EFROYMSON DANIEL R
13F-HR, 1999-10-22
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                                   FORM 13F

INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION
13(f) OF THE SECURITIES EXHANGE ACT OF 1934 AND RULES
THEREUNDER

    Report for the Calendar Year or Quarter Ended __September 30___, 19 99 .

               (Please read instructions before preparing form.)

If amended report check here:  ____

__Daniel R. Efroymson______________________________________________________
Name of Institutional Investment Manager

__445 North Pennsylvania Street, Suite 500, Indianapolis,   Indiana      46204_
Business Address     (Street)                 (City)        (State)      (Zip)

Name, Phone No., and Title of Person Duly Authorized to Submit This Report.

                                   ATTENTION
Intentional misstatements or omissions of facts constitute Federal Criminal
Violations.
                   See 18 U.S.C. 1001 and 15 U.S.C. 78ff(a).

   The institutional investment manager submitting this Form and its attachments
and the person by whom it is signed represent hereby that all information
contained therein is true, correct and complete.  It is understood that all
required items, statements and schedules are considered integral parts of
this Form and that the submission of any amendment represents that all
unamended items, statements and schedules remain true, correct and complete
as previously submitted.
   Pursuant to the requirements of Securities Exchange Act of 1934, the
undersigned institutional investment manager has caused this report to be
signed on its behalf in the City of _____Indianapolis ____  , and the State
of ____Indiana_________ on the ___22nd______ day of ____October_____, 19_99_.

                                        _____Daniel R. Efroymson______________
                                    (Name of Institutional Investment Manager)

                                          ____________________________________
                                   (Manual Signature of Person Duly Authorized
                                                        to Submit This Report)
Name and 13F file numbers of ALL Institutional Investment Managers with respect
to which this schedule is filled (other than the one filing this report):
(List in alphabetical order).

13F File Numbers will be assigned to Institutional Investment Managers after
they file their first report.

Name:                    13F File No.:    Name:                    13F File No.:

1.                                        6.
2.                                        7.
3.                                        8.
4.                                        9.
5.                                        10.

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<S>          <C>             <C>        <C>      <C>        <C>                             <C>         <C>
Item 1:      Item 2:         Item 3:    Item 4:  Item 5:    Item 6:                         Item 7:     Item 8:
Name of      Title of        CUSIP      Fair     Shares     Investment Discretion           Managers    Voting    Autho.  Shares
Issuer       Class           Number     Market   of         (a)Sole  (b)Shared-  (c)Shared- See Instr.  (a)Sole (b)Shared (c)None
                                        Value    Principal            As Defined   Other      V
                                                 Amount               In Instr. V

Adaptec Inc. Common Stock  00651F-10-8   635     16,000                               X                           16,000
American Financial
Group        Common Stock  025932-10-4   766     27,302                               X                           27,302
Arnold
Industries   Common Stock  042595-10-8  7,575   600,000                               X                           600,000
Ameritech    Common Stock  030954-10-1  1,068    16,000                               X                           16,000
Atlantic
Richfield    Common Stock  048825-10-3  2,836    32,000                               X                           32,000
Ameriana
Bancorp      Common Stock  023613-10-2   28       1,650                               X                           1,650
Boise Cascade
Corp         Common Stock  097383-10-3   199      5,466                               X                           5,466
Bell
Atlantic     Common Stock  077853-10-9   539      8,000                               X                           8,000
Bell South   Common Stock  079860-10-2  1,080    24,000                               X                           24,000
BristolMyers Common Stock  110122-10-8  1,080    16,000                               X                           16,000
Berkshire
 Hathaway    Common Stock  084670-10-8   385        7                                 X                            7
Biomet, Inc. Common Stock  090613-10-0   158      6,000                               X                           6,000
Conagra Inc. Common Stock  205887-10-2   451     20,000                               X                           20,000
Chubb Corp   Common Stock  171232-10-1  2,680    54,000                               X                           54,000
CISCO Systems
Inc.         Common Stock  17275R-10-2   137      2,000                               X                            2,000
DII Group,
 Inc.        Common Stock  232949-10-7   775     22,030                               X                           22,030
Dun & Bradstreet
 Corp.       Common Stock  26483B-10-6   215      7,200                               X                            7,200
Dover Corp   Common Stock  260003-10-8    25        600                               X                           600
Duke-Weeks Realty
 Corp.       Common Stock  264411-40-6    40      2,040                               X                           2,040
EMC Corp.    Common Stock  268648-10-2    143     2,000                               X                           2,000
First Alliance
 Corp        Common Stock  317936-10-2    17      8,000                               X                            8,000
First Indiana
 Bank        Common Stock  32054R-10-8   591     28,123                               X                           28,123
Guilford
 Mills       Common Stock  401794-10-2   137     15,887                               X                           15,887
GTE Corp.    Common Stock  362320-10-3   607      7,900                               X                           7,900
Hanson PLC   Common Stock  411352-40-4   117      3,034                               X                           3,034
Huntington
Bancshares   Common Stock  446150-10-4    85      3,187                               X                           3,187
HSB Group,
 Inc.        Common Stock  40428N-10-9   9,817  279,000                               X                           279,000
Hewlett
 Packard     Common Stock  428236-10-3  1,189    13,100                               X                           13,100
Impath, Inc. Common Stock  45255G-10-1     29     1,000                               X                           1,000
Intel Corp.  Common Stock  458140-10-0    148     2,000                               X                           2,000
Johnson &
 Johnson     Common Stock  478160-10-4  8,820    96,000                               X                           96,000
Kerr McGee
 Corp        Common Stock  492386-10-7   793     14,400                               X                           14,400
Kroger       Common Stock  501044-10-1  9,531   432,000                               X                           432,000
Lilly
 Industries  Common Stock  532491-10-7    36      2,608                               X                           2,608
LiquiBox CorpCommon Stock  536314-10-7   243      4,500                               X                           4,500
Eli Lilly
 & Co.       Common Stock  532457-10-8   822    12,800                               X                           12,800
Leucadia Nat'l.
 Corp.       Common Stock   527288-10-4   16        750                               X                           750
Marshall
 Industries  Common Stock   572393-10-6   887    24,300                               X                           24,300
Herman
 Miller Inc. Common Stock   600544-10-0  3,443   144,000                               X                           144,000
MOCON, Inc.  Common Stock   607494-10-1    60     13,219                               X                           13,219
Motorola Inc.Common Stock   620076-10-9   493      5,600                               X                           5,600
Merck & Co.  Common Stock   589331-10-7   933     14,400                               X                           14,400
Microsoft
 Corp.       Common Stock   594918-10-4  2,282    25,200                               X                           25,200
MascoTech    Common Stock   574670-10-5  1,277    76,800                               X                           76,800
Manitowoc Co Common Stock   563571-10-8  6,450   189,000                               X                           189,000
Mylan
 LaboratoriesCommon Stock   628530-10-7   353     19,200                               X                           19,200
Milacron Inc Common Stock   598709-10-3   511     28,800                               X                           28,800
Newmont
 Mining      Common Stock   651639-10-6   963    37,216                               X                           37,216
Network
 Assocs Inc  Common Stock   640938-10-6   153     8,000                               X                            8,000
Nielsen Media
 Research    Common Stock   653929-30-7   109      2,933                               X                           2,933
Norfolk
 Southern    Common Stock   655844-10-8  1,323    54,000                               X                           54,000
Nucor Corp.  Common Stock   670346-10-5  13,716  288,000                               X                           288,000
NW Natural
 Gas         Common Stock   667655-10-4   485     18,800                               X                           18,800
Ohio Casualty
 Corp.       Common Stock   677240-10-3   432     25,600                               X                           25,600
Ocwen
 Financial   Common Stock   675746-10-1   245     36,600                               X                           36,600
Bank One
 Corp        Common Stock   06423A-10-3  7,833   224,998                               X                           224,998
Occidental
 Petroleum   Common Stock   674599-10-5   180      7,770                               X                           7,770
Penn Virginia
 Corp.       Common Stock   707882-10-6   403    19,400                               X                           19,400
Radian Group Common Stock   750236-10-1   629    14,650                               X                           14,650
Reynolds Metals
 Corp.       Common Stock   761763-10-1   407     6,744                               X                           6,744
Reliastar
 Corp.       Common Stock   75952U-10-3  1,120    33,678                               X                           33,678
Russell Corp Common Stock   782352-10-8  2,542   179,200                               X                           179,200
IMS Health   Common Stock   449934-10-8   324     14,200                               X                           14,200
Sigma Aldrich
 Corp.       Common Stock   826552-10-1   254      8,000                               X                            8,000
Sonoco Corp  Common Stock   835495-10-2    63      2,772                               X                           2,772
SUN
 Microsystem Common Stock   866810-10-4   186      2,000                               X                           2,000
Sysco Corp   Common Stock   871829-10-7   158      4,500                               X                           4,500
Temple
 Inland      Common Stock   879868-10-7  2,440    40,000                               X                           40,000
TRW, Inc.    Common Stock   872649-10-8  1,274    25,600                               X                           25,600
Time Warner
 Inc.        Common Stock   887315-10-9 17,496   288,000                               X                           288,000
TXU          Common Stock   882848-10-4   155      4,160                               X                           4,160
Union Pacific
 Corporation Common Stock   907818-10-8  1,652    34,380                               X                           34,380
Union Pacific
 Resources   Common Stock   907834-10-5   379     23,318                               X                           23,318
Vishay Intertech
 Inc.        Common Stock   928298-10-8   970    40,858                               X                           40,858
MCI Worldcom
 Inc.        Common Stock   55268B-10-6  1,323    18,409                               X                           18,409
Wal-Mart     Common Stock   931142-10-3    143     3,000                               X                            3,000
Wind River
 Systems     Common Stock   973149-10-7     86     4,500                               X                           4,500
Wabash National
 Corp        Common Stock   527288-10-4    208    10,250                               X                           10,250

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