FREMONT INVESTMENT ADVISORS INC
13F-HR, 2000-04-25
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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 holding entries.

Institutional Investment Manager Filing this Report:

Name:     Fremont Investment Advisors Inc
          ----------------------------------------------------------------------
Address:  333 Market Street Suite 2600
          ----------------------------------------------------------------------
          San Francisco, CA  94105
          ----------------------------------------------------------------------

          ----------------------------------------------------------------------

Form 13F File Number: 28-2875
                         --------------------

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:     Albert W. Kirschbaum
          ----------------------------------------------------------------------
Title:    Managing Director
          ----------------------------------------------------------------------
Phone:    (415) 284-8604
          ----------------------------------------------------------------------

Signature, Place, and Date of Signing:

/s/ Albert W. Kirschbaum            San Francisco, CA                 04/21/2000
- ----------------------------------  -------------------------------   ----------
           [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 is 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:
[If there are no entries in this list, omit this section.]

Form 13F File Number                                Name

2875
   ----------------------      -------------------------------------------------
   [Repeat as necessary.]

<PAGE>

                              Form 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:         NONE
                                        -------------------

Form 13F Information Table Entry Total:    201
                                        -------------------

Form 13F Information Table Value Total: $  242,544,155.85
                                        -------------------
                                            (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.

[If there are no entries in this list, state "NONE" and omit the column headings
and list entries.]

No.      Form 13F File Number     Name

         28-
- -----       -----------------     ----------------------------------------------

             [Repeat as necessary.]

<PAGE>

                          Form 13F INFORMATIONAL TABLE

<TABLE>
<CAPTION>

          Item 1:           Item 2:          Item 3:       Item 4:           Item 5:     Item 6:     Item 7:    Item 8:
      Name of Issuer        Title of         CUSIP         Fair Market       Shares of   Investment  Managers   Voting
                            Class            Number        Value ($)         Principal   Discretion             Authority
                                                                             Amount      (a) (b) (c)            (a) (b) (c)
- ---------------------------------------------------------------------------------------------------------------------------
<S>                         <C>              <C>           <C>              <C>               <C>       <C>      <C>
3COM CORP                   COM              885535104        111,250.00      2,000           X         1        X
A D C TELECOMMUNICATN       COM              000886101        161,625.00      3,000           X         1        X
ABBOTT LABS                 COM              002824100        943,025.00     26,800           X         1        X
ABERCROMBIE & FITCH CO      CL A             002896207        849,600.00     53,100           X         1        X
ADOBE SYS INC               COM              00724F101        111,312.50      1,000           X         1        X
AES CORP                    COM              00130H105      1,291,500.00     16,400           X         1        X
ALLERGAN INC                WHEN ISSUED      018490102         50,000.00      1,000           X         1        X
ALLIANCE CAP MGMT HLDG      UNIT LTD PART    01855A101        787,312.50     19,000           X         1        X
ALLTEL CORP                 COM              020039103         63,250.00      1,000           X         1        X
ALTERA CORP                 COM              021441100        178,500.00      2,000           X         1        X
ALZA CORP DEL               COM              022615108         37,562.50      1,000           X         1        X
AMEREN CORP                 COM              023608102        340,312.50     11,000           X         1        X
AMERICA ONLINE INC DEL      COM              02364J104      3,978,812.50     59,000           X         1        X
AMERICAN INTL GROUP IN      COM              026874107      1,861,500.00     17,000           X         1        X
AMGEN INC                   COM              031162100      1,043,375.00     17,000           X         1        X
ANALOG DEVICES INC          COM              032654105      1,288,000.00     16,000           X         1        X
ANDRX CORP                  COM              034551101      1,039,500.00      9,000           X         1        X
ANHEUSER BUSCH COS INC      COM              035229103      2,079,150.00     33,400           X         1        X
APACHE CORP                 COM              037411105      2,462,625.00     49,500           X         1        X
APPLIED MATLS INC           COM              038222105      2,073,500.00     22,000           X         1        X
APPLIED MICRO CIRCUITS      COM              03822W109        300,125.00      2,000           X         1        X
ASSOCIATES FIRST CAP C      CL A             046008108        551,475.00     25,800           X         1        X
AT&T CORP                   COM              001957109      3,266,125.00     58,000           X         1        X
ATMEL CORP                  COM              049513104         51,625.00      1,000           X         1        X
AXA FINL INC                COM              002451102      2,116,625.00     59,000           X         1        X
AZURIX CORP                 COM              05501M104        363,750.00     48,500           X         1        X
BANK OF AMERICA CORPOR      COM              060505104      2,952,231.25     56,300           X         1        X
BANK ONE CORP               COM              06423A103      1,062,600.00     30,800           X         1        X
BEA SYS INC                 COM              073325102        146,750.00      2,000           X         1        X
BECTON DICKINSON & CO       COM              075887109         52,625.00      2,000           X         1        X
BELL ATLANTIC CORP          COM              077853109      1,815,412.50     29,700           X         1        X
BELLSOUTH CORP              COM              079860102      1,654,687.50     35,300           X         1        X
BEST BUY INC                COM              086516101      2,150,000.00     25,000           X         1        X
BIOGEN INC                  COM              090597105        139,750.00      2,000           X         1        X
BLOCK H & R INC             COM              093671105         44,750.00      1,000           X         1        X
BMC SOFTWARE INC            COM              055921100        296,250.00      6,000           X         1        X
BOEING CO                   COM              097023105      2,083,468.75     55,100           X         1        X
BRISTOL MYERS SQUIBB C      COM              110122108      2,012,600.00     34,700           X         1        X
BROADCOM CORP               CL A             111320107        242,875.00      1,000           X         1        X
CALPINE CORP                COM              131347106      2,303,000.00     24,500           X         1        X
CAPITAL ONE FINL CORP       COM              14040H105      1,342,250.00     28,000           X         1        X
CARDINAL HEALTH INC         COM              14149Y108      1,192,750.00     26,000           X         1        X
CBS CORP                    COM              12490K107        396,375.00      7,000           X         1        X
CERIDIAN CORP               COM              15677T106         38,375.00      2,000           X         1        X
CHASE MANHATTAN CORP N      COM              16161A108      3,182,343.75     36,500           X         1        X
CIENA CORP                  COM              171779101        252,250.00      2,000           X         1        X
CIGNA CORP                  COM              125509109        681,750.00      9,000           X         1        X
CIRCUIT CITY STORE INC      GR               172737108        121,750.00      2,000           X         1        X
   CIRCT CITY
CISCO SYS INC               COM              17275R102     10,282,562.50    133,000           X         1        X
CITIGROUP INC               COM              172967101      5,685,131.25     94,950           X         1        X
CITRIX SYS INC              COM              177376100        967,250.00     14,600           X         1        X
CNET NETWORKS INC           COM              12613R104         50,687.50      1,000           X         1        X
COCA COLA CO                COM              191216100        600,800.00     12,800           X         1        X
COCA COLA ENTERPRISES       COM              191219104        388,125.00     18,000           X         1        X
COLGATE PALMOLIVE CO        COM              194162103        338,250.00      6,000           X         1        X
COMPAQ COMPUTER CORP        COM              204493100      1,107,000.00     41,000           X         1        X
COMPUTER ASSOC INTL IN      COM              204912109      1,160,075.00     19,600           X         1        X
COMPUTER SCIENCES CORP      COM              205363104         79,125.00      1,000           X         1        X
COMPUWARE CORP              COM              205638109        617,131.25     29,300           X         1        X
COMVERSE TECHNOLOGY IN      COM PAR $0.10    205862402        189,000.00      1,000           X         1        X
CONAGRA INC                 COM              205887102        507,500.00     28,000           X         1        X
CONCORD EFS INC             COM              206197105         71,106.25      3,100           X         1        X
CONEXANT SYSTEMS INC        COM              207142100        142,000.00      2,000           X         1        X
CONSECO INC                 COM              208464107        297,375.00     26,000           X         1        X
CORDANT TECHNOLOGIES I      COM              218412104        124,437.50      2,200           X         1        X
CORNING INC                 COM              219350105        582,000.00      3,000           X         1        X
DELL COMPUTER CORP          COM              247025109      3,495,150.00     64,800           X         1        X
DOLLAR GEN CORP             COM              256669102         53,750.00      2,000           X         1        X
DOUBLECLICK INC             COM              258609304         93,625.00      1,000           X         1        X
DOW CHEM CO                 COM              260543103        604,200.00      5,300           X         1        X
E M C CORP MASS             COM              268648102      2,683,800.00     21,300           X         1        X
EASTMAN KODAK CO            COM              277461109        939,606.25     17,300           X         1        X
EL PASO ENERGY CORP DE      COM              283905107        686,375.00     17,000           X         1        X
ELECTRONIC ARTS INC         COM              285512109         71,187.50      1,000           X         1        X
EQUIFAX INC                 COM              294429105         50,500.00      2,000           X         1        X
EXODUS COMMUNICATIONS       COM              302088109        140,500.00      1,000           X         1        X
EXXON MOBIL CORP            COM              30231G102      7,326,125.00     94,000           X         1        X
FAMILY DLR STORES INC       COM              307000109         62,437.50      3,000           X         1        X
FEDERAL HOME LN MTG CO      COM              313400301        760,025.00     17,200           X         1        X
FEDERAL MOGUL CORP          COM              313549107        116,812.50      7,000           X         1        X
FEDERAL NATL MTG ASSN       COM              313586109      3,297,593.75     58,300           X         1        X
FIRSTAR CORP NEW WIS        COM              33763V109        114,687.50      5,000           X         1        X
FISERV INC                  COM              337738108         55,781.25      1,500           X         1        X
FLEETBOSTON FINL CORP       COM              339030108      2,102,400.00     57,600           X         1        X
FORD MTR CO DEL             COM              345370100      3,895,500.00     84,800           X         1        X
FOREST LABS INC             COM              345838106         84,500.00      1,000           X         1        X
GAP INC DEL                 COM              364760108      1,780,796.88     35,750           X         1        X
GATEWAY INC                 COM              367626108         53,046.90      1,000           X         1        X
GATX CORP                   COM              361448103      1,900,000.00     50,000           X         1        X
GENERAL ELEC CO             COM              369604103      9,617,625.00     61,800           X         1        X
GENERAL MTRS CORP           COM              370442105      1,308,437.50     15,800           X         1        X
GILLETTE CO                 COM              375766102        263,812.50      7,000           X         1        X
GTE CORP                    COM              362320103      1,696,900.00     23,900           X         1        X
HARLEY DAVIDSON INC         COM              412822108         79,375.00      1,000           X         1        X
HEINZ H J CO                COM              423074103        313,875.00      9,000           X         1        X
HEWLETT PACKARD CO          COM              428236103      2,976,400.00     22,400           X         1        X
HOLLINGER INTL INC          CL A             435569108        247,250.00     23,000           X         1        X
HOME DEPOT INC              WHEN ISSUED      437076102      4,627,875.00     71,750           X         1        X
HONEYWELL INTL INC          COM              438516106        763,968.75     14,500           X         1        X
HOST MARRIOTT CORP NEW      COM              44107P104        639,000.00     72,000           X         1        X
HOUSEHOLD INTL INC          COM              441815107      1,044,750.00     28,000           X         1        X
I2 TECHNOLOGIES INC         COM              465754109        122,125.00      1,000           X         1        X
IMMUNEX CORP NEW            COM              452528102        190,312.50      3,000           X         1        X
IMS HEALTH INC              COM              449934108         67,750.00      4,000           X         1        X
INFOSPACE INC               COM              45678T102        145,437.50      1,000           X         1        X
INKTOMI CORP                COM              457277101        195,000.00      1,000           X         1        X
INSITUFORM TECHNOLOGIE      CL A             457667103        566,562.50     18,500           X         1        X
INTEL CORP                  COM              458140100      8,575,937.50     65,000           X         1        X
INTERNATIONAL BUSINESS      COM              459200101      3,740,600.00     31,700           X         1        X
INTERPUBLIC GROUP COS       COM              460690100        141,750.00      3,000           X         1        X
INTUIT                      COM              461202103         54,375.00      1,000           X         1        X
JDS UNIPHASE CORP           WHEN ISSUED      46612J101        482,250.00      4,000           X         1        X
JOHNSON & JOHNSON           COM              478160104      1,587,650.00     22,600           X         1        X
KANSAS CITY SOUTHN IND      COM              485170104        171,875.00      2,000           X         1        X
KEYSPAN CORP                COM              49337W100      3,480,750.00    126,000           X         1        X
KLA-TENCOR CORP             COM              482480100         84,250.00      1,000           X         1        X
KOHLS CORP                  COM              500255104        102,500.00      1,000           X         1        X
LEGATO SYS INC              COM              524651106         44,625.00      1,000           X         1        X
LEXMARK INTL GROUP INC      CL A             529771107        105,750.00      1,000           X         1        X
LILLY ELI & CO              COM              532457108      1,327,650.00     21,200           X         1        X
LINEAR TECHNOLOGY CORP      COM              535678106        110,000.00      2,000           X         1        X
LOWES COS INC               COM              548661107      1,932,212.50     33,100           X         1        X
LSI LOGIC CORP              WHEN ISSUED      502161102         72,625.00      1,000           X         1        X
LUCENT TECHNOLOGIES IN      COM              549463107      3,589,250.00     58,600           X         1        X
LYCOS INC                   COM              550818108         70,250.00      1,000           X         1        X
MARCHFIRST INC              COM              566244109         30,869.69        865           X         1        X
MAXIM INTEGRATED PRODS      COM              57772K101        142,125.00      2,000           X         1        X
MBNA CORP                   COM              55262L100      1,231,650.00     48,300           X         1        X
MCI WORLDCOM INC            COM              55268B106      3,625,000.00     80,000           X         1        X
MCKESSON HBOC INC           COM              58155Q103        266,700.00     12,700           X         1        X
MEDIMMUNE INC               COM              584699102        522,375.00      3,000           X         1        X
MEDTRONIC INC               COM              585055106        298,337.50      5,800           X         1        X
MERCK & CO INC              COM              589331107      3,044,125.00     49,000           X         1        X
MICRON TECHNOLOGY INC       COM              595112103      1,008,000.00      8,000           X         1        X
MICROSOFT CORP              COM              594918104     10,189,375.00     95,900           X         1        X
MINNESOTA MNG & MFG CO      COM              604059105      1,009,612.50     11,400           X         1        X
MORGAN STANLEY DEAN WI      COM              617446448      2,502,825.00     30,200           X         1        X
MOTOROLA INC                COM              620076109      2,117,000.00     14,500           X         1        X
NETWORK APPLIANCE INC       COM              64120L104      1,655,000.00     20,000           X         1        X
NOBLE DRILLING CORP         COM              655042109         82,750.00      2,000           X         1        X
NOVELL INC                  COM              670006105         85,875.00      3,000           X         1        X
NOVELLUS SYS INC            COM              670008101         56,125.00      1,000           X         1        X
OFFICE DEPOT INC            COM              676220106         57,812.50      5,000           X         1        X
ORACLE CORP                 COM              68389X105      4,160,731.25     53,300           X         1        X
PAPA JOHNS INTL INC         COM              698813102        663,300.00     20,100           X         1        X
PARAMETRIC TECHNOLOGY       COM              699173100         42,125.00      2,000           X         1        X
PAYCHEX INC                 COM              704326107         96,893.75      1,850           X         1        X
PE CORP                     WHEN ISSUED      69332S102        193,000.00      2,000           X         1        X
PEPSICO INC                 COM              713448108      1,049,737.50     30,100           X         1        X
PFIZER INC                  COM              717081103      3,733,031.25    102,100           X         1        X
PHILIP MORRIS COS INC       COM              718154107      2,625,837.50    124,300           X         1        X
PMC-SIERRA INC              COM              69344F106        203,687.50      1,000           X         1        X
PNC FINL SVCS GROUP IN      COM              693475105      1,554,656.25     34,500           X         1        X
PROCTER & GAMBLE CO         COM              742718109        926,600.00     16,400           X         1        X
PROVIDIAN FINL CORP         COM              74406A102      2,165,625.00     25,000           X         1        X
PUGET SOUND ENERGY INC      COM              745332106        443,750.00     20,000           X         1        X
QLOGIC CORP                 COM              747277101        135,500.00      1,000           X         1        X
QUALCOMM INC                COM              747525103      2,762,281.25     18,500           X         1        X
QUINTILES TRANSNATIONA      COM              748767100         27,300.00      1,600           X         1        X
RATIONAL SOFTWARE COR       P COM NEW        75409P202         76,500.00      1,000           X         1        X
REALNETWORKS INC            COM              75605L104         56,937.50      1,000           X         1        X
REPUBLIC SVCS INC           COM              760759100        480,156.25     43,900           X         1        X
RF MICRODEVICES INC         COM              749941100        134,375.00      1,000           X         1        X
ROBERT HALF INTL INC        COM              770323103         47,421.90      1,000           X         1        X
ROYAL CARIBBEAN CRUISE      COM                2754907        252,000.00      9,000           X         1        X
SANMINA CORP                COM              800907107        540,500.00      8,000           X         1        X
SBC COMMUNICATIONS INC      COM              78387G103      2,548,562.50     60,500           X         1        X
SCHERING PLOUGH CORP        COM              806605101      1,206,562.50     32,500           X         1        X
SCIENTIFIC ATLANTA I        NC WHEN ISSUED   808655104        126,500.00      2,000           X         1        X
SDL INC                     COM              784076101        425,750.00      2,000           X         1        X
SIEBEL SYS INC              COM              826170102        119,437.50      1,000           X         1        X
SKYWEST INC                 COM              830879102        665,125.00     17,000           X         1        X
SOLECTRON CORP              WHEN ISSUED      834182107      1,203,750.00     30,000           X         1        X
ST JOE CO                   COM              790148100      2,025,625.00     70,000           X         1        X
STAPLES INC                 COM              855030102        490,000.00     24,500           X         1        X
STARBUCKS CORP              COM              855244109         89,625.00      2,000           X         1        X
SUN MICROSYSTEMS INC        COM              866810104      2,932,907.03     31,300           X         1        X
SUNGARD DATA SYS INC        COM              867363103         75,500.00      2,000           X         1        X
SYMBOL TECHNOLOGIES         IN WHEN ISSUED   871508107         82,312.50      1,000           X         1        X
SYSCO CORP                  COM              871829107         72,250.00      2,000           X         1        X
TANDY CORP                  COM              875382103        101,500.00      2,000           X         1        X
TARGET CORP                 COM              87612E106        911,950.00     12,200           X         1        X
TELLABS INC                 COM              879664100      1,133,719.20     18,000           X         1        X
TERADYNE INC                COM              880770102         82,000.00      1,000           X         1        X
TEXAS INSTRS INC            COM              882508104      2,800,000.00     17,500           X         1        X
TJX COS INC NEW             COM              872540109        133,125.00      6,000           X         1        X
UNISYS CORP                 COM              909214108         77,062.50      3,000           X         1        X
UNITED TECHNOLOGIES CO      COM              913017109      1,031,725.50     16,328           X         1        X
UNIVISION COMMUNICATIO      CL A             914906102        113,000.00      1,000           X         1        X
USX MARATHON GROUP          COM NEW          902905827      2,423,812.50     93,000           X         1        X
VERISIGN INC                COM              92343E102        149,500.00      1,000           X         1        X
VERITAS SOFTWARE CO         COM              923436109        393,000.00      3,000           X         1        X
VITESSE SEMICONDUCTOR       COM              928497106        115,500.00      1,200           X         1        X
WAL MART STORES INC         COM              931142103      5,746,050.00    101,700           X         1        X
WARNER LAMBERT CO           COM              934488107      1,943,981.25     19,900           X         1        X
WASHINGTON MUT INC          COM              939322103        848,000.00     32,000           X         1        X
WILEY JOHN & SONS INC       CL A             968223206        997,200.00     55,400           X         1        X
WORTHINGTON INDS INC        COM              981811102      1,819,125.00    147,000           X         1        X
XEROX CORP                  COM              984121103        702,000.00     27,000           X         1        X
XILINX INC                  COM              983919101        596,250.00      7,200           X         1        X
YAHOO INC                   COM              984332106      2,399,250.00     14,000           X         1        X
</TABLE>


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