KPH INVEST LLC /IL/
13F-HR, 2000-05-12
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UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549

Form 13F

Form 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: March 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:	KPH invest, LLC
Address:	221 N. LaSalle St., Ste. 1740
	Chicago, IL 60601-1405

Form 13F File Number:	28-2070

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:		David P. Goliber
Title:	Senior VP
Phone:	312-372-2255
Signature, Place, and Date of Signing:
	David P. Goliber	Chicago, IL	05/12/00

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:	None

Form 13F Information Table Entry Total:	151

Form 13F Information Table Value Total:	$25,716
	(thousands)

List of Other Included Managers:

Provide a numbered list of the name(s) and Form 13F file
number(s) of all institutional investment managers with respect
to which this report is filed, other than the manager filing
this report.

None
<PAGE>
<TABLE>                      <C>           <C>
			Value	Shares/	Sh/	Put/	Invstmt	Other	Voting Authority
Name of Issuer	Title of Class	CUSIP	(X$1000)	Prn Amt	Prn	Call	Dscretn	Managers	Sole	Shared	None

3Com Corp.	COMMON STOCK	885535104	762062	13700	Sh		Sole		13700
Adaptec	COMMON STOCK	00651F108	498262	12900	Sh		Sole		12900
"Aflac, Inc."	COMMON STOCK	001055102	620500	13600	Sh		Sole		13600
Agribiotech Inc.	COMMON STOCK	008494106	900	7500	Sh		Sole		7500
Akorn Inc.	COMMON STOCK	00972810	1596950	168100	Sh		Sole		168100
"Alpharma, Inc."	COMMON STOCK	020813101	213150	5800	Sh		Sole		5800
Amerada Hess	COMMON STOCK	023551104	71087	1100	Sh		Sole		1100
American Ecology Corp.	COMMON STOCK	02553G101	2062	2000	Sh		Sole		2000
American Int'l Petroleum	COMMON STOCK	026909408	2000	2000	Sh		Sole		2000
Anheuser-Busch Cos.	COMMON STOCK	03522910	270912	4352	Sh		Sole		4352
Ann Taylor Stores	COMMON STOCK	036115103	138000	6000	Sh		Sole		6000
Apache Corp.	COMMON STOCK	037411105	75869	1525	Sh		Sole		1525
Apex Inc.	COMMON STOCK	037548104	40837	1100	Sh		Sole		1100
"Apria Healthcare Group, Inc."	COMMON STOCK	037933108	49087	3400	Sh		Sole		3400
Arkansas Best	COMMON STOCK	040790107	54075	5150	Sh		Sole		5150
Aura Systems	COMMON STOCK	051526101	2850	7500	Sh		Sole		7500
Autodesk Inc.	COMMON STOCK	052769106	392587	8700	Sh		Sole		8700
Ball Corp.	COMMON STOCK	058498106	552269	15950	Sh		Sole		15950
BankAmerica Corp.	COMMON STOCK	06605010	18007	343	Sh		Sole		343
Bell Atlantic Corp.	COMMON STOCK	07785310	24939	408	Sh		Sole		408
BellSouth Corp.	COMMON STOCK	07986010	56062	1196	Sh		Sole		1196
Bikers Dream	COMMON STOCK	090008202	3062	2000	Sh		Sole		2000
Biomatrix Inc.	COMMON STOCK	09060P102	216381	8900	Sh		Sole		8900
Black & Decker Corp.	COMMON STOCK	09179710	195650	5200	Sh		Sole		5200
Briggs & Stratton	COMMON STOCK	109043109	347506	8450	Sh		Sole		8450
CDW Computer Ctrs.	COMMON STOCK	12512910	68578	825	Sh		Sole		825
CNF Transportation	COMMON STOCK	12612W104	40219	1500	Sh		Sole		1500
CTS Corp.	COMMON STOCK	12650110	109725	1925	Sh		Sole		1925
CVS Corporation	COMMON STOCK	126650100	256162	6900	Sh		Sole		6900
Cardinal Health	COMMON STOCK	14149Y10	399112	8700	Sh		Sole		8700
Catalina Marketing	COMMON STOCK	148867104	273375	2700	Sh		Sole		2700
Cato Corp.	COMMON STOCK	14920510	101200	8800	Sh		Sole		8800
Checkpoint Sys	COMMON STOCK	162825103	64312	7000	Sh		Sole		7000
Cheesecake Factory	COMMON STOCK	163072101	380869	9150	Sh		Sole		9150
Cityview Energy	COMMON STOCK	q3079d103	2562	2000	Sh		Sole		2000
Cognex Corp.	COMMON STOCK	192422103	299972	5200	Sh		Sole		5200
Cohu Inc.	COMMON STOCK	192576106	137570	3300	Sh		Sole		3300
Commscope Inc.	COMMON STOCK	203372107	69673	1525	Sh		Sole		1525
Compositech	COMMON STOCK	204938104	2625	2000	Sh		Sole		2000
Computer Associates	COMMON STOCK	20491210	391950	6700	Sh		Sole		6700
Compuware Corp.	COMMON STOCK	205638109	320150	15200	Sh		Sole		15200
Cypro International Inc.	COMMON STOCK	23280V104	2250	7500	Sh		Sole		7500
Darden Restaurants	COMMON STOCK	237194105	144525	8200	Sh		Sole		8200
Data Systems Network	COMMON STOCK	237891106	406	500	Sh		Sole		500
Dayrunner	COMMON STOCK	239545106	3625	2000	Sh		Sole		2000
Delphi Automotive Systems	COMMON STOCK	247126105	7333	453	Sh		Sole		453
Delphi Financial Group	COMMON STOCK	247131105	57096	1872	Sh		Sole		1872
Dendrite Int'l.	COMMON STOCK	248239105	112542	5375	Sh		Sole		5375
Diamonds Trust Series I	COMMON STOCK	252787106	21900	200	Sh		Sole		200
Digital Microwave	COMMON STOCK	253859102	199862	5900	Sh		Sole		5900
Donnelley (R.R.)	COMMON STOCK	257867101	79406	3850	Sh		Sole		3850
Dynex Capital Inc Cv Pfd A	PREFERRED STOCK	26817Q209	1875	200	Sh		Sole		200
Dynex Capital Inc Cv Pfd B	PREFERRED STOCK	26817Q308	1500	160	Sh		Sole		160
Earthgrains Co.	COMMON STOCK	27031910	5263	348	Sh		Sole		348
Elcor Corp.	COMMON STOCK	284443108	163012	4725	Sh		Sole		4725
"Electroglas, Inc."	COMMON STOCK	285324109	255162	7450	Sh		Sole		7450
Employee Solutions	COMMON STOCK	292166105	1437	2000	Sh		Sole		2000
Exxon Corp.	COMMON STOCK	30229010	293114	3728	Sh		Sole		3728
Federal Home Loan	COMMON STOCK	313400301	339300	7800	Sh		Sole		7800
Federal Natl. Mtge.	COMMON STOCK	31358610	28125	500	Sh		Sole		500
Finet Communications	COMMON STOCK	317922300	2625	2000	Sh		Sole		2000
Firearms Training	COMMON STOCK	318120102	2125	2000	Sh		Sole		2000
Fortress Group	COMMON STOCK	34956K108	1875	2000	Sh		Sole		2000
Freeport McMoRan Copper	COMMON STOCK	35671D857	36783	3050	Sh		Sole		3050
"Gap, Inc."	COMMON STOCK	364760108	45000	900	Sh		Sole		900
General Dynamics Corp.	COMMON STOCK	369550108	522375	10500	Sh		Sole		10500
General Motors	COMMON STOCK	37044210	53219	650	Sh		Sole		650
"Gliatech, Inc."	COMMON STOCK	37929C103	24237	1400	Sh		Sole		1400
Harman Intl. Ind.	COMMON STOCK	41308610	114000	1900	Sh		Sole		1900
Helmerich & Payne	COMMON STOCK	42345210	57350	1850	Sh		Sole		1850
Household Intl. Inc.	COMMON STOCK	441815107	376851	10100	Sh		Sole		10100
ITT Industries	COMMON STOCK	450911102	475650	15100	Sh		Sole		15100
Inco Ltd.	COMMON STOCK	453258402	42262	2300	Sh		Sole		2300
Insight Enterprises	COMMON STOCK	45765U103	302431	8300	Sh		Sole		8300
Ivax Corp	COMMON STOCK	465823102	57225	2100	Sh		Sole		2100
"J. Baker, Inc."	COMMON STOCK	057232100	153650	21950	Sh		Sole		21950
Jack In the Box	COMMON STOCK	466367109	229950	10950	Sh		Sole		10950
Jones Apparel	COMMON STOCK	480074103	23150	800	Sh		Sole		800
KLA-Tencor Corp.	COMMON STOCK	482480100	466894	5550	Sh		Sole		5550
Kansas City Southern	COMMON STOCK	485170104	769136	8950	Sh		Sole		8950
Kerr-McGee	COMMON STOCK	49238610	60637	1050	Sh		Sole		1050
Lattice Semicond.	COMMON STOCK	518415104	108301	1600	Sh		Sole		1600
Lincoln National	COMMON STOCK	53418710	33600	960	Sh		Sole		960
Lowes Companies	COMMON STOCK	54866110	446600	7700	Sh		Sole		7700
MCI Worldcom Inc.	COMMON STOCK	55268B106	349387	7700	Sh		Sole		7700
"MICROS Systems, Inc."	COMMON STOCK	594901100	308396	4900	Sh		Sole		4900
Macromedia Inc.	COMMON STOCK	556100105	397377	4400	Sh		Sole		4400
Marsh & McLennan	COMMON STOCK	571748102	132374	1200	Sh		Sole		1200
Masco Corp.	COMMON STOCK	574599106	350550	17100	Sh		Sole		17100
Medical Dynamics	COMMON STOCK	584900401	1812	2000	Sh		Sole		2000
"Medquist,Inc."	COMMON STOCK	584949101	318088	11700	Sh		Sole		11700
Mens Wearhouse	COMMON STOCK	587118100	334056	11300	Sh		Sole		11300
Mercury Interactive	COMMON STOCK	589405109	125200	1600	Sh		Sole		1600
Michaels Stores	COMMON STOCK	594087108	366750	9000	Sh		Sole		9000
Microsoft Corp.	COMMON STOCK	594918104	31875	300	Sh		Sole		300
Monaco Coach Corp.	COMMON STOCK	60886R103	146300	7700	Sh		Sole		7700
Newstar Media	COMMON STOCK	652503103	2250	2000	Sh		Sole		2000
Occidental Petro.	COMMON STOCK	67459910	244012	12050	Sh		Sole		12050
Oracle Systems	COMMON STOCK	68389X105	468750	6000	Sh		Sole		6000
Pacific Sunwear	COMMON STOCK	694873100	128975	3350	Sh		Sole		3350
Park Electrochemical	COMMON STOCK	700416209	36137	1475	Sh		Sole		1475
Patterson Dental Co.	COMMON STOCK	703412106	271575	7100	Sh		Sole		7100
Phycor Inc.	COMMON STOCK	71940F100	2125	2000	Sh		Sole		2000
Pitney Bowes Inc.	COMMON STOCK	724479100	187587	4300	Sh		Sole		4300
Progress Software Corp.	COMMON STOCK	743312100	239068	10200	Sh		Sole		10200
Pulte Corp.	COMMON STOCK	745867101	44962	2200	Sh		Sole		2200
"Queens County Bancorp, Inc."	COMMON STOCK	74824210	1806	100	Sh		Sole		100
Redwood Trust Cl. B Pfd	PREFERRED STOCK	758025600	3544	140	Sh		Sole		140
Regis Corp.	COMMON STOCK	758932107	185891	12550	Sh		Sole		12550
Reliance Steel & Aluminum	COMMON STOCK	759509102	57375	2550	Sh		Sole		2550
Ruby Tuesday	COMMON STOCK	781182100	195125	11150	Sh		Sole		11150
SBC Communications	COMMON STOCK	84533310	77343	1847	Sh		Sole		1847
Saf T Lock	COMMON STOCK	78636p102	4625	2000	Sh		Sole		2000
Salton Inc.	COMMON STOCK	795757103	59641	1375	Sh		Sole		1375
Shaw Inds.	COMMON STOCK	820286102	32775	2300	Sh		Sole		2300
Skywest Inc.	COMMON STOCK	830879102	497866	12725	Sh		Sole		12725
Snap-On Inc.	COMMON STOCK	833034101	141625	5500	Sh		Sole		5500
Stillwater Mining	COMMON STOCK	86074Q102	63000	1575	Sh		Sole		1575
"Strategic Solutions Group, Inc"	COMMON STOCK	862776101	1375	2000	Sh		Sole		2000
Sturm Ruger	COMMON STOCK	864159108	49437	5650	Sh		Sole		5650
SuperValue Inc.	COMMON STOCK	868536103	39737	2200	Sh		Sole		2200
TJX Cos. Inc.	COMMON STOCK	87254010	492009	21450	Sh		Sole		21450
Taco Cabana	COMMON STOCK	873425102	10000	2000	Sh		Sole		2000
Target Corp.	COMMON STOCK	23975310	417150	5400	Sh		Sole		5400
"Tellabs, Inc."	COMMON STOCK	87966410	363712	6100	Sh		Sole		6100
Texas Instruments	COMMON STOCK	88250810	73462	450	Sh		Sole		450
"Textron, Inc."	COMMON STOCK	883203101	133100	2200	Sh		Sole		2200
Theragenics Corp.	COMMON STOCK	88337510	49487	3700	Sh		Sole		3700
Three-Five Systems	COMMON STOCK	88554L108	777287	12955	Sh		Sole		12955
Tidewater Inc.	COMMON STOCK	88642310	56475	1800	Sh		Sole		1800
Today's Man	COMMON STOCK	888910205	1250	2000	Sh		Sole		2000
Tower Automotive	COMMON STOCK	891707710	92800	5800	Sh		Sole		5800
"Trans World Airlines, Inc."	COMMON STOCK	893349837	17792	7694	Sh		Sole		7694
Tupperware Corp.	COMMON STOCK	899896104	194437	12200	Sh		Sole		12200
Tyco Intl. Ltd.	COMMON STOCK	902124106	129350	2600	Sh		Sole		2600
USN Communication Inc.	COMMON STOCK	111217223	0	200	Sh		Sole		200
Union Pacific Corp.	COMMON STOCK	90781810	49191	1325	Sh		Sole		1325
Unisys Corp.	COMMON STOCK	909214108	344206	13400	Sh		Sole		13400
United Technologies	COMMON STOCK	91301710	104337	1700	Sh		Sole		1700
"Viacom, Inc. B"	COMMON STOCK	925524308	129900	2400	Sh		Sole		2400
Virbac Corp	COMMON STOCK	927649103	32258	13234	Sh		Sole		13234
Vision Twenty-One	COMMON STOCK	92831N101	3031	2000	Sh		Sole		2000
WRT Energy Corp.	CONVERTIBLE PREFERRED	92931K106	394	300	Sh		Sole		300
Walgreen Co.	COMMON STOCK	93142210	20100	800	Sh		Sole		800
"Washington Mutual, Inc."	COMMON STOCK	939322103	326275	12400	Sh		Sole		12400
Webvan Group Inc.	COMMON STOCK	94845V103	1537	200	Sh		Sole		200
Western Water	COMMON STOCK	959881103	2500	2000	Sh		Sole		2000
Willamette Ind.	COMMON STOCK	969133107	491400	12600	Sh		Sole		12600
World Of Science	COMMON STOCK	981500101	2687	2000	Sh		Sole		2000
X-Rite	COMMON STOCK	98385710	42000	4200	Sh		Sole		4200
Zale Corp.	COMMON STOCK	988858106	212346	4500	Sh		Sole		4500
</TABLE>


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