PALADIN INVESTMENT ASSOCIATES LLC
13F-HR, 2001-01-10
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Main Page (1)
TYPE		13F-HR
PERIOD	12/31/00
FILER
	CIK	0000051879
	CCC	7eokwaz#
SUBMISSION-CONTACT
	NAME	Jill Stevenson
	PHONE	612-376-2862

Attached Documents Page (2)
	FORM 13F
	FORM 13f COVER PAGE

Report for the Calendar Year or Quarter Ended: December 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:	Paladin Investment Associates, LLC
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:	Jill Stevenson
Title: Vice President, Director of Operations
Phone: 612-376-2862
Signature, Place, and Date of Signing:
	Jill Stevenson	Minneapolis, Minnesota

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:	216

Form 13F Information Table Value Total:	$505,427,000

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           3401
124229 SH              SOLE                 73130             28199
A T & T CORP                  Common Stock    001957109            209
12100 SH              SOLE                 12100
ABBOTT LABS                   Common Stock    002824100           1724
35600 SH              SOLE                 28300              7300
ADC TELECOMMUNICATIONS INC    Common Stock    000886101           5039
278000 SH              SOLE                105400            170900
AEROFLEX INC                  Common Stock    007768104           5610
194600 SH              SOLE                115000             43600
AFFILIATED MANAGERS GROUP, INCCommon Stock    008252108           3797
69200 SH              SOLE                 41400             14800
AFTERMARKET TECHNOLOGY CORP   Common Stock    008318107           2143
979600 SH              SOLE                599800            220500
ALAMOSA PCS HOLDINGS INC      Common Stock    011593100           1127
140900 SH              SOLE                 82800             32200
ALBANY MOLECULAR RESEARCH     Common Stock    012423109           2483
40300 SH              SOLE                 23600              9000
ALLIANCE CAP MGMT L P         Common Stock    01855A101           1326
26200 SH              SOLE                 17300              8900
ALLTEL CORP                   Common Stock    020039103            219
3500 SH              SOLE                  3500
AMDOCS LTD                    Common Stock    G02602103           5284
79755 SH              SOLE                 19810             21500
AMERICA ONLINE INC            Common Stock    02364J104           1627
46745 SH              SOLE                 19475
AMERICAN GENERAL CORP         Common Stock    026351106            334
4100 SH              SOLE                  4100
AMERICAN HOME PRODUCTS CORP   Common Stock    026609107           3452
54325 SH              SOLE                 22445
AMERICAN INTL GROUP INC       Common Stock    026874107           2366
24008 SH              SOLE                 14703
ANALOG DEVICES INC            Common Stock    032654105           2341
45740 SH              SOLE                 18630
ANHEUSER-BUSCH COS INC        Common Stock    035229103            323
7100 SH              SOLE                  7100
APOGENT TECHNOLOGIES INC      Common Stock    03760A101           2235
109000 SH              SOLE                 27900             80200
APOLLO GROUP INC CLASS A      Common Stock    037604105           8578
174400 SH              SOLE                 78400             76800
APPLIED MOLECULAR EVOLUTION   Common Stock    03823E108           1252
73400 SH              SOLE                 43200             16600
ATLAS AIR INC                 Common Stock    049164106           2633
80700 SH              SOLE                 47500             18400
AUGUST TECHNOLOGY CORP        Common Stock    05106U105           2608
201600 SH              SOLE                119400             45200
AVOCENT CORPORATION           Common Stock    053893103           4099
151800 SH              SOLE                 71800             61400
AXT INC.                      Common Stock    00246W103           5002
151300 SH              SOLE                 88800             33800
BANK OF AMERICA CORP          Common Stock    060505104           1250
27238 SH              SOLE                 25363
BAXTER INTERNATIONAL INC      Common Stock    071813109           3001
33985 SH              SOLE                 26415              6200
BED BATH & BEYOND INC         Common Stock    075896100           2998
134000 SH              SOLE                 34300             98600
BELLSOUTH CORP                Common Stock    079860102            270
6600 SH              SOLE                  6600
BIOGEN INC                    Common Stock    090597105           1171
19500 SH              SOLE                  5000             14300
BIOMET INC                    Common Stock    090613100           3342
84200 SH              SOLE                 21350             62100
BJ SERVICES CO                Common Stock    055482103           3416
49600 SH              SOLE                 12700             36500
BOSTON PRIVATE FINL HOLDING   Common Stock    101119105           4778
240400 SH              SOLE                141400             54700
BRAUN CONSULTING              Common Stock    105651103            582
157900 SH              SOLE                 93900             34800
BRINKER INTERNATIONAL INC     Common Stock    109641100            346
8200 SH              SOLE                                    8200
C.H. ROBINSON WORLDWIDE INC   Common Stock    12541W100            629
20000 SH              SOLE                 20000
CALPINE CORP                  Common Stock    131347106           3745
83100 SH              SOLE                 21200             61200
CAMTEK LIMITED                Common Stock    M20791105           1838
249200 SH              SOLE                146800             56500
CANADIAN PAC LTD              Common Stock    135923100            448
15700 SH              SOLE                                   15700
CAPITAL ONE FINANCIAL CORP    Common Stock    14040H105           1777
27000 SH              SOLE                 24930
CARDINAL HEALTH INC           Common Stock    14149Y108           5400
54205 SH              SOLE                 20440
CASEYS GEN STORES INC         Common Stock    147528103           1011
67700 SH              SOLE                 47500             20200
CATALINA MARKETING CORP       Common Stock    148867104           5338
137100 SH              SOLE                 80700             31100
CHEVRON CORP                  Common Stock    166751107            991
11740 SH              SOLE                 11045
CINTAS CORP                   Common Stock    172908105           2303
43300 SH              SOLE                 10950             32000
CISCO SYSTEMS INC             Common Stock    17275R102           4698
122830 SH              SOLE                 35250
CITIGROUP INC                 Common Stock    172967101           4009
78516 SH              SOLE                 46680
CITIZENS COMMUNICATIONS CO CL Common Stock    17453B101           1446
110200 SH              SOLE                 28200             81100
CLEAR CHANNEL COMMUNICATIONS  Common Stock    184502102           2782
57445 SH              SOLE                 25960
COASTAL CORP                  Common Stock    190441105           1378
15600 SH              SOLE                 10800              4800
COHERENT INC                  Common Stock    192479103           1128
34700 SH              SOLE                 20500              7800
COLGATE PALMOLIVE CO          Common Stock    194162103            590
9140 SH              SOLE                  8085
COMCAST CORP - CL A SPL       Common Stock    200300200           2487
59570 SH              SOLE                 26110
COMMSCOPE INC                 Common Stock    203372107           3483
210300 SH              SOLE                 96800             88900
COMPAQ COMPUTER CORP          Common Stock    204493100            649
43145 SH              SOLE                 39945
CONCORD EFS INC               Common Stock    206197105           4728
107600 SH              SOLE                 27400             79300
CORE LABORATORIES N.V.        Common Stock    N22717107           6033
220900 SH              SOLE                130600             49600
CORNING INC                   Common Stock    219350105           2883
54590 SH              SOLE                 23170              4700
CRITICAL PATH INC             Common Stock    22674V100           1288
41900 SH              SOLE                 10400             31300
CVS CORP                      Common Stock    126650100           2861
47725 SH              SOLE                 23600
DATALINK CORP                 Common Stock    237934104           2762
249700 SH              SOLE                148400             55400
DEAN FOODS CO                 Common Stock    242361103           1046
34100 SH              SOLE                 23500             10600
DEVRY INC                     Common Stock    251893103           2676
70900 SH              SOLE                 36400             34100
DIAMOND OFFSHORE DRILLING     Common Stock    25271C102           1756
43900 SH              SOLE                 29600             14300
DISCOVERY PARTNERS INTL.      Common Stock    254675101           1641
135300 SH              SOLE                 79800             30600
DMC STRATEX NETWORKS INC      Common Stock    23322L106           3350
223300 SH              SOLE                106800             88500
DOLLAR GENERAL                Common Stock    256669102           1253
66392 SH              SOLE                 60984
DOLLAR TREE STORES INC.       Common Stock    256747106           3288
134200 SH              SOLE                 34400             98700
DONNELLEY R R & SONS CO       Common Stock    257867101           1607
59500 SH              SOLE                 47000             12500
DOW CHEMICAL                  Common Stock    260543103            264
7200 SH              SOLE                  7200
DU PONT E I DE NEMOURS & CO   Common Stock    263534109            203
4200 SH              SOLE                  4200
DUKE ENERGY                   Common Stock    264399106            512
6000 SH              SOLE                  6000
E M C CORP MASS               Common Stock    268648102           3255
48950 SH              SOLE                 10830
EDEN BIOSCIENCE CORPORATION   Common Stock    279445100           2901
96900 SH              SOLE                 59000             22400
EDISON SCHOOLS INC            Common Stock    281033100           2920
92700 SH              SOLE                 54300             20700
ELECTRONIC ARTS INC           Common Stock    285512109           2937
68900 SH              SOLE                 17500             50800
EMERSON ELEC CO               Common Stock    291011104            473
6000 SH              SOLE                  6000
ENRON CORP                    Common Stock    293561106           1101
13245 SH              SOLE                 12040
EXAR CORP                     Common Stock    300645108           3356
108300 SH              SOLE                 64100             24400
EXPRESS SCRIPTS INC CLASS A   Common Stock    302182100           6391
62500 SH              SOLE                 25600             31200
EXXON MOBIL CORPORATION       Common Stock    30231G102           5417
62310 SH              SOLE                 41610             18800
FAMILY DLR STORES INC         Common Stock    307000109           3707
172900 SH              SOLE                 44200            127300
FEDERAL HOME LN MTG CORP      Common Stock    313400301           1688
24505 SH              SOLE                 22650
FISERV INC                    Common Stock    337738108           2120
44700 SH              SOLE                 11400             32900
FLEET BOSTON FINANCIAL CORP   Common Stock    339030108            851
22650 SH              SOLE                 21060
FLEXTRONICS INTL LTD          Common Stock    Y2573F102           7177
251832 SH              SOLE                 81296             94080
FORD MOTOR COMPANY            Common Stock    345370860            268
11426 SH              SOLE                 11426
FPL GROUP INC                 Common Stock    302571104            359
5000 SH              SOLE                  5000
GANNETT CO                    Common Stock    364730101            404
6400 SH              SOLE                                    6400
GEMINI GENOMICS PLC - ADR     Common Stock    36865M109            378
67200 SH              SOLE                 39600             15300
GENAISSANCE PHARMACEUTICALS   Common Stock    36867W105           1784
99100 SH              SOLE                 58400             22500
GENERAL ELEC CO               Common Stock    369604103           7437
155135 SH              SOLE                 55985             10350
GENERL DYNAMICS CORP          Common Stock    369550108            491
6300 SH              SOLE                                    6300
GENETECH                      Common Stock    368710406           1671
20500 SH              SOLE                   500
GLOBAL CROSSING LTD           Common Stock    G3921A100           2724
190290 SH              SOLE                 69610
HALLIBURTON CO                Common Stock    406216101           1172
32335 SH              SOLE                 29680
HEALTH MGMT ASSOCIATES INC-A  Common Stock    421933102           4395
211800 SH              SOLE                 54100            155900
HISPANIC BROADCASTING CORP.   Common Stock    43357B104           1782
69900 SH              SOLE                 17900             51400
HOTEL RESERVATIONS INC        Common Stock    441451101           4293
151300 SH              SOLE                 89500             33900
HOUSEHOLD INTL INC            Common Stock    441815107           1705
31000 SH              SOLE                 20700             10300
ILLINOIS TOOL WKS INC         Common Stock    452308109            870
14600 SH              SOLE                 14600
ILLUMINA INC.                 Common Stock    452327109            763
47500 SH              SOLE                 28100             10600
IMRGLOBAL CORP                Common Stock    45321W106           2766
514600 SH              SOLE                305200            114100
INTEL CORP                    Common Stock    458140100           3798
126325 SH              SOLE                 45715
INTERNATIONAL BUSINESS MACHINECommon Stock    459200101           2397
28195 SH              SOLE                 10335
INTERNATIONAL PAPER CO        Common Stock    460146103            306
7500 SH              SOLE                  7500
INTERNET SECURITY SYSTEMS     Common Stock    46060X107           2443
31150 SH              SOLE                  7900             23000
INTIMATE BRANDS INC           Common Stock    461156101            615
41000 SH              SOLE                 41000
JAKKS PACIFIC INC             Common Stock    47012E106           4259
466700 SH              SOLE                277000            103250
JDS UNIPHASE CORP             Common Stock    46612J101           1710
41020 SH              SOLE                 12650
JOHNSON & JOHNSON             Common Stock    478160104           1649
15700 SH              SOLE                  9300              6400
JONES APPAREL GROUP INC       Common Stock    480074103           2742
85200 SH              SOLE                 21700             62800
JP MORGAN CHASE & CO          Common Stock    46625H100            798
17570 SH              SOLE                 16260
KENNETH COLE PRODUCTIONS-A    Common Stock    193294105           5746
142750 SH              SOLE                 84350             32050
KIMBERLY CLARK CORP           Common Stock    494368103            537
7600 SH              SOLE                                    7600
KNIGHT TRADING GROUP INC      Common Stock    499063105            676
48500 SH              SOLE                 12400             35700
KOPIN CORP                    Common Stock    500600101           4012
362700 SH              SOLE                180400            133400
LCC INTERNATIONAL INC - CL A  Common Stock    501810105           1331
122400 SH              SOLE                 72100             27800
LEAR CORPORATION              Common Stock    521865105            211
8500 SH              SOLE                  8500
LOWES COS INC                 Common Stock    548661107           2753
61870 SH              SOLE                 25030
MACROMEDIA INC                Common Stock    556100105           1346
22150 SH              SOLE                  5600             16400
MARSH & MCLENNAN COS INC      Common Stock    571748102            351
3000 SH              SOLE                  3000
MAXYGEN                       Common Stock    577776107           1678
68500 SH              SOLE                 40300             15300
MCDONALDS CORP                Common Stock    580135101           1989
58500 SH              SOLE                 37000             21500
MCLEOD INC-CLA                Common Stock    582266102            523
37000 SH              SOLE                 37000
MEDIMMUNE INC                 Common Stock    584699102           1865
39100 SH              SOLE                 10000             28800
MEDTRONIC INC                 Common Stock    585055106           6144
101770 SH              SOLE                 47635              7900
MELLON FINANCIAL CORP         Common Stock    58551A108            978
19885 SH              SOLE                 18450
MENTOR CORP/MINN              Common Stock    587188103           5649
289700 SH              SOLE                170700             65700
MERCURY COMPUTER SYSTEMS INC  Common Stock    589378108           5800
124900 SH              SOLE                 73800             28100
MGIC INVT CORP WIS            Common Stock    552848103           1720
25500 SH              SOLE                 16700              8800
MICREL INC                    Common Stock    594793101           2237
66400 SH              SOLE                 17000             48800
MICROCHIP TECHNOLOGY INC      Common Stock    595017104           1133
51650 SH              SOLE                 13100             38100
MICROSOFT CORP                Common Stock    594918104           3400
78375 SH              SOLE                 25545
MILLIPORE CORP                Common Stock    601073109           1090
17300 SH              SOLE                 17300
MINIMED INC                   Common Stock    60365K108            721
17150 SH              SOLE                  4400             12600
MINNESOTA MNG & MFG CO        Common Stock    604059105           2494
20700 SH              SOLE                 14900              5800
MOLECULAR DEVICES CORP        Common Stock    60851C107           4832
70600 SH              SOLE                 41600             16000
MORGAN STANLEY DEAN WITTER DISCommon Stock    617446448            254
3200 SH              SOLE                  3200
MOTOROLA INC                  Common Stock    620076109           2415
119270 SH              SOLE                 51420
NABORS INDUSTRIES INC         Common Stock    629568106           3620
61200 SH              SOLE                 16100             44400
NASDAQ-100 SHARES             Common Stock    631100104            391
6700 SH              SOLE                  6700
NATL COMMERCE BANCORPORATION  Common Stock    635449101           2010
81200 SH              SOLE                 19700             61500
NETIQ CORP                    Common Stock    64115P102           4369
50000 SH              SOLE                 28600             10800
NOBLE DRILLING CORP           Common Stock    655042109           3792
87300 SH              SOLE                 22300             64300
NORTEL NETWORKS CORP          Common Stock    656568102           2518
78540 SH              SOLE                 23980
NOVOSTE CORPORATION           Common Stock    67010C100           5041
183300 SH              SOLE                108300             41100
ORACLE SYS CORP               Common Stock    68389X105           2533
87140 SH              SOLE                 26240
PACIFIC SUNWEAR OF CALIFORNIA Common Stock    694873100           9422
367700 SH              SOLE                217400             82500
PACKETEER INC                 Common Stock    695210104           1525
123200 SH              SOLE                 72700             27800
PATTERSON DENTAL COMPANY      Common Stock    703412106           4299
126900 SH              SOLE                 74700             28900
PATTERSON ENERGY INC          Common Stock    703414102           6143
164900 SH              SOLE                 97100             37300
PEPSICO INC                   Common Stock    713448108           2591
52285 SH              SOLE                 24110
PFIZER INC                    Common Stock    717081103           4434
96383 SH              SOLE                 29462
PHARMACOPEIA INC              Common Stock    71713B104           2639
121000 SH              SOLE                 71300             27400
POWERWAVE TECHNOLIGIES INC    Common Stock    739363109           4352
74400 SH              SOLE                 19000             54800
PRAXAIR INC                   Common Stock    74005P104            955
21515 SH              SOLE                 19660
QLOGIC CORP                   Common Stock    747277101           1863
24200 SH              SOLE                  6200             17800
QWEST COMMUNICATIONS INTL     Common Stock    749121109            247
6052 SH              SOLE                  6052
RADIAN GROUP INC              Common Stock    750236101           7410
98715 SH              SOLE                 58313             22203
RATIONAL SOFTWARE CORP        Common Stock    75409P202           1184
30400 SH              SOLE                  7800             22300
REHABCARE GROUP INC           Common Stock    759148109           7388
143800 SH              SOLE                 84200             32300
RELIANT ENERGY INC            Common Stock    75952J108            299
6900 SH              SOLE                                    6900
REMEC INC                     Common Stock    759543101           7378
766500 SH              SOLE                354300            320850
RENAL CARE GROUP INC          Common Stock    759930100           7069
257800 SH              SOLE                152500             57800
RF MICRO DEVICES INC          Common Stock    749941100           1572
57300 SH              SOLE                 14600             42200
ROBERT HALF INTL INC          Common Stock    770323103           1707
64400 SH              SOLE                 16300             47600
S & P 500 DEPOSITARY RECEIPT  Common Stock    78462F103            223
1700 SH              SOLE                  1700
SAWTEK INC                    Common Stock    805468105           5566
120500 SH              SOLE                 50800             58100
SBC COMMUNICATIONS INC        Common Stock    78387G103            511
10700 SH              SOLE                 10700
SCHERING PLOUGH CORP          Common Stock    806605101           3358
59165 SH              SOLE                 23140
SCHLUMBERGER LTD              Common Stock    806857108            745
9325 SH              SOLE                  8270
SCHWAB (CHARLES) CORP         Common Stock    808513105           1806
63632 SH              SOLE                 23370
SEMICONDUCTOR HOLDERS TRUST   Common Stock    816636203            887
18100 SH              SOLE                 11000              7100
SHIRE PHARMACEUTICALS GR - ADRCommon Stock    82481R106           2022
43900 SH              SOLE                 11200             32300
SMITH INTL INC                Common Stock    832110100           2140
28700 SH              SOLE                  7600             20700
SONUS NETWORKS INC            Common Stock    835916107            298
11795 SH              SOLE                  3020              8655
SOUTHERN CO                   Common Stock    842587107            256
7700 SH              SOLE                  7700
ST JUDE MEDICAL INC           Common Stock    790849103            405
6600 SH              SOLE                  6600
ST PAUL COS INC               Common Stock    792860108            760
14000 SH              SOLE                 14000
SUN MICROSYSTEMS INC          Common Stock    866810104           1492
53520 SH              SOLE                 15100
SUNGARD DATA SYSTEMS INC      Common Stock    867363103            325
6900 SH              SOLE                                    6900
SUNTRUST BKS INC              Common Stock    867914103            214
3400 SH              SOLE                  3400
SYBRON DENTAL SPECIALITIES, INCommon Stock    871142105            613
36299 SH              SOLE                  9266             26733
SYNOPSYS INC                  Common Stock    871607107           3096
65265 SH              SOLE                 29865             33300
T ROWE PRICE GROUP INC        Common Stock    74144T108           1796
42500 SH              SOLE                 10900             31200
TANOX INC                     Common Stock    87588Q109           2563
65400 SH              SOLE                 16800             48100
TARGET CORP                   Common Stock    87612E106           2063
63975 SH              SOLE                 57415              3000
TELEPHONE & DATA SYS INC      Common Stock    879433100           1278
14200 SH              SOLE                  3600             10500
TELLABS INC                   Common Stock    879664100            424
7500 SH              SOLE                  7500
TELTECH SERIES C PREFERRED    Preferred Stock 850250226              0
10417 SH              SOLE                                   10417
TIME WARNER INC               Common Stock    887315109           2313
44280 SH              SOLE                 19035
TOLLGRADE COMMUNICATIONS INC  Common Stock    889542106           1975
54100 SH              SOLE                 32000             12200
TRANSOCEAN SEDCO FOREX        Common Stock    G90078109            994
21600 SH              SOLE                 11300             10300
TTI TEAM TELECOM INTL LTD     Common Stock    M88258104           1707
113800 SH              SOLE                 67000             25800
TYCO INTERNATIONAL LTD        Common Stock    902124106           7076
127490 SH              SOLE                 54400
UBIQUITEL INC                 Common Stock    903474302           1519
276200 SH              SOLE                162600             62900
UNITEDHEALTH GROUP INC        Common Stock    91324P102           1031
16800 SH              SOLE                 12000              4800
UNIVISION COMMUNICATIONS - A  Common Stock    914906102           1064
26000 SH              SOLE                  6200             19800
VALENCE TECHNOLOGY INC        Common Stock    918914102           1435
154100 SH              SOLE                 91000             34500
VERITY INC                    Common Stock    92343C106           1405
58400 SH              SOLE                 34500             13200
VERIZON COMMUNICATIONS        Common Stock    92343V104           1414
28210 SH              SOLE                 26285
VIRATA CORP                   Common Stock    927646109           3631
333900 SH              SOLE                157400            135800
VITESSE SEMICONDUCTOR CORP    Common Stock    928497106           2583
46700 SH              SOLE                 11900             34400
WACHOVIA CORP                 Common Stock    929771103            227
3900 SH              SOLE                  3900
WAL MART STORES INC           Common Stock    931142103           1632
30720 SH              SOLE                   420
WALGREEN CO                   Common Stock    931422109            531
12700 SH              SOLE                 12700
WATCHGUARD TECHNOLOGIES       Common Stock    941105108            870
27500 SH              SOLE                 16200              6200
WATSON PHARMACEUTICAL INC     Common Stock    942683103           2426
47400 SH              SOLE                 12200             34800
WEBMD CORPORATION             Common Stock    94769M105            509
64100 SH              SOLE                 16400             47200
WELLS FARGO COMPANY           Common Stock    949746101           1651
29655 SH              SOLE                 18845              9500
WILLIAMS SONOMA INC           Common Stock    969904101            492
24600 SH              SOLE                  6300             18100
WORLDCOM INC                  Common Stock    98157D106            316
22500 SH              SOLE                                   22500
XCEL ENERGY INC               Common Stock    98389B100           1192
41000 SH              SOLE                 41000
ZAMBA CORPORATION             Common Stock    988881108            686
252200 SH              SOLE                149500             55800
ZORAN CORP                    Common Stock    98975F101           2353
151800 SH              SOLE                 87000             36900



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