ROTHSCHILD ASSET MANAGEMENT INC
13F-HR, 2000-08-04
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United States
Securities and Exchange Commission
Washington, D. C.  20549

FORM 13F  COVER PAGE


Report for the Quarter Ended June 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:

Gregory O. Williams
Rothschild Asset Management Inc.
1251 Avenue of the Americas
New York, New York  10020

13F File Number: 28-99999


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 Report on Behalf of Reporting Manager:

Name:     Gregory O. Williams
Title:	   Senior Vice President
Phone:     (212) 403-3531

Signature
 Place


 Date of Signing


Gregory O. Williams  1251 Avenue of the Americas,
 New York, NY 10020
 7/31/00

Report Type  (check only one.):

[X]       13F Holdings Report.
[  ]       13F Notice
[  ]       13F Combination Report.

I AM SIGNING THIS REPORT AS REQUIRED
 BY THE SECURITIES EXCHANGE
ACT OF 1934.

FORM 13F SUMMARY PAGE


REPORT SUMMARY:


Number of Other Included Managers:		1

Form 13F Information Table Entry Total		409

Form 13F Information Table Value Total:		$ 2,036,257



LIST OF OTHER INCLUDED MANAGERS:

No		13F File Number	   Name

02 Rothschild North America Inc.


NAME OF REPORTING MANAGER:  ROTHSCHILD ASSET MANAGEMENT INC.
Page 1
13-F Filings Report
As of :  6/30/00

Item 1:					Item 2:		Item 4:    Item 4:
Item 5:		Item 6:		Item 8:
SECURITY				TITLE OF	CUSIP	FAIR
SHARES OR Investment Disc Voting Aut
DESCRIPTION				CLASS		NUMBER    MARKET VALUE
FACE AMOUNT	SOLE(A)		MANAGERS	SHARES
BRINKER INTERNATIONAL		    	Common Stock	109641100	21,294
728,000		01	02	728,000
ALPHARMA INC              	Common Stock	 20813101     	20,854
335,000     	 01       	 02              335,000
GALLAGHER (ARTHUR J)      	Common Stock 	363576109     	19,375
 461,300      	01      	  02     	461,300
GATX CORP                  Common Stock	 361448103    	 17,904
526,600   	   01       	 02     	526,600
KNIGHT RIDDER INC.       		Common Stock	 499040103    	17,190
323,200      	01       	 02     	323,200
GENERAL ELECTRIC COMPANY  	Common Stock	 369604103    	 16,743
 315,908     	 01        	02     	315,908
CITIGROUP INC      	   		 Common Stock 	172967101     	16,434
 272,760     	 01       	 02    	 272,760
AMERADA HESS CORP       		Common Stock	 23551104     	16,262
 263,350      	01        	02     	263,350
MALLINCKRODT GRP INC    		Common Stock 	561232109     	16,063
369,800      	01       	 02    	 369,800
LOUIS DREYFUS NAT GAS CO 	Common Stock	 546011107    	15,781
504,000      	01        	02     	504,000
ZALE CORP               		Common Stock	 988858106     	15,184
416,000      	01       	 02    	416,000
ADTRAN INC                Common Stock 	00738A106     	15,136
252,800     	 01        	02    	 252,800
REMEDY CORP              	Common Stock	759548100     	14,924
267,700      	01        	02     	267,700
ACTEL CORP              		Common Stock  	4934105         	14,116
309,400      	01        	02     	309,400
PERKINELMER INC          	Common Stock 	714046109     	13,985
211,500      	01        	02     	211,500
PMI GROUP INC            	Common Stock	 69344M101   	13,594
286,200      	01        	02     	286,200
TECHNITROL INC            Common Stock 	878555101     	13,417
138,500      	01       	 02     	138,50
INTERNATIONAL BUSINESS  		Common Stock	 459200101     	13,309
121,420     	 01       	 02     	121,420
UNIVERSAL FOODS CORP     	Common Stock           913538104     	13,266
 717,100     	 01       	 02    	 717,100
INTEL CORP               	Common Stock           458140100     	13,256
99,160      	01        	02      	99,160
ENERGEN CORPORATION      	Common Stock           29265N108   	13,081
599,700      	01       	 02     	599,700
EQUITABLE RESOURCES INC  	Common Stock           294549100     	13,042
270,300     	01        	02     	270,300
SENSORMATIC ELECTRONICS 		Common Stock          817265101     	12,998
822,000      	01        	02     	22,000

                                           Total      357,208

01:  Rothschild Asset Management Inc.

NAME OF REPORTING MANAGER:  ROTHSCHILD ASSET MANAGEMENT INC.
Page 2
13-F Filings Report
As of :  6/30/00

Item 1:					Item 2:		Item 4  Item 4:
Item 5:		Item 6:		Item 8:
SECURITY				TITLE OF	CUSIP	FAIR
SHARES OR Investment Disc Voting Aut
DESCRIPTION				CLASS		NUMBER	 MARKET VALUE
FACE AMOUNT	SOLE(A)		MANAGERS	SHARES
TALBOTS INC                  	Common Stock 	874161102     	12,811
233,200      	01       	 02    	 233,200
IVAX CORPORATION          		 	Common Stock 	465823102     	12,782
308,000     	01       	 02     	308,000
INFOCUS SYSTEMS INC      			  Common Stock	 452919103     	12,473
387,500      	01        	02    	 387,500
MURPHY OIL CORP             	 Common Stock 	626717102    	 12,470
209,800      	01        	02     	209,800
CISCO SYSTEMS INC.          		Common Stock 	17275R102     	12,323
193,876      	01        	02     	193,876
BLACK BOX CORP               	Common Stock 	91826107      	12,018
151,800      	01        	02     	151,800
FIRST HEALTH GROUP        			 Common Stock 	320960107     	11,973
364,900      	01        	02     	364,900
JACK IN THE BOX INC        			Common Stock 	466367109     	11,953
485,400      	01        	02     	485,400
ANIXTER INTL INC             	Common Stock 	35290105      	11,753
443,500      	01        	02     	443,500
VALASSIS COMMUNICATIONS INC 		Common Stock 	918866104     	11,693
306,700      	01        	02     	306,700
MICROSOFT CORPORATION   		    Common Stock 	594918104     	11,669
145,860      	01        	02     	145,860
BARD C R INC                 	Common Stock 	67383109      	11,463
238,200      	01        	02     	238,200
BECKMAN COULTER INC  			      Common Stock 	75811109      	11,412
195,500      	01        	02     	195,500
GOLDEN WEST FINL CORP DEL   		Common Stock 	381317106     	11,301
276,900      	01        	02     	276,900
SBC COMMUNICATIONS INC      		Common Stock 	78387G103     	11,284
260,903      	01        	02     	260,903
SONIC CORP                   	Common Stock 	835451105     	11,239
382,600      	01        	02     	382,600
AMERICAN INTERNATIONAL GRP I		Common Stock 	26874107      	11,190
95,232      	01        	02      	95,232
VISHAY INTERTECHNOLOGY INC  		Common Stock 	928298108     	11,095
292,450      	01        	02     	292,450
AMERICAN EXPRESS COMPANY   		Common Stock 	25816109      	10,975
210,555      	01        	02     	210,555
JACOBS ENGINEERING GROUP INC		Common Stock 	469814107     	10,967
335,000      	01        	02     335,500

                                           Total      234,844

01:  Rothschild Asset Management Inc.

NAME OF REPORTING MANAGER:  ROTHSCHILD ASSET MANAGEMENT INC.
Page 3
13-F Filings Report
As of :  6/30/00

Item 1:					Item 2:		Item 4:	Item 4:
Item 5:		Item 6:		Item 8:
SECURITY				TITLE OF	CUSIP	FAIR
SHARES OR Investment Disc Voting Aut
DESCRIPTION				CLASS		NUMBER	MARKET VALUE
FACE AMOUNT	SOLE(A)		MANAGERS	SHARES
EOG RESOURCES INC   			Common Stock	 26875P101     	10,938
326,500      	01       	 02    	 326,500
SUN MICROSYSTEMS  			Common Stock 	866810104    	10,846
119,264      	01        	02    	 119,264
KEMET CORP                  			Common Stock	 488360108     	10,629
424,100      	01        	02     	424,100
INTEGRATED DEVICE TECHNOLOGY  		Common Stock	 458118106     	10,556
176,300      	01        	02    	176,300
FORD MOTOR COMPANY          		Common Stock 	345370100     	10,531
244,900      	01       	02    	 244,900
DATASCOPE CORPORATION    		Common Stock	 238113104     	10,512
292,000      	01       	02     	292,000
UNITED HEALTH GROUP CORP 		Common Stock 	91324P102     	10,496
122,400      	01        	02     	122,400
LABORATORY CORP OF AMERICA  		Common Stock 	50540R409     	10,437
135,320      	01        	02     	135,320
HS RESOURCES INC       			Common Stock	 404297103     	10,287
342,900      	01        	02     	342,900
MC CORMICK & CO (NON VTG)   		Common Stock	 579780206     	10,234
314,900      	01       	 02     	314,900
INTERNATIONAL RECTIFIER CORP		Common Stock 	460254105     	10,091
180,200      	01        	02    	180,200
LIZ CLAIBORNE INC.         			Common Stock 	539320101     	10,071
285,700      	01        	02     	285,700
BLACK & DECKER CORP  			Common Stock 	91797100      	9,934
252,700      	01        	02     	252,700
MID ATLANTIC MEDICAL SERVICE		Common Stock 	59523C107    	9,915
734,500      	01        	02     	734,500
FLUOR CORP               			Common Stock 	343861100     	9,787
309,480      	01        	02     	309,480
VINTAGE PETROLEUM  INC  			Common Stock 	927460105     	9,598
425,400      	01        	02     	425,400
JOHN NUVEEN CO-CL A         			Common Stock 	478035108     	9,591
228,700      	01        	02     	228,700
ANHEUSER BUSCH COS INC  			Common Stock 	35229103      	9,545
127,800      	01        	02     	127,800
SEACOR SMIT INC          		Common Stock 	811904101     	9,393
242,800      	01       	02     	242,800
AMERICAN MANAGEMENT SYSTEMS 		Common Stock 	27352103      	9,139
278,400      	01        	02     	278,400
PERFORMANCE FOOD GROUP CO   		Common Stock 	713755106     	9,069
283,400      	01        	02     	283,400
RAYONIER INC                   			Common Stock 	754907103     	9,037
251,900      	01        	02     	251,900
BELDEN INC                 			Common Stock 	77459105      	8,938
348,800      	01        	02     	348,800
JOHNSON & JOHNSON           			Common Stock 	478160104     	8,833
86,700      	01        	02      	86,700
SEMTECH CORP                			Common Stock 	816850101     	8,788
114,900      	01        	02     	114,900
PROGRESS SOFTWARE CORP       		Common Stock 	743312100     	8,653
482,400      	01        	02     	482,400

                                           Total      255,848

01:  Rothschild Asset Management Inc.

NAME OF REPORTING MANAGER:  ROTHSCHILD ASSET MANAGEMENT INC.
Page 4
13-F Filings Report
As of :  6/30/00

Item 1:					Item 2:		Item 4:  Item 4:
Item 5:		Item 6:		Item 8:
SECURITY				TITLE OF	CUSIP	FAIR
SHARES OR Investment Disc Voting Aut
DESCRIPTION				CLASS		NUMBER	 MARKET VALUE
FACE AMOUNT	SOLE(A)		MANAGERS	SHARES
ENGELHARD CORPORATION         		Common Stock 	292845104     	8,644
506,600      	01        	02     	506,600
RELIANT ENERGY INC            		Common Stock 	75952J108     	8,615
291,400      	01        	02     	291,400
RADIAN GROUP INC              		Common Stock 	750236101     	8,580
165,800      	01       	 02     	165,800
ELECTROGLAS INC               		Common Stock 	285324109     	8,424
391,800      	01        	02     	391,800
APACHE CORP                   		Common Stock 	37411105      	8,337
141,750      	01        	02     	141,750
SCOTTS COMPANY                		Common Stock 	810186106     	8,333
228,300      	01        	02     	228,300
HAWAIIAN ELECTRIC INDS. INC.	  	Common Stock 	419870100     	8,331
253,900      	01        	02     	253,900
SUPERVALU INC                  	Common Stock 	868536103     	8,140
427,000      	01        	02     	427,000
BRADY CORP                    		Common Stock 	104674106     	8,128
250,100      	01        	02     	250,100
CANANDAIGUA BRANDS INC       			Common Stock 	137219200     	8,105
160,700      	01        	02     	160,700
LANDSTAR SYSTEM INC           		Common Stock 	515098101     	8,089
135,800      	01        	02     	135,800
PIONEER-STANDARD ELECTRONICS 		 Common Stock 	723877106     	7,869
533,500      	01        	02     	533,500
HARLAND JOHN H CO             		Common Stock 	412693103     	7,827
524,000      	01        	02     	524,000
EXXONMOBIL  CORPORATION  	     	Common Stock 	30231G102     	7,671
97,725      	01        	02      	97,725
AUTOZONE INC                  		Common Stock 	53332102      	7,636
347,100      	01        	02     	347,100
KENT ELECTRONICS CORP         		Common Stock 	490553104     	7,626
255,800      	01        	02     	255,800
GEORGIA GULF CORPORATION      		Common Stock 	373200203     	7,592
364,800      	01        	02     	364,800
PNC FINANCIAL SERVICES GROUP  		Common Stock 	693475105     	7,575
161,600      	01       	 02     	161,600
WHITNEY HOLDING CORP          		Common Stock 	966612103     	7,566
221,300      	01        	02     	221,300
ABBOTT LABORATORIES        	   	Common Stock  	2824100      	7,527
168,900      	01        	02     	168,900
SYNCOR INTL CORP               		Common Stock 	87157J106     	7,510
104,300      	01        	02     	104,300

                                           Total      168,125

01:  Rothschild Asset Management Inc.

NAME OF REPORTING MANAGER:  ROTHSCHILD ASSET MANAGEMENT INC.
Page 5
13-F Filings Report
As of :  6/30/00

Item 1:					Item 2:		Item 4:   Item 4:
Item 5:		Item 6:		Item 8:
SECURITY				TITLE OF	CUSIP	FAIR
SHARES OR Investment Disc Voting Aut
DESCRIPTION				CLASS		NUMBER	MARKET VALUE
FACE AMOUNT	SOLE(A)		MANAGERS	SHARES
PHILLIPS PETE COMPANY        		Common Stock	 718507106     	7,487
147,700      	01        	02     	147,700
CABLE DESIGN TECHNOLOGIES CO 		Common Stock 	126924109    	 7,457
222,600      	01        	02     	222,600
UGI CORP                      	Common Stock 	902681105     	7,450
363,400      	01        	02     	363,400
CYPRESS SEMICONDUCTOR CORP   		Common Stock 	232806109     	7,339
173,700      	01        	02     	173,700
CHURCH & DWIGHT CO INC       		Common Stock 	171340102     	7,326
407,000      	01        	02     	407,000
DOW CHEMICAL COMPANY         		Common Stock 	260543103     	7,305
242,000      	01        	02     	242,000
GENERAL DYNAMICS             		Common Stock 	369550108     	7,260
138,950      	01        	02     	138,950
COMMERCIAL METALS CO         		Common Stock 	201723103     	7,252
263,700      	01        	02     	263,700
SPRINGS INDS INC             		Common Stock 	851783100     	7,248
226,500      	01        	02     	226,500
SYMANTEC CORP                		Common Stock 	871503108     	7,206
133,600      	01        	02     	133,600
CITIZEN'S UTILITIES CO-SER B   	Common Stock 	177342201     	7,121
412,800      	01        	02     	412,800
ARROW ELECTRONICS CORP        		Common Stock 	42735100      	7,111
229,400      	01        	02     	229,400
NATIONAL COMPUTER SYSTEMS IN 	  	Common Stock 	635519101     	7,106
144,300      	01        	02     	144,300
CHASE MANHATTAN CORP       	    	Common Stock 	16161A108     	7,106
154,260      	01        	02     	154,260
PATTERSON DENTAL CO            		Common Stock 	703412106     	7,099
139,200      	01        	02     	139,200
MORGAN J P & CO INC            		Common Stock 	616880100     	7,042
63,950      	01        	02      	63,950
BRISTOL MYERS SQUIBB CO        		Common Stock 	110122108     	6,996
120,099      	01        	02     	120,099
MARK IV INDS INC               		Common Stock 	570387100     	6,935
332,200      	01        	02     	332,200
ALLERGAN INCORPORATED          		Common Stock 	18490102      	6,932
93,050      	01        	02      	93,050
WAL-MART STORES INC            		Common Stock 	931142103     	6,932
120,292      	01        	02     	120,292
KIMBERLY CLARK CORPORATION  	   	Common Stock 	494368103     	6,868
119,700      	01        	02     	119,700
ACT MANUFACTURING INC       	   	Common Stock  	973107       	6,859
147,700      	01        	02     	147,700
AMERICAN FREIGHTWAYS CORP   	   	Common Stock 	02629V108     	6,752
465,700      	01        	02      	465,700

                                          Total       164,189

01:  Rothschild Asset Management Inc.


NAME OF REPORTING MANAGER:  ROTHSCHILD ASSET MANAGEMENT INC.
Page 6
13-F Filings Report
As of :  6/30/00

Item 1:					Item 2:		Item 4  Item 4:
Item 5:		Item 6:		Item 8:
SECURITY				TITLE OF	CUSIP	FAIR
SHARES OR Investment Disc Voting Aut
DESCRIPTION				CLASS		NUMBER	MARKET VALUE
FACE AMOUNT	SOLE(A)		MANAGERS	SHARES
US CELLULAR CORP   			Common Stock 	911684108      	6,741
107,000      	01        	02     	107,000
TORO CO                  	Common Stock 	891092108     	6,713
203,800      	01        	02     	203,800
OGE ENERGY CORP     	   		Common Stock 	670837103     	6,710
362,700      	01        	02     	362,700
MINNESOTA MINING AND MFG. CO	Common Stock 	604059105     	6,678
80,950      	01        	02      	80,950
TOM BROWN INC            			Common Stock 	115660201     	6,656
288,600      	01        	02     	288,600
POGO PRODUCING CO     			Common Stock 	730448107     	6,644
300,300      	01        	02     	300,300
MOTOROLA INCORPORATED   		Common Stock 	620076109     	6,587
226,660      	01        	02     	226,660
MEDIA GENERAL CLASS A     		Common Stock 	584404107     	6,566
135,200      	01        	02     	135,200
GEON COMPANY            			Common Stock 	37246W105     	6,551
354,100      	01        	02     	354,100
LSI LOGIC CORP            	Common Stock 	502161102     	6,522
120,500      	01        	02     	120,500
WESTVACO CORPORATION  			Common Stock 	961548104     	6,516
262,600      	01        	02     	262,600
UAL INCORPORATED       		Common Stock 	902549500     	6,476
111,300      	01        	02     	111,300
TRUE NORTH COMMUNICATIONS IN 		Common Stock 	897844106     	6,406
145,600      	01        	02     	145,600
PFIZER INC               	Common Stock 	717081103     	6,326
131,800      	01        	02     	131,800
ADVANCED MICRO DEVICES INC. 	Common Stock  	7903107      	6,296
81,500      	01        	02      	81,500
LEHMAN BROTHERS HOLDINGS INC		Common Stock 	524908100     	6,251
66,100      	01        	02      	66,100
BELLSOUTH CORP              			Common Stock 	79860102      	6,215
146,300      	01        	02     	146,300
WORLDCOM INC                			Common Stock 	98157D106     	6,168
134,447      	01        	02     	134,447
MANPOWER INC                			Common Stock 	56418H100     	6,099
190,600      	01        	02     	190,600
AVNET INC                   			Common Stock 	53807103      	6,091
102,800      	01        	02     	102,800
RARE HOSPITALITY INTL INC   		Common Stock	753820109     	6,062
214,600      	01        	02     	214,600
SCI SYSTEMS INC             			Common Stock 	783890106     	6,035
154,000      	01        	02     	154,000
TEXAS INSTRUMENTS INCORPORAT  		Common Stock 	882508104     	6,017
87,600      		01        	02      	87,600

                                          Total       147,326

01:  Rothschild Asset Management Inc.


NAME OF REPORTING MANAGER:  ROTHSCHILD ASSET MANAGEMENT INC.
Page 7
13-F Filings Report
As of :  6/30/00

Item 1:					Item 2:		Item 4:	Item 4:
Item 5:		Item 6:		Item 8:
SECURITY				TITLE OF	CUSIP	FAIR
SHARES OR Investment Disc Voting Aut
DESCRIPTION				CLASS		NUMBER	MARKET VALUE
FACE AMOUNT	SOLE(A)		MANAGERS	SHARES
NUEVO ENERGY CO.          	Common Stock	 670509108     	6,000
317,600      	01        	02     	317,600
OXFORD HEALTH PLANS INC.  	Common Stock 	691471106     	5,898
247,700      	01        	02     	247,700
LONGVIEW FIBRE COMPANY    		Common Stock 	543213102     	5,842
528,100      	01        	02     	528,100
MINNESOTA PWR & LT CO    		Common Stock 	604110106     	5,838
337,200      	01        	02     	337,200
MICROCHIP TECHNOLOGY INC   		Common Stock 	595017104     	5,824
99,950      		01        	02      	99,950
CHESAPEAKE CORP           		Common Stock 	165159104     	5,821
196,500      	01        	02     	196,500
BEAR STEARNS COS INC       	Common Stock 	73902108      	5,765
138,500      	01        	02     	138,500
PERRIGO                   		Common Stock 	714290103     	5,763
912,900      	01        	02     	912,900
WHIRLPOOL CORP          		Common Stock 	963320106     	5,702
122,300      	01        	02     	122,300
ACADIA REALTY TRUST   		COM SH BEN I  	4239109      	5,688
1,000,000               		02     	1,000,000
ELECTRONIC DATA SYSTEM CORP 		Common Stock 	285661104     	5,664
137,300      	01        	02     	137,300
BAXTER INTERNATIONAL INC    		Common Stock 	71813109      	5,646
80,300      	01        	02      	80,300
COMPUTER ASSOCIATES INT'L IN		Common Stock 	204912109     	5,613
109,650      	01        	02     	109,650
APRIA HEALTHCARE GROUP      		Common Stock 	37933108      	5,592
456,500      	01        	02     	456,500
UNITED TECHNOLOGIES CORP    		Common Stock 	913017109     	5,546
94,200      	01        	02      	94,200
BURLINGTON RESOURCES INC.   		Common Stock 	122014103     	5,537
144,770      	01        	02     	144,770
PINNACLE ENTERTAINMENT INC  		Common Stock 	723456109     	5,536
284,800      	01        	02     	284,800
RYLAND GROUP INC            		Common Stock 	783764103     	5,529
249,900      	01        	02     	249,900
KULICKE & SOFFA IND        		Common Stock 	501242101     	5,522
93,000      	01        	02      	93,000
ALEXANDER & BALDWIN INC.   		Common Stock 	14482103      	5,516
250,000      	01        	02     	250,000
NATIONAL FUEL GAS CO N J     		Common Stock 	636180101     	5,509
113,000      	01        	02     	113,000
AMERICAN STANDARD COS INC   		Common Stock 	29712106      	5,506
134,300      	01        	02     	134,300
LITTLEFUSE INC              		Common Stock 	537008104     	5,498
112,200      	01        	02     	112,200
UMB FINANCIAL CORP          		Common Stock 	902788108     	5,300
161,520      	01        	02     	161,520

                                           Total      135,655

01:  Rothschild Asset Management Inc.


NAME OF REPORTING MANAGER:  ROTHSCHILD ASSET MANAGEMENT INC.
Page 8
13-F Filings Report
As of :  6/30/00

Item 1:					Item 2:		Item 4:	Item 4:
Item 5:		Item 6:		Item 8:
SECURITY				TITLE OF	CUSIP	FAIR
SHARES OR Investment Disc Voting Aut
DESCRIPTION				CLASS		NUMBER	MARKET VALUE
FACE AMOUNT	SOLE(A)		MANAGERS	SHARES

ULTRAMAR DIAMOND SHAMROCK CO		Common Stock 	904000106     	5,283
212,900      	01        	02     	212,900
HELMERICH & PAYNE INC       		Common Stock 	423452101     	5,259
140,700      	01        	02     	140,700
SCOTTS TECHNOLOGIES INC   		Common Stock 	810022301     	5,210
303,100      	01        	02     	303,100
PEPSICO INCORPORATED        		Common Stock 	713448108     	5,206
117,150      	01        	02     	117,150
U.S. FREIGHTWAYS CORP       		Common Stock 	916906100     	5,163
210,200      	01        	02     	210,200
CLECO CORP                   	Common Stock 	12561W105     	5,138
153,400      	01        	02     	153,400
GLENBOROUGH REALTLY TR. SR. 		PFD CV SER A 	37803P204     	5,089
295,000                		02    	295,000
GRANITE CONSTRUCTION INC     		Common Stock 	387328107     	5,018
204,800      	01        	02     	204,800
NATIONAL SEMICONDUCTOR CORP	 	Common Stock 	637640103     	5,017
88,400      	01        	02      	88,400
APPLEBEES INTL INC           	Common Stock 	37899101      	4,841
159,700      	01        	02     	159,700
HOUGHTON MIFFLIN COMPANY      	Common Stock 	441560109     	4,814
103,100      	01        	02     	103,100
CRESCENT REAL ESTATE EQUITIE		PFD CV A 6.7 	225756204    	 4,813
308,000                		02     	308,000
MOLEX INCORPORATED          		Common Stock 	608554101     	4,766
99,025      	01        	02      	99,025
TARGET CORP                  	Common Stock 	8.76E+110     	4,714
81,270      	01        	02      	81,270
IPALCO ENTERPRISES INC      		Common Stock 	462613100     	4,651
231,100      	01        	02     	231,100
ROSS STORES INC             		Common Stock 	778296103     	4,631
271,400      	01        	02     	271,400
CABLETRON SYSTEMS INC.     		Common Stock 	126920107     	4,611
182,600      	01        	02     	182,600
APPLE COMPUTER INC          	Common Stock 	37833100      	4,593
87,700      	01        	02      	87,700
RLI CORP                    	Common Stock 	749607107     	4,545
130,800      	01        	02     	130,800
SIGMA-ALDRICH               		Common Stock 	826552101     	4,540
155,200      	01        	02     	155,200
ASHLAND INC                 		Common Stock 	44204105      	4,529
129,180      	01        	02     	129,180
ARROW INTL INC               	Common Stock 	42764100      	4,529
135,200      	01        	02     	135,200
GREATER BAY BANCORP         		Common Stock 	391648102     	4,502
96,300      	01        	02      	96,300
CIRCUIT CITY STORES INC        		Common Stock 	172737108     	4,374
131,800      	01        	02     	131,800
POPE AND TALBOT INCORPORATED  		Common Stock 	732827100     	4,371
273,200      	01        	02     	273,200

                                          Total       120,207

01:  Rothschild Asset Management Inc.






NAME OF REPORTING MANAGER:  ROTHSCHILD ASSET MANAGEMENT INC.
Page 9
13-F Filings Report
As of :  6/30/00

Item 1:					Item 2:		Item 4:	Item 4:
Item 5:		Item 6:		Item 8:
SECURITY				TITLE OF	CUSIP	FAIR
SHARES OR Investment Disc Voting Aut
DESCRIPTION				CLASS		NUMBER	MARKET VALUE
FACE AMOUNT	SOLE(A)		MANAGERS	SHARES
HEWLETT PACKARD COMPANY       		Common Stock	 428236103    	 4,358
 34,900      	01        	02      	34,900
MERCANTILE BANKSHARES CORP  		Common Stock 	587405101    	 4,329
145,200     	 01       	 02     	145,200
WEBB(DEL E)CORP             			Common Stock 	947423109     	4,323
282,300     	 01       	 02     	282,300
VENATOR GROUP INC       			Common Stock	 922944103     	4,285
 418,000      	01        	02     	418,000
WENDYS INTL INC             			Common Stock 	950590109     	4,284
240,500      	01        	02     	240,500
CENTRAL NEWSPAPERS INC CL A 		Common Stock 	154647101     	4,276
67,600      	01        	02      	67,600
CITY NATIONAL CORP      			Common Stock 	178566105     	4,271
122,900      	01        	02     	122,900
NOBLE AFFILIATES INC    			Common Stock 	654894104     	4,235
113,700      	01        	02     	113,700
LAM RESEARCH CORP.      			Common Stock 	512807108     	4,091
109,100      	01        	02     	109,100
BARNES & NOBLE INC       			Common Stock 	67774109      	4,090
183,800      	01        	02     	183,800
GTE CORP                		Common Stock 	362320103     	4,085
65,630      	01        	02      	65,630
PHOENIX INVESTMENT PARTNER 		Common Stock 	719085102     	4,076
388,200      	01        	02     	388,200
AMERICAN TEL AND TELEG COMPA 		Common Stock  	1957109      	4,028
127,355      	01        	02     	127,355
VALLEY NATIONAL BANCORP      		Common Stock 	919794107     	3,995
164,329      	01        	02     	164,329
ENERGY EAST CORP             			Common Stock 	29266M109     	3,967
208,100      	01        	02     	208,100
OCCIDENTAL PETE CORP   			Common Stock 	674599105     	3,964
188,200      	01        	02     	188,200
CIGNA CORP              		Common Stock 	125509109     	3,960
42,350      	01        	02      	42,350
SPHERION CORP          			Common Stock 	848420105     	3,953
222,700      	01        	02     	222,700
SCANSOURCE INC        			Common Stock 	806037107     	3,919
100,800      	01        	02     	100,800
TERADYNE INC          			Common Stock 	880770102     	3,918
53,300      	01        	02      	53,300
GENERAL MILLS INC     			Common Stock 	370334104     	3,917
102,400      	01        	02     	102,400
ROWAN COS INC         			Common Stock 	779382100     	3,900
128,400      	01        	02     	128,400
EDISON INTERNATIONAL   			Common Stock 	281020107     	3,898
190,150      	01        	02     	190,150

                                          Total        94,122

01:  Rothschild Asset Management Inc.



 NAME OF REPORTING MANAGER:  ROTHSCHILD ASSET MANAGEMENT INC.
Page 10
13-F Filings Report
As of :  6/30/00

Item 1:					Item 2:		Item 4:	Item 4:
Item 5:		Item 6:		Item 8:
SECURITY				TITLE OF	CUSIP	FAIR
SHARES OR Investment Disc Voting Aut
DESCRIPTION				CLASS		NUMBER	MARKET VALUE
FACE AMOUNT	SOLE(A)		MANAGERS	SHARES

EMC CORP                 	Common Stock 	268648102     	3,843
49,950      	01       	 02      	49,950
STATION CASINOS INC    			Common Stock 	857689103     	3,840
153,600      	01        	02     	153,600
BANCWEST CORP          			Common Stock 	59790105      	3,827
232,800     	 01       	 02     	232,800
SMUCKER (J.M.) CO     			Common Stock 	832696108    	 3,760
195,300     	 01       	 02     	195,300
REHABCARE CORP.        		Common Stock 	759148109     	3,755
137,800      	01        	02     	137,800
QUAKER OATS COMPANY    		Common Stock 	747402105     	3,711
49,400      	01        	02      	49,400
EASTMAN KODAK COMPANY  		Common Stock 	277461109     	3,683
61,900      	01        	02      	61,900
AMR CORPORATION        		Common Stock  	1765106      	3,677
139,070      	01        	02     	139,070
APPLIED MATERIALS INC  		Common Stock 	38222105      	3,666
40,450      	01        	02      	40,450
KAUFMAN & BROAD HOME CORP 	Common Stock 	486168107     	3,638
183,600      	01        	02     	183,600
MANITOWOC CO           			Common Stock 	563571108     	3,627
135,600      	01        	02     	135,600
ORACLE SYSTEMS        			Common Stock 	68389X105     	3,623
43,100      	01        	02      	43,100
ZEBRA TECHNOLOGIES CORP CL A 	Common Stock 	989207105     	3,563
80,400      	01        	02      	80,400
CACI INC                   			Common Stock 	127190304     	3,553
182,200      	01        	02     	182,200
ARKANSAS BEST CORP.   			Common Stock 	40790107      	3,526
354,800      	01        	02     	354,800
BLACK HILLS CORP.           			Common Stock 	92113109      	3,493
154,800      	01        	02     	154,800
DALLAS SEMICONDUCTOR CORP.  		Common Stock 	235204104     	3,480
85,400      	01        	02      	85,400
LA-Z-BOY INC               			Common Stock 	505336107     	3,461
247,200      	01        	02     	247,200
INSURANCE AUTO AUCTION INC  		Common Stock 	457875102     	3,454
163,500      	01        	02     	163,500
LAFARGE CORP              			Common Stock	 505862102     	3,438
163,700      	01        	02     	163,700
OWENS & MINOR INC         			Common Stock 	690732102     	3,364
195,700      	01        	02     	195,700
HAVERTY FURNITURE COS  	    	Common Stock 	419596101     	3,343
393,300      	01       	 02     	393,300
STEWART & STEVENSON SVCS INC	Common Stock 	860342104     	3,324
220,700      	01        	02     	220,700

                                           Total       82,649

01:  Rothschild Asset Management Inc.



 NAME OF REPORTING MANAGER:  ROTHSCHILD ASSET MANAGEMENT INC.
Page 11
13-F Filings Report
As of :  6/30/00

Item 1:					Item 2:		Item 4:	Item 4:
Item 5:		Item 6:		Item 8:
SECURITY				TITLE OF	CUSIP	FAIR
SHARES OR Investment Disc Voting Aut
DESCRIPTION				CLASS		NUMBER	MARKET VALUE
FACE AMOUNT	SOLE(A)		MANAGERS	SHARES
ALCOA INC                    	Common Stock 	13817101      	3,300
113,800      	01       	 02     	113,800
RECKSON ASSOC. REALTY CORP. 		PFD CV SER A% 	75621K205     	3,294
149,300                		02     	149,300
ANTEC CORP                 		Common Stock 	03664P105     	3,288
79,100      	01        	02     	 79,100
HOME DEPOT INCORPORATION   		Common Stock 	437076102     	3,251
65,100      	01        	02      	65,100
COMCAST CORP-SPECIAL CL A    		Common Stock 	200300200     	3,240
80,000      	01        	02      	80,000
BERRY PETROLEUM CO         		Common Stock 	85789105      	3,237
190,400      	01        	02     	190,400
AMERICA ONLINE INC          			Common Stock 	02364J104     	3,222
61,150      	01        	02      	61,150
CUMMINS ENGINE INC          			Common Stock 	231021106     	3,207
117,700      	01        	02     	117,700
NAVISTAR INTL CORP.         			Common Stock 	6.39E+112     	3,203
103,100      	01        	02     	103,100
CNA SURETY CORP                		Common Stock 	12612L108     	3,178
266,200      	01        	02     	266,200
AMBAC FINANCIAL GROUP INC   		Common Stock 	23139108      	3,174
57,900      	01        	02      	57,900
ICU MEDICAL INC            		Common Stock 	44930G107     	3,137
116,200      	01        	02     	116,200
ELECTRO SCIENTIFIC IND. INC 		Common Stock 	285229100     	3,117
70,800      	01        	02      	70,800
BERKSHIRE HATHAWAY INC         		Common Stock 	84670108      	3,067
57        		01        	02        	57
GERBER SCIENTIFIC INC       			Common Stock 	373730100     	3,050
265,200      	01        	02     	265,200
AVX CORP                      		Common Stock  	2444107      	3,016
131,500      	01        	02     	131,500
FELCOR LODGING TR. INC.     		PFD CV A $1.95	 31430F200     	3,014
177,300                		02     	177,300
UNION PACIFIC CORPORATION   		Common Stock 	907818108     	3,014
81,050      	01        	02      	81,050
BUCKEYE TECHNOLOGIES        		Common Stock 	118255108     	2,994
136,500      	01        	02     	136,500
INFORMIX CORP              		Common Stock 	456779107     	2,964
398,500      	01        	02     	398,500
NUI CORP                   		Common Stock 	629430109     	2,938
108,800      	01        	02     	108,800
CHARMING SHOPPES INC       	Common Stock 	161133103     	2,890
567,400      	01        	02     	567,400
DPL INC                  		Common Stock 	233293109     	2,879
131,237      	01        	02     	131,237
IDACORP                   		Common Stock 	451107106     	2,873
89,100      	01        	02     	 89,100
USG CORP                  		Common Stock 	903293405     	2,870
94,500      	01        	02      	94,500

                                          Total        77,417

01:  Rothschild Asset Management Inc.





NAME OF REPORTING MANAGER:  ROTHSCHILD ASSET MANAGEMENT INC.
Page 12
13-F Filings Report
As of :  6/30/00

Item 1:					Item 2:		Item 4:	Item 4:
Item 5:		Item 6:		Item 8:
SECURITY				TITLE OF	CUSIP	FAIR
SHARES OR Investment Disc Voting Aut
DESCRIPTION				CLASS		NUMBER	MARKET VALUE
FACE AMOUNT	SOLE(A)		MANAGERS	SHARES
SOUTHDOWN INC              		Common Stock 	841297104     	2,847
49,300      	01        	02      	49,300
ROLLINS TRUCK LEASING CORP  		Common Stock 	775741101     	2,834
408,450      	01        	02     	408,450
NICOR INC                   		Common Stock 	654086107     	2,819
86,400      	01        	02      	86,400
ADAPTEC INC                  	Common Stock 	00651F108     	2,816
123,800      	01        	02     	123,800
MATERIAL SCIENCES CORP        	Common Stock 	576674105     	2,797
279,700      	01        	02     	279,700
ALBERTO CULVER CO            		Common Stock 	13068101      	2,760
90,300      	01        	02      	90,300
TIFFANY AND COMPANY            	Common Stock 	886547108     	2,747
40,700      	01        	02      	40,700
IBP INC.                     		Common Stock 	449223106     	2,728
176,700      	01        	02     	176,700
TELLABS INC                 			Common Stock 	879664100     	2,686
39,250      	01        	02      	39,250
US RESTAURANT PROPERTIES SER		PFD CV SER A 	902971209     	2,664
268,100               	 	02     	268,100
DEAN FOODS CO              			Common Stock 	242361103     	2,567
 81,000      	01        	02      	81,000
LUBRIZOL CORP               			Common Stock 	549271104     	2,558
121,800      	01        	02     	121,800
HANDLEMAN CO DEL         		  	Common Stock 	410252100     	2,551
204,100      	01        	02     	204,100
FULTON FINANCIAL CORP      			Common Stock 	360271100     	2,525
142,755      	01        	02     	142,755
POTLATCH CORP              		Common Stock 	737628107     	2,498
75,400      	01        	02      	75,400
COLGATE-PALMOLIVE CO     		 	Common Stock 	194162103     	2,473
41,300      	01        	02      	41,300
DIAGNOSTIC PRODUCTS CORP   		Common Stock 	252450101     	2,461
76,900      	01        	02      	76,900
CHEVRON CORPORATION        		Common Stock 	166751107     	2,426
28,600      	01        	02      	28,600
FANNIE MAE                 		Common Stock 	313586109     	2,416
46,300      	01        	02      	46,300
MYLAN LABORATORIES INC.     		Common Stock 	628530107     	2,405
131,800      	01        	02     	131,800
BORG WARNER AUTOMOTIVE INC  		Common Stock	 99724106      	2,392
68,100      	01        	02      	68,100
LSI INDUSTRIES INC           		Common Stock 	50216C108     	2,365
155,700      	01        	02     	155,700
FINANCIAL SECURITY ASSURANCE		Common Stock 	31769P100     	2,314
30,500      	01        	02      	30,500
DOVER CORP                  			Common Stock 	260003108     	2,300
56,700      	01        	02      	56,700

                                          Total        61,949

01:  Rothschild Asset Management Inc.



NAME OF REPORTING MANAGER:  ROTHSCHILD ASSET MANAGEMENT INC.
Page 13
13-F Filings Report
As of :  6/30/00

Item 1:					Item 2:		Item 4:	Item 4:
Item 5:		Item 6:		Item 8:
SECURITY				TITLE OF	CUSIP	FAIR
SHARES OR Investment Disc Voting Aut
DESCRIPTION				CLASS		NUMBER	MARKET VALUE
FACE AMOUNT	SOLE(A)		MANAGERS	SHARES
CARTER WALLACE INCORPORATED  		Common Stock 	146285101     	2,240
111,300      	01        	02     	111,300
YELLOW CORP                   	Common Stock 	985509108     	2,236
151,600      	01        	02     	151,600
J & J SNACK FOODS           			Common Stock 	466032109     	2,214
123,900      	01        	02     	123,900
INTERNATIONAL PAPER COMPANY  		Common Stock 	460146103     	2,194
73,600      	01        	02      	73,600
PENN VA CORP                			Common Stock 	707882106     	2,130
86,500      	01        	02      	86,500
HORMEL FOOD CORP    			Common Stock 	440452100     	2,123
126,300      	01        	02     	126,300
TYCO INTERNATIONAL LTD   	  	Common Stock	 902124106     	2,103
44,400      	01        	02      	44,400
DELUXE CORP                 	Common Stock 	248019101     	2,097
89,000      	01        	02      	89,000
NEW HORIZONS WORLDWIDE INC  		Common Stock 	645526104     	2,074
89,250      	01        	02      	89,250
CHUBB CORP                    Common Stock 	171232101     	2,066
33,600      	01        	02      	33,600
HONEYWELL INTL INC           	Common Stock 	438516106     	2,051
60,869      	01        	02       	60,869
TOYS 'R' US INCORPORATED   		Common Stock 	892335100     	2,015
138,400      	01        	02     	138,400
MICHAELS STORES INC        		Common Stock 	594087108     	2,007
43,800      	01        	02      	43,800
GAP INC                    		Common Stock 	364760108     	2,000
64,000      	01        	02      	64,000
TECUMSEH PRODUCTS CO CL A   		Common Stock 	878895200     	1,921
50,300      	01        	02      	50,300
TXU CORP                     		Common Stock	 873168108     	1,920
65,100      	01        	02      	65,100
STERLING BANCORP            			Common Stock 	859158107     	1,889
119,910      	01        	02     	119,910
INTEGRATED MEASUREMENT SYSTE 		Common Stock 	457923100     	1,871
118,800      	01        	02     	118,800
WOODHEAD INDUSTRIES INC.     		Common Stock 	979438108     	1,856
101,700      	01        	02     	101,700
CENTEX CORP                   	Common Stock 	152312104     	1,840
78,300      	01        	02      	78,300
APPLIED INDUSTRIAL TECHNOLOG  	Common Stock 	03820C105     	1,827
111,600      	01        	02     	111,600
QUALCOMM INC.               			Common Stock 	747525103     	1,818
30,300      	01        	02      	30,300
USX CORPORATION             			Common Stock 	90337T101     	1,817
97,900      	01        	02     	 97,900

                                          Total        46,309

01:  Rothschild Asset Management Inc.


NAME OF REPORTING MANAGER:  ROTHSCHILD ASSET MANAGEMENT INC.
Page 14
13-F Filings Report
As of :  6/30/00

Item 1:					Item 2:		Item 4:	Item 4:
Item 5:		Item 6:		Item 8:
SECURITY				TITLE OF	CUSIP	FAIR
SHARES OR Investment Disc Voting Aut
DESCRIPTION				CLASS		NUMBER	MARKET VALUE
FACE AMOUNT	SOLE(A)		MANAGERS	SHARES
INTEGRATED SILICON SOLUTION 		Common Stock 	45812P107     	1,809
47,600      	01        	02      	47,600
NORTHWESTERN CORP             	Common Stock 	668074107     	1,753
75,800      	01        	02      	75,800
PRIME MED SVC INC            		Common Stock 	74156D108     	1,721
222,100      	01        	02     	222,100
HARMONIC INC                		Common Stock 	413160102     	1,703
68,800      	01        	02      	68,800
WASHINGTON FEDERAL INC      		Common Stock 	938824109     	1,701
93,200      	01        	02      	93,200
GEORGIA PACIFIC CORPORATION  		Common Stock 	373298108     	1,690
64,400      	01        	02      	64,400
FPL GROUP INC              			Common Stock 	302571104     	1,688
34,100      	01        	02      	34,100
BUFFETS INC                 			Common Stock 	119882108     	1,658
130,700      	01        	02     	130,700
DILLARD'S INC              			Common Stock 	254067101     	1,653
134,900      	01        	02     	134,900
SYNOPSYS INC.              			Common Stock 	871607107     	1,612
46,646      	01        	02      	46,646
MUSICLAND STORES CORP.        	Common Stock 	62758B109     	1,577
212,100      	01        	02     	212,100
COMCAST CORP. CL. A           		Common Stock 	200300101     	1,574
40,500      	01        	02      	40,500
BUILDING MATERIALS HOLDING C 		Common Stock 	120113105     	1,539
174,600      	01        	02     	174,600
M S CARRIERS INC            			Common Stock 	553533100     	1,526
86,600      	01        	02      	86,600
SUSQUEHANNA BANCSHARES INC-P		Common Stock 	869099101     	1,520
106,700      	01        	02     	106,700
ARNOLD INDS INC             			Common Stock 	42595108      	1,519
125,900      	01        	02     	125,900
RYAN'S FAMILY STEAK HOUSES I 		Common Stock 	783519101     	1,507
178,600      	01        	02     	178,600
QUAKER CHEMICAL CORP        			Common Stock 	747316107     	1,506
86,700      	01        	02      	86,700
KANEB SVCS INC               		Common Stock 	484170105     	1,450
362,500      	01        	02     	362,500
TECH DATA CORP                 		Common Stock 	878237106     	1,433
32,900      	01        	02      	32,900
PALL CORPORATION               		Common Stock 	696429307     	1,384
74,800      	01        	02      	74,800
OXFORD INDUSTRIES INCORPORAT    	Common Stock 	691497309     	1,352
75,100      	01        	02      	75,100
TACO CABANA INC                 	Common Stock 	873425102     	1,332
201,100     	 01        	02     	201,100

                                          Total        36,207

01:  Rothschild Asset Management Inc.



NAME OF REPORTING MANAGER:  ROTHSCHILD ASSET MANAGEMENT INC.
Page 15
13-F Filings Report
As of :  6/30/00

Item 1:					Item 2:		Item 4:	Item 4:
Item 5:		Item 6:		Item 8:
SECURITY				TITLE OF	CUSIP	FAIR
SHARES OR Investment Disc Voting Aut
DESCRIPTION				CLASS		NUMBER	MARKET VALUE
FACE AMOUNT	SOLE(A)		MANAGERS	SHARES
WORTHINGTON INDUSTRIES    	 	Common Stock 	981811102     	1,310
124,800      	01        	02     	124,800
HARCOURT GENERAL CORP      		Common Stock 	41163G101     	1,267
23,300      	01        	02      	23,300
PRESIDENTIAL LIFE CORP      	Common Stock 	740884101     	1,242
89,500      	01        	02      	89,500
FIRST DATA CORP             	Common Stock 	319963104     	1,231
24,800      	01        	02      	24,800
SUPERIOR INDUSTRIES INTL INC	Common Stock 	868168105     	1,210
47,000      	01        	02      	47,000
CHICO'S FAS INC              Common Stock 	168615102     	1,210
60,500      	01        	02      	60,500
OLD REP INTL CORP              		Common Stock 	680223104     	1,186
71,900      	01        	02      	71,900
FLEETBOSTON FINANCIAL CORP  		Common Stock 	339030108     	1,183
34,800      	01        	02      	34,800
LUCENT TECHNOLOGIES            		Common Stock 	549463107     	1,177
19,870      	01        	02      	19,870
OM  GROUP INC                 	Common Stock 	670872100     	1,166
26,500      	01        	02      	26,500
ARVINMERITOR  INC             		Common Stock 	43353101      	1,154
66,400      	01        	02      	66,400
TIDEWATER INC                 		Common Stock 	886423102     	1,148
31,900      	01        	02      	31,900
AMERICAN GENERAL CORPORATION 		Common Stock 	26351106      	1,129
18,500      	01        	02      	18,500
MERRILL LYNCH & CO INC      		Common Stock 	590188108     	1,116
9,700       	01        	02      	9,700
TELEFLEX INC                		Common Stock 	879369106     	1,112
31,100      	01        	02     	31,100
GBC BANCORP CA              		Common Stock 	361475106     	1,106
37,800      	01        	02      	37,800
OCEAN ENERGY INC             		Common Stock 	6.75E+110     	1,102
77,700      	01        	02      	77,700
QUESTAR CORP                  		Common Stock 	748356102     	1,062
54,800      	01        	02      	54,800
STRUCTURAL DYNAMICS RESEARCH 		Common Stock 	863555108     	1,024
68,000      	01        	02      	68,000
MCCLATCHY  HOLDINGS CO   		Common Stock 	579489105     	1,014
30,600      	01        	02      	30,600
PHILIP MORRIS COS INC     		Common Stock 	718154107      	999
37,600      	01        	02      	37,600
STANDARD PACIFIC CORP      		Common Stock 	85375C101      	958
95,800      	01        	02      	95,800
LANDRYS SEAFOOD RESTAURANT  		Common Stock 	51508L103      	950
111,800      	01        	02     	111,800

                                           Total       26,056

01:  Rothschild Asset Management Inc.



NAME OF REPORTING MANAGER:  ROTHSCHILD ASSET MANAGEMENT INC.
Page 16
13-F Filings Report
As of :  6/30/00

Item 1:					Item 2:		Item 4:	Item 4:
Item 5:		Item 6:		Item 8:
SECURITY				TITLE OF	CUSIP	FAIR
SHARES OR Investment Disc Voting Aut
DESCRIPTION				CLASS		NUMBER	MARKET VALUE
FACE AMOUNT	SOLE(A)		MANAGERS	SHARES
WALT DISNEY CO         			Common Stock 	254687106      	890
22,929      	01        	02      	22,929
AZTAR CORP                  			Common Stock 	54802103       	854
55,100      	01        	02      	55,100
FEDERATED DEPARTMNT STORES I 		Common Stock 	31410H101      	854
25,300      	01        	02      	25,300
GORMAN RUPP CO              			Common Stock 	383082104      	839
53,300      	01        	02      	53,300
GREIF BROS. CORP.- CL A   			Common Stock 	397624107      	716
23,300      	01        	02      	23,300
OSHKOSH B'GOSH CL A      			Common Stock 	688222207      	693
42,300      	01        	02      	42,300
HERMAN MILLER INC.       			Common Stock 	600544100      	688
26,600      	01        	02      	26,600
MICHAEL FOODS INC      			Common Stock 	594079105      	676
27,600      	01        	02      	27,600
BROOKTROUT INC         			Common Stock 	114580103      	670
30,700      	01        	02      	30,700
MENS WEARHOUSE INC    			Common Stock 	587118100      	669
30,000      	01        	02      	30,000
WEYERHAEUSER COMPANY   		Common Stock 	962166104      	654
15,200      	01        	02      	15,200
KIRBY CORP               		Common Stock 	497266106      	650
30,600      	01        	02      	30,600
VISTEON CORP               		Common Stock 	92839U107      	629
51,865      	01        	02      	51,865
PARK-OHIO HOLDINGS CORP   		Common Stock 	700666100      	628
72,800      	01        	02      	72,800
AK STEEL HOLDINGS CORP   		Common Stock  	1547108       	624
78,000      	01        	02      	78,000
SHERWIN WILLIAMS CO        		Common Stock 	824348106      	612
28,900      	01        	02      	28,900
ERIE INDEMNITY CO CL A     		Common Stock 	29530P102      	605
19,200      	01        	02      	19,200
FEDEX CORP                 		Common Stock 	31428X106      	604
15,900      	01        	02      	15,900
HALLIBURTON COMPANY         		Common Stock 	406216101      	575
12,183      	01        	02      	12,183
INTERMET CORP              		Common Stock 	45881K104      	566
82,300      	01        	02      	82,300
SCHERING-PLOUGH CORP       		Common Stock 	806605101      	561
11,100      	01        	02      	11,100
BP AMOCO PLC               		Common Stock 	55622104       	539
9,526       	01        	02      	9,526
GENERAL MOTORS CORPORATION  		Common Stock 	370442105      	534
9,200       	01        	02      	9,200

                                          Total        15,330

01:  Rothschild Asset Management Inc.



NAME OF REPORTING MANAGER:  ROTHSCHILD ASSET MANAGEMENT INC.
Page 17
13-F Filings Report
As of :  6/30/00

Item 1:					Item 2:		Item 4:	Item 4:
Item 5:		Item 6:		Item 8:
SECURITY				TITLE OF	CUSIP	FAIR
SHARES OR Investment Disc Voting Aut
DESCRIPTION				CLASS		NUMBER	MARKET VALUE
FACE AMOUNT	SOLE(A)		MANAGERS	SHARES
JDA SOFTWARE GROUP INC   		Common Stock 	46612K108      	522
27,200      	01        	02      	27,200
NEIMAN-MARCUS GROUP INC  		Common Stock 	640204202      	508
17,200      	01        	02      	17,200
NEW YORK TIMES CLASS A   		Common Stock 	650111107      	503
12,728      	01        	02      	12,728
WASHINGTON POST CO       		Common Stock 	939640108      	478
1,000       	01        	02      	1,000
SMITH INTL INC            		Common Stock 	832110100      	466
6,400       	01        	02      	6,400
AMFM INC                  		Common Stock  	1693100       	448
6,500       	01        	02      	6,500
SCHLUMBERGER LTD          		Common Stock 	806857108      	440
5,900       	01        	02      	5,900
INGERSOLL RAND CO          		Common Stock 	456866102      	435
10,800      	01        	02      	10,800
INT'L FLAVORS & FRAGRANCES  		Common Stock 	459506101      	421
13,933      	01        	02      	13,933
HUGHES SUPPLY INC           		Common Stock 	444482103      	409
20,700      	01        	02      	20,700
MGIC INVESTMENT             		Common Stock 	552848103      	400
8,800       	01        	02      	8,800
AT&T CORP LIBERTY MEDIA GROU 		Common Stock  	1957208       	395
16,300      	01        	02      	16,300
PECO ENERGY CO                	Common Stock 	693304107      	383
9,500       	01        	02      	9,500
COLONIAL PROPERTIES TRUST   		Common Stock 	195872106      	356
13,000      	01        	02      	13,000
HOLOGIC INC                		Common Stock 	436440101      	349
51,700      	01        	02      	51,700
DELTA AIR LINES INCORPORATED 		Common Stock 	247361108      	349
6,901       	01        	02      	6,901
BELL ATLANTIC CORPORATION     		Common Stock 	77853109       	347
6,820       	01        	02      	6,820
MENTOR GRAPHICS CORPORATION 		Common Stock 	587200106      	344
17,300      	01        	02      	17,300
CADBURY SCHWEPPES PLC    		Common Stock 	127209302      	328
12,500      	01        	02      	12,500
CALGON CARBON CORP          		Common Stock 	129603106      	325
42,000      	01        	02      	42,000
EATON CORP                  		Common Stock 	278058102      	322
4,800       	01        	02      	4,800
SAFEWAY INC.                		Common Stock 	786514208      	319
7,100       	01        	02      	7,100
HEALTH CARE PPTY INVS INC   		Common Stock 	421915109      	300
11,000      	01        	02      	11,000

                                          Total        9,147

01:  Rothschild Asset Management Inc.



NAME OF REPORTING MANAGER:  ROTHSCHILD ASSET MANAGEMENT INC.
Page 18
13-F Filings Report
As of :  6/30/00

Item 1:					Item 2:		Item 4:	Item 4:
Item 5:		Item 6:		Item 8:
SECURITY				TITLE OF	CUSIP	FAIR
SHARES OR Investment Disc Voting Aut
DESCRIPTION				CLASS		NUMBER	MARKET VALUE
FACE AMOUNT	SOLE(A)		MANAGERS	SHARES

MUTUAL SERIES FUND INC     		Common Stock 	628380107      	294
15,453      	01        	02      	15,453
SILICON VALLEY GROUP INC.  		Common Stock 	827066101      	287
11,100      	01        	02      	11,100
PETROLEUM & RES CORP       		Common Stock 	716549100      	286
7,795       	01        	02      	7,795
SIMPSON INDUSTRIES INC      		Common Stock 	829060102      	282
37,500      	01        	02      	37,500
DIEBOLD INC                  		Common Stock 	253651103      	282
10,125      	01        	02      	10,125
RAYTHEON CO CL B              		Common Stock 	755111408      	281
14,600      	01        	02      	14,600
INTERLOGIX INC                 		Common Stock 	458763109      	263
19,145      	01        	02      	19,145
CONSOLIDATED EDISON CO N Y  		Common Stock 	209115104      	255
8,600       	01        	02      	8,600
HUBBELL INC                 		Common Stock 	443510201      	247
9,700       	01        	02      	9,700
RTI INTERNATIONAL METALS     		Common Stock 	74973W107      	242
21,300      	01        	02      	21,300
K2 INC                       		Common Stock 	482732104      	226
27,200      	01        	02      2	7,200
MAGNETEK INC               		Common Stock 	559424106      	216
26,950      	01        	02      	26,950
HARBOR FLORIDA BANCSHARES IN 		Common Stock 	411901101      	206
19,700      	01        	02      	19,700
OFFICEMAX INC                		Common Stock 	67622M108      	202
40,300      	01        	02      	40,300

                                          Total        3,569

                                        Grand Total  2,036,257



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