CONNORS INVESTOR SERVICES INC
13F-HR, 1999-10-29
Previous: LATIN AMERICAN DISCOVERY FUND INC, 40-17F2, 1999-10-29
Next: STEIN MART INC, 10-Q, 1999-10-29






                                  UNITED STATES
                       SECURITIES AND EXCHANGE COMMISSION
                             Washington, D.C.  20549

                                    FORM 13F

                               FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: September 30, 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:     Connors Investor Services, Inc.
Address:  1100 Berkshire Blvd.
          Wyomissing, PA 19610

Form 13F File Number:  28-3129

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:       Ronald H. Seher
Title:      Senior Vice President
Phone:      610-376-7418
Signature, Place, and Date of Signing

     Ronald H. Seher       Wyomissing, Pennsylvania          October 31, 1999

Report Type (Check only one.) :

[ X]       13F HOLDINGS REPORT

[  ]       13F NOTICE

[  ]       13F COMBINATION


List of Other Managers Reporting for this Manager :

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:        0

Form 13F Information Table Entry Total:   119

Form 13F information Table Value Total:   $262,270



List of Other Included Managers:

<PAGE>




<TABLE>            <C>                           <C>

FORM 13F

Page ___ of ___          Name of Reporting Manager       CONNORS INVESTOR SERVICES

                                      Item 4:    Item 5:           Item 6:                             Item 8:
     Item 1:     Item 2:  Item 3:  Fair Market  Shares of         Investment Discret Item 7:          Voting Authority (
 Name of Issuer  Tide of  Cusip #      Value    Principal         (b) Shared-       Managers
                                                 Amount  (a) Sale As Define(c) ShareSee Instr(a) Sole (b) Share(c) None
                                                                  in Instr.  Other
ABBOTT LABS        COM   002824100          832   22,680                                        22680
AIR PRODUCTS       COM   009158106          211    7,230                                         7230
ALBERTSONS         COM   013104104         3491   88,250                                        88250
ALLSTAR SYSTEMS    COM   019892108          204  163,300                                       163300
AMERICAN GENERAL   COM   026351106          522    8,256                                         8256
AMERICAN HOME PRO  COM   026609107         2353   56,694                                        56694
AMERICAN INTL      COM   026874107         3358   38,629                                        38629
AMERITECH          COM   030954101          267    4,002                                         3010
AMGEN              COM   031162100          297    3,650                                         3650
ANHEUSER BUSCH     COM   035229103         3170   45,250                                        45250
ATLANTIC RICHFIEL  COM   048825103          652    7,360                                         7360
ATMI, INC.         COM   007547105          767   20,550                                        20550
AUTOMATIC DATA     COM   053015103         5511  123,500                                       123500
BANKAMERICA        COM   06605F102          327    5,865                                         5865
BANK OF NEW YORK   COM   064057102         2238   66,928                                        66928
BAUSCH & LOMB      COM   071707103         1675   25,400                                        25400
BAXTER INTL        COM   071813109          525    8,709                                         8709
BECTON DICKINSON   COM   075887109         1938   69,075                                        69075
BELL ATLANTIC      COM   077853109         1691   25,127                                        25127
BELL SOUTH         COM   079860102          398    8,842                                         8842
BENCHMARCK ELEC    COM   08160H101         5048  142,960                                       115960             27,000
BEST FOODS         COM   08658U101         1190   24,500                                        24500
BPA AMOCO          COM   055622104          797    7,196                                         7196
BRISTOL MYERS      COM   110122108         5480   81,188                                        81188
CANNONDALE CORP    COM   137798104         1082  120,250                                        65250             55,000
CARPENTER TECH     COM   144285103          232    9,468                                         9468
CEDAR FAIR L.P     COM   150185106          436   21,000                                        21000
CHATTEM            COM   162456107         3438  155,844                                       130844             25,000
CHEQUEMATE         COM   164126104          300  150,000                                       150000
CHEVRON            COM   166751107          241    2,713                                         2713
CHUBB              COM   171232101         1687   33,998                                        33998
CLOROX CO          COM   189054109          681   17,800                                        17800
COLGATE PALMOLIVE  COM   194162103          932   20,372                                        20372
CREE RESEARCH      COM   225447101          373   11,000                                             0            11,000
CONAGRA            COM   205887102         1271   56,350                                        56350

  COLUMN TOTALS                           53615

    FORM 13F

Page ___ of ___          Name of Reporting Manager       CONNORS INVESTOR SERVICES

                                      Item 4:    Item 5:           Item 6:                             Item 8:
     Item 1:     Item 2:  Item 3:  Fair Market  Shares of         Investment Discret Item 7:          Voting Authority (
 Name of Issuer  Tide of  Cusip #      Value    Principal         (b) Shared-       Managers
                                                 Amount  (a) Sale As Define(c) ShareSee Instr(a) Sole (b) Share(c) None
                                                                  in Instr.  Other
COCA COLA          COM   191216100          695   14,400                                        14400
DOVER CORP         COM   260003108         2444   59,800                                        59800
DUKE ENERGY        COM   264399106          307    5,576                                         5576
DU PONT            COM   263534109          355    5,872                                         5872
EDGE PETROLEUM     COM   279862106         3040  476,901                                       412901             64,000
EMERSON ELECTRIC   COM   291011104         1167   18,474                                        18474
FIRST UNION        COM   337358105         7281  204,395                                       204395
FULTON FINANCIAL   COM   360271100          434   23,126                                        23126
GARDEN FRESH       COM   365235100         1408   91,975                                        47500             42,000
GENERAL ELECTRIC   COM   369604103        10810   91,172                                        91172
GILLETTE           COM   375766102          350   10,312                                        10312
GLAXO HOLDINGS     COM   37733W105          348    6,700                                         6700
W W GRAINGER       COM   384802104         2189   45,550                                        45550
GTE CORP           COM   362320103          958   12,461                                        12461
H J HEINZ          COM   423074103         2394   55,675                                        55675
HERSHEY FOODS      COM   427866108          789   16,200                                        16200
HEWLETT PACKARD    COM   429236103         5132   56,550                                        56550
IBM                COM   459200101         2828   23,376                                        23376
INTEL              COM   458140100         6477   87,158                                        87158
ITI TECHNOLOGIES   COM   450564109         4732  157,400                                       127400             30,000
JOHNSON & JOHNSON  COM   478160104          259    2,817                                         2817
JPM COMPANY        COM   465933109         1755  264,850                                       204850             60,000
KEYSTONE FINANCIA  COM   493482103          285   11,990                                        11990
KIMBERLY CLARK     COM   494368103         4919   93,244                                        93244
LILLY, ELI         COM   532457108         5062   78,855                                        78855
LITHIA MOTORS      COM   536797103         4140  180,475                                       140475             40,000
LITCHFIELD FINL    COM   536619109         3374  140,212                                        89212             51,000

  COLUMN TOTALS                           73932


    FORM 13F

Page ___ of ___          Name of Reporting Manager       CONNORS INVESTOR SERVICES

                                      Item 4:    Item 5:           Item 6:                             Item 8:
     Item 1:     Item 2:  Item 3:  Fair Market  Shares of         Investment Discret Item 7:          Voting Authority (
 Name of Issuer  Tide of  Cusip #      Value    Principal         (b) Shared-       Managers
                                                 Amount  (a) Sale As Define(c) ShareSee Instr(a) Sole (b) Share(c) None
                                                                  in Instr.  Other
LUCENT TECH        COM   549463107         2744   42,293                                        42293
MANPOWER           COM   564184100          430   14,769                                        14769
MCDONALDS CORP     COM   580135101          277    6,400                                         6400
MCI WORLDCOM       COM   55268B106          224    3,120                                         3120
MEADE INSTRUMENT   COM   583062104         8747  363,525                                       307025             56,500
MEDTRONIC          COM   585055106         2699   75,900                                        75900
McGRAW HILL        COM   580645109         1563   32,316                                        32316
MELLON BANK        COM   585509102         5918  176,000                                       176000
MERCK              COM   589331107         3515   54,230                                        54230
MICROS             COM   594901100          929   22,950                                          950             22,000
MIIX GROUP         COM   59862V104          254   15,000                                        15000
MOBIL CORP         COM   607059102         3157   31,339                                        31339
MONSANTO           COM   611662107         2315   64,875                                        64875
 J P MORGAN        COM   616880100          366    3,200                                         3200
NATIONAL DENTEX    COM   63563H109         1050   61,550                                        30550             31,000
NATL PENN BANC.    COM   637138108         1445   52,556                                        52556
NCI BUILDING       COM   628852105         1895  114,420                                        79420             35,000
NEWELL CO          COM   651192106         5368  187,930                                       187930
OCCIDENTAL PETROL  COM   674599105          335   14,500                                        14500
OMNICOM            COM   681919106          380    4,800                                         4800
PARKWAY PROP       COM   70159Q104         4400  136,443                                       114443             22,000
PENN NATL GAMING   COM   707569109         4556  479,609                                       389609             90,000
PEPSICO            COM   713448108          659   21,621                                        21621
PERF. FOOD GROUP   COM   713755106         4307  168,075                                       136575             31,500
PFIZER             COM   717081103          231    6,450                                         6450
PROCTOR & GAMBLE   COM   742718109         6987   74,523                                        74523
POMEROY COMPUTER   COM   731822102         3477  314,324                                       268324             46,000

  COLUMN TOTALS                           68228
    FORM 13F

Page ___ of ___          Name of Reporting Manager       CONNORS INVESTOR SERVICES

                                      Item 4:    Item 5:           Item 6:                             Item 8:
     Item 1:     Item 2:  Item 3:  Fair Market  Shares of         Investment Discret Item 7:          Voting Authority (
 Name of Issuer  Tide of  Cusip #      Value    Principal         (b) Shared-       Managers
                                                 Amount  (a) Sale As Define(c) ShareSee Instr(a) Sole (b) Share(c) None
                                                                  in Instr.  Other
PNC BANC CORP      COM   693475105          615   11,673                                        11673
PHARMACIA UPJOHN   COM   716941109         4130   83,220                                        83220
PRISON REALTY      COM   12486R108         2849  265,025                                       215025             50,000
Q-LOGIC            COM   747277101        12372  177,214                                       163614             13,600
RAYTHEON CO CL B   COM   755111101         1169   23,550                                        23550
RESCARE INC.       COM   760943100          830   48,800                                        13800             35,000
ROCK OF AGES       COM   772632105         1280  179,600                                       119600             60,000
ROYAL DUTCH        COM   780257705          301    5,100                                         5100
SBC COMMUNICATION  COM   78387G103         2214   43,361                                        43361
SEITEL INC         COM   816074306         1137  116,662                                       116662
SCHERING PLOUGH    COM   806605101         4571  104,786                                       104786
SARA LEE           COM   803111103         1775   75,928                                        75928
SCHLUMBERGER       COM   806857108         1044   16,750                                        16750
SIPEX              COM   829909100         2522  176,200                                       138200             38,000
SOLUTIA            COM   834376105          222   12,400                                        12400
STATE ST CORP      COM   857473102         1409   21,800                                        21800
SERVICEMASTER      COM   817615107          279   17,367                                        17367
STORAGE USA        COM   861907103         1509   54,862                                        54862
SUN BANCORP        COM   86663B102         2163  135,175                                        98175             37,000
SYSCO CORP         COM   871829107         3676  104,830                                       104830
A T & T CORP.      COM   001957109         2563   58,915                                        58915
TEXACO             COM   881694103          265    4,198                                         4198
TEXTRON            COM   883203101          284    3,666                                         3666
TRACTOR SUPPLY     COM   892356106         1036   54,500                                        25500             29,000
TYCO INT'L         COM   902124106         3289   31,856                                        31806
UNITED TECHNOLOGI  COM   913017109         1471   24,800                                        24800
WALGREEN           COM   931422109         2718  107,100                                       107100
WILLIAMS COS       COM   969457100         1153   30,803                                        30803
EXXON CORP         COM   302290101         3011   39,622                                        39622
DENTSPLY INTL      COM   249030107         4638  203,860                                       203860
  COLUMN TOTALS                           66495
   FINAL TOTAL                         $262,270



</TABLE>


© 2022 IncJournal is not affiliated with or endorsed by the U.S. Securities and Exchange Commission