INVESTMENT ADVISERS INC
13F-HR, 2000-10-16
Previous: DAIN RAUSCHER CORP, DEFA14A, 2000-10-16
Next: FORT JAMES CORP, SC 14D9/A, 2000-10-16



Main Page (1)
TYPE		13F-HR
PERIOD	09/30/2000
FILER
	CIK	0000051879
	CCC	7eokwaz#
SUBMISSION-CONTACT
	NAME	Alicia Jones
	PHONE	612-376-2656

Attached Documents Page (2)
	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:	Investment Advisers, Inc.
Address: 601 2nd Avenue South
	   Minneapolis, Mn 55440

13F File Number:  028-00069

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 submission.

Person signing this Report on Behalf of Reporting Manager:
Name:	Alicia Joy Jones
Title: Investment Systems Analyst
Phone: 612-376-2656
Signature, Place, and Date of Signing:
	Alicia J. Jones	Minneapolis, Minnesota	October 11, 2000

Report Type (Check only one.):
[X]	13F HOLDINGS REPORT.
[ ]	13F NOTICE.
[ ]	13F COMBINATION REPORT.

List of Other Managers Reporting for this Manager:






Report Summary:

Number of Other Included Managers:	0

Form 13F Information Table Entry Total:	225

Form 13F Information Table Value Total:	$607,956 (in thousands)

List of Other Included Managers:
	No. 13F File Number			Name






			VALUE	SHARES/		SH/	PUT/	INVSTMT	OTHER

NAME OF ISSUER	TITLE OF CLASS	CUSIP	(x$1000)	PRN AMT		PRN
	CALL	DSCRETN	MANAGERS	SOLE	SHARED	NONE
99 CENTS ONLY STORES	Common Stock	65440K106	6365	126829		SH
		SOLE		78930		28199
A T & T CORP	Common Stock	001957109	950	32602		SH
	SOLE		29577		1200
ABBOTT LABS	Common Stock	002824100	2526	53100		SH		SOLE
	34000		19100
ACCORD NETWORKS LTD	Common Stock	M01690102	3170	325100		SH
		SOLE		202300		72300
ADC TELECOMMUNICATIONS INC	Common Stock	000886101	4555	169400
	SH		SOLE		62600		105800
ADVANCED RADIO TELECOM CORP	Common Stock	00754U101	780	91800		SH
		SOLE		57000		20400
AEROFLEX INC	Common Stock	007768104	6304	129650		SH
	SOLE		80200		28300
"AFFILIATED MANAGERS GROUP, INC."	Common Stock	008252108	4014	70500
	SH		SOLE		44600		14800
AFTERMARKET TECHNOLOGY CORP	Common Stock	008318107	6578	1096400
	SH		SOLE		672400		260900
ALAMOSA PCS HOLDINGS INC	Common Stock	011593100	2328	143800
	SH		SOLE		89300		32200
ALBANY MOLECULAR RESEARCH	Common Stock	012423109	6394	113800
	SH		SOLE		71000		25300
ALLERGAN INC	Common Stock	018490102	937	11100		SH
	SOLE		11100		0
ALTEON WEB SYSTEMS	Common Stock	02145A109	2889	26650		SH
	SOLE		5700		20700
AMDOCS LTD	Common Stock	G02602103	4491	72005		SH		SOLE
	18160		21500
AMERICA ONLINE INC	Common Stock	02364J104	2585	48095		SH
	SOLE		20975		0
AMERICAN GENERAL CORP	Common Stock	026351106	320	4100		SH
	SOLE		4100		0
AMERICAN HOME PRODUCTS CORP	Common Stock	026609107	3138	55605		SH
		SOLE		23875		0
AMERICAN INTL GROUP INC	Common Stock	026874107	3346	34968		SH
	SOLE		16003		0
AMERICAN PWR CONVERSION CORP	Common Stock	029066107	937	48850		SH
		SOLE		10500		37900
ANALOG DEVICES INC	Common Stock	032654105	4079	49407		SH
	SOLE		19097		6500
ANHEUSER-BUSCH COS INC	Common Stock	035229103	300	7100		SH
	SOLE		7100		0
ANTEC CORP	Common Stock	03664P105	5694	193000		SH
	SOLE		83900		92100
APOLLO GROUP INC CLASS A	Common Stock	037604105	6902	173100
	SH		SOLE		79500		76800
APPLIED MATERIALS INC	Common Stock	038222105	2247	37880		SH
	SOLE		13600		0
APPLIED MOLECULAR EVOLUTION	Common Stock	03823E108	3005	74900		SH
		SOLE		46600		16600
ASSOCIATES FIRST CAPITAL CORP	Common Stock	046008108	505	13300		SH
		SOLE		13300		0
ATLAS AIR INC	Common Stock	049164106	3490	82600		SH
	SOLE		51200		18400
AUGUST TECHNOLOGY CORP	Common Stock	05106U105	2298	173400		SH
		SOLE		107900		38500
AVOCENT CORPORATION	Common Stock	053893103	9123	165500		SH
		SOLE		82300		64900
AXT INC.	Common Stock	00246W103	7610	182000		SH
	SOLE		112700		41400
BANK OF AMERICA CORP	Common Stock	060505104	1234	23553		SH
	SOLE		22318		0
BAXTER INTERNATIONAL INC	Common Stock	071813109	3452	43245		SH
		SOLE		33585		8400
BED BATH & BEYOND INC	Common Stock	075896100	3098	127000		SH
		SOLE		27200		98600
BELLSOUTH CORP	Common Stock	079860102	267	6600		SH
	SOLE		6600		0
BEMIS INC	Common Stock	081437105	1147	35700		SH		SOLE
	28200		7500
BERKSHIRE HATHAWAY INC -CL B	Common Stock	084670207	290	140		SH
		SOLE		0		140
BIOGEN INC	Common Stock	090597105	2269	37200		SH		SOLE
	8000		28900
BIOMET INC	Common Stock	090613100	2793	79800		SH		SOLE
	16950		62100
BIOTECH HOLDRS TRUST DEP REC	Common Stock	09067D201	780	4000		SH
		SOLE		3000		1000
BJ SERVICES CO	Common Stock	055482103	2873	47000		SH
	SOLE		10100		36500
BOSTON PRIVATE FINL HOLDING	Common Stock	101119105	4043	245000
	SH		SOLE		152100		54700
BRAUN CONSULTING	Common Stock	105651103	3218	162400		SH
	SOLE		101400		35900
BRISTOL MYERS SQUIBB CO	Common Stock	110122108	905	15835		SH
	SOLE		14870		0
C.H. ROBINSON WORLDWIDE INC	Common Stock	12541W100	564	10000		SH
		SOLE		10000		0
CABLE DESIGN TECHNOLOGIES	Common Stock	126924109	1495	61500		SH
		SOLE		39000		22500
CALIFORNIA PIZZA KITCHEN INC	Common Stock	13054D109	305	10900		SH
		SOLE		6700		2500
CALPINE CORP	Common Stock	131347106	4874	46700		SH
	SOLE		15800		30600
CAMTEK LIMITED	Common Stock	M20791105	2149	254700		SH
	SOLE		158700		56500
CAPITAL ONE FINANCIAL CORP	Common Stock	14040H105	476	6800		SH
		SOLE		6800		0
CARDINAL HEALTH INC	Common Stock	14149Y108	7267	82400		SH
	SOLE		32035		0
CATALINA MARKETING CORP	Common Stock	148867104	5264	139900		SH
		SOLE		86700		31100
CHASE MANHATTAN CORP	Common Stock	16161A108	989	21410		SH
	SOLE		17210		3000
CHEVRON CORP	Common Stock	166751107	1038	12180		SH
	SOLE		11545		0
CIENA CORP	Common Stock	171779101	2653	21600		SH		SOLE
	4600		16800
CINTAS CORP	Common Stock	172908105	1790	41100		SH		SOLE
	8750		32000
CIRCUIT CITY STORES -CIRCUIT CITY GROUP	Common Stock	172737108	802
	34870		SH		SOLE		32350		0
CISCO SYSTEMS INC	Common Stock	17275R102	6660	120540		SH
	SOLE		37050		0
CITIGROUP INC	Common Stock	172967101	3809	70462		SH
	SOLE		38826		0
CITIZENS COMMUNICATIONS CO CL B	Common Stock	17453B101	1403	104400
		SH		SOLE		22400		81100
CLEAR CHANNEL COMMUNICATIONS	Common Stock	184502102	2043	36160		SH
		SOLE		13565		0
COASTAL CORP	Common Stock	190441105	608	8200		SH
	SOLE		0		8200
COGNEX CORP	Common Stock	192422103	3837	97300		SH		SOLE
	48100		38600
COHERENT INC	Common Stock	192479103	2394	35200		SH
	SOLE		22000		7800
COLGATE PALMOLIVE CO	Common Stock	194162103	480	10160		SH
	SOLE		9195		0
COMCAST CORP - CL A SPL	Common Stock	200300200	1737	42435		SH
	SOLE		17335		0
COMMSCOPE INC	Common Stock	203372107	5113	208700		SH
	SOLE		98700		88900
COMPAQ COMPUTER CORP	Common Stock	204493100	221	8000		SH
	SOLE		8000		0
CONCORD EFS INC	Common Stock	206197105	3626	102100		SH
	SOLE		21900		79300
CORE LABORATORIES N.V.	Common Stock	N22717107	3508	142800		SH
		SOLE		89100		32100
CORNING INC	Common Stock	219350105	2079	7000		SH		SOLE
	4400		2600
CVS CORP	Common Stock	126650100	3361	72565		SH		SOLE
	25660		0
DATALINK CORP	Common Stock	237934104	3198	258400		SH
	SOLE		160600		57100
DEVRY INC	Common Stock	251893103	2194	58300		SH		SOLE
	23800		34100
DIAMOND OFFSHORE DRILLING	Common Stock	25271C102	1468	35800		SH
		SOLE		22400		13400
DISCOVERY PARTNERS INTL.	Common Stock	254675101	2811	138400
	SH		SOLE		86300		30600
DISNEY WALT CO	Common Stock	254687106	264	6900		SH
	SOLE		6900		0
DMC STRATEX NETWORKS INC	Common Stock	23322L106	3584	223100
	SH		SOLE		110400		88500
DOLLAR GENERAL	Common Stock	256669102	1170	69852		SH
	SOLE		64884		0
DOLLAR TREE STORES INC.	Common Stock	256747106	2227	54900		SH
	SOLE		11800		42600
DONNELLEY R R & SONS CO	Common Stock	257867101	909	37000		SH
	SOLE		37000		0
DSET CORPORATION	Common Stock	262504103	4680	226900		SH
	SOLE		141400		50400
DST SYSTEMS INC	Common Stock	233326107	1528	13000		SH
	SOLE		7100		5900
DUKE ENERGY	Common Stock	264399106	515	6000		SH		SOLE
	6000		0
E M C CORP MASS	Common Stock	268648102	4951	49950		SH
	SOLE		11920		0
EDEN BIOSCIENCE CORPORATION	Common Stock	279445100	1911	57900		SH
		SOLE		35800		12700
ELECTRONIC ARTS INC	Common Stock	285512109	3190	64600		SH
	SOLE		13800		50200
EMERSON ELEC CO	Common Stock	291011104	402	6000		SH
	SOLE		6000		0
ENRON CORP	Common Stock	293561106	1800	20545		SH		SOLE
	12990		6450
EXAR CORP	Common Stock	300645108	6752	55800		SH		SOLE
	34500		12200
EXCHANGE APPLICATIONS SOFTWARE	Common Stock	300867108	281	62100
	SH		SOLE		38800		13800
EXPRESS SCRIPTS INC CLASS A	Common Stock	302182100	4422	61200		SH
		SOLE		24900		31200
EXXON MOBIL CORPORATION	Common Stock	30231G102	6435	72200		SH
	SOLE		47450		23000
FAMILY DLR STORES INC	Common Stock	307000109	3149	163600		SH
		SOLE		34900		127300
FEDERAL HOME LN MTG CORP	Common Stock	313400301	1546	28605		SH
		SOLE		24200		2700
FIRST DATA CORP	Common Stock	319963104	266	6800		SH
	SOLE		6800		0
FISERV INC	Common Stock	337738108	2539	42400		SH		SOLE
	9100		32900
FLEET BOSTON FINANCIAL CORP	Common Stock	339030108	328	8400		SH
		SOLE		8400		0
FLEXTRONICS INTL LTD	Common Stock	Y2573F102	7255	88346		SH
	SOLE		38248		47040
FORD MOTOR COMPANY	Common Stock	345370860	289	11426		SH
	SOLE		11426		0
FPL GROUP INC	Common Stock	302571104	448	6813		SH
	SOLE		5000		1813
GANNETT CO	Common Stock	364730101	390	7350		SH		SOLE
	0		7350
GEMINI GENOMICS PLC - ADR	Common Stock	36865M109	988	68700		SH
		SOLE		42800		15300
GENAISSANCE PHARMACEUTICALS	Common Stock	36867W105	2096	101300
	SH		SOLE		63100		22500
GENERAL ELEC CO	Common Stock	369604103	7171	124315		SH
	SOLE		46265		10350
GENETECH	Common Stock	368710406	1903	10250		SH		SOLE
	250		0
GLOBAL CROSSING LTD	Common Stock	G3921A100	3585	115655		SH
		SOLE		40795		0
HALLIBURTON CO	Common Stock	406216101	1624	33190		SH
	SOLE		30755		0
HARMONIC INC	Common Stock	413160102	1411	58800		SH
	SOLE		12600		45700
HEALTH MGMT ASSOCIATES INC-A	Common Stock	421933102	4171	200400
	SH		SOLE		42700		155900
HISPANIC BROADCASTING CORP.	Common Stock	43357B104	1848	66300		SH
		SOLE		14300		51400
HOTEL RESERVATIONS INC	Common Stock	441451101	5662	154600		SH
		SOLE		96400		33900
HOUSEHOLD INTL INC	Common Stock	441815107	1002	17700		SH
	SOLE		17700		0
ILLUMINA INC.	Common Stock	452327109	1552	34200		SH
	SOLE		21300		7600
IMRGLOBAL CORP	Common Stock	45321W106	6188	532300		SH
	SOLE		329900		117900
INTEL CORP	Common Stock	458140100	5331	128275		SH
	SOLE		48005		0
INTERNATIONAL BUSINESS MACHINES	Common Stock	459200101	473	4200
	SH		SOLE		2600		1600
INTERNATIONAL PAPER CO	Common Stock	460146103	215	7500		SH
	SOLE		7500		0
INTERNET ARCHITECT HOLDERS TRUST	Common Stock	46060A107	377	4000
	SH		SOLE		4000		0
INTERNET SECURITY SYSTEMS	Common Stock	46060X107	1228	16350		SH
		SOLE		3500		12700
INTRANET SOLUTIONS INC	Common Stock	460939309	665	13300		SH
	SOLE		13300		0
JAKKS PACIFIC INC	Common Stock	47012E106	4514	479900		SH
	SOLE		299000		106450
JDS UNIPHASE CORP	Common Stock	46612J101	1762	18610		SH
	SOLE		6400		0
JOHNSON & JOHNSON	Common Stock	478160104	695	7400		SH
	SOLE		0		7400
JONES APPAREL GROUP INC	Common Stock	480074103	2144	80900		SH
	SOLE		17400		62800
KENNETH COLE PRODUCTIONS-A	Common Stock	193294105	5115	144850
	SH		SOLE		91050		32050
KNIGHT TRADING GROUP INC	Common Stock	499063105	1652	45900		SH
		SOLE		9800		35700
KOPIN CORP	Common Stock	500600101	6350	352800		SH
	SOLE		186400		129800
LCC INTERNATIONAL INC - CL A	Common Stock	501810105	1815	125200
	SH		SOLE		78000		27800
LOWES COS INC	Common Stock	548661107	2379	53010		SH
	SOLE		17410		0
LUCENT TECHNOLOGIES INC	Common Stock	549463107	1749	57240		SH
	SOLE		21665		0
MACROMEDIA INC	Common Stock	556100105	1257	15550		SH
	SOLE		3300		12100
MARSH & MCLENNAN COS INC	Common Stock	571748102	398	3000		SH
		SOLE		3000		0
MAXYGEN	Common Stock	577776107	565	10900		SH		SOLE
	6800		2400
MBNA CORP	Common Stock	55262L100	1371	35610		SH		SOLE
	32400		0
MCDONALDS CORP	Common Stock	580135101	1841	61000		SH
	SOLE		37000		24000
MCLEOD INC-CLA	Common Stock	582266102	530	37000		SH
	SOLE		37000		0
MEDIMMUNE INC	Common Stock	584699102	2866	37100		SH
	SOLE		8000		28800
MEDTRONIC INC	Common Stock	585055106	5968	115185		SH
	SOLE		56950		12300
MELLON FINANCIAL CORP	Common Stock	58551A108	1201	25890		SH
	SOLE		24065		0
MENTOR CORP/MINN	Common Stock	587188103	4651	295300		SH
	SOLE		184700		65700
MERCURY COMPUTER SYSTEMS INC	Common Stock	589378108	3579	128700
	SH		SOLE		79700		28100
MGIC INVT CORP WIS	Common Stock	552848103	1125	18400		SH
	SOLE		18400		0
MICREL INC	Common Stock	594793101	4201	62700		SH		SOLE
	13300		48800
MICROCHIP TECHNOLOGY INC	Common Stock	595017104	1622	49050		SH
		SOLE		10500		38100
MICROSOFT CORP	Common Stock	594918104	4096	67920		SH
	SOLE		27020		1000
MILLIPORE CORP	Common Stock	601073109	300	6200		SH
	SOLE		6200		0
MINIMED INC	Common Stock	60365K108	1452	16250		SH		SOLE
	3500		12600
MINNESOTA MNG & MFG CO	Common Stock	604059105	1440	15800		SH
	SOLE		11300		4500
MOLECULAR DEVICES CORP	Common Stock	60851C107	7074	72000		SH
	SOLE		44800		16000
MORGAN STANLEY DEAN WITTER DISCOVER	Common Stock	617446448	293	3200
	SH		SOLE		3200		0
MOTOROLA INC	Common Stock	620076109	4116	145705		SH
	SOLE		78145		0
NABORS INDUSTRIES INC	Common Stock	629568106	4548	86800		SH
	SOLE		17700		68300
NETIQ CORP	Common Stock	64115P102	4086	62200		SH		SOLE
	38200		13400
NOBLE DRILLING CORP	Common Stock	655042109	4161	82800		SH
	SOLE		17800		64300
NORTEL NETWORKS CORP	Common Stock	656568102	3300	55410		SH
	SOLE		13200		0
NOVOSTE CORPORATION	Common Stock	67010C100	4879	114800		SH
		SOLE		72900		25600
ONTRACK DATA INTERNATIONAL	Common Stock	683372106	562	42000		SH
		SOLE		42000		0
ORACLE SYS CORP	Common Stock	68389X105	3524	44750		SH
	SOLE		14420		0
PACIFIC SUNWEAR OF CALIFORNIA	Common Stock	694873100	6983	372400
	SH		SOLE		234600		82500
PACKETEER INC	Common Stock	695210104	4234	111600		SH
	SOLE		69500		24600
PALM INC	Common Stock	696642107	1116	21073		SH		SOLE
	19043		159
PATTERSON DENTAL COMPANY	Common Stock	703412106	2918	129700
	SH		SOLE		80400		28900
PATTERSON ENERGY INC	Common Stock	703414102	5778	168100		SH
		SOLE		104500		37300
PEPSICO INC	Common Stock	713448108	3133	68105		SH		SOLE
	31070		0
PFIZER INC	Common Stock	717081103	4430	98583		SH		SOLE
	31912		0
PHARMACOPEIA INC	Common Stock	71713B104	3142	123200		SH
	SOLE		76700		27400
POWERWAVE TECHNOLIGIES INC	Common Stock	739363109	1986	52300		SH
		SOLE		11200		40600
PRAXAIR INC	Common Stock	74005P104	856	22890		SH		SOLE
	21185		0
PRICE T ROWE ASSOC INC	Common Stock	741477103	1887	40200		SH
	SOLE		8600		31200
QLOGIC CORP	Common Stock	747277101	2006	22800		SH		SOLE
	4800		17800
QWEST COMMUNICATIONS INTL	Common Stock	749121109	291	6052		SH
		SOLE		6052		0
RADIAN GROUP INC	Common Stock	750236101	6852	101515		SH
	SOLE		62913		22903
RATIONAL SOFTWARE CORP	Common Stock	75409P202	3975	57300		SH
	SOLE		12100		44600
REHABCARE GROUP INC	Common Stock	759148109	9601	225900		SH
		SOLE		140800		50100
REMEC INC	Common Stock	759543101	14371	488200		SH
	SOLE		241600		192050
RENAL CARE GROUP INC	Common Stock	759930100	3397	182400		SH
		SOLE		114500		38800
RF MICRO DEVICES INC	Common Stock	749941100	1741	54400		SH
	SOLE		11700		42200
ROBERT HALF INTL INC	Common Stock	770323103	2123	61200		SH
	SOLE		13000		47600
ROSS STORES INC	Common Stock	778296103	645	44900		SH
	SOLE		9100		35400
SAWTEK INC	Common Stock	805468105	3023	78500		SH		SOLE
	41500		26300
SBC COMMUNICATIONS INC	Common Stock	78387G103	685	13700		SH
	SOLE		10700		3000
SCHERING PLOUGH CORP	Common Stock	806605101	3582	77040		SH
	SOLE		32075		0
SCHLUMBERGER LTD	Common Stock	806857108	830	10085		SH
	SOLE		9120		0
SCHWAB (CHARLES) CORP	Common Stock	808513105	2619	73777		SH
	SOLE		25345		8400
SHIRE PHARMACEUTICALS GR - ADR	Common Stock	82481R106	2148	41600
	SH		SOLE		8900		32300
SMITH INTL INC	Common Stock	832110100	3466	42500		SH
	SOLE		9100		33000
SONUS NETWORKS INC	Common Stock	835916107	476	3765		SH
	SOLE		840		2885
SOUTHERN CO	Common Stock	842587107	250	7700		SH		SOLE
	7700		0
ST JUDE MEDICAL INC	Common Stock	790849103	995	19500		SH
	SOLE		19500		0
STAPLES INC	Common Stock	855030102	732	51600		SH		SOLE
	10850		40350
STARBUCKS CORP	Common Stock	855244109	2424	60500		SH
	SOLE		13000		47000
SUN MICROSYSTEMS INC	Common Stock	866810104	4221	36150		SH
	SOLE		9520		0
SYBRON INTL CORP-WISCONSIN	Common Stock	87114F106	1781	74200		SH
		SOLE		15900		57600
SYNOPSYS INC	Common Stock	871607107	3019	79715		SH
	SOLE		43365		33300
TANOX INC	Common Stock	87588Q109	2097	61900		SH		SOLE
	13200		48100
TARGET CORP	Common Stock	87612E106	2446	95440		SH		SOLE
	72440		20400
TELEPHONE & DATA SYS INC	Common Stock	879433100	2690	24300		SH
		SOLE		9900		14300
TELTECH SERIES C PREFERRED	Preferred Stock	850250226	0	10417		SH
		SOLE		0		10417
TEXAS INSTRUMENTS INC	Common Stock	882508104	2141	45365		SH
	SOLE		15665		0
TIME WARNER INC	Common Stock	887315109	2882	36835		SH
	SOLE		14470		6600
TOLLGRADE COMMUNICATIONS INC	Common Stock	889542106	7760	55900		SH
		SOLE		34600		12200
TRANSOCEAN SEDCO FOREX	Common Stock	G90078109	1096	18700		SH
	SOLE		13700		5000
TREX COMPANY INC	Common Stock	89531P105	3213	106000		SH
	SOLE		67100		23600
TTI TEAM TELECOM INTL LTD	Common Stock	M88258104	2364	116000
	SH		SOLE		72200		25800
TYCO INTERNATIONAL LTD	Common Stock	902124106	6915	133295		SH
		SOLE		58195		2400
U.S. BANCORP	Common Stock	902973106	1558	68500		SH
	SOLE		52000		16500
UBIQUITEL INC	Common Stock	903474302	2541	282300		SH
	SOLE		175700		62900
VERITY INC	Common Stock	92343C106	2131	59700		SH		SOLE
	37300		13200
VERIZON COMMUNICATIONS	Common Stock	92343V104	1540	31800		SH
	SOLE		27235		2800
VIACOM INC CL-B	Common Stock	925524308	216	3689		SH
	SOLE		3689		0
VIRATA CORP	Common Stock	927646109	3286	49700		SH		SOLE
	10700		38600
VITESSE SEMICONDUCTOR CORP	Common Stock	928497106	3931	44200		SH
		SOLE		9400		34400
WACHOVIA CORP	Common Stock	929771103	221	3900		SH
	SOLE		3900		0
WAL MART STORES INC	Common Stock	931142103	1481	30780		SH
	SOLE		480		0
WALGREEN CO	Common Stock	931422109	1093	28800		SH		SOLE
	28800		0
WATCHGUARD TECHNOLOGIES	Common Stock	941105108	1680	28000		SH
	SOLE		17400		6200
WATSON PHARMACEUTICAL INC	Common Stock	942683103	3049	47000		SH
		SOLE		9500		37100
WEBMD CORPORATION	Common Stock	94769M105	924	60600		SH
	SOLE		12900		47200
WELLS FARGO COMPANY	Common Stock	949746101	1872	40745		SH
	SOLE		24915		14100
WILLIAMS COS INC	Common Stock	969457100	211	5000		SH
	SOLE		5000		0
WILLIAMS SONOMA INC	Common Stock	969904101	810	23300		SH
	SOLE		5000		18100
WORLDCOM INC	Common Stock	98157D106	3250	106992		SH
	SOLE		38140		19450
XCEL ENERGY INC	Common Stock	98389B100	825	30000		SH
	SOLE		30000		0
ZAMBA CORPORATION	Common Stock	988881108	1102	259200		SH
	SOLE		161000		57500
ZORAN CORP	Common Stock	98975F101	4573	93800		SH		SOLE
	56000		23800




© 2022 IncJournal is not affiliated with or endorsed by the U.S. Securities and Exchange Commission