13600   0           0
CULLEN FROST BANKERS               COM          229899109    5644  213500 SH         SOLE            213500   0           0
CYTEC INDS INC                     COM          232820100    5728  187050 SH         SOLE            187050   0           0
DELTA AIRLINES INC                 COM          247361108    3716   69775 SH         SOLE             69775   0           0
DOVER CORP                         COM          260003108    1230   25700 SH         SOLE             25700   0           0
DU PONT E I DE NEMOURS             COM          263534109    4796   90599 SH         SOLE             90599   0           0
EAGLE WIRELESS INTL INC COM        COM          27002R101     115   10000 SH         SOLE             10000   0           0
EL PASO ENERGY CORP DEL COM        COM          283905107    5588  138410 SH         SOLE            138410   0           0
ELECTRONIC DATA SYS CORP NEWCO     COM          285661104     326    5075 SH         SOLE              5075   0           0
EMERSON ELEC CO                    COM          291011104    6025  113405 SH         SOLE            113405   0           0
ENSCO INTL INC COM                 COM          26874Q100    7425  205550 SH         SOLE            205550   0           0
EQUITABLE RES INC                  COM          294549100    4799  107100 SH         SOLE            107100   0           0
EXXON CORPORATION                  COM          30231G102   11551  148208 SH         SOLE            147016   0        1192
FEDERAL NAT MORTGAGE ASSN          COM          313586109    6650  117575 SH         SOLE            117575   0           0
FEDERATED DEPARTMENT STORES NE     COM          31410H101    4614  109200 SH         SOLE            108700   0         500
FEDERATED INVS INC PA CL B         COM          314211103    5218  191050 SH         SOLE            191050   0           0
FIFTH 3RD BANCORP                  COM          316773100     577    9156 SH         SOLE              9156   0           0
FLEETBOSTON FINANCIAL CORPORAT     COM          339030108    4359  119419 SH         SOLE            119019   0         400
FMA SMALL COMPANY PORTFOLIO        MUT. FUNDS   902555796   31603 2092933 SH         SOLE           2092933   0           0
FORD MOTOR                         COM          345370100    4599  100113 SH         SOLE             99713   0         400
GALLAGHER ARTHUR J & CO COM        COM          363576109    3991  122800 SH         SOLE            122800   0           0
GANNETT INC DEL                    COM          364730101    1017   14450 SH         SOLE             14450   0           0
GENERAL ELEC CO                    COM          369604103   15730  101074 SH         SOLE            100674   0         400
GENERAL SEMICONDUCTOR INC COM      COM          370787103    3852  223300 SH         SOLE            223300   0           0
GIBRALTAR STL CORP COM             COM          37476F103    3474  211350 SH         SOLE            211350   0           0
GLOBAL CROSSINGS                   COM          G3921A100    5432  132698 SH         SOLE            132398   0         300
GREATER BAY BANCORP COM            COM          391648102    5730  142350 SH         SOLE            142350   0           0
GTE CORP                           COM          362320103    6184   87096 SH         SOLE             87096   0           0
HALLIBURTON CO                     COM          406216101    6247  151900 SH         SOLE            151400   0         500
HEWLETT PACKARD CO                 COM          428236103   11201   84496 SH         SOLE             84196   0         300
HOME DEPOT INC                     COM          437076102    4810   74575 SH         SOLE             74125   0         450
HOME PPTYS NY INC COM              COM          437306103    3055  114200 SH         SOLE            114200   0           0
HONEYWELL INTERNATIONAL, INC.      COM          438516106    7458  141553 SH         SOLE            141178   0         375
HORACE MANN EDUCATION              COM          440327104    3651  198000 SH         SOLE            198000   0           0
HOUSEHOLD INTL CORP                COM          441815107    6213  166500 SH         SOLE            166500   0           0
ILLINOIS TOOL WORKS INC            COM          452308109     715   12950 SH         SOLE             12800   0         150
IMPERIAL BANCORP COM               COM          452556103    6111  197138 SH         SOLE            197138   0           0
INFINITY BROADCASTING              COM          45662S102    2150   66400 SH         SOLE             66400   0           0
INTEL CORP                         COM          458140100   17248  130728 SH         SOLE            130728   0           0
INTERNATIONAL BUSINESS MACHINE     COM          459200101   12354  104698 SH         SOLE            104698   0           0
INTERNATIONAL PAPER CO             COM          460146103    6361  148800 SH         SOLE            148800   0           0
INVACARE CORP COM                  COM          461203101    5573  203100 SH         SOLE            203100   0           0
INVESTORS FIN'L SVCS CORP          COM          461915100    5169   87799 SH         SOLE             87799   0           0
KENT ELECTRONICS CORP COM          COM          490553104    4396  150600 SH         SOLE            150600   0           0
KORN FERRY INTL COM NEW            COM          500643200    2435   81850 SH         SOLE             81850   0           0
LEHMAN BROS HLDGS INC COM          COM          524908100    8565   88300 SH         SOLE             88300   0           0
LONE STAR TECHNOLOGIES INC COM     COM          542312103    5229  112150 SH         SOLE            112150   0           0
LOWES CO                           COM          548661107    4641   79500 SH         SOLE             79500   0           0
LUCENT TECHNOLOGIES                COM          549463107    3762   60676 SH         SOLE             58212   0        2464
L-3 COMMUNICATIONS HLDGS INCCO     COM          502424104    5173   99600 SH         SOLE             99600   0           0
MARINE DRILLING CO INC COM PAR     COM          568240204    5363  195450 SH         SOLE            195450   0           0
MARSH MCLENNAN                     COM          571748102    9054   82076 SH         SOLE             82076   0           0
MASCO CORP                         COM          574599106    5213  254300 SH         SOLE            254300   0           0
MCCLATCHY NEWSPAPERS               COM          579489105    2341   71475 SH         SOLE             71475   0           0
MCDONALDS CORP                     COM          580135101    3589   96034 SH         SOLE             95734   0         300
MCGRAW HILL INC                    COM          580645109     218    4800 SH         SOLE              4800   0           0
MCI WORLDCOM                       COM          55268B106    6518  143849 SH         SOLE            143249   0         600
MDU RES GROUP INC COM              COM          552690109    5318  256275 SH         SOLE            256275   0           0
MEDIA GEN INC CL A                 COM          584404107    5766  110100 SH         SOLE            110100   0           0
MELLON FINL CORP                   COM          58551A108    5194  174600 SH         SOLE            174600   0           0
MERCK & CO                         COM          589331107     379    6100 SH         SOLE              6100   0           0
MERRILL LYNCH INC                  COM          590188108    8857   84350 SH         SOLE             84050   0         300
METRIS COS INC COM                 COM          591598107    6226  160150 SH         SOLE            160150   0           0
MICHAELS STORES INC COM            COM          594087108    4597  112800 SH         SOLE            112800   0           0
MICROSOFT CORP                     COM          594918104   12840  120850 SH         SOLE            120850   0           0
MINNESOTA MNG & MFG CO             COM          604059105    5405   61025 SH         SOLE             61025   0           0
MONSANTO CO                        COM          611662107    6129  119000 SH         SOLE            118700   0         300
MORGAN STANLEY DEAN WITTER DIS     COM          617446448    1624   19600 SH         SOLE             19600   0           0
MOTOROLA INC                       COM          620076109    8923   61114 SH         SOLE             61114   0           0
NATIONAL COMPUTER SYS INC COM      COM          635519101    3674   72400 SH         SOLE             72400   0           0
NEW YORK TIMES CO CLASS A          COM          650111107    6669  155325 SH         SOLE            154925   0         400
NEWFIELD EXPL CO COM               COM          651290108    3668  104050 SH         SOLE            104050   0           0
NOBLE DRILLING CORP COM            COM          655042109    6707  162100 SH         SOLE            161700   0         400
NORTHERN TRUST CORP                COM          665859104    7679  113656 SH         SOLE            112056   0        1600
NORTHWESTERN CORP COM              COM          668074107    3401  164900 SH         SOLE            164900   0           0
NUCOR CORP                         COM          670346105    6167  123330 SH         SOLE            122930   0         400
OLIN CORPORATION                   COM          680665205    4204  236850 SH         SOLE            236850   0           0
OMNICOM GROUP COM                  COM          681919106     679    7250 SH         SOLE              7250   0           0
PERFORMANCE FOOD GROUP CO COM      COM          713755106    3702  169250 SH         SOLE            169250   0           0
PHARMACEUTICAL PROD DEV INC CO     COM          717124101    2467  145650 SH         SOLE            145650   0           0
PHILIP MORRIS COS                  COM          718154107     254   12000 SH         SOLE             12000   0           0
POTLATCH CORP COM                  COM          737628107    3818   88800 SH         SOLE             88800   0           0
PROVIDIAN FINL CORP COM            COM          74406A102    5758   66475 SH         SOLE             66475   0           0
QUALCOM CORP                       COM          747525103    1911   12800 SH         SOLE             12800   0           0
RADISYS CORP COM                   COM          750459109    2613   43452 SH         SOLE             43452   0           0
RELIANT ENERGY INC                 COM          75952J108     928   39400 SH         SOLE             39400   0           0
RICHMOND CNTY FINL CORP COM        COM          764556106     559   34650 SH         SOLE             34650   0           0
SAFECO CORP                        COM          786429100     310   11680 SH         SOLE             11680   0           0
SANTA FE SNYDER CORPORATION        COM          80218K105    2431  255867 SH         SOLE            255867   0           0
SARA LEE CORP                      COM          803111103    1638   91025 SH         SOLE             90325   0         700
SBC COMMUNICATIONS, INC COMMON     COM          78387G103    6089  144553 SH         SOLE            144553   0           0
SCHERING PLOUGH CORP               COM          806605101    4217  113600 SH         SOLE            113600   0           0
SEACOR SMIT INC COM                COM          811904101    3456   57250 SH         SOLE             57250   0           0
SIGMA ALDRICH CORP                 COM          826552101     312   11600 SH         SOLE             11600   0           0
SOUTHTRUST CORP                    COM          844730101    2598  102123 SH         SOLE            102123   0           0
SPRINT CORP COM                    COM          852061100    7183  114012 SH         SOLE            114012   0           0
SPRINT CORP PCS COM SER 1          COM          852061506    8263  126150 SH         SOLE            126150   0           0
STANCORP FINANCIAL GROUP           COM          852891100    5780  211150 SH         SOLE            211150   0           0
STEEL DYNAMICS INC COM             COM          858119100    3072  265700 SH         SOLE            265700   0           0
STILLWATER MNG CO COM              COM          86074Q102    3640   91000 SH         SOLE             91000   0           0
SUN MICROSYSTEM INC                COM          866810104    8611   91898 SH         SOLE             90698   0        1200
TELLABS INC                        COM          879664100    7577  120305 SH         SOLE            120305   0           0
TERADYNE INC                       COM          880770102    4595   56040 SH         SOLE             56040   0           0
TEXACO INC                         COM          881694103    2865   53310 SH         SOLE             53110   0         200
TEXAS INDS INC COM                 COM          882491103    4105  129800 SH         SOLE            129800   0           0
TEXAS INSTRUMENTS INC              COM          882508104    8840   55250 SH         SOLE             54850   0         400
TEXAS UTILS CO                     COM          882848104    4182  140882 SH         SOLE            140882   0           0
VARIAN MED SYS INC COM             COM          92220P105    2644   57950 SH         SOLE             57950   0           0
WABASH NATL CORP                   COM          929566107    2364  165900 SH         SOLE            165900   0           0
WAL MART STORES INC                COM          931142103    9085  160804 SH         SOLE            160804   0           0
WALGREEN CO                        COM          931422109     214    8300 SH         SOLE              5900   0        2400
WELLMAN INC                        COM          949702104    4533  228800 SH         SOLE            228800   0           0
WERNER ENTERPRISES INC COM         COM          950755108    3706  217974 SH         SOLE            217974   0           0
WEYERHAEUSER CO                    COM          962166104    5746  100800 SH         SOLE            100400   0         400


</TABLE>


<TABLE>
<S>                 <C>     <S>

FIDUCIARY MANAGEMENT ASSOCIATES, INC.
DISVOT    1Q 2000   3/31/00
..
..
..DISVOT   SNAM     DESCRIPTION
..------   ------   --------------------
BLANK     IAPAMM   I.A.P.A. SCHOLARSHIP FUND- CASH
YN        ANACMA   MARY ANACLERIO
YN        PIERJU   JUDITH PIERCE
YN        PIERMA   ESTATE OF MARIE PIERCE          YN = Fully discretionary investments, client votes proxy.
YY        ALBRKA   KATHRYN ALBRIGHT ROUTEN         YY = Fully discretionary investments, FMA votes proxy.
YY        AMERPT   AMER PHYS THERAPY ASSOC
YY        ANACAN   ANGELO M. ANACLERIO
YY        APPLGE   GEORGE W. APPLEGATE
YY        APTASM   AMERICAN PHYSICAL THERAPY SMALL COMPANY
YY        BARTHE   HENRY BARTHOLOMAY III FAMILY TRUST
YY        BENSPE   PETER M. & LYNETTE K. LUND BENSON, JTWRO
YY        BLINDS   BLIND SERVICES ASSOCIATION, INC.
YY        BOILER   BOILERMAKERS NATL PENSION
YY        BOWEGE   GEORGE W. BOWERS IRA ROLLOVER
YY        BRYSVN   NANCY F. BRYSON IRREVOCABLE TRUST 1/14/9
YY        BUILDM   BUILDING TRADES UNITED PENSION MILWAUKEE
YY        BURRBA   BARBARA J BURRIS REVOCABLE TRUST
YY        CARLBA   BARRY M. CARLSTEDT
YY        CATHDW   CTU SOCIETY OF THE DIVINE WORD
YY        CATHEO   CATHOLIC THEOLOGICAL UNION ENDOWMENT FND
YY        COKEMP   COOK CO EMPLOYEES ANNUITY & BENEFIT FUND
YY        COOKSM   COOK COUNTY SMALL CO. SEPARATELY MANAGED
YY        CULBED   EDWARD A. CULBERTSON
YY        CULBSM   SAMUEL A. CULBERTSON, PERSONAL ACCOUNT
YY        CULIRA   SAMUEL A. CULBERTSON, IRA ROLLOVER
YY        CURRBE   BERT L. CURRY IRA ROLLOVER
YY        DELABA   DELAWARE BANK
YY        DETIWC   IRON WORKERS LOCAL 25 PENS #0355946
YY        FORUMP   FORUM COMMUNICATIONS COMPANY
YY        FOWLGL   GLENN C. FOWLER
YY        FRAZWA   WARNER C. FRAZIER
YY        FREEDI   DR. JOHN FREELAND WAUKEGAN DIALYSIS
YY        FREEJA   JANE M. FREELAND
YY        FRLDPS   JOHN P. FREELAND MDSC PROFIT SHARING
YY        GEIGPW   P.W. GEIGENMUELLER TRUST
YY        GONGDO   DONALD F. GONGAWARE - FIXED
YY        GRAHES   ESTELLE P. GRAHAM
YY        GRAHHE   HERBERT AND ESTELLE GRAHAM JTWROS
YY        GRNTFD   GRANT HEALTHCARE FOUNDATION
YY        HADRES   HADLEY SCHOOL FOR THE BLIND - RESTRICTED
YY        HADUNR   HADLEY SCHOOL FOR THE BLIND UNRESTRICTED
YY        HANPRT   HANSEN PARTNERS, L.P.
YY        HERSJU   JUDY A. HERSHBERGER REVOCABLE TRUST
YY        HEYWLU   LUCIA HEYWORTH
YY        HITEMP   HI-TEMP INC. EMPLOYEES P/S TRUST
YY        HOLDJA   JAMES L. HOLDREN
YY        HOLDWA   WANDA L. HOLDREN
YY        HUBBPR   HUBBARD PROPERTIES, INC.
YY        HUBBP2   HUBBARD PROPERTIES - BANK ONLY
YY        IAPASF   I.A.P.A SCHOLARSHIP FUND
YY        IBEWHW   IBEW HEALTH AND WELFARE #12601
YY        IBEWPN   IBEW LOCAL UNION #226 PENSION FD #12602
YY        IBEW38   IBEW LOCAL #38 PENSION FUND
YY        ILFOPN   ILLINOIS FORGE PENSION TRUST
YY        ILFORT   ILLINOIS FORGE RETIREMENT TRUST
YY        IRONAN   STRUCTURAL IRON WORKERS LOCAL 1 ANNUITY
YY        IRONPN   STRUCTURAL IRON WORKERS LOCAL 1 PENSION
YY        ITTMRT   ITT INDUSTRIES MASTER RETIREMENT
YY        IWKEMI   IRON WORKERS HEALTH FND E MI #0355920
YY        KANSHW   KANSAS BLDG TRD HLTH & WELFARE FD #12603
YY        KANSPN   KANSAS CONSTRUCTION TRADES PEN FD #12604
YY        KENCBL   KENT COUNTY COMMISSION BALANCED FND
YY        KENCEQ   KENT COUNTY COMMISSION EQUITY FUND
YY        KENYCH   RICHMOND KENYON II
YY        KENYRO   ROBERT R. KENYON TRUST
YY        KOOTPF   KOOTZNOOWOO PERMANENT FD SETTLEMENT TRUS
YY        LEFERI   RICHARD L. LEFEVRE IRA ROLLOVER
YY        LEIBAL   ALEXANDER LEIBOW TRUST, F LEIBOW TRUSTEE
YY        LEIBBR   BROOKE LEIBOW TRUST, F LEIBOW TRUSTEE
YY        LEIBJE   JENNIFER LEIBOW TRUST
YY        LEIBLI   LISA RICHMOND TRUST, F LEIBOW TRUSTEE
YY        LEIBLY   LYLE RICHMOND TRUST, F LEIBOW TRUSTEE
YY        LEONRO   ROBERT E. LEONARD CHARITABLE UNITRUST
YY        LINCLN   LINCOLN LUTHERAN CHARITABLE TRUST
YY        LINCOR   LINCOLN PARK ORTHOPEDICS EMPLOYEES P/S/T
YY        MANGCH   CHARLES MANGEE ROTH IRA
YY        MANGEE   CHARLES T. MANGEE IRA ROLLOVER
YY        MCRINK   EDWARD MCCRINK IRA ROLLOVER
YY        MONTDE   DEBORAH A. MONTANA
YY        MOORSU   SUZANNE C. MOORE
YY        MORSCH   CHALMERS I. MORSE
YY        MORTEQ   MORTGAGE BANKERS EQUITY (SPECTRUM)
YY        MORTLT   MORTGAGE BANKERS ASSOC LONG TERM INVEST
YY        MORTPN   MORTGAGE BANKERS ASSOC PENSION FUND
YY        NWCAEQ   NW INDIANA CARPENTERS EQUITY FUND 1-4140
YY        NWCARA   NW IN REG COUNCIL OF CARPENTERS' DC 4140
YY        NWCARP   NW IN REG COUNCIL OF CARPENTERS' PN 4141
YY        NWCASM   NW INDIANA CARPENTERS AGGRESSIVE EQUITY
YY        NWOHIO   NW OHIO CARPENTERS SUPPLEMENTAL PENSION
YY        OUTSTM   OUTSTATE MICH TROWEL TRADES PENS#0335958
YY        PHILHR   PHILLIPSBURG HOURLY PLAN
YY        PHILSA   PHILLIPSBURG SALARIED PLAN
YY        PLATBK   PLATINUM COMMUNITY BANK
YY        PLUMHW   PLUMBERS LOCAL #519 HEALTH AND WELFARE
YY        PLUM68   U.A. PLUMBERS LOCAL #68 PENSION FUND
YY        PNS470   PLUMBERS AND STEAMFITTERS LOCAL 470
YY        PRASAN   ANGELO PRASSA TRUSTEE OF A. PRASSA TRUST
YY        PRASIR   ANGELO PRASSA IRA ROLLOVER
YY        PRASLO   LOUISE A. PRASSA TRUST, ANGELO PRASSA TT
YY        PUTHAL   ALISON L. DORON
YY        PUTHBE   BETSEY PUTH
YY        PUTHPS   JOHN W. PUTH P/S/T
YY        PUTJDA   JDA PARTNERS LP
YY        RITCDC   GERALD L. RITCHIE, DEFERRED COMPENSATION
YY        RITCGR   GERALD L. AND RHONDA K. RITCHIE
YY        ROBIJO   JOSEPH A. ROBINSON
YY        ROOFER   NATIONAL ROOFING INDUSTRY PENSION PLAN
YY        RYANRO   ROSS H. RYAN
YY        RYDEHE   HENRY C. RYDER, IRA ROLLOVER
YY        SDHERE   SAN DIEGO HOTEL AND RESTAURANT EMPLOYEES
YY        SERVPN   SERVICE EMPL LOCAL 1 PEN FD#0342610
YY        SERVSM   SEIU LOCAL #1 SMALL CAP PENSION FUND
YY        SKHAND   SK HAND TOOL PENSION TR 405995101
YY        SLACLI   LINDA A. SLACK
YY        SLIWRK   ST. LOUIS IRON WORKERS
YY        SMACAP   FMA SMALL COMPANY PORTFOLIO
YY        SMITLC   LONNIE M. & CHERYL D. SMITH
YY        STERPD   STERLING PARK DISTRICT MUSEUM ASSOC
YY        STICDO   DOUGLAS H. STICKNEY
YY        STONWI   WILLIAM M STONE, M.D. P/S PLAN DTD 1/1/9
YY        STUFKE   KENNETH K. STUFF
YY        SURGPN   ALLIED PHYSICIANS INC. - MUSGRAVE ACCT.
YY        UAMBAL   UAM PROFIT SHARING &401K (FMA) BALANCED
YY        UAMMMF   UAM PROFIT SHARING & 401K(FMA) MONEY MKT
YY        UAMSMA   UAM PROFIT SHARING & 401K (FMA) SMALL C0
YY        UFCWML   UFCW UNIONS AND EMPLOYEES PENSION PLAN
YY        UFCWSM   UFCW #23 GIANT EAGLE (REGIS SMALL CO)
YY        UFCW23   UFCW LOCAL #23 & GIANT EAGLE PEN 1044633
YY        VALIC2   THE VARIABLE ANNUITY LIFE INS VK41
YY        VALIC3   THE VARIABLE ANNUITY LIFE INS CO VLK1 SE
YY        VONBCA   CATHERINE & CHARLES VON BRECHT

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