INVESTMENT ADVISERS INC
13F-HR, 2000-04-03
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United States Securities and Exchange Commission
Washington, D.C. 20549
 Form 13F
Form 13F Cover Page
 Report for Quarter Ended:March 31, 2000.
Check here if Amendment [ ]
Amendment Number:
This Amendment (check one only):
[ ] is a restatement. [ ] adds new holdings entries
 Institutional Investment Manager Filing this Report:
Name: Investment Advisers, Inc.
Address: 3600 First 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 integral parts of this form.
Person signing this form on behalf of Reporting Manager
Name: Julie vonArx
Title: Manager of Compliance
 Phone: 612-376-2798
Signature, Place and Date of Signing:
Julie vonArx
Minneapolis, Minnesota
April 3, 2000
Report Type: (Check one only)
 [ X ] 13F HOLDING REPORT
 [ ] 13F NOTICE
[ ] 13F COMBINATION REPORT

 FORM 13F SUMMARY PAGE
 Report Summary:

Form 13F Information Table Entry Total:  292
 Form 13F Information Table Value Total: $1,229,971
 List of other included Managers: None

Name of Issuer	Title of Class	CUSIP	VALUE	SHARES/	SH/PUT
	SOLE	Sole	Shared	None
			(x$1000)	PRN AMT	PRN CALL
3COM CORP	Common Stock	885535104	801	14400	SH		0
	5900
99 CENTS ONLY STORES	Common Stock	65440K106	13627	347195
	SH	SOLE	249995		69999
A T & T CORP	Common Stock	1957109	8915	158312	SH
	SOLE	146237		9900
ABBOTT LABS	Common Stock	2824100	4275	121500	SH	SOLE
	120000		1500
ABERCROMBIE & FITCH CO -CL A	Common Stock	2896207	912	57000
	SH	SOLE	17400		39300
ADC TELECOMMUNICATIONS INC	Common Stock	886101	18635
	345900	SH	SOLE	228500		116600
ADE CORP/MASS	Common Stock	00089C107	2292	104200	SH
	SOLE	76700		19800
ADVANCED LIGHTING TECHS	Common Stock	00753C102	2115	112800
	SH	SOLE	81300		22800
ADVANCED RADIO TELECOM CORP	Common Stock	00754U101	5277
	159300	SH	SOLE	114700		32100
AETNA INC	Common Stock	8117103	366	6602	SH	SOLE	0
	2402
AFLAC INC	Common Stock	1055102	847	18600	SH	SOLE	11300
	7300
AFTERMARKET TECHNOLOGY CORP	Common Stock	8318107	16639
	1331100	SH	SOLE	967900		257900
ALAMOSA PCS HOLDINGS INC	Common Stock	11593100	4636
	122800	SH	SOLE	88500		24800
ALBANY MOLECULAR RESEARCH	Common Stock	12423109	8067
	138200	SH	SOLE	99700		27900
ALLERGAN INC	Common Stock	18490102	3110	62200	SH	SOLE
	62200		0
ALTERA CORPORATION	Common Stock	21441100	4936	55300	SH
	SOLE	17000		38000
AMDOCS LTD	Common Stock	G02602103	10100	147335	SH	SOLE
	50930		60750
AMERICA ONLINE INC	Common Stock	02364J104	9073	134540
	SH	SOLE	93470		0
AMERICAN EAGLE OUTFITTERS	Common Stock	2.55E+109	2993	78900
	SH	SOLE	24000		54400
AMERICAN EXPRESS COMPANY	Common Stock	25816109	1936	13000
	SH	SOLE	1900		4300
AMERICAN GENERAL CORP	Common Stock	26351106	230	4100	SH
	SOLE	4100		0
AMERICAN GREETINGS CORP	Common Stock	26375105	439	9500	SH
	SOLE	9500		0
AMERICAN INTL GROUP INC	Common Stock	26874107	3605	32923	SH
	SOLE	19178		625
AMERICAN MOBILE SATELLITE CP	Common Stock	02755R103	6142
	255900	SH	SOLE	184200		51700
AMERICAN PWR CONVERSION CORP	Common Stock	29066107	3471	80950
	SH	SOLE	24500		56000
AMERICAN XTAL TECHNOLOGY	Common Stock	30514103	6682
	206400	SH	SOLE	148800		41800
ANADARKO PETE CORP	Common Stock	32511107	395	5400	SH
	SOLE	5400		0
ANADIGICS INC	Common Stock	32515108	9068	137400	SH
	SOLE	99200		27750
ANALOG DEVICES INC	Common Stock	32654105	10624	131970
	SH	SOLE	66688		62632
ANTEC CORP	Common Stock	03664P105	8066	180000	SH	SOLE
	129600		36400
ANTIGENICS	Common Stock	37032109	509	25000	SH	SOLE	17600
	5300
APOLLO GROUP INC CLASS A	Common Stock	37604105	9295
	329750	SH	SOLE	175050		139900
APPLIED SCIENCE & TECHNOLOGY	Common Stock	38236105	9075
	300000	SH	SOLE	216200		60500
APTARGROUP INC	Common Stock	38336103	5687	213100	SH
	SOLE	213100		0
ARROWPOINT COMMUNICATION	Common Stock	42810101	592	5000
	SH	SOLE	3600		1000
ASTROPOWER INC	Common Stock	04644A101	3926	121500	SH
	SOLE	87400		24600
AT&T CORP-LIBERTY MEDIA CLASS A	Common Stock	1957208	469
	7900	SH	SOLE	7900		0
ATLAS AIR INC	Common Stock	49164106	3912	142900	SH
	SOLE	102800		28900
AWARE INC/MASS	Common Stock	05453N100	4927	122800	SH
	SOLE	71500		44600
BANDAG INC	Common Stock	59815100	371	10900	SH	SOLE	0
	4000
BANK OF AMERICA CORP	Common Stock	60505104	1771	33773	SH
	SOLE	32108		0
BANK ONE CORP	Common Stock	06423A103	1291	37542	SH	SOLE
	37542		0
BARNES & NOBLE INC	Common Stock	67774109	260	11300	SH
	SOLE	11300		0
BAXTER INTERNATIONAL INC	Common Stock	71813109	7192
	114720	SH	SOLE	113970		0
BED BATH & BEYOND INC	Common Stock	75896100	3737	94900	SH
	SOLE	29300		65100
BELL ATLANTIC CORP	Common Stock	77853109	2493	40780	SH
	SOLE	36655		2800
BELLSOUTH CORP	Common Stock	79860102	309	6600	SH	SOLE
	6600		0
BEMIS INC	Common Stock	81437105	4285	116200	SH	SOLE
	116200		0
BERKSHIRE HATHAWAY INC -CL B	Common Stock	84670207	1660	912
	SH	SOLE	0		391
BIOGEN INC	Common Stock	90597105	4220	60400	SH	SOLE	17400
	42700
BIOMET INC	Common Stock	90613100	2965	81500	SH	SOLE	24800
	56300
BOSTON CHICKEN INC	Common Stock	100578103	60	13900	SH
	SOLE	13900		0
BREEZECOM LIMITED	Common Stock	M20385106	3872	103600	SH
	SOLE	74700		20800
BRISTOL MYERS SQUIBB CO	Common Stock	110122108	3396	58545	SH
	SOLE	31195		2000
C.H. ROBINSON WORLDWIDE INC	Common Stock	12541W100	4250
	114100	SH	SOLE	114100		0
CABLETRON SYS INC	Common Stock	126920107	2938	100000	SH
	SOLE	30400		69000
CALIFORNIA AMPLIFIER INC	Common Stock	129900106	2427	78300
	SH	SOLE	56400		15800
CAMCO INTERNATIONAL INC	Common Stock	132632100	726	11600	SH
	SOLE	11600		0
CARDINAL HEALTH INC	Common Stock	14149Y108	5841	127325
	SH	SOLE	65370		0
CARNIVAL CORPORATION CL A	Common Stock	143658102	494	19900
	SH	SOLE	0		19900
CATALINA MARKETING CORP	Common Stock	148867104	8191	80900	SH
	SOLE	58300		16300
CBS CORPORATION	Common Stock	12490K107	1450	25600	SH	SOLE
	0		10600
CCC INFORMATION SERVICES CORP	Common Stock	12487Q109	19528
	908300	SH	SOLE	652400		184400
CENDANT CORPORATION	Common Stock	151313103	1320	71353	SH
	SOLE	68803		0
CENTURY TEL ENTERPRISES INC	Common Stock	156686107	390	10500
	SH	SOLE	10500		0
CHASE MANHATTAN CORP	Common Stock	16161A108	1550	17775	SH
	SOLE	15300		2000
CHEVRON CORP	Common Stock	166751107	1560	16875	SH	SOLE
	16400		0
CIBER INC	Common Stock	17163B102	1361	66400	SH	SOLE	20600
	45800
CIENA CORP	Common Stock	171779101	5655	44833	SH	SOLE	13100
	31533
CIGNA CORP	Common Stock	125509109	212	2800	SH	SOLE	2800
	0
CINTAS CORP	Common Stock	172908105	2592	66150	SH	SOLE	20400
	45300
CISCO SYSTEMS INC	Common Stock	17275R102	11280	145899	SH
	SOLE	58345		2700
CITIGROUP INC	Common Stock	172967101	4636	77420	SH	SOLE
	51980		0
CITIZENS UTILITIES CO-CL B	Common Stock	177342201	1747
	106700	SH	SOLE	32500		73600
CITRIX SYSTEMS INC	Common Stock	177376100	4123	62240	SH
	SOLE	27300		33300
CITY NATIONAL CORP	Common Stock	178566105	2176	64600	SH
	SOLE	19900		44300
CLEAR CHANNEL COMMUNICATIONS	Common Stock	184502102	3280	47495
	SH	SOLE	25220		0
COGNEX CORP	Common Stock	192422103	6023	104400	SH	SOLE
	67700		30400
COHERENT INC	Common Stock	192479103	6661	128100	SH
	SOLE	92200		25900
COLGATE PALMOLIVE CO	Common Stock	194162103	1093	19385	SH
	SOLE	17910		0
COM21 INC	Common Stock	205937105	5696	121200	SH	SOLE
	87300		24500
COMMSCOPE INC	Common Stock	203372107	6465	141500	SH
	SOLE	71900		63700
COMPUTER ASSOC INTL INC	Common Stock	204912109	326	5500	SH
	SOLE	0		5500
COMVERSE TECHNOLOGY INC	Common Stock	205862402	2999	15870	SH
	SOLE	4750		10700
COOPER TIRE & RUBR CO	Common Stock	216831107	255	10700	SH
	SOLE	10700		0
CORNING INC	Common Stock	219350105	9040	46600	SH	SOLE	41700
	4900
COSTCO COMPANIES INC	Common Stock	22160K105	547	10400	SH
	SOLE	0		10400
CVS CORP	Common Stock	126650100	3254	86630	SH	SOLE	40205
	0
DANKA BUSINESS SYSTEMS-ADR	Common Stock	236277109	114	17800
	SH	SOLE	17800		0
DATALINK CORP	Common Stock	237934104	7466	373300	SH
	SOLE	264200		77400
DEAN FOODS CO	Common Stock	242361103	1029	38480	SH	SOLE
	0		0
DEPARTMENT 56 INC	Common Stock	249509100	410	27650	SH	SOLE
	0		13000
DEVRY INC	Common Stock	251893103	7591	248900	SH	SOLE
	203500		45000
DIAMETRICS MEDICAL INC	Common Stock	252532106	10467	930400
	SH	SOLE	930400		0
DIAMOND OFFSHORE DRILLING	Common Stock	25271C102	3546	88800
	SH	SOLE	81400		7400
DIAMOND TECH PARTNERS-A	Common Stock	252762109	3919	59600	SH
	SOLE	51300		6000
DIGITAL MICROWAVE CORP	Common Stock	253859102	9898	292200
	SH	SOLE	165400		111900
DII GROUP INC	Common Stock	232949107	5348	47300	SH	SOLE
	14300		32700
DISNEY WALT CO	Common Stock	254687106	836	20200	SH	SOLE
	0		3800
DOLLAR GENERAL	Common Stock	256669102	2874	106950	SH
	SOLE	100085		0
DONNELLEY R R & SONS CO	Common Stock	257867101	2973	142000
	SH	SOLE	142000		0
DOW CHEMICAL	Common Stock	260543103	274	2400	SH	SOLE
	2400		0
DSET CORPORATION	Common Stock	262504103	7240	392700	SH
	SOLE	283100		79200
DST SYSTEMS INC	Common Stock	233326107	7655	117900	SH
	SOLE	109100		8800
DU PONT E I DE NEMOURS & CO	Common Stock	263534109	334	6300
	SH	SOLE	6300		0
DUKE ENERGY	Common Stock	264399106	242	4600	SH	SOLE	4600
	0
E M C CORP MASS	Common Stock	268648102	4159	33010	SH	SOLE
	13015		0
E*TRADE GROUP INC	Common Stock	269246104	1380	45814	SH	SOLE
	7000		38500
EASTMAN KODAK CO	Common Stock	277461109	386	7100	SH	SOLE
	0		2500
ECLIPSE SURGICAL TECH INC	Common Stock	278849104	1412
	189900	SH	SOLE	138400		38800
ELECTRONIC ARTS INC	Common Stock	285512109	8933	125490
	SH	SOLE	58595		38200
EMERSON ELEC CO	Common Stock	291011104	3416	64300	SH	SOLE
	64300		0
EMISPHERE TECHNOLOGIES INC	Common Stock	291345106	4835	93200
	SH	SOLE	67200		18900
ENRON CORP	Common Stock	293561106	1784	23820	SH	SOLE	21995
	1000
EXAR CORP	Common Stock	300645108	8294	115900	SH	SOLE
	83600		23400
EXCELSIOR-HENDERSON MOTORCYCLE	Common Stock	300906104	19
	26667	SH	SOLE	0		26667
EXCHANGE APPLICATIONS SOFTWARE	Common Stock	300867108	6277
	118600	SH	SOLE	85200		24000
EXPRESS SCRIPTS INC CLASS A	Common Stock	302182100	4267
	101600	SH	SOLE	53600		43600
EXXON MOBIL CORPORATION	Common Stock	30231G102	11132	142834
	SH	SOLE	119734		21100
FAMILY DLR STORES INC	Common Stock	307000109	3178	152700
	SH	SOLE	47100		104700
FEDERAL HOME LN MTG CORP	Common Stock	313400301	3048	68980
	SH	SOLE	35305		13700
FIRST DATA CORP	Common Stock	319963104	302	6800	SH	SOLE
	6800		0
FIRST TENNESSEE NATL CORP	Common Stock	337162101	999	49200
	SH	SOLE	15200		33700
FIRST USA INC	Common Stock	33743H105	304	5200	SH	SOLE
	5200		0
FISERV INC	Common Stock	337738108	3880	104325	SH	SOLE
	39200		64625
FLEET BOSTON FINANCIAL CORP	Common Stock	339030108	248	6800
	SH	SOLE	6800		0
FLEXTRONICS INTL LTD	Common Stock	Y2573F102	7626	108260
	SH	SOLE	76635		28800
FORD MTR CO DEL	Common Stock	345370100	469	10200	SH	SOLE
	10200		0
FPL GROUP INC	Common Stock	302571104	862	18713	SH	SOLE
	4000		6413
GANNETT CO	Common Stock	364730101	855	12150	SH	SOLE	3300
	8850
GAP INC	Common Stock	364760108	4077	81840	SH	SOLE	41640
	0
GENERAL ELEC CO	Common Stock	369604103	8948	57500	SH	SOLE
	29800		3650
GENERAL MLS INC	Common Stock	370334104	358	9900	SH	SOLE
	0		9900
GENETECH	Common Stock	368710406	1398	9200	SH	SOLE	1050
	0
GLOBAL CROSSING	Preferred-%Debt	37931K309	366	3750	SH	SOLE
	0		3750
GLOBAL CROSSING LTD	Common Stock	G3921A100	2274	55540	SH
	SOLE	29115		0
GREAT PLAINS SOFTWARE INC	Common Stock	3.91E+109	5556
	104100	SH	SOLE	74800		21200
GTE CORP	Common Stock	362320103	476	6700	SH	SOLE	6700
	0
HALLIBURTON CO	Common Stock	406216101	1206	29315	SH	SOLE
	28190		0
HARCOURT GEN INC	Common Stock	41163G101	564	10800	SH	SOLE
	10800		0
HARLEY DAVIDSON INC	Common Stock	412822108	589	7300	SH
	SOLE	7300		0
HARRIS CORP DEL	Common Stock	413875105	5495	159000	SH
	SOLE	142000		17000
HASBRO INC	Common Stock	418056107	289	7850	SH	SOLE	0
	7850
HEALTH MGMT ASSOCIATES INC-A	Common Stock	421933102	4375
	307050	SH	SOLE	93600		211750
HEALTHEON/WEBMD CORPORATION	Common Stock	422209106	2132	92700
	SH	SOLE	28100		64100
HERITAGE MEDIA CORP CLASS A	Common Stock	427241203	271	13400
	SH	SOLE	13400		0
HEWLETT PACKARD CO	Common Stock	428236103	278	2100	SH
	SOLE	0		2100
HFS INCORPORATED	Common Stock	404181109	1162	15000	SH	SOLE
	15000		0
HOME DEPOT INC	Common Stock	437076102	792	12289	SH	SOLE
	1		10852
HOTEL RESERVATIONS INC	Common Stock	441451101	4881	275000
	SH	SOLE	198000		55600
HOUSEHOLD INTL INC	Common Stock	441815107	4694	125800
	SH	SOLE	125800		0
I2 TECHNOLOGIES INC	Common Stock	465754109	1691	13850	SH
	SOLE	4200		9600
IFCO SYSTEMS NV	Common Stock	N43961106	3253	142220	SH
	SOLE	106040		25961
IGATE CAPITAL CORPORATION	Common Stock	45169U105	8849
	196100	SH	SOLE	140200		40400
IKON OFFICE SOLUTIONS INC	Common Stock	451713101	359	15400
	SH	SOLE	15400		0
IMRGLOBAL CORP	Common Stock	45321W106	12396	862300	SH
	SOLE	620400		173500
INFOCURE CORP	Common Stock	45665A108	5987	344600	SH
	SOLE	253800		65400
INTEL CORP	Common Stock	458140100	13564	102810	SH	SOLE
	46100		7900
INTERNATIONAL PAPER CO	Common Stock	460146103	214	5000	SH
	SOLE	5000		0
INTRANET SOLUTIONS INC	Common Stock	460939309	6072	132000
	SH	SOLE	132000		0
JAKKS PACIFIC INC	Common Stock	4.70E+110	13579	629750	SH
	SOLE	454150		127150
JDS UNIPHASE CORP	Common Stock	46612J101	1916	15895	SH	SOLE
	6950		0
JEFFERSON-PILOT CORP	Common Stock	475070108	266	4000	SH
	SOLE	4000		0
JOHNSON & JOHNSON	Common Stock	478160104	759	10810	SH	SOLE
	0		9000
JONES APPAREL GROUP INC	Common Stock	480074103	4238	134000
	SH	SOLE	54500		78900
KENNETH COLE PRODUCTIONS-A	Common Stock	193294105	6125
	156050	SH	SOLE	112450		31650
KNIGHT TRIMARK GROUP CL-A	Common Stock	499068104	3590	70400
	SH	SOLE	21500		48500
KOHLS CORP	Common Stock	500255104	2788	27200	SH	SOLE	8400
	18600
KOPIN CORP	Common Stock	500600101	976	14200	SH	SOLE	4300
	9800
LATTICE SEMICONDUCTORS CORP	Common Stock	518415104	9849
	145500	SH	SOLE	104700		29400
LCI INTERNATIONAL INC	Common Stock	501813109	1288	35600	SH
	SOLE	35600		0
LEGATO SYSTEMS INC	Common Stock	524651106	1669	37400	SH
	SOLE	11400		25800
LEGGETT & PLATT INC	Common Stock	524660107	2546	118400
	SH	SOLE	35300		82400
LENNAR CORP	Common Stock	526057104	261	9500	SH	SOLE	9500
	0
LINEAR TECHNOLOGY CORP	Common Stock	535678106	6248	113600
	SH	SOLE	34600		78400
LOWES COS INC	Common Stock	548661107	3767	64530	SH	SOLE
	33330		0
LUCENT TECHNOLOGIES INC	Common Stock	549463107	6458	105430
	SH	SOLE	60905		0
MARSH & MCLENNAN COS INC	Common Stock	571748102	507	4600
	SH	SOLE	4600		0
MAXIM INTEGRATED PRODUCTS	Common Stock	57772K101	6936	97600
	SH	SOLE	29000		68000
MAXYGEN	Common Stock	577776107	1278	19600	SH	SOLE	14300
	3800
MCCORMICK & CO INC	Common Stock	579780206	3188	98859	SH
	SOLE	12000		27400
MCDONALDS CORP	Common Stock	580135101	7619	203840	SH
	SOLE	184500		18500
MCI WORLDCOM INC	Common Stock	55268B106	4933	108858	SH
	SOLE	61920		11600
MEDIMMUNE INC	Common Stock	584699102	2002	11500	SH	SOLE
	3500		7900
MEDTRONIC INC	Common Stock	585055106	14592	283680	SH
	SOLE	216945		16400
MELLON FINANCIAL CORP	Common Stock	58551A108	1165	39150	SH
	SOLE	37975		0
MENTOR CORP/MINN	Common Stock	587188103	10321	382250	SH
	SOLE	275350		77600
MERCANTILE BANKSHARES CORP	Common Stock	587405101	1791	58600
	SH	SOLE	18100		40200
MERCK & CO. INC	Common Stock	589331107	281	4520	SH	SOLE
	0		3300
MERCURY COMPUTER SYSTEMS INC	Common Stock	589378108	12791
	261700	SH	SOLE	188400		52800
METROMEDIA FIBER NETWORK -A	Common Stock	591689104	3028	31300
	SH	SOLE	26300		5000
MGIC INVT CORP WIS	Common Stock	552848103	5148	118000
	SH	SOLE	118000		0
MICROCHIP TECHNOLOGY INC	Common Stock	595017104	3288	50000
	SH	SOLE	15200		34500
MICROSOFT CORP	Common Stock	594918104	10102	95075	SH	SOLE
	52405		800
MINERALS TECHNOLOGIES INC	Common Stock	603158106	593	13300
	SH	SOLE	13300		0
MINIMED INC	Common Stock	60365K108	1603	12375	SH	SOLE	3700
	8600
MINNESOTA MNG & MFG CO	Common Stock	604059105	7714	87100	SH
	SOLE	80800		6300
MORGAN STANLEY DEAN WITTER DISC	Common Stock	617446448	265
	3200	SH	SOLE	3200		0
MOTOROLA INC	Common Stock	620076109	10490	71850	SH	SOLE
	61605		1900
MYLAN LABORATORIES	Common Stock	628530107	3652	132800
	SH	SOLE	40500		91600
NABORS INDUSTRIES INC	Common Stock	629568106	4805	123800
	SH	SOLE	33500		80100
NATIONAL COMPUTER SYS INC	Common Stock	635519101	7658
	150900	SH	SOLE	108700		30500
NEWELL RUBBERMAID INC.	Common Stock	651229106	1042	41998	SH
	SOLE	6300		0
NEWMONT MINING CORP	Common Stock	651639106	242	10800	SH
	SOLE	0		10800
NIKE INC - CLASS B	Common Stock	654106103	460	11600	SH
	SOLE	0		1000
NORDSTROM INC	Common Stock	655664100	412	6300	SH	SOLE
	6300		0
NORTEL NETWORKS CORP	Common Stock	656569100	4487	35575	SH
	SOLE	14600		0
NOVOSTE CORPORATION	Common Stock	67010C100	4600	115000
	SH	SOLE	82900		23100
NUCOR CORP	Common Stock	670346105	690	13800	SH	SOLE	0
	5600
OFFICIAL PAYMENTS CORP	Common Stock	676235104	2024	48200	SH
	SOLE	34900		9600
ORACLE SYS CORP	Common Stock	68389X105	6979	89400	SH	SOLE
	36950		0
ORCKIT COMMUNICATIONS LTD	Common Stock	M7531S107	7035
	105000	SH	SOLE	75700		21200
PACIFIC SUNWEAR OF CALIFORNIA	Common Stock	694873100	11916
	309500	SH	SOLE	221900		62100
PALM INC	Common Stock	696642107	1823	40635	SH	SOLE	39235
	0
PAPA JOHNS INTERNATIONAL INC	Common Stock	698813102	8375
	253800	SH	SOLE	149200		91700
PARAMETRIC TECHNOLOGY CORP	Common Stock	699173100	676	32100
	SH	SOLE	0		10600
PATTERSON DENTAL COMPANY	Common Stock	703412106	6724
	175800	SH	SOLE	125850		36050
PATTERSON ENERGY INC	Common Stock	703414102	9233	290800
	SH	SOLE	209600		58600
PAYCHEX INC	Common Stock	704326107	1833	35000	SH	SOLE	10700
	24100
PENTAIR INC	Common Stock	709631105	7361	198600	SH	SOLE
	180200		18400
PEPSICO INC	Common Stock	713448108	3409	97760	SH	SOLE	59845
	0
PEREGRINE SYSTEMS	Common Stock	71366Q101	4922	73400	SH	SOLE
	22400		50600
PETROLEUM GEO-SERVICES-ADR	Common Stock	716597109	253	14600
	SH	SOLE	14600		0
PHILIP MORRIS COS INC	Common Stock	718154107	549	32000	SH
	SOLE	0		15000
PRAXAIR INC	Common Stock	74005P104	1360	32665	SH	SOLE	31390
	0
PRICE T ROWE ASSOC INC	Common Stock	741477103	2429	61500	SH
	SOLE	18800		42400
PROFIT RECOVERY GROUP INTL	Common Stock	743168106	7722
	417400	SH	SOLE	301000		84000
PROGRESSIVE CORP OHIO	Common Stock	743315103	864	6300	SH
	SOLE	6300		0
QLOGIC CORP	Common Stock	747277101	4756	35100	SH	SOLE	10700
	24200
QUALCOMM INC	Common Stock	747525103	3584	24000	SH	SOLE
	24000		0
R.P. SCHERER CORP	Common Stock	806528105	737	8100	SH	SOLE
	4400		3700
RADIAN GROUP INC	Common Stock	750236101	14377	301873	SH
	SOLE	217871		61003
REEBOK INTL LTD	Common Stock	758110100	220	7500	SH	SOLE
	7500		0
REMEC INC	Common Stock	759543101	25710	509100	SH	SOLE
	300300		179600
RENAL CARE GROUP INC	Common Stock	759930100	9740	449100
	SH	SOLE	324000		90700
ROBERT HALF INTL INC	Common Stock	770323103	2220	46800	SH
	SOLE	14200		32300
ROSS STORES INC	Common Stock	778296103	1042	43300	SH	SOLE
	13100		30000
S-ONE CORPORATION	Common Stock	78463B101	2134	24900	SH	SOLE
	24900		0
SAVILLE SYSTEMS IREL - SP ADR	Common Stock	805174109	512	21100
	SH	SOLE	21100		0
SAWTEK INC	Common Stock	805468105	9088	172900	SH	SOLE
	113900		47300
SBC COMMUNICATIONS INC	Common Stock	78387G103	615	14590	SH
	SOLE	10700		3000
SCHERING PLOUGH CORP	Common Stock	806605101	3835	103295
	SH	SOLE	57650		0
SCHLUMBERGER LTD	Common Stock	806857108	1351	17660	SH	SOLE
	16935		0
SCHOLASTIC CORP	Common Stock	807066105	206	5300	SH	SOLE
	5300		0
SCHWAB (CHARLES) CORP	Common Stock	808513105	5326	93755	SH
	SOLE	38180		0
SCHWEITZER-MAUDUIT INTL INC	Common Stock	808541106	245	18900
	SH	SOLE	0		7100
SENSORMATIC ELECTRS CORP	Common Stock	817265101	175	11200
	SH	SOLE	11200		0
SIEBEL SYSTEMS INC	Common Stock	826170102	6276	52550	SH
	SOLE	16000		36300
SLM HOLDING CORP	Common Stock	78442A109	423	12700	SH	SOLE
	0		3950
SMITH INTL INC	Common Stock	832110100	2930	37800	SH	SOLE
	11700		25900
SPRINT CORP	Common Stock	852061100	2315	36600	SH	SOLE	21650
	0
STAPLES INC	Common Stock	855030102	1556	77785	SH	SOLE	24000
	53350
STARBUCKS CORP	Common Stock	855244109	3858	86100	SH	SOLE
	24900		60700
SUN MICROSYSTEMS INC	Common Stock	866810104	4848	51740	SH
	SOLE	23910		0
SYBRON INTL CORP-WISCONSIN	Common Stock	87114F106	10002
	344900	SH	SOLE	239900		104300
SYNOPSYS INC	Common Stock	871607107	6943	142420	SH
	SOLE	92340		45000
TARGET CORP	Common Stock	8.76E+110	7609	101795	SH	SOLE
	92920		7900
TECH DATA CORP	Common Stock	878237106	404	8100	SH	SOLE
	8100		0
TELEPHONE & DATA SYS INC	Common Stock	879433100	9679	87200
	SH	SOLE	68600		18500
TELLABS INC	Common Stock	879664100	2849	45240	SH	SOLE	42100
	1300
TEXACO INC	Common Stock	881694103	874	16260	SH	SOLE	15735
	0
THREE-FIVE SYSTEMS INC	Common Stock	88554L108	16859	280991
	SH	SOLE	202094		57065
TIG HLDGS INC	Common Stock	872469101	248	10000	SH	SOLE
	10000		0
TIME WARNER INC	Common Stock	887315109	13212	132115	SH
	SOLE	107645		7400
TOLLGRADE COMMUNICATIONS INC	Common Stock	889542106	17442
	329100	SH	SOLE	237600		66300
TREX COMPANY INC	Common Stock	89531P105	3129	81800	SH	SOLE
	58000		17200
TRIMAS CORP	Common Stock	896215100	464	13500	SH	SOLE	13500
	0
TRW INC	Common Stock	872649108	5762	98500	SH	SOLE	89500
	9000
TTI TEAM TELECOM INTL LTD	Common Stock	M88258104	4950
	150000	SH	SOLE	107800		30600
TYCO INTERNATIONAL LTD	Common Stock	902124106	9995	199405
	SH	SOLE	119915		2400
U.S. BANCORP	Common Stock	902973106	809	37000	SH	SOLE
	37000		0
UNIFI INC	Common Stock	904677101	418	10900	SH	SOLE	10900
	0
UNITED ASSET MGMT CORP	Common Stock	909420101	400	23100	SH
	SOLE	0		8000
VALASSIS COMMUNICATIONS INC	Common Stock	918866104	13428
	403100	SH	SOLE	247650		132700
VERITAS SOFTWARE CORP	Common Stock	923436109	5692	43450	SH
	SOLE	13175		30050
VISUAL NETWORKS INC	Common Stock	928444108	2928	51600	SH
	SOLE	37100		10400
VITESSE SEMICONDUCTOR CORP	Common Stock	928497106	6516	67700
	SH	SOLE	20600		46700
WABASH NATL CORP	Common Stock	929566107	306	9900	SH	SOLE
	9900		0
WAL MART STORES INC	Common Stock	931142103	2635	46635	SH
	SOLE	14515		0
WALGREEN CO	Common Stock	931422109	4653	180680	SH	SOLE
	178800		0
WARNACO GROUP INC	Common Stock	934390105	432	10400	SH	SOLE
	10400		0
WARNER-LAMBERT CO	Common Stock	934488107	6935	70990	SH	SOLE
	30685		0
WATSON PHARMACEUTICAL INC	Common Stock	942683103	2814	70900
	SH	SOLE	20900		49600
WAVO CORPORATION	Common Stock	944027101	2493	557800	SH
	SOLE	400000		111900
WELLS FARGO COMPANY	Common Stock	949746101	2448	60070	SH
	SOLE	38970		18500
WESTELL TECHNOLOGIES INC	Common Stock	957541105	4794
	150400	SH	SOLE	108400		30400
WEYERHAEUSER CO	Common Stock	962166104	978	17160	SH	SOLE
	16685		0
WILD OATS MARKETS INC	Common Stock	96808B107	6808	332100
	SH	SOLE	239750		66800
WILLIAMS COS INC	Common Stock	969457100	338	7700	SH	SOLE
	0		7700
ZAMBA CORPORATION	Common Stock	988881108	4708	449695	SH
	SOLE	324095		90400
ZEBRA TECHNOLOGIES CORP-CL A	Common Stock	989207105	17095
	341900	SH	SOLE	259500		61000
ZIONS BANCORPORATION	Common Stock	989701107	1215	29200	SH
	SOLE	8900		20100
ZORAN CORP	Common Stock	98975F101	5654	100400	SH	SOLE
	72200		20300

[/TABLE]


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