LINCOLN CAPITAL MANAGEMENT CO
13F-HR, 2000-07-14
Previous: LILLY INDUSTRIES INC, 10-Q, EX-27, 2000-07-14
Next: MACDERMID INC, SC 13G/A, 2000-07-14





	Pursuant to the requirements of Securities Exchange act of 1934,
the undersigned institutional investment manager has caused this
report to be signed on its behalf in the City

of		CHICAGO		and State of		ILLINOIS

on the 	14th		day of 		JULY ,	2000	 .


		LINCOLN CAPITAL MANAGEMENT COMPANY
		(Name of Institutional Investment Manager)


		(Manual Signature of Person Duly Authorized
		to Submit This Report)

Name and 13F file numbers of ALL Institutional Investment Managers
with respect to which this schedule is filed (other than the one filing
this report):  (List in alphabetical order).

13F File Numbers will be assigned to Institutional Investment Managers
after they file their first report.

Name:		13F File No.:	Name:		13F File No.:
1.				7.
2.				8.
3.				9.
4.				10.
5				11.
6.  				12.
SEC 1685 (5-85)





  											(SEC USE ONLY)
								(SEC USE ONLY)
	FORM 13F			Name of Reporting Manager:  LINCOLN CAPITAL MANAGEMENT CO.
							Item 8:
							Voting Authority
Item 1:	Item 2:	Item 3:	Item 4:	Item 5:			(Shares)
Name of Issuer	Title of	CUSIP	Fair Market	Shares or
	Class	Number	Value	Principal	(a) Sole	(a) Sole	(b) Shared	(c) None
				Amount

CISCO SYS INC 	COM	17275R102	2915.20	45,863,000	45,863,000	15,930,900	0
	29,932,100
INTEL CORP	COM	458140100	2271.00	16,987,700	16,987,700	5,883,200	0	11,104,500
GENERAL ELEC CO 	COM	369604103	2206.20	41,626,900	41,626,900	14,446,400	0
	27,180,500
PFIZER INC 	COM	717081103	1833.50	38,197,625	38,197,625	13,502,875	0
24,694,750
E M C CORP MASS 	COM	268648102	1780.60	23,143,500	23,143,500	7,961,800	0
	15,181,700
ORACLE CORP 	COM	68389X105	1394.30	16,587,000	16,587,000	5,742,400	0
10,844,600
SUN MICROSYSTEMS INC 	COM	866810104	1339.70	14,732,400	14,732,400	5,177,200	0
	9,555,200
TEXAS INSTRS INC	COM	882508104	1319.70	19,212,400	19,212,400	6,672,200	0
	12,540,200
AMERICA ONLINE INC DEL 	COM	02364J104	1200.80	22,791,400	22,791,400
8,015,600	0	14,775,800
LILLY ELI & CO 	COM	532457108	1189.00	11,904,700	11,904,700	4,187,100
	0	7,717,600
APPLIED MATLS INC	COM	038222105	1095.50	12,088,200	12,088,200	4,203,800	0
7,884,400
JUNIPER NETWORKS INC 	COM	48203R104	1048.90	7,205,800	7,205,800	2,627,700
	0	4,578,100
NORTEL NETWORKS CORP	COM	656568102	1043.40	15,288,500	15,288,500	4,628,400	0
	10,660,100
AMERICAN HOME PRODS CORP	COM	026609107	887.80	15,111,800	15,111,800
	5,353,700	0	9,758,100
NOKIA CORP SPONSORED	ADR	654902204	823.70	16,494,400	16,494,400	5,355,000
0	11,139,400
VERITAS SOFTWARE CO 	COM	923436109	796.50	7,047,900	7,047,900	2,507,700	0
4,540,200
CORNING INC 	COM	219350105	731.80	2,711,800	2,711,800	994,400	0	1,717,400
MICROSOFT CORP 	COM	594918104	719.30	8,990,800	8,990,800	3,341,200
	0	5,649,600
TYCO INTL LTD NEW 	COM	902124106	648.50	13,688,900	13,688,900	4,362,500	0
	9,326,400
SCHWAB CHARLES CORP 	COM	808513105	627.10	18,649,350	18,649,350
	6,321,400	0	12,327,950
PEPSICO INC 	COM	713448108	586.60	13,200,500	13,200,500	4,566,300	0	8,634,200
HOME DEPOT INC 	COM	437076102	584.10	11,697,150	11,697,150	4,087,400
	0	7,609,750
CVS CORP	COM	126650100	549.60	13,739,400	13,739,400	4,863,700	0	8,875,700
AMERICAN EXPRESS CO 	COM	025816109	530.20	10,171,200	10,171,200	3,544,400
	0	6,626,800
REDBACK NETWORKS INC 	COM	757209101	513.00	2,864,200	2,864,200	1,029,800
	0	1,834,400
COMCAST CORP 	CL A SPL	200300200	494.70	12,215,900	12,215,900	4,220,500	0
	7,995,400
SOLECTRON CORP 	COM	834182107	438.50	10,471,300	10,471,300	3,725,900	0
	6,745,400
WAL MART STORES INC	COM	931142103	426.60	7,403,900	7,403,900	2,588,500
	0	4,815,400
AMERICAN INTL GROUP INC 	COM	026874107	411.30	3,500,025	3,500,025
	1,261,525	0	2,238,500
BROCADE COMM	COM	111621108	409.30	2,230,800	2,230,800	815,500	0	1,415,300
AMGEN INC	COM	031162100	406.90	5,792,100	5,792,100	1,975,300	0	3,816,800
BROADCOM CORP	CL A	111320107	390.20	1,782,400	1,782,400	632,400	0	1,150,000
PHARMACIA CORP 	COM	71713U102	387.10	7,489,500	7,489,500	2,750,600	0
	4,738,900
CLEAR CHANNEL COMMS 	COM	184502102	381.70	5,089,500	5,089,500	1,790,600	0
	3,298,900
GENENTECH INC	COM	368710406	358.90	2,086,900	2,086,900	741,200	0	1,345,700

CAPITAL ONE FINL CORP	COM	14040H105	355.30	7,962,300	7,962,300	2,852,600
	0	5,109,700
STATE STR CORP 	COM	857477103	352.40	3,322,500	3,322,500	1,119,900	0
2,202,600
YAHOO INC	COM	984332106	349.10	2,818,400	2,818,400	987,700	0	1,830,700
AGILENT TECHNOLOGIES INC 	COM	00846U101	347.50	4,712,100	4,712,100
	1,646,100	0	3,066,000
CIENA CORP 	COM	171779101	345.80	2,074,800	2,074,800	730,300	0	1,344,500
JOHNSON & JOHNSON 	COM	478160104	336.70	3,305,100	3,305,100	1,198,100	0
	2,107,000
VODAFONE AIRTOUCH PLC 	ADR	92857T107	335.00	8,085,200	8,085,200
	2,642,300	0	5,442,900
SPRINT CORP PCS 	COM 	852061506	319.70	5,373,100	5,373,100	1,915,500
	0	3,457,600
NETWORK APPLIANCE INC	COM 	64120L104	303.60	3,771,100	3,771,100
	1,338,800	0	2,432,300
AMAZON COM INC 	COM 	023135106	297.70	8,198,800	8,198,800	2,782,800	0
	5,416,000
INKTOMI CORP	COM 	457277101	297.60	2,516,600	2,516,600	892,100	0	1,624,500
WALGREEN CO 	COM 	931422109	289.50	8,993,500	8,993,500	3,235,700	0	5,757,800
ILLINOIS TOOL WKS INC 	COM 	452308109	281.10	4,932,100	4,932,100	1,757,000
0	3,175,100
PROCTER & GAMBLE CO	COM 	742718109	278.40	4,862,400	4,862,400	1,753,400
0	3,109,000
XILINX INC 	COM 	983919101	247.90	3,002,800	3,002,800	1,060,000	0	1,942,800
ASTRAZENECA PLC	ADR	046353108	235.80	5,070,000	5,070,000	1,588,100	0	3,481,900
DISNEY WALT CO 	COM	254687106	210.60	5,425,000	5,425,000	2,007,900	0	3,417,100
PE CORP COM PE BIO GRP		69332S102	198.70	3,016,400	3,016,400	1,065,000	0
1,951,400
COCA COLA CO	COM	191216100	193.70	3,373,100	3,373,100	1,291,000	0	2,082,100
SEALED AIR CORP NEW	COM	81211K100	192.40	3,673,242	3,673,242	1,227,042
	0	2,446,200
VOICESTREAM WIRELESS CORP	COM	928615103	177.00	1,521,600	1,521,600	542,000
	0	979,600
LEVEL 3 COMMUNICATIONS INC 	COM	52729N100	169.00	1,920,200	1,920,200
695,800	0	1,224,400
BED BATH & BEYOND INC 	COM	075896100	158.40	4,369,700	4,369,700
	1,677,800	0	2,691,900
SEALED AIR CORP NEW PFD	CV A $2	81211K209	144.50	2,854,173	2,854,173
1,150,773	0	1,703,400
AUTOMATIC DATA PROCESSING	COM	053015103	116.10	2,168,400	2,168,400
	797,000	0	1,371,400
MBNA CORP 	COM	55262L100	98.40	3,627,900	3,627,900	1,278,900	0	2,349,000
GAP INC DEL 	COM	364760108	68.60	2,193,800	2,193,800	775,900	0	1,417,900
GRACE W R & CO DEL 	COM	38388F108	52.20	4,304,600	4,304,600	1,548,000
	0	2,756,600
LUCENT TECHNOLOGIES INC	COM	549463107	9.80	165,400	165,400	165,400	0	0
STORAGENETWORKS INC	COM	86211E103	9.70	107,500	107,500	0	0	107,500
TECH DATA CORP 	COM	878237106	8.60	197,600	197,600	197,600	0	0
ORTHODONTIC CTRS AMER INC 	COM	68750P103	8.10	357,300	357,300	357,300	0	0
SEAGATE TECHNOLOGY 	COM	811804103	7.00	127,800	127,800	127,800	0	0
CONCORD EFS INC	COM	206197105	6.20	237,400	237,400	237,400	0	0
PROFIT RECOVERY GROUP INTL 	COM	743168106	6.10	368,700	368,700	368,700	0	0
PRE PAID LEGAL SVCS INC	COM	740065107	5.80	194,100	194,100	194,100	0	0
WORLDCOM INC GA NEW 	COM	98157D106	5.80	126,000	126,000	126,000	0	0
CARDINAL HEALTH INC	COM	14149Y108	5.40	72,900	72,900	72,900	0	0
INSIGHT ENTERPRISES INC 	COM	45765U103	5.40	90,500	90,500	90,500	0	0
NOVA CORP GA 	COM	669784100	5.20	185,000	185,000	185,000	0	0
RENAL CARE GROUP INC	COM	759930100	5.00	203,500	203,500	203,500	0	0
TEKTRONIX INC 	COM	879131100	4.90	66,500	66,500	66,500	0	0
EXTREME NETWORKS INC 	COM	30226D106	4.40	42,000	42,000	42,000	0	0
POMEROY COMPUTER RES 	COM	731822102	4.10	280,500	280,500	280,500	0	0
MAXIMUS INC 	COM	577933104	4.10	185,300	185,300	185,300	0	0
FISERV INC	COM	337738108	3.80	89,000	89,000	89,000	0	0
CERUS CORP 	COM	157085101	3.80	75,000	75,000	75,000	0	0
FASTENAL CO 	COM	311900104	3.60	71,900	71,900	71,900	0	0
NVIDIA CORP 	COM	67066G104	3.60	57,000	57,000	57,000	0	0
NCO GROUP INC 	COM	628858102	3.50	150,100	150,100	150,100	0	0
OMNICARE INC 	COM	681904108	3.40	374,580	374,580	374,580	0	0
PLEXUS CORP 	COM	729132100	3.40	30,000	30,000	30,000	0	0
MENTOR GRAPHICS CORP 	COM	587200106	3.10	154,600	154,600	154,600	0	0
CONCERO INC 	COM	206018103	3.10	250,000	250,000	250,000	0	0
ONI SYSTEMS CORP 	COM	68273F103	2.90	25,000	25,000	25,000	0	0
PARAMETRIC TECHNOLOGY 	COM	699173100	2.70	246,400	246,400	246,400	0	0
FIFTH THIRD BANCORP	COM	316773100	2.50	39,200	39,200	39,200	0	0
HEALTH MGMT ASSOC INC	CL A	421933102	2.50	189,000	189,000	189,000	0	0
HARTE-HANKS INC	COM	416196103	2.30	91,000	91,000	91,000	0	0
NEOPHARM INC	COM	640919106	2.20	110,000	110,000	110,000	0	0
HOLLYWOOD ENTMT CORP	COM	436141105	2.10	265,700	265,700	265,700	0	0
DOLLAR GEN CORP 	COM	256669102	1.90	99,241	99,241	99,241	0	0
MEDQUIST INC 	COM	584949101	1.90	56,591	56,591	56,591	0	0
LOWES COS INC 	COM	548661107	1.80	44,900	44,900	44,900	0	0
MCDONALDS CORP	COM	580135101	1.80	55,000	55,000	55,000	0	0
FAMILY DLR STORES INC 	COM	307000109	1.80	92,300	92,300	92,300	0	0
FACTSET RESH SYS INC 	COM	303075105	1.70	61,800	61,800	61,800	0	0
CLICK COMMERCE INC 	COM	18681D109	1.70	75,000	75,000	75,000	0	0
WHOLE FOODS MKT INC 	COM	966837106	1.70	41,000	41,000	41,000	0	0
NATIONAL INSTRS CORP 	COM	636518102	1.70	38,250	38,250	38,250	0	0
LINCARE HLDGS INC	COM	532791100	1.50	58,900	58,900	58,900	0	0
HEALTHSOUTH CORP 	COM	421924101	1.40	200,000	200,000	200,000	0	0
SYNOPSYS INC 	COM	871607107	1.40	41,200	41,200	41,200	0	0
KNIGHT TRANSN INC 	COM	499064103	1.40	94,700	94,700	94,700	0	0
STAPLES INC	COM	855030102	1.30	87,200	87,200	87,200	0	0
SYBRON INTL CORP 	COM	87114F106	1.30	66,700	66,700	66,700	0	0
INTRABIOTICS PHARMA 	COM	46116T100	1.20	45,500	45,500	45,500	0	0
REGISTER COM INC 	COM	75914G101	1.20	39,500	39,500	39,500	0	0
MARVELL TECHNOLOGY GROUP 	LTD ORD	G5876H105	1.10	20,000	20,000	20,000	0	0
RENT A CTR INC NEW 	COM	76009N100	1.00	44,700	44,700	44,700	0	0
GALILEO TECHNOLOGY 	LTD ORD	M47298100	0.60	30,000	30,000	30,000	0	0
SBC COMMUNICATIONS	COM	78387G103	0.50	11,500	11,500	11,500	0	0
PRECISE SOFTWARE SOL 	LTD ORD	M41450103	0.50	20,000	20,000	20,000	0	0
			$39,678.40





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