PAYDEN & RYGEL INVESTMENT GROUP
13F-HR/A, 2000-07-26
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                                 UNITED STATES
                       SECURITIES AND EXCHANGE COMMISSION
                             Washington, D.C. 20549

                                    FORM 13F

ALL  INFORMATION  REQUIRED  OF  INSTITUTIONAL  INVESTMENT  MANAGERS  PURSUANT TO
SECTION 13(F) OF THE SECURITIES EXCHANGE ACT OF 1934 AND RULES THEREUNDER

Report for the Calender Year or Quarter Ended 3/31/00

Check here if Amendment [X];
Amendment  Number:  ____
This Amendment (Check only one.):
[X] is a restatement. [ ] adds new holdings entries.

Institutional Investment Manager Filing this Report:

Name:             Payden & Rygel
Address:          333 South Grand Avenue
                  Los Angeles, CA 90071

13F File Number: 28-____________

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:             Edward S. Garlock
Title:            Secretary
Phone:            213-625-1900

Signature, Place, and Date of Signing:

/s/
Los Angeles, CA
4/30/00

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

                             FORM 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:  0

Form 13F Information Table Entry Total:    102

Form 13F Information Table Value Total:  $162,100,000


List of Other Included Managers:

NONE


<TABLE>
<CAPTION>

                              Title of                   Value       Shares/  SH/   Put/  Invstmnt  Other      Voting Authority
Name of Issuer                 Class         CUSIP      (x$1000)     PRN AMT  PRN   Call   Dscrtn  Managers   Sole   Shared  None
--------------                 -----         -----      --------     -------  ---   ----  -------- --------   ----   ------  ----
<S>                            <C>          <C>          <C>        <C>       <C>   <C>   <C>      <C>      <C>      <C>      <C>
ADVENT SOFTWARE INC            CMN            7974108      $   292    6,060   SH          SOLE                6,060
ALPHA INDUSTRIES               CMN           20753109      $   311    3,050   SH          SOLE                3,050
ALTERA CORPORATION             CMN           21441100      $   558    6,500   SH          SOLE                6,500
AMGEN                          CMN           31162100      $   270    4,400   SH          SOLE                4,400
APPLE COMPUTER INC             CMN           37833100      $   273    2,000   SH          SOLE                2,000
BELDEN INC                     CMN           77459105      $   273    9,750   SH          SOLE                9,750
BIOMATRIX INC                  CMN          09060P102      $   298   12,600   SH          SOLE               12,600
BIOVAIL CORPORATION            CMN          09067J109      $   419    9,480   SH          SOLE                9,480
BRISTOL MYERS SQUIBB CO        CMN          110122108      $   592   10,112   SH          SOLE               10,112
BROADCOM CORP-CL A             CMN          111320107      $   294    1,230   SH          SOLE                1,230
CALIFORNIA WATER SER           CMN          130788102      $   269   11,740   SH          SOLE               11,740
CARDINAL HEALTH INC.           CMN          14149Y108      $   279    5,900   SH          SOLE                5,900
CATALINA MARKETING CORP        CMN          148867104      $   233    2,290   SH          SOLE                2,290
CATERPILLAR                    CMN          149123101      $ 5,544  140,800   SH          SOLE              140,800
CHIRON CORP                    CMN          170040109      $   242    5,000   SH          SOLE                5,000
CIENA CORP                     CMN          171779101      $   464    3,600   SH          SOLE                3,600
CISCO SYSTEMS                  CMN          17275R102      $ 1,222   15,800   SH          SOLE               15,800
COGNIZANT TECH SOLUTIONS CRP   CMN          192446102      $   233    3,800   SH          SOLE                3,800
CONCORD EFS INC                CMN          206197105      $   286   13,000   SH          SOLE               13,000
CONEXANT SYSTEMS INC           CMN          207142100      $   238    3,300   SH          SOLE                3,300
COUSINS PROPERTIES INC         CMN          222795106      $   382   10,400   SH          SOLE               10,400
COVAD COMMUNICATIONS GROUP     CMN          222814204      $   226    3,100   SH          SOLE                3,100
DELL COMPUTER                  CMN          247025109      $   529    9,800   SH          SOLE                9,800
DIAMOND TECH PARTNERS INC      CMN          252762109      $   281    4,380   SH          SOLE                4,380
DIAMONDS TRUST SERIES I        CMN          252787106      $25,908  234,857   SH          SOLE              234,857
DUPONT DE NEMOURS              CMN          263534109      $ 5,765  108,900   SH          SOLE              108,900
EASTMAN KODAK CO.              CMN          277461109      $ 6,959  127,100   SH          SOLE              127,100
EBAY INC                       CMN          278642103      $   301    1,700   SH          SOLE                1,700
ECOLAB INC                     CMN          278865100      $   202    5,500   SH          SOLE                5,500
EDISON INTL                    CMN          281020107      $   301   18,200   SH          SOLE               18,200
ELCOR CORP                     CMN          284443108      $   215    6,190   SH          SOLE                6,190
EMC CORPORATION                CMN          268648102      $   488    3,900   SH          SOLE                3,900
EXXON MOBIL CORPORATION        CMN          30231G102      $ 7,130   90,686   SH          SOLE               90,686
FACTORY 2-U STORES INC         CMN          303072102      $   382   15,200   SH          SOLE               15,200
FOREST LABORATORIES INC        CMN          345838106      $   575    6,900   SH          SOLE                6,900
FORWARD AIR CORPORATION        CMN          349853101      $   349   15,150   SH          SOLE               15,150
GENERAL CABLE CORP             CMN          369300108      $   209   26,560   SH          SOLE               26,560
GENERAL ELECTRIC CO.           CMN          369604103      $ 1,961   12,572   SH          SOLE               12,572
GENERAL MOTORS CORP            CMN          370442105      $ 7,513   91,000   SH          SOLE               91,000
GIBRALTAR STEEL CORP           CMN          37476F103      $   220   13,400   SH          SOLE               13,400
GOODYEAR TIRE & RUBBER         CMN          382550101      $   836   36,334   SH          SOLE               36,334
HAMILTON BANCORP INC           CMN          407013101      $   491   31,440   SH          SOLE               31,440
HARRIS CORP                    CMN          413875105      $   251    7,300   SH          SOLE                7,300
HISPANIC BROADCASTING CORP     CMN          43357B104      $   257    2,300   SH          SOLE                2,300
HOME DEPOT INC.                CMN          437076102      $   408    6,200   SH          SOLE                6,200
INTEL CORP                     CMN          458140100      $   344    2,600   SH          SOLE                2,600
INTERNATIONAL PAPER            CMN          460146103      $ 5,567  130,600   SH          SOLE              130,600
J P MORGAN                     CMN          616880100      $ 7,878   59,600   SH          SOLE               59,600
JDS UNPHASE CORP               CMN          46612J101      $   306    2,540   SH          SOLE                2,540
JONES PHARMA INC               CMN          480236108      $   423   13,170   SH          SOLE               13,170
JUNIPER NETWORKS INC           CMN          48203R104      $   242      900   SH          SOLE                  900
KING PHARMACEUTICALS INC       CMN          495582108      $   233    6,550   SH          SOLE                6,550
LEXMARK INTL GROUP INC. CL A   CMN          529771107      $   472    4,560   SH          SOLE                4,560
LUCENT TECHNOLOGIES, INC.      CMN          549463107      $   517    8,500   SH          SOLE                8,500
MACROVISION CORP               CMN          555904101      $   409    4,800   SH          SOLE                4,800
MAXIM INTERGRATED PRODUCTS     CMN          57772K101      $   316    4,600   SH          SOLE                4,600
MECHANICAL TECHNOLOGY INC      CMN          583538103      $   433    6,100   SH          SOLE                6,100
MEDQUIST, INC.                 CMN          584949101      $   347   12,170   SH          SOLE               12,170
MERCK & CO                     CMN          589331107      $   205    3,200   SH          SOLE                3,200
MERCURY INTERACTIVE CORP       CMN          589405109      $   585    7,440   SH          SOLE                7,440
MICROSOFT CORP                 CMN          594918104      $   841    7,800   SH          SOLE                7,800
MINNESOTA MINING & MFG         CMN          604059105      $ 6,771   75,500   SH          SOLE               75,500
MMC NETWORKS INC.              CMN          55308N102      $   432   13,230   SH          SOLE               13,230
MOBILE MINI                    CMN          60740F105      $   213   10,940   SH          SOLE               10,940
NASDAQ-100 SHARES              CMN          631100104      $31,145  288,042   SH          SOLE              288,042
NORTEL NETWORKS CORP           CMN          656568102      $   538    4,200   SH          SOLE                4,200
NUEVO ENERGY GO                CMN          670509108      $   243   11,300   SH          SOLE               11,300
OCEAN ENERGY INC               CMN            6748100      $   576   40,100   SH          SOLE               40,100
ORACLE                         CMN          68389X105      $   717    9,080   SH          SOLE                9,080
PARK PLACE ENTERTAINMENT       CMN          700690100      $   254   22,200   SH          SOLE               22,200
PEREGRINE SYSTEMS, INC.        CMN          71366Q101      $   620    9,020   SH          SOLE                9,020
PHILIP MORRIS COS.             CMN          718154107      $ 4,968  235,157   SH          SOLE              235,157
PMC SIERRA INC                 CMN          69344F106      $   273    1,400   SH          SOLE                1,400
POLAROID CORP                  CMN          731095105      $   221    9,200   SH          SOLE                9,200
POLYCOM INC                    CMN          73172K104      $   284    3,380   SH          SOLE                3,380
PRECISION CASTPARTS CORP       CMN          740189105      $   318    8,700   SH          SOLE                8,700
PREPAID LEGAL SERVICES INC     CMN          740065107      $   229    7,630   SH          SOLE                7,630
PRIDE INTERNATIONAL INC        CMN          741932107      $   337   14,800   SH          SOLE               14,800
QRS CORP                       CMN          74726X105      $   342    4,400   SH          SOLE                4,400
QUOTESMITH.COM INC             CMN          749117107      $   747   16,600   SH          SOLE               16,600
RATIONAL SOFTWARE CORP         CMN          75409P202      $   322    4,300   SH          SOLE                4,300
RESMED                         CMN          761152107      $   257    8,390   SH          SOLE                8,390
RTI INTERNATIONAL METALS INC   CMN          74973W107      $   239   26,520   SH          SOLE               26,520
S&P 500 DEPOSITORY RECEIPTS    CMN          78462F103      $ 2,868  190,078   SH          SOLE              190,078
SALTON INC                     CMN          795757103      $   239    5,700   SH          SOLE                5,700
SBC COMMS                      CMN          78387G103      $ 8,285  195,800   SH          SOLE              195,800
SCHWAB CHARLES CORP            CMN          808513105      $   316    5,600   SH          SOLE                5,600
STILLWATER MINING COMPANY      CMN          86074Q102      $   701   16,890   SH          SOLE               16,890
SUN MICROSYS                   CMN          866810104      $   376    4,040   SH          SOLE                4,040
SYBRON INTL CORP - WISC        CMN          87114F106      $   493   17,300   SH          SOLE               17,300
TECHNE CORP                    CMN          878377100      $   519    7,440   SH          SOLE                7,440
TIME WARNER TELECOM CL A       CMN          887319101      $   620    7,750   SH          SOLE                7,750
TMP WORLDWIDE INC              CMN          872941109      $   240    3,200   SH          SOLE                3,200
TRANSWITCH CORP                CMN          894065101      $   496    5,250   SH          SOLE                5,250
TRIGON HEALTHCARE INC.         CMN          89618L100      $   488   13,460   SH          SOLE               13,460
U.S. FOODSERVICE               CMN          90331R101      $   330   12,800   SH          SOLE               12,800
VALERO ENERGY CORP             CMN          91913Y100      $   252    8,150   SH          SOLE                8,150
VARCO INTERNATIONAL INC        CMN          922122106      $   268   15,840   SH          SOLE               15,840
WAL MART STORES                CMN          931142103      $   933   16,200   SH          SOLE               16,200
WESTERN WIRELESS CORP CL A     CMN            9584100      $   289    6,300   SH          SOLE                6,300
WORLDCOM INC.                  CMN          98157D106      $   219    4,850   SH          SOLE                4,850
YAHOO! INC                     CMN          984332106      $   275    1,600   SH          SOLE                1,600



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