UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
FORM 13F
FORM 13F COVER PAGE
Report for the Calendar Year or Quarter Ended: Sep 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: Hathaway & Associates, Ltd.
Address: 119 Rowayton Avenue
Rowayton, CT 06853
13 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, list, and tables, are considered
integral parts of this form.
Person Signing this Report on Behalf of Reporting Manager:
Name: Carl E. Hathaway
Title: President
Phone: 203 838-5309
Signature, Place and Date of Signing:
Carl E. Hathaway, Rowayton, Ct. 10/23/00
Report Type (Check only one):
(x) 13F HOLDINGS REPORT
( ) 13F NOTICE
( ) 13F COMBINATION REPORT
I AM SIGNING THIS REPORT AS REQUIRED BY THE SECURITIES
EXCHANGE ACT OF 1934
FORM 13F SUMMARY PAGE
Report Summary:
Number of Other Included Managers: 0
Form 13F Information Table Entry Total: 157
Form 13F Information Table Value Total: $340,040,719
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FORM 13F
INFORMATION
TABLE
COMPANY TITLE OF CLASS CUSIP Mkt Value SHARES SH/PRN
ABIOMED COMMON STOCK 003654100 $12,603,125 185,000 SH
ACCENT COLOR SCIENCES COMMON STOCK 004305108 $33,600 80,000 SH
ACCESS WORLDWIDE COMMON STOCK 004319109 $414,063 250,000 SH
ADAPTIVE BROADBAND COMMON STOCK 00650M104 $1,466,400 75,200 SH
ADVANCED DIGITAL INFO COMMON STOCK 007525108 $10,631,250 700,000 SH
ALLIANCE PHARMACEUTICAL COMMON STOCK 018773101 $1,067,500 70,000 SH
AMERICA SERVICE GROUP COMMON STOCK 02364L109 $5,200,000 200,000 SH
AMERICAN COIN MERCH INC COMMON STOCK 02516B108 $744,122 273,700 SH
ANIKA THERAPEUTICS INC COMMON STOCK 035255108 $150,000 100,000 SH
ANSWERTHINK INC COMMON STOCK 036916104 $1,370,688 84,350 SH
APPLIED SCI & TECH COMMON STOCK 038236105 $622,450 42,200 SH
AQUILA COMMON STOCK 03839F107 $134,607 32,145 SH
BIOPHARMACEUTICALS
ARRYTHMEA RESEARCH COMMON STOCK 042698308 $198,106 109,300 SH
ASANTE TECHNOLOGIES COMMON STOCK 043412105 $454,557 415,500 SH
@PLAN COMMON STOCK 04962Q100 $2,712,500 310,000 SH
AUSPEX COMMON STOCK 052116100 $2,660,625 215,000 SH
AVIATION SALES COMPANY COMMON STOCK 053672101 $580,125 110,500 SH
AVOCENT COMMON STOCK 053893103 $20,258,438 367,500 SH
BIOJECT INC COMMON STOCK 09059T107 $261,000 48,000 SH
BLUE WAVE SYSTEMS COMMON STOCK 096081104 $2,175,009 432,300 SH
CALIFORNIA PIZZA KITCHEN COMMON STOCK 13054D109 $599,200 21,400 SH
CALYPTE BIOMEDICAL COMMON STOCK 131722100 $1,753,141 768,500 SH
CAMBIO COMMON STOCK 13200N100 $44,250 221,250 SH
CARDIAC SCIENCES INC COMMON STOCK 141410209 $528,022 62,813 SH
CASTLE DENTAL COMMON STOCK 14844P105 $870,713 449,400 SH
CENTRAL EUROPEAN DISTRIB COMMON STOCK 153435102 $648,750 173,000 SH
CHICOS COMMON STOCK 168615102 $5,134,000 151,000 SH
COLLECTORS UNIVERSE COMMON STOCK 19421R101 $1,812,500 725,000 SH
COLORADO MEDTECH COMMON STOCK 19652U104 $2,567,000 302,000 SH
COULTER PHARMACEUTICALS COMMON STOCK 222116105 $2,310,000 80,000 SH
CRITICAL PATH COMMON STOCK 22674V100 $7,463,259 122,852 SH
DIGIMARC COMMON STOCK 253807101 $400,438 21,500 SH
DIGITAL LAVA COMMON STOCK 253928105 $1,172,375 226,000 SH
DIGITAL LAVA WARRANTS WARRANTS 253928113 $65,550 27,600 SH
DOT HILL COMMON STOCK 25848T109 $455,000 70,000 SH
DYNAMEX COMMON STOCK 26784F103 $525,000 300,000 SH
EA ENGR SCIENCE & TECH COMMON STOCK 267911105 $253,672 238,750 SH
DYNAMIC HEALTHCARE TECH COMMON STOCK 267927101 $361,250 340,000 SH
ECCS COMMON STOCK 26825H100 $562,500 200,000 SH
EON COMMUNICATIONS COMMON STOCK 268763109 $548,700 182,900 SH
EPL TECHNOLOGIES COMMON STOCK 268920204 $450,000 450,000 SH
EATERIES INC COMMON STOCK 277851101 $690,625 170,000 SH
ECO SOIL SYSTEMS COMMON STOCK 278858105 $201,875 190,000 SH
EDGAR ONLINE COMMON STOCK 279765101 $2,721,750 573,000 SH
ENDOCARE COMMON STOCK 29264P104 $7,123,825 360,700 SH
ENOCARDIAL SOLUTIONS COMMON STOCK 292962107 $710,061 107,179 SH
EVANS & SUTHERLAND COMMON STOCK 299096107 $1,848,750 340,000 SH
COMPUTER
FASHIONMALL.COM COMMON STOCK 31186K106 $731,250 300,000 SH
FASTNET CORP COMMON STOCK 311877104 $700,000 350,000 SH
FLANDERS CORP COMMON STOCK 338494107 $546,588 239,600 SH
FOURTH SHIFT CORP COMMON STOCK 351128103 $1,476,875 695,000 SH
FRIES ENTMT INC DEL COMMON STOCK 358616100 $0 304,600 SH
GSE SYSTEMS COMMON STOCK 36227K106 $870,675 366,600 SH
GSI LUMONICS COMMON STOCK 36229U102 $3,465,000 210,000 SH
GAIAM COMMON STOCK 36268Q103 $1,181,156 64,500 SH
GENELABS TECHNOLOGIES COMMON STOCK 368706107 $4,019,356 673,400 SH
GENOME THERAPEUTICS COMMON STOCK 372430108 $4,523,750 220,000 SH
GENSTAR PHARMACEUTICALS COMMON STOCK 37248D105 $4,125,000 375,000 SH
GERALD STEVENS INC COMMON STOCK 37369G101 $301,875 460,000 SH
GREEN MOUNTAIN COFFEE COMMON STOCK 393122106 $1,677,988 88,900 SH
HARRIS INTERACTIVE COMMON STOCK 414549105 $1,237,500 275,000 SH
HORIZON HEALTH CORP COMMON STOCK 44041Y104 $1,106,744 215,950 SH
HOTELWORKS.COM COMMON STOCK 441473105 $450,000 600,000 SH
ICN PHARMACEUTICALS INC COMMON STOCK 448924100 $11,404,750 343,000 SH
ICU MEDICAL COMMON STOCK 44930G107 $2,328,750 90,000 SH
INFINIUM SOFTWARE COMMON STOCK 45662Y109 $873,438 325,000 SH
INFONAUTICS COMMON STOCK 456662105 $256,530 120,720 SH
INFORMATION RECOURCE ENG COMMON STOCK 45675F303 $2,132,625 70,500 SH
INTEGRAMED COMMON STOCK 45810N104 $371,875 175,000 SH
INTERLEUKEN GENETICS COMMON STOCK 458738101 $5,156,250 1,100,000 SH
INTERLOGIX INC COMMON STOCK 458763109 $424,845 32,026 SH
INTERNATIONAL ISOTOPES COMMON STOCK 45972C102 $681,750 202,000 SH
INVESTMENT TECH GROUP COMMON STOCK 46145F105 $8,147,250 204,000 SH
INVIVO COMMON STOCK 461858102 $2,656,250 250,000 SH
KENDLE INTERNATIONAL COMMON STOCK 48880L107 $1,209,844 145,000 SH
KENSEY NASH COMMON STOCK 490057106 $3,900,000 300,000 SH
KOALA CORP COMMON STOCK 499866101 $3,437,375 214,000 SH
KOS PHARMACEUTICALS COMMON STOCK 500648100 $3,357,500 170,000 SH
LMI AEROSPACE COMMON STOCK 502079106 $400,000 160,000 SH
LANDMARK SYSTEMS CORP COMMON STOCK 51506S100 $825,000 200,000 SH
LEVEL 8 SYSTEMS COMMON STOCK 52729M102 $918,750 50,000 SH
LIVE PERSON.COM COMMON STOCK 538146101 $1,400,000 320,000 SH
LODGENET ENTERTAINMENT COMMON STOCK 540211109 $6,237,000 216,000 SH
LOG ON AMERICA COMMON STOCK 540473105 $152,394 65,900 SH
MACKIE DESIGNS COMMON STOCK 554541102 $719,297 93,000 SH
MADE2MANAGE SYSTEMS INC COMMON STOCK 556466100 $617,500 190,000 SH
MCK COMMUNICATIONS COMMON STOCK 581243102 $1,893,713 83,700 SH
MEDAREX COMMON STOCK 583916101 $5,279,063 45,000 SH
MED DESIGN COMMON STOCK 583926100 $7,406,250 500,000 SH
MEDSTONE INTERNATIONAL COMMON STOCK 58505C101 $3,123,063 467,000 SH
METROCALL COMMON STOCK 591647102 $930,000 310,000 SH
METROLOGIC COMMON STOCK 591676101 $621,250 70,000 SH
MICROLOG COMMON STOCK 595079104 $442,938 373,000 SH
MIKHON GAMING CORP COMMON STOCK 59862K108 $4,008,125 530,000 SH
MOBILITY ELECTRONICS COMMON STOCK 60741U101 $2,920,000 320,000 SH
MUSICMAKER.COM COMMON STOCK 62757C108 $312,500 500,000 SH
NMT MEDICAL COMMON STOCK 629294109 $503,484 233,500 SH
NX NETWORKS COMMON STOCK 629478108 $397,500 60,000 SH
NEOPROBE COMMON STOCK 640518106 $414,160 668,000 SH
NEORX COMMON STOCK 640520300 $9,212,000 376,000 SH
NETGATEWAY COMMON STOCK 641111109 $312,500 400,000 SH
NETRADIO.COM COMMON STOCK 64114E108 $83,875 61,000 SH
NETZEE COMMON STOCK 64122W108 $102,938 27,000 SH
NEUROBIOLOGICAL TECH COMMON STOCK 64124W106 $1,526,250 185,000 SH
NEXTHEALTH INC COMMON STOCK 65333G105 $750,000 200,000 SH
NORTHSTAR HEALTH SVCS COMMON STOCK 666903109 $293,800 200,000 SH
NOVEN PHARMACEUTICAL COMMON STOCK 670009109 $4,086,900 95,600 SH
OSI SYSTEMS COMMON STOCK 671044105 $1,365,000 130,000 SH
ON TECHNOLOGY COMMON STOCK 68219P108 $2,677,853 1,084,700 SH
ONSITE ENERGY COMMON STOCK 68284P108 $7,400 40,000 SH
OPTIMAL ROBOTICS COMMON STOCK 68388R208 $8,653,750 215,000 SH
OPTIKA IMAGING SYSTEMS COMMON STOCK 683973101 $1,048,250 299,500 SH
ORGANOGENESIS COMMON STOCK 685906109 $6,639,990 451,700 SH
PARTSBASE.COM COMMON STOCK 70214P109 $700,000 200,000 SH
PHYSIOMETRIX INC COMMON STOCK 718928104 $6,858,750 310,000 SH
PHOTOELECTRON COMMON STOCK 719320103 $440,000 88,000 SH
PLAY BY PLAY TOYS COMMON STOCK 72811K103 $90,000 80,000 SH
PRINTRAK COMMON STOCK 742574106 $2,400,000 200,000 SH
PROGRAMMER'S PARADISE COMMON STOCK 743205106 $593,750 190,000 SH
QUADRAMED COMMON STOCK 74730W101 $246,094 187,500 SH
QUEPASA.COM COMMON STOCK 74833W107 $235,625 260,000 SH
QUICKSILVER INC COMMON STOCK 74838C106 $6,248,550 324,600 SH
RADIANT SYSTEMS COMMON STOCK 75025N102 $4,039,875 189,000 SH
RAINBOW RENTALS COMMON STOCK 750857104 $3,843,750 500,000 SH
RAYTEL MEDICAL COMMON STOCK 755107109 $915,000 732,000 SH
RIDELL SPORTS INC COMMON STOCK 765670104 $637,500 127,500 SH
ROCKY SHOES & BOOTS INC COMMON STOCK 774830103 $512,500 100,000 SH
SCB COMPUTER SYSTEMS INC COMMON STOCK 78388N107 $195,000 300,000 SH
SEEC INC COMMON STOCK 784110108 $1,340,000 335,000 SH
SOS STAFFING SERVICES COMMON STOCK 78462X104 $1,002,500 401,000 SH
SAFETY COMPONENTS INT'L COMMON STOCK 786474106 $3,625 72,500 SH
SATCON TECHNOLOGY COMMON STOCK 803893106 $3,467,750 97,000 SH
SECURE COMPUTING INC COMMON STOCK 813705100 $2,642,738 101,400 SH
SEMX CORP COMMON STOCK 816854103 $483,750 90,000 SH
SIGA TECHNOLOGIES COMMON STOCK 826917106 $1,080,000 270,000 SH
STRATESEC COMMON STOCK 862792108 $286,406 117,500 SH
SURMODICS COMMON STOCK 868873100 $5,475,000 100,000 SH
SYNBIOTICS CORP COMMON STOCK 871566105 $544,375 260,000 SH
SYSTEMS & COMPUTER TECHN COMMON STOCK 871873105 $23,463,500 1,336,000 SH
TAKE-TWO INTERACTIVE COMMON STOCK 874054109 $1,884,375 150,000 SH
TRANSACT TECHNOLOGIES COMMON STOCK 892918103 $900,000 150,000 SH
TREX COMPANY COMMON STOCK 89531P105 $2,121,875 70,000 SH
TRIMERIS COMMON STOCK 896263100 $2,657,625 38,000 SH
TRUE TIME COMMON STOCK 897868105 $379,031 93,300 SH
UNIVERSAL STD HEALTHCARE COMMON STOCK 913839106 $40,000 400,000 SH
INC
VIISAGE COMMON STOCK 92675K106 $265,500 88,500 SH
VISION TWENTY-ONE INC COMMON STOCK 92831N101 $69,000 300,000 SH
WPI GROUP INC COMMON STOCK 92930K107 $561,247 352,100 SH
WATERLINK COMMON STOCK 94155N105 $1,134,450 504,200 SH
WEST COAST ENTERTAINMENT COMMON STOCK 952182103 $35,875 717,500 SH
WILLIAMS CONTROLS COMMON STOCK 969465103 $819,975 504,600 SH
WOMEN'S FIRST HEALTHCARE COMMON STOCK 978150100 $110,000 220,000 SH
WORLDQUEST NETWORKS COMMON STOCK 98156W105 $1,197,656 262,500 SH
XCARE.NET COMMON STOCK 98388Y101 $540,000 120,000 SH
ZEBRA TECHNOLOGIES COMMON STOCK 989207105 $3,921,900 81,600 SH
ZIPLINK COMMON STOCK 989741103 $428,025 131,700 SH
ZYMETX COMMON STOCK 989859103 $632,500 220,000 SH
REPORT TOTALS 157 ITEMS $340,040,719
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