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>