INVESTMENT ADVISERS INC
13F-HR, 2000-08-04
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      United States Securities and Exchange Commission
      Washington, D.C. 20549
      Form 13F
      Form 13F Cover Page
      Report for Qtr Ended: June 30, 2000

      Check here if Amendment   [ ] Amend. #
      This Amendment: (check only one)
      [ ] is a restatement  [ ] adds news holding entries
      Institutional Investment Manager filing this report:
      Name: Investment Advisers, Inc.
      Address: 3700 US Bank Place
      Box 357    Minneapolis, MN  55440-0357
      Form 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 intregral
      parts of this form.

      Person signing on form on behalf of Reporting Mgr:
      Name:  Julie vonArx
      Title:      Manager of Compliance
      Phone:  612-376-2798
      Signature, date and place of signing:
      Julie vonArx     Mrgs? No
      25-Jul-00
      <PAGE>
      Report Type: (Check one only)
      [X] 13F-HR

      <PAGE>
      13F Summary Page
      Report Summary
      Form 13F Information
      Number of other included Managers: 0
      Table Entry Total:    233
      Form 13F Information Table Value$925,856,000

      <TABLE>
      <CAPTION>



<S>			<C>	<C>		<C>	<C>	<C>	<C>	<C>	<C>		<C>
Name of Issuer		Class	CUSIP		VALUE	SHARES/	SH/PUT
						(x$1000)	PRN AMT	SOLE	Sole	Shared    	 None
99 CENTS ONLY STORES	Com	65440K106	10577	265261	SH	SOLE	180362	55899
A T & T CORP		Com	1957109		1431	45237	SH	SOLE	42662	1200
ABBOTT LABS		Com	2824100		6163	138300	SH	SOLE	125500	12800
ACCORD NETWORKS LTD	Com	M01690102	3700	400000	SH	SOLE	272500	84400
ADC TELECOMMUNICATIONS  Com	886101		17681	210800	SH	SOLE	154300	56000
ADVANCED LIGHTING TECHS	Com	00753C102	1597	86300	SH	SOLE	58800	18200
ADVANCED RADIO TELECOM  Com	00754U101	1780	121700	SH	SOLE	82800	25600
AEROFLEX INC		Com	7768104		7090	142700	SH	SOLE	97300	30000
AFFILIATED MANAGERS GRP	Com	8252108		4259	93600	SH	SOLE	64900	18500
AFLAC INC		Com	1055102		519	11300	SH	SOLE	11300
AFTERMARKET TECHNOLOGY 	Com	8318107		10235	1204100	SH	SOLE	808000	259600
ALAMOSA PCS HOLDINGS 	Com	11593100	3964	189900	SH	SOLE	129200	40500
ALBANY MOLECULAR RES	Com	12423109	5770	106000	SH	SOLE	72300	22300
ALLERGAN INC		Com	18490102	3606	48400	SH	SOLE	48400
ALLTEL CORP		Com	20039103	217	3500	SH	SOLE	3500
ALTEON WEB SYSTEMS	Com	02145A109	4403	44000	SH	SOLE	17000	26700
AMDOCS LTD		Com	G02602103	8552	111425	SH	SOLE	45000	34200
AMERICA ONLINE INC	Com	02364J104	3642	69125	SH	SOLE	42525
AMERICAN GENERAL CORP	Com	26351106	250	4100	SH	SOLE	4100
AMERICAN INTL GROUP INC	Com	26874107	3605	30678	SH	SOLE	18128
AMERICAN PWR CONVERSION Com	29066107	2565	62850	SH	SOLE	24500	37900
AMER XTAL TECHNOLOGY	Com	30514103	8996	208000	SH	SOLE	142400	43900
AMGEN INC		Com	31162100	653	9300	SH	SOLE		9300
ANADIGICS INC		Com	32515108	3587	105300	SH	SOLE	71800	22150
ANALOG DEVICES INC	Com	32654105	4241	55804	SH	SOLE	36854	17800
ANHEUSER-BUSCH COS INC	Com	35229103	265	3550	SH	SOLE	3550
ANTEC CORP		Com	03664P105	10465	251800	SH	SOLE	138000	98000
APOLLO GROUP INC CL A	Com	37604105	7531	268950	SH	SOLE	144650	108400
APPLIED MATERIALS INC	Com	38222105	6100	67310	SH	SOLE	51610
APPLIED SCIENCE & TECH	Com	38236105	4650	179700	SH	SOLE	122600	37800
APTARGROUP INC		Com	38336103	4126	152800	SH	SOLE	152800
ASSOCIATES FIRST CAP	Com	46008108	297	13300	SH	SOLE	13300
ATLAS AIR INC		Com	49164106	3921	109300	SH	SOLE	74200	23100
AUGUST TECHNOLOGY CORP	Com	05106U105	2467	150100	SH	SOLE	96800	37900
AVERY-DENNISON CORP	Com	53611109	5249	78200	SH	SOLE	69800	8400
BANK OF AMERICA CORP	Com	60505104	1376	32008	SH	SOLE	31083
BAXTER INTERNATIONAL 	Com	71813109	8547	121560	SH	SOLE	116610	4000
BED BATH & BEYOND INC	Com	75896100	2951	81400	SH	SOLE	31500	49300
BELLSOUTH CORP		Com	79860102	281	6600	SH	SOLE	6600
BEMIS INC		Com	81437105	4028	119800	SH	SOLE	119800
BERKSHIRE HATHAWAY CL B	Com	84670207	246	140	SH	SOLE		140
BIOGEN INC		Com	90597105	3006	46600	SH	SOLE	17400	28900
BIOMET INC		Com	90613100	2560	66600	SH	SOLE	24800	41400
BIOTECH HOLDRS TRUST DR	Com	09067D201	5162	29000	SH	SOLE	29000
BRAUN CONSULTING	Com	105651103	4544	215100	SH	SOLE	146800	45100
BRISTOL MYERS SQUIBB CO	Com	110122108	1314	22560	SH	SOLE	21835
C.H. ROBINSON WORLDWIDE	Com	12541W100	2970	60000	SH	SOLE	60000
CAPITAL ONE FINANCIAL 	Com	14040H105	303	6800	SH	SOLE	6800
CARDINAL HEALTH INC	Com	14149Y108	7767	104960	SH	SOLE	55235
CATALINA MARKETING CORP	Com	148867104	6293	61700	SH	SOLE	41900	13000
CCC INFORMATION SERS	Com	12487Q109	7603	715600	SH	SOLE	491300	147800
CDW COMPUTER CENTERS 	Com	125129106	2463	39400	SH	SOLE	39400
CHASE MANHATTAN CORP	Com	16161A108	1369	29719	SH	SOLE	25819	3000
CHEVRON CORP		Com	166751107	1412	16650	SH	SOLE	16175
CIENA CORP		Com	171779101	5067	30400	SH	SOLE	11700	18500
CINTAS CORP		Com	172908105	1935	52750	SH	SOLE	20400	32000
CISCO SYSTEMS INC	Com	17275R102	7678	120800	SH	SOLE	54600
CITIGROUP INC		Com	172967101	4406	73130	SH	SOLE	49580
CITIZENS UTILITIES-CL B	Com	177342201	1506	87300	SH	SOLE	32500	54200
CITY NATIONAL CORP	Com	178566105	1870	53800	SH	SOLE	19900	33500
CLEAR CHANNEL COMMU	Com	184502102	3448	45970	SH	SOLE	23695
COGNEX CORP		Com	192422103	6603	127600	SH	SOLE	75300	42500
COHERENT INC		Com	192479103	8195	97700	SH	SOLE	66400	20700
COLGATE PALMOLIVE CO	Com	194162103	1065	17785	SH	SOLE	17060
COMCAST CORP - CL A SPL	Com	200300200	2226	54970	SH	SOLE	30270
COMMSCOPE INC		Com	203372107	9992	243700	SH	SOLE	150900	73400
COMPAQ COMPUTER CORP	Com	204493100	205	8000	SH	SOLE	8000
COMVERSE TECHNOLOGY INC	Com	205862402	1874	20150	SH	SOLE	7800	12200
CONCORD EFS INC		Com	206197105	3406	131000	SH	SOLE	50800	79300
CORE LABORATORIES N.V.	Com	N22717107	5504	189800	SH	SOLE	129100	40400
CORNING INC		Com	219350105	7314	27100	SH	SOLE	24100	3000
CVS CORP		Com	126650100	3614	90355	SH	SOLE	43930
DATALINK CORP		Com	237934104	4378	293100	SH	SOLE	198600	61800
DEVRY INC		Com	251893103	4780	180800	SH	SOLE	146300	34100
DIAMETRICS MEDICAL INC	Com	252532106	2786	492600	SH	SOLE	492600
DIAMOND OFFSHORE DRILL	Com	25271C102	5051	143800	SH	SOLE	133400	10400
DIAMOND TECH PARTNERS-A	Com	252762109	1980	22500	SH	SOLE	15300	4800
DIGITAL MICROWAVE CORP	Com	253859102	8799	230800	SH	SOLE	130100	84800
DISNEY WALT CO		Com	254687106	268	6900	SH	SOLE	6900
DOLLAR GENERAL		Com	256669102	2412	123697	SH	SOLE	119229
DOLLAR TREE STORES INC.	Com	256747106	1820	46000	SH	SOLE	17800	27900
DONNELLEY R R & SONS CO	Com	257867101	4332	192000	SH	SOLE	192000
DOW CHEMICAL		Com	260543103	217	7200	SH	SOLE	7200
DSET CORPORATION	Com	262504103	9131	300600	SH	SOLE	204800	63300
DST SYSTEMS INC		Com	233326107	4971	65300	SH	SOLE	56500	8800
DUKE ENERGY		Com	264399106	338	6000	SH	SOLE	6000
E M C CORP MASS		Com	268648102	4756	62620	SH	SOLE	24770
E*TRADE GROUP INC	Com	269246104	602	36500	SH	SOLE	7000	29200
ELECTRONIC ARTS INC	Com	285512109	3020	41400	SH	SOLE	16000	25100
EMERSON ELEC CO		Com	291011104	362	6000	SH	SOLE	6000
EMISPHERE TECHNOLOGIES  Com	291345106	3038	71300	SH	SOLE	48600	15100
ENRON CORP		Com	293561106	1390	21545	SH	SOLE	20720
EXAR CORP		Com	300645108	7734	88700	SH	SOLE	60500	18700
EXFO ELECTRO-OPTICAL 	Com	302043104	439	10000	SH	SOLE	3900	6000
EXPRESS SCRIPTS INC CA	Com	302182100	4908	79000	SH	SOLE	41500	32800
EXXON MOBIL CORPORATION	Com	30231G102	10953	139525	SH	SOLE	118175	19900
FAMILY DLR STORES INC	Com	307000109	4034	206200	SH	SOLE	77500	127300
FEDERAL HOME LN MTG C	Com	313400301	1629	40230	SH	SOLE	36255	2700
FIRST DATA CORP		Com	319963104	337	6800	SH	SOLE	6800
FIRST TENNESSEE NATL 	Com	337162101	679	41000	SH	SOLE	15200	25500
FISERV INC		Com	337738108	2794	64600	SH	SOLE	24800	39300
FLEET BOSTON FINANCIAL 	Com	339030108	286	8400	SH	SOLE	8400
FLEXTRONICS INTL LTD	Com	Y2573F102	9614	139971	SH	SOLE	89723	47040
FORD MTR CO DEL		Com	345370100	316	7350	SH	SOLE	7350
FPL GROUP INC		Com	302571104	337	6813	SH	SOLE	5000	1813
GANNETT CO		Com	364730101	440	7350	SH	SOLE		7350
GAP INC			Com	364760108	2937	93995	SH	SOLE	50945
GENERAL ELEC CO		Com	369604103	8500	160370	SH	SOLE	83420	10350
GENETECH		Com	368710406	1901	11050	SH	SOLE	1050
GLOBAL CROSSING LTD	Com	G3921A100	3880	147440	SH	SOLE	73540
GTE CORP		Com	362320103	249	4000	SH	SOLE	4000
HALLIBURTON CO		Com	406216101	2328	49330	SH	SOLE	47505
HARMONIC INC		Com	413160102	1856	75000	SH	SOLE	28800	45700
HEALTH MGMT ASSOC CL-A	Com	421933102	3281	251200	SH	SOLE	93600	155900
HEALTHEON/WEBMD CORP	Com	422209106	1123	75800	SH	SOLE	28100	47200
HISPANIC BROADCASTING 	Com	43357B104	2816	85000	SH	SOLE	33000	51400
HOTEL RESERVATIONS INC	Com	441451101	9993	335900	SH	SOLE	228300	71500
HOUSEHOLD INTL INC	Com	441815107	3761	90500	SH	SOLE	90500
IMRGLOBAL CORP		Com	45321W106	8621	660000	SH	SOLE	448400	138600
INTEL CORP		Com	458140100	10736	80310	SH	SOLE	40660
INTERNATIONAL PAPER CO	Com	460146103	224	7500	SH	SOLE	7500
INTRANET SOLUTIONS INC	Com	460939309	7940	206900	SH	SOLE	192900	14000
ISS GROUP INC		Com	450306105	2059	20850	SH	SOLE	8000	12700
JAKKS PACIFIC INC	Com	4.70E+110	7108	481900	SH	SOLE	328700	101550
JDS UNIPHASE CORP	Com	46612J101	2899	24180	SH	SOLE	12130
JOHNSON & JOHNSON	Com	478160104	754	7400	SH	SOLE		7400
JONES APPAREL GROUP INC	Com	480074103	2439	103800	SH	SOLE	40300	62800
KENNETH COLE PRODUC-A	Com	193294105	6206	155150	SH	SOLE	105050	33350
KNIGHT TRIMARK GR CL-A	Com	499068104	1717	57600	SH	SOLE	21500	35700
KOPIN CORP		Com	500600101	803	11600	SH	SOLE	4300	7200
LCC INTERNATIONALCL-A	Com	501810105	4586	167900	SH	SOLE	115200	34900
LILLY (ELI) & CO	Com	532457108	4081	40865	SH	SOLE	21640
LOWES COS INC		Com	548661107	2759	67180	SH	SOLE	31980
LUCENT TECHNOLOGIES INC	Com	549463107	5892	99450	SH	SOLE	55925
MACROMEDIA INC		Com	556100105	1929	19950	SH	SOLE	7700	12100
MARSH & MCLENNAN COS 	Com	571748102	313	3000	SH	SOLE	3000
MAXYGEN			Com	577776107	829	14600	SH	SOLE	10000	3000
MCCORMICK & CO INC	Com	579780206	1053	32400	SH	SOLE	12000	20200
MCDONALDS CORP		Com	580135101	5385	163500	SH	SOLE	145000	18500
MEDIMMUNE INC		Com	584699102	3530	47700	SH	SOLE	18600	28800
MEDTRONIC INC		Com	585055106	13632	273665	SH	SOLE	212190	16400
MELLON FINANCIAL CORP	Com	58551A108	1506	41325	SH	SOLE	39850
MENTOR CORP/MINN	Com	587188103	10653	391850	SH	SOLE	267050	82500
MERCANTILE BANKSHARES 	Com	587405101	1455	48800	SH	SOLE	18100	30400
MERCURY COMPUTER SYSTEMSCom	589378108	6463	200000	SH	SOLE	136000	42200
MGIC INVT CORP WIS	Com	552848103	3572	78500	SH	SOLE	78500
MICREL INC		Com	594793101	3406	78400	SH	SOLE	29000	48800
MICROCHIP TECHNOLOGY 	Com	595017104	2383	40900	SH	SOLE	15200	25400
MICROSOFT CORP		Com	594918104	7122	89025	SH	SOLE	49775
MICROWARE SYSTEMS CORP	Com	595150103	842	328400	SH	SOLE		328400
MINIMED INC		Com	60365K108	1189	10075	SH	SOLE	3700	6300
MINNESOTA MNG & MFG CO	Com	604059105	7186	87100	SH	SOLE	80800	6300
MOLECULAR DEVICES CORP	Com	60851C107	5922	85600	SH	SOLE	58300	18000
MORGAN STANL DEAN WITT 	Com	617446448	266	3200	SH	SOLE	3200
MOTOROLA INC		Com	620076109	6543	225150	SH	SOLE	183300
NABORS INDUSTRIES INC	Com	629568106	3915	94200	SH	SOLE	33500	60000
NATIONAL COMPUTER SYS 	Com	635519101	5688	115500	SH	SOLE	78600	24400
NEWMONT MINING CORP	Com	651639106	361	16700	SH	SOLE		16700
NORTEL NETWORKS CORP	Com	656568102	4704	68930	SH	SOLE	26980
NORTHERN STS PWR CO MN	Com	665772109	606	30000	SH	SOLE	30000
NOVOSTE CORPORATION	Com	67010C100	5356	87800	SH	SOLE	59700	18500
ORACLE SYS CORP		Com	68389X105	7094	84390	SH	SOLE	34140
ORCKIT COMMUNICATIONS 	Com	M7531S107	2416	80200	SH	SOLE	54700	16900
PACIFIC SUNWEAR OF CA	Com	694873100	6973	371900	SH	SOLE	252800	78400
PACKETEER INC		Com	695210104	2915	100100	SH	SOLE	67900	21100
PALM INC		Com	696642107	1284	38485	SH	SOLE	37085
PATTERSON DENTAL CO	Com	703412106	6962	136500	SH	SOLE	92950	28750
PATTERSON ENERGY INC	Com	703414102	6344	222600	SH	SOLE	151700	46800
PAYCHEX INC		Com	704326107	1805	42975	SH	SOLE	16050	26625
PENTAIR INC		Com	709631105	7050	198600	SH	SOLE	180200	18400
PEPSICO INC		Com	713448108	4366	98240	SH	SOLE	61315
PEREGRINE SYSTEMS	Com	71366Q101	2081	60000	SH	SOLE	22400	37200
PFIZER INC		Com	717081103	5967	124315	SH	SOLE	58384
PRAXAIR INC		Com	74005P104	1350	36065	SH	SOLE	34790
PRICE T ROWE ASSOC INC	Com	741477103	2138	50300	SH	SOLE	18800	31200
QLOGIC CORP		Com	747277101	1896	28700	SH	SOLE	10700	17800
RADIAN GROUP INC	Com	750236101	6977	134814	SH	SOLE	91512	28803
RATIONAL SOFTWARE CORP	Com	75409P202	3327	35800	SH	SOLE	13300	22300
REHABCARE GROUP INC	Com	759148109	7595	278700	SH	SOLE	189500	58800
REMEC INC		Com	759543101	16499	394000	SH	SOLE	230800	133500
RENAL CARE GROUP INC	Com	759930100	8405	343700	SH	SOLE	234500	72500
ROBERT HALF INTL INC	Com	770323103	2183	76600	SH	SOLE	28400	47600
ROSS STORES INC		Com	778296103	998	58500	SH	SOLE	22700	35400
SAWTEK INC		Com	805468105	7696	133700	SH	SOLE	84500	36700
SBC COMMUNICATIONS INC	Com	78387G103	593	13700	SH	SOLE	10700	3000
SCHERING PLOUGH CORP	Com	806605101	4968	98375	SH	SOLE	54050
SCHLUMBERGER LTD	Com	806857108	1247	16710	SH	SOLE	15985
SCHWAB (CHARLES) CORP	Com	808513105	4290	127595	SH	SOLE	50683
SHIRE PHARMACEUTI ADR	Com	82481R106	2765	53300	SH	SOLE	20600	32300
SMITH INTL INC		Com	832110100	2629	36100	SH	SOLE	14000	21800
SONUS NETWORKS INC	Com	835916107	939	5950	SH	SOLE	2300	3600
SPRINT CORP		Com	852061100	1830	35875	SH	SOLE	20925
ST JUDE MEDICAL INC	Com	790849103	895	19500	SH	SOLE	19500
STAPLES INC		Com	855030102	996	64750	SH	SOLE	24000	40350
STARBUCKS CORP		Com	855244109	2956	77400	SH	SOLE	29900	47000
SUN MICROSYSTEMS INC	Com	866810104	4449	48920	SH	SOLE	22370
SYBRON INTL CORP-WI	Com	87114F106	6263	316100	SH	SOLE	234000	81400
SYNOPSYS INC		Com	871607107	4276	123710	SH	SOLE	87360	33300
TANOX INC		Com	87588Q109	3690	78000	SH	SOLE	29400	48100
TARGET CORP		Com	8.76E+110	6383	110045	SH	SOLE	101170	7900
TEKELEC			Com	879101103	1113	23100	SH	SOLE	13500	9600
TELEPHONE & DATA SYS 	Com	879433100	8652	86300	SH	SOLE	68600	17600
TEXACO INC		Com	881694103	554	10410	SH	SOLE	9885
THREE-FIVE SYSTEMS INC	Com	88554L108	11130	188640	SH	SOLE	128144	39647
TIME WARNER INC		Com	887315109	3402	44760	SH	SOLE	22635	6600
TJX COMPANIES INC	Com	872540109	281	15000	SH	SOLE		15000
TOLLGRADE COMMUNICATIONSCom	889542106	17543	132400	SH	SOLE	90000	27900
TRANSOCEAN SEDCO FOREX	Com	G90078109	4480	83835	SH	SOLE	83835
TREX COMPANY INC	Com	89531P105	3225	64500	SH	SOLE	43700	13700
TTI TEAM TELECOM INTL L	Com	M88258104	5458	151600	SH	SOLE	102700	32400
TYCO INTERNATIONAL LTD	Com	902124106	8386	177005	SH	SOLE	102755	2400
U.S. BANCORP		Com	902973106	3950	205200	SH	SOLE	187000	18200
UBIQUITEL INC		Com	903474302	3520	373000	SH	SOLE	253600	79100
UNITED HEALTHCARE CORP	Com	910581107	214	2500	SH	SOLE		2500
US WEST INC		Com	91273H101	300	3500	SH	SOLE	3500
VALASSIS COMMUNICATIONS Com	918866104	11575	303600	SH	SOLE	180650	98800
VERIZON COMMUNICATIONS	Com	92343V104	1977	38905	SH	SOLE	34780	2800
VIACOM INC CL-B		Com	925524308	252	3689	SH	SOLE	3689
VIRATA CORP		Com	927646109	4675	78400	SH	SOLE	30400	47500
VISUAL NETWORKS INC	Com	928444108	2175	76300	SH	SOLE	52000	16100
VITESSE SEMICONDUCTOR 	Com	928497106	4075	55400	SH	SOLE	20600	34400
WACHOVIA CORP		Com	929771103	212	3900	SH	SOLE	3900
WAL MART STORES INC	Com	931142103	2476	42970	SH	SOLE	12670
WALGREEN CO		Com	931422109	5755	178800	SH	SOLE	178800
WATSON PHARMACEUTICAL 	Com	942683103	3139	58400	SH	SOLE	20900	37100
WELLS FARGO COMPANY	Com	949746101	1707	44045	SH	SOLE	37245	5500
WILLIAMS COS INC	Com	969457100	654	15700	SH	SOLE	5000	10700
WILLIAMS SONOMA INC	Com	969904101	967	29800	SH	SOLE	11500	18100
WORLDCOM INC		Com	98157D106	3885	84682	SH	SOLE	40070	11600
WRIGLEY WM JR CO	Com	982526105	842	10500	SH	SOLE	10500
ZAMBA CORPORATION	Com	988881108	1888	343295	SH	SOLE	233595	72200
ZEBRA TECHNOLOGIES CL-A	Com	989207105	7436	167800	SH	SOLE	114300	35300
ZIONS BANCORPORATION	Com	989701107	1097	23900	SH	SOLE	8900	14800
ZORAN CORP		Com	98975F101	5057	76700	SH	SOLE	52100	16200
</TABLE>



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