PRICE T ROWE ASSOCIATES INC /MD/
13F-HR/A, 2000-08-18
SECURITY & COMMODITY BROKERS, DEALERS, EXCHANGES & SERVICES
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                                  UNITED STATES
                       SECURITIES AND EXCHANGE COMMISSION
                             Washington, D.C. 20549

                                    Form 13F

                               Form 13F COVER PAGE

This filing lists securities holdings reported on the Form 13F filed on
March 31, 2000 pursuant to a request for confidential treatment and for
which that confidential treatment expired on June 30, 2000.

Report for the Calendar Year or Quarter Ended:  March 31, 2000

Check here if Amendment [ X ]; Amendment Number:     1
   This Amendment (Check only one.):    [  ] is a restatement.
                                        [ X ] adds new holdings entries.

Institutional Investment Manager Filing this Report:

Name:        T. Rowe Price Associates, Inc.
Address:     100 East Pratt Street
             Baltimore, Maryland  21202


Form 13F File Number:  28-115
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:     Henry H. Hopkins
Title:    Managing Director
Phone:    410-345-6603

Signature, Place, and Date of Signing:

      /S/ Henry H. Hopkins        Baltimore, Maryland      August 18, 2000
              [Signature]            [City, State]           [Date]

Report type (Check only one.):

[ X] 13F HOLDINGS REPORT.  (Check here if all holdings of this reporting
     manager are reported in this report.)

[  ] 13F NOTICE.  (Check here if no holdings reported are in this report, and
     all holdings are reported by other reporting manager(s).)

[  ] 13F COMBINATION REPORT.  (Check here if a portion of the holdings for this
     reporting manager are reported in this report and a portion are reported by
     other reporting manager(s).)

List of Other Managers Reporting for this Manager:
      NONE


<PAGE>

                                  Form 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers: 0

Form 13F Information Table Entry Total:  62

Form 13F Information Table Value Total: 873,163

List of Other Included Managers: NONE

<PAGE>

<TABLE>

<CAPTION>


                                                              FORM 13F INFORMATION TABLE


                                                           VALUE   SHARES/  SH/ PUT/ INVSTMT OTH      VOTING AUTHORITY

        NAME OF ISSUER         TITLE OF CLASS     CUSIP   (x$1000) PRN AMT  PRN CALL DSCRETN MGR   SOLE    SHARED    NONE
------------------------------ ---------------- --------- -------- -------- --- ---- ------- --- -------- -------- --------
<S>                            <S>              <S>       <C>      <C>               <C>     <C> <C>
ABGENIX INC.                     COMM STK               00339B107    31161   225650 SH       SOLE           43050        0   182600
ALLEGHENY TECHNOLOGIES INC.      COMM STK               01741R102     5967   297400 SH       SOLE           74600        0   222800
ALLIED RISER COMMUNICATIONS      COMM STK               019496108       83     2400 SH       SOLE             900        0     1500
AMERICA ONLINE DELAWARE          COMM STK               02364J104     5716    85000 SH       SOLE               0        0    85000
ATLANTIC COAST AIRLINES          COMM STK               048396105      259    10000 SH       SOLE               0        0    10000
AURORA BIOSCIENCES               COMM STK               051920106     4110   100400 SH       SOLE           45900        0    54500
BAXTER INTERNATIONAL             COMM STK               071813109    12724   213400 SH       SOLE          127400        0    86000
BUCKEYE TECHNOLOGIES INC.        COMM STK               118255108     1089    61800 SH       SOLE           12600        0    49200
CISCO SYSTEMS INC.               COMM STK               17275R102      387     5000 SH       SOLE               0        0     5000
CLOROX COMPANY                   COMM STK               189054109     2561    78792 SH       SOLE           27792        0    51000
COLT TELECOM GROUP PLC           COMM STK               196877997    14523   481700 SH       SOLE               0        0   481700
COMPAGNIE GEN GEOPHYS            ADR                    204386106     1078    82900 SH       SOLE           32900        0    50000
CYPRESS COMMUNICATIONS INC.      COMM STK               232743104     6691   271700 SH       SOLE          207700        0    64000
DAVIDS BRIDAL INC.               COMM STK               238576102       60     5000 SH       SOLE               0        0     5000
DEERE & COMPANY                  COMM STK               244199105     3420    90000 SH       SOLE               0        0    90000
DIGITAS INC.                     COMM STK               25388K104     4904   200400 SH       SOLE           19200        0   181200
E PHIPHANY INC.                  COMM STK               26881V100    28696   214900 SH       SOLE           77400        0   137500
E-TEK DYNAMICS INC.              COMM STK               269240107    84615   359300 SH       SOLE           39300        0   320000
EATON CORP.                      COMM STK               278058102    13424   172100 SH       SOLE          152100        0    20000
EDWARDS LIFESCIENCES CP          COMM STK               28176E108     2525   186200 SH       SOLE               0        0   186200
ELECTRONIC DATA SYSTEMS          COMM STK               285661104     8543   133100 SH       SOLE           33100        0   100000
ELOYALTY CORP.                   COMM STK               290151109    13059   547700 SH       SOLE          104500        0   443200
ETOYS INC.                       COMM STK               297862104     4816   545500 SH       SOLE               0        0   545500
FMC CORP.                        COMM STK               302491303    12566   222400 SH       SOLE           32400        0   190000
FIRST WORLD COMMUNICATIONS       COMM STK               337625305     1526    75000 SH       SOLE               0        0    75000
FOREST OIL CORP.                 COMM STK               346091606     9436   888100 SH       SOLE          165600        0   722500
GUIDANT CORP.                    COMM STK               401698105     6679   113556 SH       SOLE           13556        0   100000
HELMERICH & PAYNE INC.           COMM STK               423452101     4802   154900 SH       SOLE           54900        0   100000
HOMEGROCER COM INC               COMM STK               43740K100     9411   909800 SH       SOLE          347800        0   562000
IMPROVNET INC.                   COMM STK               45321E106     1407   190000 SH       SOLE               0        0   190000
INKTOMI CORP.                    COMM STK               457277101    68239   350000 SH       SOLE               0        0   350000
INVITROGEN CORP.                 COMM STK               46185R100    12378   213300 SH       SOLE           45100        0   168200
IPRINT COM INC.                  COMM STK               462628108     2375   125000 SH       SOLE               0        0   125000
KEYNOTE SYSTEMS, INC.            COMM STK               493308100    63924   633700 SH       SOLE          183700        0   450000
LIBERATE TECHNOLOGIES            COMM STK               530129105    55833   885800 SH       SOLE          311000        0   574800
MACDERMID INC.                   COMM STK               554273102     1497    56500 SH       SOLE               0        0    56500
MARHALL & ILSLEY CORP.           COMM STK               571834100      578    10000 SH       SOLE               0        0    10000
MAXIM PHARMACEUTICALS INC        COMM STK               57772M107    10519   224100 SH       SOLE           50500        0   173600
MCLEODUSA INC.                   COMM STK               582266102     5325    62600 SH       SOLE           22600        0    40000
MEDICAL MANAGER CORPORATION      COMM STK               58461U103    13539   383400 SH       SOLE          168500        0   214900
MICROSOFT CORP.                  COMM STK               594918104    47745   448180 SH       SOLE          175380        0   272800
NETIQ CORP.                      COMM STK               64115P102    43678   651000 SH       SOLE           78100        0   572900
NETWORK SOLUTIONS INC.           COMM STK               64121Q102    58628   381400 SH       SOLE           52700        0   328700
NORTEL NETWORKS CORP.            COMM STK               656569100     6930    55000 SH       SOLE               0        0    55000
NOVOSTE CORPORATION              COMM STK               67010C100     4021   100600 SH       SOLE           34200        0    66400
POLYMER GROUP INC.               COMM STK               731745105      870    68200 SH       SOLE           16800        0    51400
PRIORITY HEALTHCARE CORP.        COMM STK               74264T102     7026   140000 SH       SOLE           41000        0    99000
RYDER SYSTEM INC.                COMM STK               783549108     2364   104200 SH       SOLE           49200        0    55000
SEAWAY FOOD TOWN INC.            COMM STK               812744100      184    11000 SH       SOLE               0        0    11000
SERVICEMASTER CO                 COMM STK               81760N109     1312   116600 SH       SOLE           10100        0   106500
724 SOLUTIONS INC.               COMM STK               81788Q100      408     3300 SH       SOLE            2700        0      600
TEXAS INSTRUMENTS INC.           COMM STK               882508104    56147   350920 SH       SOLE          170920        0   180000
TEXAS REGIONAL BANCSHARE         COMM STK               882673106     1266    50000 SH       SOLE               0        0    50000
TRIMERIS INC.                    COMM STK               896263100     2652    53200 SH       SOLE           16700        0    36500
USX US STEEL GROUP               COMM STK               90337T101     4138   165500 SH       SOLE           30500        0   135000
UNITED THERAPEUTICS CORP.        COMM STK               91307C102     6526    83900 SH       SOLE           33900        0    50000
VASTAR RESOURCES, INC.           COMM STK               922380100    13882   186800 SH       SOLE           91800        0    95000
VERSIGN INC.                     COMM STK               92343E102    52677   352500 SH       SOLE           37500        0   315000
VIA NET WORKS INC.               COMM STK               925912107     2357    88100 SH       SOLE             600        0    87500
VISUAL NETWORKS INC.             COMM STK               928444108     8501   148000 SH       SOLE           35300        0   112700
VODAFONE AIRTOUGH PLC            ADR                    92857T107    17108   307900 SH       SOLE          257900        0    50000
QIAGEN NV                        COMM STK               N72482107     4298    31300 SH       SOLE           10400        0    20900
</TABLE>


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