SENTRY FUND INC
13F-HR, 2000-11-06
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<PAGE>   1
                                  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, 2000
                                               ---------------------------

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:       SENTRY INVESTMENT MANAGEMENT, INC.
            ------------------------------------------
Address:    1800 North Point Drive
            ------------------------------------------
            Stevens Point, WI 54481
            ------------------------------------------



 Form 13F File Number: 28-870
                          -------------

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:     Keith E. Ringberg
          --------------------------------------------
Title:    Director - Equities Management
          --------------------------------------------
Phone:    715-346-6825
          --------------------------------------------

Signature, Place, and Date of Signing:

Keith E. Ringberg           Stevens Point, Wisconsin               10/31/00
---------------------  --------------------------------------   ---------------
[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 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).)



<PAGE>   2



                                    FORM 13F
                                  SUMMARY PAGE


Report Summary:


Number of Other Included Managers:                                  0
                                              -----------------------

Form 13F Information Table Entry Total:                           216
                                              -----------------------

Form 13F Information Table Value Total:      $                812,226
                                              -----------------------
                                                    (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.


                                      NONE
<PAGE>   3
                           FORM 13F INFORMATION TABLE

<TABLE>
<CAPTION>
            COLUMN 1          COLUMN 2   COLUMN 3    COLUMN 4              COLUMN 5          COLUMN 6   COLUMN 7      COLUMN 8
            --------          --------   --------    --------              ---------         --------   --------      --------

                              TITLE OF                VALUE      SHRS OR      SH/    PUT/    INVESTMENT  OTHER     VOTING AUTHORITY
         NAME OF ISSUER        CLASS      CUSIP     (X 1000)     PRN AMT      PRN    CALL    DISCRETION  MANAGERS  SOLE SHARED NONE
         --------------        -----      -----     --------    --------      ---    ----    ----------  --------  ---- ------ ----
<S>                           <C>        <C>        <C>         <C>        <C>       <C>     <C>        <C>        <C>
ABGENIX INC                    Common    00339B107      7,852     97,162      SHRS             SOLE      NONE       X
ACCRUE SOFTWARE INC            Common    00437W102        146     12,223      SHRS             SOLE      NONE       X
ACTUANT CORP                   Common    00508X104        894    227,000      SHRS             SOLE      NONE       X
AGILENT TECHNOLOGIES INC       Common    00846U101        336      6,864      SHRS             SOLE      NONE       X
AKSYS LTD                      Common    010196103        846     61,500      SHRS             SOLE      NONE       X
ALCOA INC                      Common    013817101      1,846     72,928      SHRS             SOLE      NONE       X
AMERICA ONLINE INC             Common    02364J104      7,122    132,500      SHRS             SOLE      NONE       X
AMERICAN EXPRESS CO            Common    025816109      6,652    109,500      SHRS             SOLE      NONE       X
AMERICAN HOME PRODUCTS CORP    Common    026609107      2,715     48,000      SHRS             SOLE      NONE       X
AMERICAN INTERNATIONAL GROUP   Common    026874107      8,038     84,000      SHRS             SOLE      NONE       X
AMGEN INC                      Common    031162100      2,905     41,600      SHRS             SOLE      NONE       X
ANALYSTS INTL CORP             Common    032681108      1,516    210,000      SHRS             SOLE      NONE       X
ANESTA CORP                    Common    034603100      5,405    235,000      SHRS             SOLE      NONE       X
ANHEUSER-BUSCH COS INC         Common    035229103      2,776     65,600      SHRS             SOLE      NONE       X
ANSYS INC                      Common    03662Q105        190     15,871      SHRS             SOLE      NONE       X
APACHE CORP                    Common    037411105      4,009     67,800      SHRS             SOLE      NONE       X
APPLIED MATERIALS INC          Common    038222105      2,076     35,000      SHRS             SOLE      NONE       X
APW LTD                        Common    G04397108      9,506    195,000      SHRS             SOLE      NONE       X
ARTESYN TECHNOLOGIES INC       Common    043127109      1,748     60,000      SHRS             SOLE      NONE       X
ASSOCIATED BANC-CORP           Common    045487105     12,417    473,010      SHRS             SOLE      NONE       X
AT & T CORP                    Common    001957109      3,413    116,200      SHRS             SOLE      NONE       X
ATMEL CORP                     Common    049513104        608     40,000      SHRS             SOLE      NONE       X
AVNET INC                      Common    053807103      6,249    220,216      SHRS             SOLE      NONE       X
BANK OF AMERICA CORP           Common    060505104      3,488     66,600      SHRS             SOLE      NONE       X
BANK OF NEW YORK CO INC        Common    064057102      6,868    122,500      SHRS             SOLE      NONE       X
BANK ONE CORP                  Common    06423A103      4,710    121,930      SHRS             SOLE      NONE       X
BAXTER INTL INC                Common    071813109      2,993     37,500      SHRS             SOLE      NONE       X
BECTON DICKINSON & CO          Common    075887109      2,445     92,500      SHRS             SOLE      NONE       X
BELLSOUTH                      Common    079860102      2,979     74,000      SHRS             SOLE      NONE       X
BIOMET INC                     Common    090613100      2,100     60,000      SHRS             SOLE      NONE       X
BJ SERVICES CO                 Common    055482103      2,139     35,000      SHRS             SOLE      NONE       X
BLACK & DECKER CORP            Common    091797100      2,520     73,700      SHRS             SOLE      NONE       X
BLACK BOX CORP                 Common    091826107        466     10,000      SHRS             SOLE      NONE       X
BLOCK (H & R) INC              Common    093671105      3,006     81,100      SHRS             SOLE      NONE       X
BMC SOFTWARE INC               Common    055921100      1,392     72,800      SHRS             SOLE      NONE       X
BOEING CO (THE)                Common    097023105      4,064     64,500      SHRS             SOLE      NONE       X
BOSTON SCIENTIFIC CORP         Common    101137107      2,162    131,500      SHRS             SOLE      NONE       X
</TABLE>


                                     Page 1

<PAGE>   4
                           FORM 13F INFORMATION TABLE

<TABLE>
<CAPTION>
            COLUMN 1          COLUMN 2   COLUMN 3    COLUMN 4               COLUMN 5         COLUMN 6   COLUMN 7      COLUMN 8
            --------          --------   --------    --------               ---------        --------   --------      --------

                              TITLE OF                VALUE      SHRS OR      SH/    PUT/    INVESTMENT  OTHER     VOTING AUTHORITY
         NAME OF ISSUER        CLASS      CUSIP     (X 1000)     PRN AMT      PRN    CALL    DISCRETION  MANAGERS  SOLE SHARED NONE
         --------------        -----      -----     --------    --------      ---    ----    ----------  --------  ---- ------ ----
<S>                           <C>        <C>        <C>         <C>         <C>      <C>     <C>        <C>        <C>
BREAKAWAY SOLUTIONS INC        Common    106372105         31      3,483      SHRS             SOLE      NONE       X
BRISTOL-MYERS SQUIBB CO        Common    110122108      6,695    117,200      SHRS             SOLE      NONE       X
BURLINGTON RESOURCES INC       Common    122014103      1,104     30,000      SHRS             SOLE      NONE       X
BUTLER MANUFACTURING CO        Common    123655102      2,408    105,000      SHRS             SOLE      NONE       X
CABOT OIL & GAS CORP           Common    127097103      3,798    186,400      SHRS             SOLE      NONE       X
CARNIVAL CORP                  Common    143658102      3,876    157,400      SHRS             SOLE      NONE       X
CATERPILLAR INC                Common    149123101      2,025     60,000      SHRS             SOLE      NONE       X
CHASE MANHATTAN CORP           Common    16161A108      2,550     55,200      SHRS             SOLE      NONE       X
CHROMAVISION MEDICAL SYSTEMS   Common    17111P104        190     20,000      SHRS             SOLE      NONE       X
CISCO SYSTEMS INC              Common    17275R102     14,905    269,771      SHRS             SOLE      NONE       X
CITIGROUP INC                  Common    172967101      9,688    179,199      SHRS             SOLE      NONE       X
CITRIX SYSTEMS INC             Common    177376100        845     42,100      SHRS             SOLE      NONE       X
CLAIRE'S STORES INC            Common    179584107      1,350     75,000      SHRS             SOLE      NONE       X
COCA-COLA CO                   Common    191216100      5,716    103,700      SHRS             SOLE      NONE       X
COINSTAR INC                   Common    19259P300      3,323    245,000      SHRS             SOLE      NONE       X
COMMUNITY FIRST BANKSHARES INC Common    203902101      3,372    192,000      SHRS             SOLE      NONE       X
COMPUTER ASSOCIATES INTL INC   Common    204912109      1,607     63,800      SHRS             SOLE      NONE       X
COMPUTER SCIENCES CORP         Common    205363104      3,104     41,800      SHRS             SOLE      NONE       X
CONOGRA FOODS INC              Common    205887102      2,558    127,500      SHRS             SOLE      NONE       X
CONSOLIDATED PRODUCTS INC      Common    209798107      2,991    373,827      SHRS             SOLE      NONE       X
COSTCO WHOLESALE CORP          Common    22160K105      1,439     41,200      SHRS             SOLE      NONE       X
CROSS TIMBERS OIL CO           Common    227573102      2,159    112,500      SHRS             SOLE      NONE       X
CYPRESS SEMICONDUCTOR CORP     Common    232806109      1,663     40,000      SHRS             SOLE      NONE       X
CYTYC CORP                     Common    232946103      5,606    130,000      SHRS             SOLE      NONE       X
DATA RESEARCH ASSOCIATES INC   Common    237853106      1,400    228,500      SHRS             SOLE      NONE       X
DELL COMPUTER CORP             Common    247025109      2,727     88,500      SHRS             SOLE      NONE       X
DELTA & PINE LAND CO           Common    247357106      1,541     60,000      SHRS             SOLE      NONE       X
DELUXE CORP                    Common    248019101      1,406     69,200      SHRS             SOLE      NONE       X
DEVON ENERGY CORP              Common    25179M103      2,105     35,000      SHRS             SOLE      NONE       X
DIAMETRICS MEDICAL INC         Common    252532106      1,606    200,000      SHRS             SOLE      NONE       X
DISNEY (WALT) CO (THE)         Common    254687106      4,820    126,000      SHRS             SOLE      NONE       X
DU PONT (EI) DE NEMOURS        Common    263534109      1,599     38,600      SHRS             SOLE      NONE       X
EFFICIENT NETWORKS INC         Common    282056100        888     23,786      SHRS             SOLE      NONE       X
ELOQUENT INC                   Common    290140102         70     24,741      SHRS             SOLE      NONE       X
EMC CORP                       Common    268648102      8,128     82,000      SHRS             SOLE      NONE       X
ENNIS BUSINESS FORMS INC       Common    293389102        756    100,000      SHRS             SOLE      NONE       X
ENSCO INTERNATIONAL INC        Common    26874Q100      2,104     55,000      SHRS             SOLE      NONE       X
</TABLE>


                                     Page 2

<PAGE>   5
                           FORM 13F INFORMATION TABLE

<TABLE>
<CAPTION>
            COLUMN 1          COLUMN 2   COLUMN 3    COLUMN 4               COLUMN 5         COLUMN 6   COLUMN 7      COLUMN 8
            --------          --------   --------    --------               --------         --------   --------      --------

                              TITLE OF                VALUE      SHRS OR      SH/    PUT/    INVESTMENT  OTHER     VOTING AUTHORITY
         NAME OF ISSUER        CLASS      CUSIP     (X 1000)     PRN AMT      PRN    CALL    DISCRETION  MANAGERS  SOLE SHARED NONE
         --------------        -----      -----     --------    --------      ---    ----    ----------  --------  ---- ------ ----
<S>                           <C>        <C>        <C>         <C>         <C>      <C>     <C>         <C>       <C>
EOG RESOURCES INC              Common    26875P101      7,775    200,000      SHRS             SOLE      NONE       X
EXCITE@HOME NETWORK            Common    045919107        284     20,079      SHRS             SOLE      NONE       X
EXXON                          Common    30231G102     11,702    131,300      SHRS             SOLE      NONE       X
F5 NETWORKS INC                Common    315616102        710     20,868      SHRS             SOLE      NONE       X
FED NATL MTG ASSN              Common    313586109      6,507     91,000      SHRS             SOLE      NONE       X
FEDERATED DEPARTMENT STORES    Common    31410H101      2,555     97,800      SHRS             SOLE      NONE       X
FIRST UNION CORP               Common    337358105      3,187     99,000      SHRS             SOLE      NONE       X
FIRSTAR CORP                   Common    33763V109     10,934    488,688      SHRS             SOLE      NONE       X
FISERV INC                     Common    337738108     15,268    255,000      SHRS             SOLE      NONE       X
FLOW INTERNATIONAL CORP        Common    343468104      1,006     92,500      SHRS             SOLE      NONE       X
FORD MOTOR CO                  Common    345370860      5,084    200,865      SHRS             SOLE      NONE       X
G & K SERVICES INC CLASS A     Common    361268105      3,508    125,000      SHRS             SOLE      NONE       X
GAP INC                        Common    364760108        948     47,100      SHRS             SOLE      NONE       X
GENERAL ELECTRIC CO            Common    369604103     21,760    377,200      SHRS             SOLE      NONE       X
GILLETTE CO                    Common    375766102      1,890     61,200      SHRS             SOLE      NONE       X
GLOBAL MARINE INC              Common    379352404      2,007     65,000      SHRS             SOLE      NONE       X
GUIDANT CORP                   Common    401698105      3,386     47,900      SHRS             SOLE      NONE       X
HARLEY-DAVIDSON INC            Common    412822108      7,899    165,000      SHRS             SOLE      NONE       X
HEALTH MANAGEMENT ASSOCIATES   Common    421933102      1,041     50,000      SHRS             SOLE      NONE       X
HERSHEY FOODS CO               Common    427866108      2,955     54,600      SHRS             SOLE      NONE       X
HEWLETT-PACKARD CO             Common    428236103      3,996     41,200      SHRS             SOLE      NONE       X
HOME DEPOT INC                 Common    437076102      4,930     92,900      SHRS             SOLE      NONE       X
HOME FEDERAL BANCORP           Common    436926109      2,330    144,500      SHRS             SOLE      NONE       X
HOOPER HOLMES INC              Common    439104100      1,997    210,000      SHRS             SOLE      NONE       X
IBM CORP                       Common    459200101     11,138     99,000      SHRS             SOLE      NONE       X
IDEC PHARMACEUTICALS CORP      Common    449370105      1,754     10,000      SHRS             SOLE      NONE       X
IDX SYSTEMS CORP               Common    449491109      1,129     70,000      SHRS             SOLE      NONE       X
INTEL CORP                     Common    458140100     10,470    251,900      SHRS             SOLE      NONE       X
INTERLOGIX INC                 Common    458763109      2,402    181,077      SHRS             SOLE      NONE       X
INTERNATIONAL PAPER CO         Common    460146103      2,131     74,300      SHRS             SOLE      NONE       X
INVACARE CORP                  Common    461203101      2,409     75,000      SHRS             SOLE      NONE       X
JDS UNIPHASE CORP              Common    46612J101      2,727     28,800      SHRS             SOLE      NONE       X
JOHNSON & JOHNSON              Common    478160104      5,317     56,600      SHRS             SOLE      NONE       X
KEANE INC                      Common    486665102      3,243    186,400      SHRS             SOLE      NONE       X
KEYSTONE AUTOMOTIVE INDUSTRIES Common    49338N109      2,070    430,200      SHRS             SOLE      NONE       X
KIMBERLY-CLARK CORP            Common    494368103      2,768     49,600      SHRS             SOLE      NONE       X
KOALA CORP                     Common    499866101      1,928    120,000      SHRS             SOLE      NONE       X
</TABLE>


                                     Page 3

<PAGE>   6
                           FORM 13F INFORMATION TABLE

<TABLE>
<CAPTION>
            COLUMN 1          COLUMN 2   COLUMN 3    COLUMN 4               COLUMN 5         COLUMN 6   COLUMN 7       COLUMN 8
            --------          --------   --------    --------               ---------        --------   --------       --------

                              TITLE OF                VALUE      SHRS OR      SH/    PUT/    INVESTMENT  OTHER     VOTING AUTHORITY
         NAME OF ISSUER        CLASS      CUSIP     (X 1000)     PRN AMT      PRN    CALL    DISCRETION  MANAGERS  SOLE SHARED NONE
         --------------        -----      -----     --------    --------      ---    ----    ----------  --------  ---- ------ ----
<S>                           <C>        <C>        <C>         <C>         <C>      <C>     <C>         <C>       <C>
KROGER CO                      Common    501044101      6,514    288,700      SHRS             SOLE      NONE       X
LANCASTER COLONY CORP          Common    513847103      2,028     82,550      SHRS             SOLE      NONE       X
LANDS' END INC                 Common    515086106      2,100    100,000      SHRS             SOLE      NONE       X
LILLY (ELI) & CO               Common    532457108      3,440     42,400      SHRS             SOLE      NONE       X
LINCARE HOLDINGS INC           Common    532791100      4,016    140,000      SHRS             SOLE      NONE       X
LINEAR TECHNOLOGY CORP         Common    535678106      2,700     41,700      SHRS             SOLE      NONE       X
LSI LOGIC CORP                 Common    502161102      1,103     37,700      SHRS             SOLE      NONE       X
LUCENT TECHNOLOGIES INC        Common    549463107      3,359    109,900      SHRS             SOLE      NONE       X
MANITOWOC COMPANY INC          Common    563571108      7,085    368,050      SHRS             SOLE      NONE       X
MARCHFIRST INC                 Common    566244109        392     25,000      SHRS             SOLE      NONE       X
MARINE DRILLING CO INC         Common    568240204      2,285     80,000      SHRS             SOLE      NONE       X
MARSHALL & ILSLEY CORP         Common    571834100     20,178    402,547      SHRS             SOLE      NONE       X
MC DONALDS CORPORATION         Common    580135101      5,887    195,000      SHRS             SOLE      NONE       X
MEADE INSTRUMENTS CORP         Common    583062104      5,451    270,000      SHRS             SOLE      NONE       X
MEDQUIST INC                   Common    584949101      1,139     56,414      SHRS             SOLE      NONE       X
MEN'S WEARHOUSE INC (THE)      Common    587118100      1,416     50,000      SHRS             SOLE      NONE       X
MERCK & CO INC                 Common    589331107      6,684     89,800      SHRS             SOLE      NONE       X
MERIDIAN DIAGNOSTICS INC       Common    589602101      1,299    165,000      SHRS             SOLE      NONE       X
METHODE ELECTRONICS INC        Common    591520200        886     20,000      SHRS             SOLE      NONE       X
MICROSOFT CORP                 Common    594918104     12,738    211,200      SHRS             SOLE      NONE       X
MORGAN (JP) & CO INC           Common    616880100      3,415     20,900      SHRS             SOLE      NONE       X
MORGAN STANLEY DEAN WITTER CO  Common    617446448      6,181     67,600      SHRS             SOLE      NONE       X
MOTOROLA INC                   Common    620076109      2,339     82,800      SHRS             SOLE      NONE       X
NABORS INDUSTRIES INC          Common    629568106      2,096     40,000      SHRS             SOLE      NONE       X
NATIONAL CITY BANCORPORATION   Common    635312101      1,501     80,300      SHRS             SOLE      NONE       X
NCI BUILDING SYSTEMS INC       Common    628852105      5,770    394,500      SHRS             SOLE      NONE       X
NETWORK ASSOCIATES INC         Common    640938106      1,131     50,000      SHRS             SOLE      NONE       X
NEWELL RUBBERMAID INC          Common    651229106      1,925     84,400      SHRS             SOLE      NONE       X
NEXTEL COMMUNICATIONS INC CL A Common    65332V103      1,926     41,200      SHRS             SOLE      NONE       X
NOBLE DRILLING CORP            Common    655042109      1,759     35,000      SHRS             SOLE      NONE       X
NORTEL NETWORKS CORP           Common    656568102      6,343    106,492      SHRS             SOLE      NONE       X
O'REILLY AUTOMOTIVE INC        Common    686091109      1,496     90,000      SHRS             SOLE      NONE       X
OCEANEERING INTL INC           Common    675232102      3,467    215,000      SHRS             SOLE      NONE       X
OMNICARE INC                   Common    681904108     27,563    350,000      SHRS             SOLE      NONE       X
ORACLE CORP                    Common    68389X105      1,623    111,000      SHRS             SOLE      NONE       X
OSHKOSH TRUCK CORP             Common    688239201     17,912    462,250      SHRS             SOLE      NONE       X
OUTBACK STEAKHOUSE INC         Common    689899102      4,069    150,000      SHRS             SOLE      NONE       X
</TABLE>


                                     Page 4

<PAGE>   7
                           FORM 13F INFORMATION TABLE

<TABLE>
<CAPTION>
            COLUMN 1          COLUMN 2   COLUMN 3    COLUMN 4                COLUMN 5        COLUMN 6   COLUMN 7      COLUMN 8
            --------          --------   --------    --------                ---------       --------   --------      --------

                              TITLE OF                VALUE      SHRS OR      SH/    PUT/    INVESTMENT  OTHER     VOTING AUTHORITY
         NAME OF ISSUER        CLASS      CUSIP     (X 1000)     PRN AMT      PRN    CALL    DISCRETION  MANAGERS  SOLE SHARED NONE
         --------------        -----      -----     --------    --------      ---    ----    ----------  --------  ---- ------ ----
<S>                           <C>        <C>        <C>         <C>          <C>     <C>     <C>         <C>       <C>
PEPSICO INC                    Common    713448108      2,990     65,000      SHRS             SOLE      NONE       X
PETROGLYPH ENERGY INC          Common    71649C101         28     10,500      SHRS             SOLE      NONE       X
PFIZER INC                     Common    717081103     10,794    240,200      SHRS             SOLE      NONE       X
PHILIP MORRIS COS              Common    718154107      6,049    205,500      SHRS             SOLE      NONE       X
PIONEER-STANDARD ELECTRONICS   Common    723877106      2,148    158,400      SHRS             SOLE      NONE       X
PNC FINANCIAL SERVICES GROUP   Common    693475105      3,250     50,000      SHRS             SOLE      NONE       X
POGO PRODUCING CO              Common    730448107      1,269     50,000      SHRS             SOLE      NONE       X
PPG INDUSTRIES INC             Common    693506107      1,337     33,700      SHRS             SOLE      NONE       X
PROCTER & GAMBLE CO            Common    742718109      2,982     44,500      SHRS             SOLE      NONE       X
QUALCOMM INC                   Common    747525103      1,375     19,300      SHRS             SOLE      NONE       X
QUICKLOGIC CORP                Common    74837P108        241     14,581      SHRS             SOLE      NONE       X
QUIDEL CORP                    Common    74838J101        647    150,000      SHRS             SOLE      NONE       X
RARE HOSPITALITY INTL INC      Common    753820109      1,375     67,500      SHRS             SOLE      NONE       X
RAYOVAC CORP                   Common    755081106      7,064    412,500      SHRS             SOLE      NONE       X
REGIS CORP                     Common    758932107      3,600    240,000      SHRS             SOLE      NONE       X
RENAL CARE GROUP INC           Common    759930100      3,725    200,000      SHRS             SOLE      NONE       X
REPUBLIC BANCORP INC (MI)      Common    760282103      1,622    170,687      SHRS             SOLE      NONE       X
ROCHESTER MEDICAL CORP         Common    771497104      1,210    197,500      SHRS             SOLE      NONE       X
ROYAL DUTCH PETROLEUM          Common    780257804      4,801     80,100      SHRS             SOLE      NONE       X
RUBY TUESDAY INC               Common    781182100      3,805    338,200      SHRS             SOLE      NONE       X
SARA LEE CORP                  Common    803111103      2,740    134,900      SHRS             SOLE      NONE       X
SBC COMMUNICATIONS INC         Common    78387G103      6,880    137,600      SHRS             SOLE      NONE       X
SCHERING-PLOUGH CORP           Common    806605101      2,502     53,800      SHRS             SOLE      NONE       X
SCHLUMBERGER LTD               Common    806857108      3,564     43,300      SHRS             SOLE      NONE       X
SCHWEITZER-MAUDUIT INTL INC    Common    808541106      2,341    175,000      SHRS             SOLE      NONE       X
SEAGATE TECHNOLOGY INC         Common    811804103      1,035     15,000      SHRS             SOLE      NONE       X
SMITH-GARDNER & ASSOC INC      Common    832059109         11      3,845      SHRS             SOLE      NONE       X
SNAP-ON INC                    Common    833034101      3,452    146,500      SHRS             SOLE      NONE       X
SOLECTRON CORP                 Common    834182107      2,966     64,300      SHRS             SOLE      NONE       X
SPSS INC                       Common    78462K102      5,899    220,000      SHRS             SOLE      NONE       X
ST JUDE MEDICAL INC            Common    790849103      5,100    100,000      SHRS             SOLE      NONE       X
SUN HYDRAULICS INC             Common    866942105      1,280    160,000      SHRS             SOLE      NONE       X
SUN MICROSYSTEMS INC           Common    866810104      7,075     60,600      SHRS             SOLE      NONE       X
SYBRON INTL CORP-WISCONSIN     Common    87114F106      2,916    121,500      SHRS             SOLE      NONE       X
TBC CORP                       Common    872180104      1,609    330,000      SHRS             SOLE      NONE       X
TESSCO TECHNOLOGIES INC        Common    872386107      3,953    155,000      SHRS             SOLE      NONE       X
TETRA TECH INC                 Common    88162G103      4,998    175,000      SHRS             SOLE      NONE       X
</TABLE>


                                     Page 5

<PAGE>   8
                           FORM 13F INFORMATION TABLE

<TABLE>
<CAPTION>
            COLUMN 1          COLUMN 2   COLUMN 3    COLUMN 4                COLUMN 5        COLUMN 6   COLUMN 7      COLUMN 8
            --------          --------   --------    --------                ---------       --------   --------      --------

                              TITLE OF                VALUE      SHRS OR      SH/    PUT/    INVESTMENT  OTHER     VOTING AUTHORITY
         NAME OF ISSUER        CLASS      CUSIP     (X 1000)     PRN AMT      PRN    CALL    DISCRETION  MANAGERS  SOLE SHARED NONE
         --------------        -----      -----     --------    --------      ---    ----    ----------  --------  ---- ------ ----
<S>                           <C>        <C>        <C>         <C>          <C>     <C>     <C>         <C>       <C>
TEXACO INC                     Common    881694103      6,914    131,700      SHRS             SOLE      NONE       X
TEXAS INSTRUMENTS INC          Common    882508104      2,864     60,700      SHRS             SOLE      NONE       X
TIDEWATER INC                  Common    886423102      4,323     95,000      SHRS             SOLE      NONE       X
TIME WARNER INC                Common    887315109      4,100     52,400      SHRS             SOLE      NONE       X
TRIBUNE CO                     Common    896047107      5,658    129,700      SHRS             SOLE      NONE       X
TULARIK INC                    Common    899165104        697     21,110      SHRS             SOLE      NONE       X
TYCO INTERNATIONAL LTD         Common    902124106      3,253     62,700      SHRS             SOLE      NONE       X
UNITED STATIONERS INC          Common    913004107      3,843    143,000      SHRS             SOLE      NONE       X
UNIVISION COMMUNICATIONS       Common    914906102        748     20,000      SHRS             SOLE      NONE       X
UROLOGIX INC                   Common    917273104        800    100,000      SHRS             SOLE      NONE       X
UST INC                        Common    902911106      4,438    194,000      SHRS             SOLE      NONE       X
USX-MARATHON GROUP             Common    902905827      5,073    178,800      SHRS             SOLE      NONE       X
VENTANA MEDICAL SYSTEM INC     Common    92276H106      1,269     50,000      SHRS             SOLE      NONE       X
VERIZON COMMUNICATIONS         Common    92343V104      4,590     94,760      SHRS             SOLE      NONE       X
VIACOM INC - CLASS B           Common    925524308      3,688     62,900      SHRS             SOLE      NONE       X
VIDAMED INC                    Common    926530106        850    367,500      SHRS             SOLE      NONE       X
VIGNETTE CORP                  Common    926734104        430     14,398      SHRS             SOLE      NONE       X
VISTEON CORP                   Common    92839U107        102      6,770      SHRS             SOLE      NONE       X
WABASH NATIONAL CORP           Common    929566107        599     65,600      SHRS             SOLE      NONE       X
WAL-MART STORES INC            Common    931142103      8,297    172,400      SHRS             SOLE      NONE       X
WALGREEN CO                    Common    931422109     12,170    320,800      SHRS             SOLE      NONE       X
WASHINGTON FEDERAL INC         Common    938824109      3,265    143,500      SHRS             SOLE      NONE       X
WASHINGTON MUTUAL INC          Common    939322103      2,986     75,000      SHRS             SOLE      NONE       X
WEATHERFORD INTERNATIONAL INC  Common    947074100      1,720     40,000      SHRS             SOLE      NONE       X
WEBHIRE INC                    Common    94768W104         19      5,522      SHRS             SOLE      NONE       X
WELLS FARGO CO                 Common    949746101      3,455     75,200      SHRS             SOLE      NONE       X
WERNER ENTERPRISES INC         Common    950755108      1,175    100,000      SHRS             SOLE      NONE       X
WORLDCOM INC                   Common    98157D106      3,004     98,900      SHRS             SOLE      NONE       X
XIRCOM INC                     Common    983922105        505     20,000      SHRS             SOLE      NONE       X
YAHOO! INC                     Common    984332106      5,041     55,400      SHRS             SOLE      NONE       X
ZALE CORP                      Common    988858106        620     19,100      SHRS             SOLE      NONE       X
                                                      812,226 25,364,365
</TABLE>


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