UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
WASHINGTON, D.C. 20549
FORM 13 F
Information required of Institutional Investment Managers Pursuant to Section
13(f) of the Securities Exchange Act of 1954
For the Quarter Ended June 30, 1999
Commission file Number 28-3464
WHRS Investment Management, Inc.
4440 PGA Boulevard, Suite 308
Palm Beach Gardens, FL 33410
(561) 694-4160
FAIR MARKET
NAME OF ISSUER CLASS CUSIP NO. VALUE SHARES Discret/
Voting
All N.A.
Accent Color Sciences COM 004305 10 8 157,755.00 242,700
American Home Products COM 026609 10 7 6,958,784.25 121,286
AT&T Corp COM 001957 10 9 3,566,474.56 63,901
Atlantic Richfield Co. COM 048825 10 3 1,809,295.25 21,652
Aviation Sales Company COM 053672 10 1 751,882.50 19,035
Bankamerica Corp COM 06605F 10 2 571,910.81 7,801
Bellsouth Corp Com COM 079860 10 2 205,256.25 4,450
Berkshire Hathaway - B COM 084670 20 7 207,916.80 93
Burnham Pacific PPTY Inc. COM 12232C 10 8 154,829.69 12,575
BP Amoco COM 055625210 4 215,698.00 1,988
Chevron Corp COM 166751 10 7 5,469,896.25 57,540
Cisco System COM 17275R 10 2 6,608,323.37 102,554
Citigroup Inc COM 172967 10 1 2,720,966.25 57,283
Comcast Corp. SPCLA 200300 10 1 431,960.62 11,238
Cox Communications CL A 224044 10 7 1,074,188.75 29,180
Datatech COM 238128 10 2 483,522.81 157,885
Diamond Offshore Drill COM 25271C 10 2 215,650.00 7,600
Disney (Walt) Comp COM 254687 10 6 295,399.44 9,587
Duke Energy COM 264399 10 9 1,010,523.31 18,563
Electronic Data Systems COM 285661 10 4 2,311,998.75 40,830
Emerson Electric COM 291011 10 4 245,456.25 3,900
Entertainment Properties COM 29380T 10 5 6,631,476.75 376,254
Enzon COM 293904 10 8 981,311.56 47,435
FBL Financial COM 30239F 10 6 3,056,352.00 156,736
Federal Home Ln Mtg Corp COM 313400 30 1 591,600.00 10,200
Federal National Mortgage COM 313586 10 9 1,783,372.50 26,130
FPIC Insurance COM 302563 10 1 1,406,257.50 28,995
Gannett Co. COM 364730 10 1 314,050.00 4,400
Gateway Inc. COM 367626 10 8 592,101.56 10,025
General Electric COM 369604 10 3 526,693.00 4,661
General Nutrition COM 37047F 10 3 4,096,006.25 175,700
Geron Corporation COM 374163 10 3 166,582.50 15,960
Glamis Gold COM 376775 10 2 120,375.00 64,200
Glaxo Wellcome ADR 37733W 10 5 466,023.75 8,230
Golf Trust of America COM 38168B 10 3 273,700.00 11,200
GTE Corp COM 362320 10 3 4,555,896.50 60,343
HTE Inc. COM 403926 10 8 1,002,560.62 297,055
Hartford Financial Serv. COM 416515 10 4 4,767,513.37 81,758
Hilfiger Tommy Corp COM G8915Z 10 2 2,227,166.25 30,405
Home Depot COM 437076 10 2 4,310,933.19 66,901
Inspire Ins Solutions COM 457732 10 5 145,725.00 10,050
Intel Corp COM 458140 10 0 4,471,127.50 75,145
International Paper COM 460146 10 3 3,079,346.13 61,281
Int'l Business Machines COM 459200 10 1 918,709.00 7,108
J.P. Penney COM 708160 10 6 491,209.69 10,115
Mediaone Group COM 58440J 10 4 7,718,563.12 103,779
Merck & Co. COM 589331 10 7 4,448,422.50 60,420
Micron Technology COM 595112 10 3 2,129,652.00 52,584
Miller Herman COM 600544 10 0 214,368.00 10,208
Minnesota Mining & Mfg. COM 604059 10 5 9,486,359.19 109,117
Miravant Medical Tech COM 604690 10 7 253,129.87 35,527
Mobil Corp. COM 607059 10 2 489,800.00 4,960
Morgan J.P. & Co COM 616880 10 0 11,480,957.50 81,715
Mutual Risk Management COM 628351 10 8 382,310.62 11,455
Nike Inc. Class B COM 654106 10 3 10,032,579.37 158,305
Nortel COM 665815 10 6 1,024,821.56 11,508
NUCO2 Inc. COM 629428 10 3 168,000.00 19,200
ORACLE Corp COM 68389X 10 5 5,606,060.62 151,005
Pan Pacific Retail COM 69806L 10 4 3,102,421.87 160,125
Parametric Tech. COM 699173 10 0 6,199,197.37 446,789
Peerless Systems COM 705536 10 0 1,633,957.50 155,615
Pepsico Inc. COM 713448 10 8 329,385.37 8,514
Pfizer Inc COM 713448 10 8 381,500.00 3,500
Primedia COM 74157K 10 1 5,646,674.56 333,383
Progressive Corp COM 743315 10 3 1,035,300.00 7,140
Providian Corp COM 744061 10 2 202,818.75 2,175
Reliance Group Holdings COM 759464 10 0 93,340.62 12,550
Restoration Hardware COM 760981 10 0 3,722,262.50 278,300
Royal Caribbean Cruises COM V7780T 10 3 7,773,500.00 177,680
Royal Dutch Pet COM 780257 70 5 451,875.00 7,500
RPM INC OHIO COM 749685 10 3 580,978.12 40,950
S.S.E. Telcom COM 784652 10 9 27,000.00 18,000
SBC Communications COM 78387G 10 3 4,421,398.00 76,231
Schlumberger Ltd COM 806857 10 8 6,155,396.87 96,650
Shared Technology COM 819487 10 9 447,895.50 45,938
Sprint Corp COM 852061 10 0 1,336,130.00 25,210
Steiner Leisure Ltd COM P8744Y 10 2 6,749,199.37 222,654
Steris Corp COM 859152 10 0 7,905,591.87 408,237
Swift Transportation COM 870756 10 3 961,708.00 43,714
Telefonos DeMexico ADR 879403 78 0 2,510,440.31 31,065
Texas Instruments Inc COM 882508 10 4 226,080.00 1,570
Unit Corp COM 909218 10 9 97,500.00 12,000
United Industrial Corp COM 910671 10 6 121,825.00 11,075
Viragen, Inc. COM 927638 10 6 154,174.50 205,566
Viragen Europe COM 927637 20 7 6,134.37 15,100
Vodaphone Airtouch, PLC COM 92857T 10 7 702,305.00 3,565
Vulcan Materials Company COM 929160 10 9 408,918.75 8,475
Waste Management Inc COM 94106L 10 9 10,570,475.00 196,660
Watsco Inc COM 942622 20 0 7,276,951.75 444,394
Xerox Corp COM 984121 10 3 11,026,378.12 186,690
Young L& Rubicam Inc. COM 987425 10 5 4,992,445.31 109,875
TOTAL $242,375,751.07