United States Securities and Exchange Commission
Washington, DC 20549
FORM 13F
FORM 13F COVER PAGE
Report for the Calendar Year or Quarter Ended: December 31, 1999
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: Knights of Columbus
Address: One Columbus Plaza
New Haven, CT 06507-0901
13F File Number: 28-2011
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: Carl A. Anderson
Title: Supreme Secretary
Phone: 203-772-2130
Signature, Place, and Date of Signing:
/s/ Carl A. Anderson, New Haven, CT February 2000
---------------------------------------------
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).)
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FORM 13F SUMMARY PAGE
Report Summary:
Number of Other Included Managers: 0
Form 13F Information Table Entry Total: 161
Form 13F Information Value Total (thousands): 672720
Confidential Information has been omitted from the public Form 13F and filed
separately with the Commission.
List of Other Included Managers None
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VALUE SHRS OR SH/ PUT/ INVESTMENT OTHER VOTING AUTHORITY
NAME OF ISSUER TITLE OF CLASS CUSIP (x$1000)PRN AMT PRN CALL DISCRETIONMANAGERS SOLE SHARED NONE
- ---------------------------------------------------------------------- ----- -----------------------------------------------
AMR Corp. COMM 001765106 1776 26500 SOLE 26500
AT&T Corp COMM 001957109 7480 147200 SOLE 147200
Abbott Laboratories COMM 002824100 2447 67400 SOLE 67400
Air Products & Chemicals, Inc. COMM 009158106 1426 42500 SOLE 42500
Albertson's Inc. COMM 013104104 3358 104109 SOLE 104109
Alcan Aluminum, Ltd. COMM 013716105 59 1000 SOLE 1000
Alcoa Inc. COMM 013817101 1743 21000 SOLE 21000
Allstate Corp COMM 020002101 3334 138560 SOLE 138560
America Online, Inc. COMM 02364J104 4401 58000 SOLE 58000
American Express COMM 025816109 2826 17000 SOLE 17000
American General Corp COMM 026351106 3164 41700 SOLE 41700
American International Group COMM 026874107 9589 88687 SOLE 88687
Anheuser-Busch Cos Inc COMM 035229103 4288 60500 SOLE 60500
Applied Materials, Inc. COMM 038222105 3737 29500 SOLE 29500
Archer-Daniels-Midland Co COMM 039483102 2397 197673 SOLE 197673
Associates First Capital-A COMM 046008108 5940 216504 SOLE 216504
AutoZone COMM 053332102 3422 105900 SOLE 105900
Automatic Data Processing COMM 053015103 6654 123500 SOLE 123500
BCE, Inc. COMM 05534B109 118 900 SOLE 900
BEA Systems Inc. COMM 073325102 175 2500 SOLE 2500
BP Amoco PLC ADR COMM 055622104 6328 106684 SOLE 106684
Baker-Hughes Inc COMM 057224107 1338 63500 SOLE 63500
Banc One Corp. New COMM 06423A103 3684 115140 SOLE 115140
Bank Of Montreal COMM 063671101 49 1000 SOLE 1000
BankAmerica Corp. COMM 060505104 5303 105661 SOLE 105661
Bell Atlantic Corp COMM 077853109 6617 107476 SOLE 107476
BellSouth Corp. COMM 079860102 3277 70000 SOLE 70000
Boeing Co. COMM 097023105 3339 80584 SOLE 80584
Boston Scientific Corp. COMM 101137107 2002 91500 SOLE 91500
Broadcom Corp. - Class A COMM 111320107 1090 4000 SOLE 4000
Canadian Pacific Ltd. COMM 135923100 31 1000 SOLE 1000
Chase Manhattan Corp. COMM 16161A108 9012 116000 SOLE 116000
Chevron Corp COMM 166751107 2053 23700 SOLE 23700
Chubb Corp. COMM 171232101 3643 64700 SOLE 64700
Cisco Sytems, Inc. COMM 17275R102 21521 200900 SOLE 200900
Citigroup Inc. COMM 172967101 5764 103500 SOLE 103500
Citrix Systems, Inc. COMM 177376100 200 1625 SOLE 1625
Clorox Co. COMM 189054109 3753 74500 SOLE 74500
Coca-Cola Co COMM 191216100 16322 280200 SOLE 280200
Colgate Palmolive Co. COMM 194162103 4654 71600 SOLE 71600
Compaq Computer Corp. COMM 204493100 3180 117500 SOLE 117500
Comverse Technology, Inc. COMM 205862402 166 1150 SOLE 1150
Conexant Systems, Inc. COMM 207142100 2721 41000 SOLE 41000
Conoco, Inc. COMM 208251306 62 2500 SOLE 2500
Conoco, Inc. COMM 208251405 1058 42529 SOLE 42529
Consolidated Natural Gas Co COMM 209615103 2727 42000 SOLE 42000
Constellation Energy Group Inc COMM 210371100 626 21600 SOLE 21600
Convergys Corp. COMM 212485106 6058 197000 SOLE 197000
Danielson Holding Corp COMM 236274106 1052 183037 SOLE 183037
Deere & Co COMM 244199105 3611 83250 SOLE 83250
Delphi Automotive Systems COMM 247126105 1172 74413 SOLE 74413
Dollar General Corp. COMM 256669102 340 14937 SOLE 14937
Du Pont (E.I.) De Nemours & Co COMM 263534109 5587 84810 SOLE 84810
EMC Corp. COMM 268648102 3469 31750 SOLE 31750
Eastman Kodak Co COMM 277461109 2683 40500 SOLE 40500
El Paso Energy Corp. COMM 283905107 3647 93964 SOLE 93964
Electronic Data Systems COMM 285661104 6660 99500 SOLE 99500
Emerson Electric Co COMM 291011104 5474 95400 SOLE 95400
Engelhard Corp COMM 292845104 2237 118500 SOLE 118500
Ericsson (LM) Tel. Co CL B ADR COMM 294821400 3711 56500 SOLE 56500
Exxon Mobil Corporation COMM 30231G102 17560 217972 SOLE 217972
Federal Home Loan Mtg Corp COMM 313400301 5092 108200 SOLE 108200
Federal National Mortgage Assn COMM 313586109 3590 57500 SOLE 57500
Fedex Corp. COMM 31428X106 1662 40600 SOLE 40600
First Data Corporation COMM 319963104 6657 135000 SOLE 135000
FleetBoston Financial Corp. COMM 339030108 3826 109900 SOLE 109900
Ford Motor Co. COMM 345370100 7419 139163 SOLE 139163
Fortune Brands, Inc. COMM 349631101 1471 44500 SOLE 44500
GTE Corp COMM 362320103 4481 63500 SOLE 63500
Gannett Company Inc COMM 364730101 4918 60300 SOLE 60300
Gemstar Internat'l Group Ltd. COMM G3788V106 196 2750 SOLE 2750
General Electric Co COMM 369604103 38216 246950 SOLE 246950
General Motors Corp. COMM 370442105 2435 33500 SOLE 33500
General Motors Corp. COMM 370442832 3888 40500 SOLE 40500
Georgia-Pacific Corp COMM 373298108 1421 28000 SOLE 28000
Gillette Co COMM 375766102 5976 145100 SOLE 145100
Global Crossing Ltd. COMM G3921A100 5000 100000 SOLE 100000
Guidant Corp. COMM 401698105 2468 52500 SOLE 52500
Hartford Life - Class A COMM 416592103 3454 78500 SOLE 78500
Heinz (H.J.) Co COMM 423074103 1284 32250 SOLE 32250
Hertz Corp. COMM 428040109 1504 30000 SOLE 30000
Hewlett-Packard Co COMM 428236103 12137 106700 SOLE 106700
Hudson United Bancorp COMM 444165104 0 1 SOLE 1
I2 Technologies Inc. COMM 465754109 176 900 SOLE 900
IBM Corp. COMM 459200101 12956 120100 SOLE 120100
IMC Global Inc. COMM 449669100 1032 63000 SOLE 63000
Imperial Oil Ltd. COMM 453038408 62 2000 SOLE 2000
Intel Corp COMM 458140100 22426 272450 SOLE 272450
JDS Uniphase Corp. COMM 46612J101 468 2900 SOLE 2900
Johnson Controls Inc COMM 478366107 1706 30000 SOLE 30000
Kimberly Clark Corp. COMM 494368103 4157 63520 SOLE 63520
Kimco Realty Corp. COMM 49446R109 3184 94000 SOLE 94000
Lilly (Eli) & Co COMM 532457108 7761 116700 SOLE 116700
Lowes Companies, Inc. COMM 548661107 6154 103000 SOLE 103000
Lucent Technologies Inc. COMM 549463107 10440 139200 SOLE 139200
MCI Worldcom Inc. COMM 55268B106 7476 140881 SOLE 140881
Marsh & McLennan Companies COMM 571748102 8488 88700 SOLE 88700
May Department Stores Co COMM 577778103 871 27000 SOLE 27000
McDonalds Corp COMM 580135101 6748 167400 SOLE 167400
Mcgraw-Hill Companies COMM 580645109 3131 50800 SOLE 50800
Mediaone Group, Inc. COMM 58440J104 845 11000 SOLE 11000
Medtronic, Inc. COMM 585055106 5058 138800 SOLE 138800
Merck & Co COMM 589331107 18678 278000 SOLE 278000
Meritor Automotive Inc COMM 59000G100 1337 69000 SOLE 69000
Microsoft Corporation COMM 594918104 27903 239001 SOLE 239001
Minnesota Mining & Mfg Co COMM 604059105 2055 21000 SOLE 21000
Morgan (J.P.) & Co COMM 616880100 3989 31500 SOLE 31500
Morgan Stanely Dean Witter COMM 617446448 7395 51802 SOLE 51802
Motorola Inc. CONV. PFD. 620076109 4786 32500 SOLE 32500
Nabors Industries COMM 629568106 1083 35000 SOLE 35000
Network Appliance, Inc. COMM 64120L104 665 8000 SOLE 8000
News Corp Ltd Ads COMM 652487703 826 21600 SOLE 21600
News Corp Ltd Ads COMM 652487802 361 10800 SOLE 10800
Norfolk Southern Corp COMM 655844108 923 45000 SOLE 45000
Nortel Networks Corp. COMM 656569100 368 3650 SOLE 3650
Northeast Bancorp COMM 663904100 49 6000 SOLE 6000
Oracle Corp. COMM 68389X105 350 3125 SOLE 3125
PE Corp-PE Biosystems Group COMM 69332S102 174 1450 SOLE 1450
PMC - Sierra, Inc. COMM 69344F106 240 1500 SOLE 1500
Pepsi Bottling Group, Inc. COMM 713409100 1077 65000 SOLE 65000
Pepsico Inc. COMM 713448108 7226 205000 SOLE 205000
Pfizer Inc COMM 717081103 15797 487000 SOLE 487000
Philip Morris Companies Inc COMM 718154107 3726 162000 SOLE 162000
Procter & Gamble Co. COMM 742718109 13586 124000 SOLE 124000
Public Service Enterprises Grp COMM 744573106 37 1050 SOLE 1050
Qualcomm, Inc. COMM 747525103 564 3200 SOLE 3200
R & B Falcon Corp. COMM 74912E101 1060 80000 SOLE 80000
RF Micro Devices, Inc. COMM 749941100 139 2025 SOLE 2025
Raytheon Co. COMM 755111408 1310 49300 SOLE 49300
Rite Aid Corp COMM 767754104 1385 124500 SOLE 124500
Rockwell Internat'l Corp New COMM 773903109 2226 46500 SOLE 46500
Royal Bank Of Canada COMM 780087102 32 500 SOLE 500
Royal Dutch Petroleum -NY Reg COMM 780257804 8449 139500 SOLE 139500
SBC Communications Inc COMM 78387G103 11297 231742 SOLE 231742
Sabre Group Holdings COMM 785905100 1691 33000 SOLE 33000
Saks, Inc. COMM 79377W108 2272 146000 SOLE 146000
Sara Lee Corp COMM 803111103 4335 196500 SOLE 196500
Schering-Plough COMM 806605101 6538 154300 SOLE 154300
Schlumberger LTD COMM 806857108 3368 60000 SOLE 60000
Sears Roebuck & Co COMM 812387108 2394 78800 SOLE 78800
Siebel Systems, Inc. COMM 826170102 210 2500 SOLE 2500
SmithKline Beecham COMM 832378301 4841 75500 SOLE 75500
Solectron Corp. COMM 834182107 152 1600 SOLE 1600
Starwood Hotels & Resorts COMM 85590A203 2291 97500 SOLE 97500
Sun Microsystems, Inc. COMM 866810104 546 7050 SOLE 7050
Supervalu Inc COMM 868536103 3614 180700 SOLE 180700
TJX Companies, Inc. COMM 872540109 920 45000 SOLE 45000
Target Corp. COMM 87612E106 110 1500 SOLE 1500
Texaco Inc COMM 881694103 2607 48000 SOLE 48000
Texas Instruments, Inc. COMM 882508104 10 100 SOLE 100
Toronto Dominion Bank COMM 891160509 78 2000 SOLE 2000
Tricon Global Restaurants COMM 895953107 1504 38950 SOLE 38950
Trw Inc COMM 872649108 3246 62500 SOLE 62500
U S West, Inc. (New) COMM 91273H101 3312 46000 SOLE 46000
USX-Marathon Group COMM 902905827 1607 65100 SOLE 65100
Union Pacific Corp. COMM 907818108 2010 46000 SOLE 46000
Veritas Software Corp. COMM 923436109 279 1950 SOLE 1950
Vitesse Semiconductor Corp. COMM 928497106 89 1700 SOLE 1700
Wal-Mart Stores COMM 931142103 19345 279850 SOLE 279850
Walgreen Co COMM 931422109 3411 116600 SOLE 116600
Wells Fargo & Co. New COMM 949746101 501 12400 SOLE 12400
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