UNITED STATES
SECURITIES AND EXCHANGE
WASHINGTON, DC 20549
FORM 13F
FORM 13F COVER PAGE
Report for the Calendar Year or Quarter Ended: June 30, 1999
Check here if Amendment [ ]; Amendment Number:
This Amendment (Check only one.); [ ] is a restatement
[ ] adds new holdings entries
Institutional Investment Manager Filing this report:
Winslow Capital Management, Inc.
4720 IDS Tower
80 South Eighth Street
Minneapolis, MN 55420
13F File Number: 28-3676
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
items, statements, schedules, lists, and tables are
considered integral parts of this form.
Person signing this Report on Behalf of Reporting Manager:
Jean A. Baillon
Vice President - Administration
(612) 376-9120
Signature:
Jean A. Baillon
Minneapolis, MN
July 16, 1999
Report Type (Check only one.):
[X] 13F Holdings Report
[ ] 13F Notice
[ ] 13F Combination Report
List of Other Managers Reporting for this Manager:
I AM SIGNING THIS REPORT AS REQUIRED BY THE SECURITIES
EXCHANGE ACT OF 1934.
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FORM 13F SUMMARY PAGE
Report Summary:
Number of Other Included Managers:
Form 13F Information Table Entry Total:
Form 13F Information Table Value Total: 1267188
List of Other Included Managers:
No. 13F File Number Name
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FORM 13F INFORMATION TABLE
VOTING AUTHORITY
NAME OF ISSUER TITLCUSIP VALUE(K) SH/P AMTS/PSOLE SHANONE
A D C TELECOMMUNCOMM000886101 24458 536800SH 284300 0 252500
AT&T CORP COMM001957109 23983 429700SH 191250 0 238450
ACTION PERFORMANCOMM004933107 2020 61200SH 55900 0 5300
ADVENT SOFTWARE COMM007974108 4419 65950SH 62750 0 3200
AMERICA ONLINE ICOMM02364J104 13310 121000SH 54350 0 66650
ASK JEEVES INC COMM045174109 32 500SH 500 0 0
ATMEL CORP COMM049513104 2111 80600SH 80600 0 0
BMC SOFTWARE INCCOMM055921100 40252 745400SH 353150 0 392250
BANK OF AMERICA COMM060505104 17904 244216SH 104497 0 139719
BUCKLE INC COMM118440106 2625 91300SH 84100 0 7200
CBS CORP COMM12490K107 33772 775250SH 354300 0 420950
CVS CORP COMM126650100 27679 545400SH 247500 0 297900
CANANDAIGUA BRANCL A137219200 1924 36700SH 36700 0 0
CARDINAL HEALTH COMM14149Y108 34207 533450SH 234850 0 298600
CARNIVAL CORP COMM143658102 31709 653800SH 295650 0 358150
CENDANT CORP COMM151313103 20512 1000600SH 391200 0 609400
CENTRAL PKG CORPCOMM154785109 1415 41300SH 41300 0 0
CHARLES RIVER ASCOMM159852102 752 30000SH 27400 0 2600
CISCO SYS INC COMM17275R102 23303 361644SH 171314 0 190330
CLARENT CORP DELCOMM180461105 26 1000SH 1000 0 0
CLEAR CHANNEL COCOMM184502102 16603 240843SH 107472 0 133371
COMPUWARE CORP COMM205638109 35267 1108600SH 517400 0 591200
COMVERSE TECHNOLCOM 205862402 2567 34000SH 34000 0 0
CONSOLIDATED GRACOMM209341106 2590 51800SH 47400 0 4400
COULTER PHARMACECOMM222116105 17 746SH 0 0 746
D S T SYSTEMS INCOMM233326107 3911 62200SH 62200 0 0
DELL COMPUTER COCOMM247025109 13742 371400SH 167500 0 203900
DEVRY INC DEL COMM251893103 2895 129400SH 129400 0 0
DIAMOND TECHNOLOCL A252762109 1522 68000SH 62600 0 5400
DOLLAR GEN CORP COMM256669102 15881 547625SH 227625 0 320000
E-LOAN INC COMM26861P107 19 500SH 500 0 0
EAGLE USA AIRFRECOMM270018104 1748 41200SH 37700 0 3500
F Y I INC COMM302712104 3279 104500SH 96100 0 8400
FEDERAL NATL MTGCOMM313586109 45160 661680SH 300980 0 360700
FISERV INC COMM337738108 27522 878950SH 471400 0 407550
GENERAL ELEC CO COMM369604103 25979 229900SH 96250 0 133650
HEALTHCARE FINL COMM42219W108 795 23200SH 21000 0 2200
HOME DEPOT INC COMM437076102 37415 580640SH 273550 0 307090
HOT TOPIC INC COMM441339108 2244 83100SH 76400 0 6700
INTEL CORP COMM458140100 23467 394400SH 172500 0 221900
KANSAS CITY SOUTCOMM485170104 27561 431900SH 199250 0 232650
KNIGHT TRANSN INCOMM499064103 2024 94700SH 86900 0 7800
KNIGHT/TRIMARK GCL A499067106 2074 34000SH 34000 0 0
LEGATO SYSTEMS ICOMM524651106 1779 30800SH 30800 0 0
MBNA CORP COMM55262L100 26733 872909SH 400229 0 472680
MCI WORLDCOM INCCOMM55268B106 37140 431550SH 203350 0 228200
MGIC INVT CORP WCOMM552848103 6107 125600SH 48650 0 76950
MASCO CORP COMM574599106 13811 478300SH 186000 0 292300
MEDICAL MANAGER COMM58461C103 584 13200SH 12000 0 1200
MICROS SYS INC COMM594901100 714 21000SH 19300 0 1700
MICROSOFT CORP COMM594918104 16623 184316SH 85312 0 99004
NCO GROUP INC COMM628858102 5445 143300SH 135400 0 7900
NATIONAL COMPUTECOMM635519101 3068 90900SH 89100 0 1800
NOVA CORP GA COMM669784100 1863 74500SH 74500 0 0
OFFICE DEPOT INCCOMM676220106 30765 1394450SH 642400 0 752050
OMNICARE INC COMM681904108 15074 1194000SH 526150 0 667850
OPEN TEXT CORP COMM683715106 639 21300SH 19500 0 1800
ORACLE CORP COMM68389X105 10740 289300SH 124400 0 164900
O'REILLY AUTOMOTCOMM686091109 7612 151100SH 145600 0 5500
ORTHODONTIC CTRSCOMM68750P103 3132 221700SH 204000 0 17700
PAPA JOHNS INTL COMM698813102 17922 401050SH 303350 0 97700
PFIZER INC COMM717081103 10529 96600SH 45800 0 50800
PHARMACEUTICAL PCOMM717124101 2724 99500SH 91200 0 8300
POLICY MGMT SYS COMM731108106 2175 72500SH 72500 0 0
PROFIT RECOVERY COMM743168106 5734 121200SH 115700 0 5500
PROVIDIAN FINL CCOMM74406A102 24618 264000SH 112900 0 151100
QUANTA SVCS INC COMM7.48E+106 2222 50500SH 46200 0 4300
QUINTILES TRANSNCOMM748767100 33747 803500SH 411450 0 392050
RCM TECHNOLOGIESCOM 749360400 965 72800SH 66800 0 6000
RADIO ONE INC CL A75040P108 804 17300SH 15800 0 1500
RENAL CARE GROUPCOMM759930100 4751 183600SH 174200 0 9400
RENTAL SERVICE CCOMM76009V102 3922 137000SH 130000 0 7000
RES-CARE INC COMM760943100 4978 218800SH 208700 0 10100
SERVICE EXPERTS COMM817567100 3189 145800SH 133400 0 12400
STARBUCKS CORP COMM855244109 14492 385800SH 228200 0 157600
STERLING COMMERCCOMM859205106 38453 1046350SH 546700 0 499650
SUNGARD DATA SYSCOMM867363103 3371 97700SH 97700 0 0
SUNRISE ASSISTEDCOMM86768K106 5482 157200SH 151800 0 5400
SYLVAN LEARNING COMM871399101 5639 207400SH 201600 0 5800
SYNOPSYS INC COMM871607107 31697 574350SH 300150 0 274200
TELLABS INC COMM879664100 37761 558900SH 276400 0 282500
TIMBERLINE SOFTWCOMM887134104 1548 98300SH 90000 0 8300
TOWER AUTOMOTIVECOMM891707101 6342 249300SH 240700 0 8600
TRANSACTION SYS CL A893416107 2933 75200SH 75200 0 0
TRANSWITCH CORP COMM894065101 38 804SH 402 0 402
TYCO INTL LTD COMM902124106 51411 542600SH 243300 0 299300
VODAFONE AIRTOUCDEPO92857T107 9387 47650SH 21350 0 26300
WAL MART STORES COMM931142103 13727 284500SH 137500 0 147000
WARNER LAMBERT CCOMM934488107 27062 391500SH 176800 0 214700
WASTE MGMT INC DCOMM94106L109 49584 922500SH 417150 0 505350
WELLS FARGO & COCOMM949746101 40031 936400SH 417650 0 518750
WHITTMAN-HART INCOMM966834103 1756 55300SH 55300 0 0
WILD OATS MARKETCOMM96808B107 5735 189000SH 180700 0 8300
HILFIGER TOMMY CORD G8915Z102 19935 272150SH 148100 0 124050
126718828044373 15176131 12868242
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