WILKE THOMPSON CAPITAL MANAGEMENT INC
13F-HR, 2000-01-25
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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 Money Manager Filing this Report:

Name:    Wilke/Thompson Capital Management, Inc.
         2950 Norwest Center, 90 S. Seventh Street
         Minneapolis, MN  55402

13F File Number:  28-2838

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:  Ann S. Pepper
Title: Chief Compliance Officer
Phone: 612-904-6200
Signature, Place and Date of Signing:

Ann S. Pepper	Minneapolis, MN		January 25, 2000

Report Type (Check only one.):
[X]	13F HOLDINGS REPORT.
[ ]	13F NOTICE.
[ ]	13F COMBINATION REPORT.

List of Other Managers Reporting for this Manager:  n/a

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

FORM 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:	n/a

Form 13F Information Table Entry Total: 94

Form 13F Information Table Value Total: $432,771

List of Other Included Managers:	n/a
<PAGE>

<TABLE>

                                               Wilke/Thompson Capital Management, Inc.
                                                              FORM 13F
                                                          December 31, 1999

                                                                                                              Voting Authority
                                                                                                         --------------------------
                                                           Value   Shares/  Sh/ Put/ Invstmt    Other
        Name of Issuer          Title of class    CUSIP   (x$1000) Prn Amt  Prn Call Dscretn   Managers     Sole    Shared   None
- ------------------------------ ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- --------
<S>                            <C>              <C>       <C>      <C>      <C> <C>  <C>     <C>          <C>      <C>      <C>
A D C Telecommunicatn Com      COM              000886101     526172500.000 SH       Sole                68950.000          3550.000
America Online Inc Del Com     COM              02364J104     390551460.000 SH       Sole                48260.000          3200.000
American Italian Pasta Cl A    COM              027070101     195263472.000 SH       Sole                33472.000         30000.000
AnswerThink Consulting Group I COM              036916104     141241230.000 SH       Sole                21630.000         19600.000
Apollo Group Inc Cl A          COM              037604105     6163307172.000SH       Sole               249622.000         57550.000
Astropower Inc Com             COM              04644a101     2215158185.000SH       Sole                83585.000         74600.000
Automatic Data Process Com     COM              053015103     9991185450.000SH       Sole               174825.000         10625.000
BMC Software Inc Com           COM              055921100     726890925.000 SH       Sole                85750.000          5175.000
Best Software Inc Com          COM              086579109     6672226157.000SH       Sole               176057.000         50100.000
Bisys Group Inc Com            COM              055472104     569887333.000 SH       Sole                63533.000         23800.000
CDW Computer Ctrs Inc Com      COM              125129106    12668161114.000SH       Sole               124539.000         36575.000
CSG Sys Intl Inc Com           COM              126349109     258764888.000 SH       Sole                34288.000         30600.000
Cardinal Health Inc Com        COM              14149y108     355574253.500 SH       Sole                69641.500          4612.000
Catalina Marketing Cp Com      COM              148867104     310326812.000 SH       Sole                14112.000         12700.000
Choicepoint Inc Com            COM              170388102     214451823.000 SH       Sole                27423.000         24400.000
Ciber Inc Com                  COM              17163b102     140551098.000 SH       Sole                26798.000         24300.000
Cintas Corp Com                COM              172908105     6785127723.000SH       Sole               118248.000          9475.000
Cisco Sys Inc Com              COM              17275R102    12034112337.000SH       Sole               105119.000          7218.000
Computer Sciences Corp Com     COM              205363104     606264065.000 SH       Sole                60515.000          3550.000
Corporate Exec Brd Co Com      COM              21988r102     316256596.000 SH       Sole                29896.000         26700.000
Dayton Hudson Corp Com         COM              239753106     455362000.000 SH       Sole                59100.000          2900.000
Dreyers Grand Ice Cream Com    COM              261878102     2050120580.568SH       Sole                64080.568         56500.000
E M C Corp Mass Com            COM              268648102     756269215.000 SH       Sole                64215.000          5000.000
E-Tek Dynamics Inc Com         COM              269240107     591443933.000 SH       Sole                23233.000         20700.000
Elan Plc Adr                   COM              284131208     272192235.000 SH       Sole                87935.000          4300.000
Electronic Arts Inc Com        COM              285512109      506 6025.000 SH       Sole                 4650.000          1375.000
Enron Corp Com                 COM              293561106     413293110.000 SH       Sole                88185.000          4925.000
Family Dlr Stores Inc Com      COM              307000109     2213135675.000SH       Sole               124675.000         11000.000
Fastenal Co Com                COM              311900104     7933176524.000SH       Sole               146149.000         30375.000
Fiserv Inc Com                 COM              337738108     8193213837.500SH       Sole               198039.500         15798.000
Forrester Resh Inc Com         COM              346563109     286341570.000 SH       Sole                21970.000         19600.000
G & K Svcs Inc Cl A            COM              361268105     155548020.308 SH       Sole                24720.308         23300.000
Goldman Sachs Group Inc Com    COM              38141G104     497452810.000 SH       Sole                50260.000          2550.000
Great Plains Software Com      COM              39119e105     434358098.000 SH       Sole                42198.000         15900.000
Home Depot Inc Com             COM              437076102    12030174976.500SH       Sole               164073.000         10903.500
Hooper Holmes Inc Com          COM              439104100     236791935.528 SH       Sole                47885.528         44050.000
IMS Health Inc Com             COM              449934108     4379161080.000SH       Sole               150730.000         10350.000
Impath Inc Com                 COM              45255g101     105041264.000 SH       Sole                21964.000         19300.000
Insight Enterprises Com        COM              45765u103     320178792.000 SH       Sole                41442.000         37350.000
Intertape Polymer Grp Com      COM              460919103     193468618.000 SH       Sole                36018.000         32600.000
Intuit Com                     COM              461202103     7339122450.000SH       Sole               116225.000          6225.000
JDS Uniphase Corp Com          COM              46612j101     671941650.000 SH       Sole                39700.000          1950.000
Keane Inc Com                  COM              486665102     5426168911.000SH       Sole               139811.000         29100.000
Kohls Corp Com                 COM              500255104     556577090.000 SH       Sole                70565.000          6525.000
Kroger Co Com                  COM              501044101      23612497.000 SH       Sole                11977.000           520.000
Legato Sys Inc Com             COM              524651106    10779156643.000SH       Sole               122993.000         33650.000
Linear Technology Corp Com     COM              535678106     698397585.000 SH       Sole                91210.000          6375.000
Lucent Technologies Com        COM              549463107     734897968.308 SH       Sole                92968.308          5000.000
Medtronic Inc Com              COM              585055106     5444149410.000SH       Sole               140310.000          9100.000
Micrel Inc Com                 COM              594793101     8324146195.000SH       Sole               103320.000         42875.000
Microsoft Corp Com             COM              594918104     773666260.000 SH       Sole                61760.000          4500.000
Molex Inc Com                  COM              608554101     542395670.000 SH       Sole                89429.000          6241.000
National Computer Sys Com      COM              635519101     167544518.364 SH       Sole                23318.364         21200.000
National Info Consort Com      COM              636491102     130640826.000 SH       Sole                21326.000         19500.000
National Instrs Corp Com       COM              636518102     4012104896.000SH       Sole                72897.000         31999.000
NetCreations Inc Com           COM              64110N102     268460989.000 SH       Sole                32039.000         28950.000
O Charleys Inc Com             COM              670823103     1855141342.000SH       Sole                74892.000         66450.000
O Reilly Automotive Com        COM              686091109     144167017.000 SH       Sole                35417.000         31600.000
On Assignment Inc Com          COM              682159108     3992133611.000SH       Sole                86161.000         47450.000
Oracle Corp Com                COM              68389x105     395035250.000 SH       Sole                33475.000          1775.000
Osteotech Inc Com              COM              688582105      62346607.000 SH       Sole                24707.000         21900.000
PC-Tel Inc Com                 COM              69325q105     315059995.000 SH       Sole                31395.000         28600.000
Patterson Dental Co Com        COM              703412106     7666179859.000SH       Sole               140959.000         38900.000
Paychex Inc Com                COM              704326107     6953173829.000SH       Sole               163240.000         10589.000
Pediatrix Med Group Com        COM              705324101     1773253266.000SH       Sole               204316.000         48950.000
Performance Food Group Com     COM              713755106     200682287.000 SH       Sole                43387.000         38900.000
Pfizer Inc Com                 COM              717081103     3476107165.000SH       Sole                99365.000          7800.000
Pinnacle Sys Inc Com           COM              723481107     317778094.000 SH       Sole                40894.000         37200.000
Policy Mgmt Sys Corp Com       COM              731108106     173767933.000 SH       Sole                35633.000         32300.000
QRS Corp Com                   COM              74726X105    11223106885.000SH       Sole                89385.000         17500.000
Radiologix Inc Com             COM              75040k109      936213969.000SH       Sole               112269.000        101700.000
Safeguard Scientifics Com      COM              786449108     582335724.000 SH       Sole                18824.000         16900.000
Safeway Inc Com New            COM              786514208     3737104525.000SH       Sole                97800.000          6725.000
Schwab Charles Cp New Com      COM              808513105     355192845.000 SH       Sole                87195.000          5650.000
Solectron Corp Com             COM              834182107     806284750.000 SH       Sole                79675.000          5075.000
Spartech Corporation           COM              847220209     195560617.879 SH       Sole                31617.879         29000.000
Staples Inc Com                COM              855030102     6686322215.000SH       Sole               301470.000         20745.000
Starbucks Corp Com             COM              855244109     6802280500.000SH       Sole               261150.000         19350.000
Stericycle Inc Com             COM              858912108     3863205366.000SH       Sole               134766.000         70600.000
Steris Corp Com                COM              859152100     4276417159.000SH       Sole               326859.000         90300.000
Sun Microsystems Inc Com       COM              866810104     7901102030.000SH       Sole                96830.000          5200.000
Supervalu Inc Com              COM              868536103     3680184001.000SH       Sole               146176.000         37825.000
Surmodics Inc Com              COM              868873100     277892609.000 SH       Sole                49009.000         43600.000
Techne Corp Com                COM              878377100     6489117851.000SH       Sole                87076.000         30775.000
Tellabs Inc Com                COM              879664100     334152050.000 SH       Sole                50325.000          1725.000
Tetra Tech Inc New Com         COM              88162G103     2700175634.000SH       Sole               104766.000         70868.000
Time Warner Inc Com            COM              887315109     354348990.000 SH       Sole                46590.000          2400.000
Transaction Sys Archit Cl A    COM              893416107     191568409.000 SH       Sole                36109.000         32300.000
Tuesday Morning Corp Com New   COM              899035505     2174117935.000SH       Sole                61835.000         56100.000
U S Foodservice Com            COM              90331r101     2793166725.000SH       Sole               157850.000          8875.000
Ventana Med Sys Inc Com        COM              92276h106     196779093.000 SH       Sole                41793.000         37300.000
Wal Mart Stores Inc Com        COM              931142103     494471525.000 SH       Sole                67825.000          3700.000
Walgreen Co Com                COM              931422109     8250282035.000SH       Sole               264485.000         17550.000
Wild Oats Markets Inc Com      COM              96808B107     6067273458.000SH       Sole               208770.500         64687.500
REPORT SUMMARY                 94 DATA RECORDS              432771            0 OTHER MANAGERS ON WHOSE BEHALF REPORT IS FILED
</TABLE>


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