PAYDEN & RYGEL INVESTMENT GROUP
13F-HR/A, 2000-09-29
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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 6/30/00

Check here if Amendment [X];
Amendment  Number:  __1__
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
8/15/00

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:    106

Form 13F Information Table Value Total:  $166,259,000


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>
ABGENIX INC                    CMN            339B107      $   420    3,500   SH          SOLE                3,500
ADVENT SOFTWARE INC            CMN            7974108      $   391    6,060   SH          SOLE                6,060
AFFYMETRIX INC                 CMN            826T108      $   272    1,650   SH          SOLE                1,650
ALBERTA ENERGY CO LTD          CMN           12873105      $   203    5,000   SH          SOLE                5,000
ALPHA INDUSTRIES               CMN           20753109      $   269    6,100   SH          SOLE                6,100
ALTERA CORPORATION             CMN           21441100      $   514    5,040   SH          SOLE                5,040
AMERICAN POWER CONVERSION      CMN           29066107      $   245    6,000   SH          SOLE                6,000
APPLE COMPUTER INC             CMN           37833100      $   314    6,000   SH          SOLE                6,000
ARCH COAL INC                  CMN           39380100      $    77   10,000   SH          SOLE               10,000
BELDEN INC                     CMN           77459105      $   424   16,550   SH          SOLE               16,550
BIOVAIL CORPORTION             CMN          09067J109      $   526    9,480   SH          SOLE                9,480
BROADCOM CORP-CL A             CMN          111320107      $   591    2,700   SH          SOLE                2,700
BROADVISION INC                CMN          111412102      $   254    5,000   SH          SOLE                5,000
BROCADE COMMUNICATIONS SYS     CMN          111621108      $   275    1,500   SH          SOLE                1,500
CALIFORNIA WATER SER           CMN          130788102      $   285   11,740   SH          SOLE               11,740
CATALINA MARKETING CORP        CMN          148867104      $   234    2,290   SH          SOLE                2,290
CATERPILLAR                    CMN          149123101      $ 4,770  140,800   SH          SOLE              140,800
CHIRON CORP                    CMN          170040109      $   237    4,990   SH          SOLE                4,990
CIENA CORP                     CMN          171779101      $   337    2,020   SH          SOLE                2,020
CISCO SYSTEMS                  CMN          17275R102      $   254    4,000   SH          SOLE                4,000
COR THERAPEUTICS INC           CMN          207142100      $   292    3,430   SH          SOLE                3,430
COUSINS PROPERTIES INC         CMN          222795106      $   235    6,100   SH          SOLE                6,100
DIAMOND TECH PARTNERS INC      CMN          252762109      $   385    4,380   SH          SOLE                4,380
DIAMONDS TRUST SERIES I        CMN          252787106      $14,299  137,000   SH          SOLE              137,000
DOCUMENTUM INC                 CMN          256159104      $   268    3,000   SH          SOLE                3,000
DUPONT DE NEMOURS              CMN          263534109      $ 4,764  108,900   SH          SOLE              108,900
EASTMAN KODAK CO.              CMN          277461109      $ 7,557  127,000   SH          SOLE              127,000
EL PASO ENERGY CORPORATION     CMN          283905107      $   357    7,000   SH          SOLE                7,000
ELCOR CORP                     CMN          284443108      $   297   12,890   SH          SOLE               12,890
EMC CORPORATION                CMN          268648102      $   900   11,700   SH          SOLE               11,700
EXODUS COMMUNICATIONS INC      CMN          302088109      $   392    8,520   SH          SOLE                8,520
EXXON MOBIL CORPORATION        CMN          30231G102      $ 6,962   88,686   SH          SOLE               88,686
FACTORY 2-U STORES INC         CMN          303072102      $   575   15,200   SH          SOLE               15,200
FOREST LABORATORIES INC        CMN          345838106      $   415    4,110   SH          SOLE                4,110
FORWARD AIR CORPORATION        CMN          349853101      $   606   15,150   SH          SOLE               15,150
FREEPORT-MCMORAN COPPER        CL B         35671D857      $   185   20,000   SH          SOLE               20,000
FRIEDE GOLDMAN HALTER INC      CMN          358430106      $   241   27,000   SH          SOLE               27,000
FRONTLINE LTD                  CMN            5561052      $   307   25,000   SH          SOLE               25,000
GENERAL CABLE CORP             CMN          369300108      $   216   26,560   SH          SOLE               26,560
GENERAL ELECTRIC CO.           CMN          369604103      $   234    4,416   SH          SOLE                4,416
GENERAL MOTORS CORP            CMN          370442105      $ 5,284   91,000   SH          SOLE               91,000
GIBRALTAR STEEL CORP           CMN          37476F103      $   188   13,400   SH          SOLE               13,400
HAMILTON BANCORP INC           CMN          407013101      $   550   31,440   SH          SOLE               31,440
HASBRO INC                     CMN          413875105      $   166   11,000   SH          SOLE               11,000
INKTOMI CORP                   CMN          457277101      $   591    5,000   SH          SOLE                5,000
INTERNATIONAL PAPER            CMN          460146103      $ 3,894  130,600   SH          SOLE              130,600
J P MORGAN                     CMN          616880100      $ 6,563   59,600   SH          SOLE               59,600
JDS UNPHASE CORP               CMN          46612J101      $   611    5,100   SH          SOLE                5,100
JONES PHARMA INC               CMN          480236108      $   526   13,170   SH          SOLE               13,170
JUNIPER NETWORKS INC           CMN          48203R104      $   437    3,000   SH          SOLE                3,000
KINDER MORGAN ENERGY PARTNERS  CMN          494550106      $   280    7,000   SH          SOLE                7,000
KING PHARMACEUTICALS INC       CMN          495582108      $   430    9,825   SH          SOLE                9,825
KINROSS GOLD CORPORATION       CMN          496902107      $   113  121,000   SH          SOLE              121,000
KNIGHTSBRIDGE TANKERS LTD      CMN            2509271      $   214   10,700   SH          SOLE               10,700
L-3 COMMUNICATIONS HLDGS INC   CMN          502424104      $   807   14,140   SH          SOLE               14,140
LATTICE SEMICONDUCTOR CORP     CMN          518415104      $   346    5,000   SH          SOLE                5,000
LEXMARK INTL GROUP INC. CL A   CMN          529771107      $   213    3,160   SH          SOLE                3,160
MACROVISION CORP               CMN          555904101      $   563    8,800   SH          SOLE                8,800
MATTSON TECHNOLOGY INC         CMN          57772K101      $   553   17,000   SH          SOLE               17,000
MCDERMOTT INTERNATIONAL INC    CMN          580037109      $   175   19,800   SH          SOLE               19,800
MECHANICAL TECHNOLOGY INC      CMN          583538103      $   275   18,300   SH          SOLE               18,300
MEDQUIST, INC.                 CMN          584949101      $   553   16,270   SH          SOLE               16,270
MERCURY INTERACTIVE CORP       CMN          589405109      $   639    6,600   SH          SOLE                6,600
MINNESOTA MINING & MFG         CMN          604059105      $ 6,267   75,500   SH          SOLE               75,500
MMC NETWORKS INC.              CMN          55308N102      $   707   13,230   SH          SOLE               13,230
NASDAQ-100 SHARES              CMN          631100104      $12,988  139,000   SH          SOLE              139,000
NEORX CORP                     CMN          640520300      $   245   13,000   SH          SOLE               13,000
NETEGRITY INC                  CMN          64110P107      $   301    4,000   SH          SOLE                4,000
NETWORK APPLIANCE INC          CMN          64120L104      $   201    2,500   SH          SOLE                2,500
NEXTEL PARTNERS INC            CMN          65333F107      $   251    7,710   SH          SOLE                7,710
NORTEL NETWORKS CORP           CMN          656568102      $   536    7,860   SH          SOLE                7,860
NUEVO ENERGY GO                CMN          670509108      $   213   11,300   SH          SOLE               11,300
OCEAN ENERGY INC               CMN            6748100      $   569   40,100   SH          SOLE               40,100
ORACLE                         CMN          68389X105      $   336    4,000   SH          SOLE                4,000
PEREGRINE SYSTEMS, INC.        CMN          71366Q101      $   521   15,020   SH          SOLE               15,020
PHILIP MORRIS COS.             CMN          718154107      $ 6,246  235,157   SH          SOLE              235,157
PMC SIERRA INC                 CMN          69344F106      $   227    1,280   SH          SOLE                1,280
POLYCOM INC                    CMN          73172K104      $   318    3,380   SH          SOLE                3,380
PRECISION CASTPARTS CORP       CMN          740189105      $   529   11,700   SH          SOLE               11,700
PREPAID LEGAL SERVICES INC     CMN          740065107      $   508   17,000   SH          SOLE               17,000
QUALCOMM INC                   CMN          747525103      $   210    3,500   SH          SOLE                3,500
RATIONAL SOFTWARE CORP         CMN          75409P202      $   418    4,500   SH          SOLE                4,500
RESMED                         CMN          761152107      $   449   16,780   SH          SOLE               16,780
RTI INTERNATIONAL METALS INC   CMN          74973W107      $   317   27,900   SH          SOLE               27,900
S&P 400 DEPOSITORY RECEIPTS    CMN          595635103      $19,348  218,000   SH          SOLE              218,000
S&P 500 DEPOSITORY RECEIPTS    CMN          78462F103      $26,005  179,000   SH          SOLE              179,000
SALTON INC                     CMN          795757103      $   210    5,700   SH          SOLE                5,700
SANGAMO BIOSCIENCES INC        CMN          800677106      $   332   12,000   SH          SOLE               12,000
SBC COMMS                      CMN          78387G103      $ 8,378  190,400   SH          SOLE              190,400
SHIRE PHARMACEUTICALS GROUP    CMN            0799803      $   296   17,000   SH          SOLE               17,000
SIEBEL SYSTEMS INC             CMN          826170102      $   245    1,500   SH          SOLE                1,500
STILLWATER MINING COMPANY      CMN          86074Q102      $   502   18,000   SH          SOLE               18,000
SUN MICROSYS                   CMN          866810104      $   364    4,000   SH          SOLE                4,000
TECHNE CORP                    CMN          878377100      $   429    3,300   SH          SOLE                3,300
TEXAS INSTRUMENT               CMN          882508104      $   207    3,020   SH          SOLE                3,020
TRANSWITCH CORP                CMN          894065101      $   405    5,250   SH          SOLE                5,250
TRIGON HEALTHCARE INC.         CMN          89618L100      $   694   13,460   SH          SOLE               13,460
USEC INC                       CMN          90333E108      $   167   36,200   SH          SOLE               36,200
VALERO ENERGY CORP             CMN          91913Y100      $   318   10,000   SH          SOLE               10,000
VARCO INTERNATIONAL INC        CMN          922122106      $   396   17,000   SH          SOLE               17,000
VOICESTREAM WIRELESS CORP      CMN          928615103      $   217    1,870   SH          SOLE                1,870
WAL MART STORES                CMN          931142103      $   219    3,800   SH          SOLE                3,800
WESTERN GAS RESOURCES INC      CMN          958259103      $   210   10,000   SH          SOLE               10,000
WILLIAMS                       CMN          969457100      $   250    6,000   SH          SOLE                6,000
ZOLL MEDICAL CORP              CMN          989922109      $   221    4,500   SH          SOLE                4,500
ZOMAX INC                      CMN          989929104      $   139   10,600   SH          SOLE               10,600



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