WINSLOW CAPITAL MANAGEMENT INC /MN
13F-HR, 1999-06-07
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UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
WASHINGTON, DC  20549

FORM 13F

FORM 13F COVER PAGE

Report for the Calendar Year of Quarter Ended: March 31, 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 55402

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 required
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
                June 7, 1999


Report Type   (Check only one):

[X]  13F Holdings Report
[  ]  13F Combination Report
[  ]  13F Notice

List of Other Managers Reporting for this Manager:

I AM SIGNING THIS REPORT AS REQUIRED BY THE SECURITIES AND
EXCHANGE ACT OF 1934.

<PAGE>


FORM 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:   0

Form 13F Information Table Entry Total:

Form 13F Information Table Value Total:   $1307039

List of Other Included Managers:

No.     13F  File Number     Name

<PAGE>


<TABLE>       <C>                             <C>
                                              FORM 13F INFORMATION TABLE
                                                 INVESTMENT VOTING AUTHORITY
NAME OF ISSUERTITLCUSIP     VALUE(K)  SH/P AMTS/PSOLE    SHASOLE    SHANONE
A D C TELECOMMCOMM000886101      48021 1007000SH  1007000  0  568450  0  438550
AES CORP      COMM00130H105        507   13600SH    13600  0   12900  0     700
ACTION PERFORMCOMM004933107        916   30400SH    30400  0   27500  0    2900
ADVENT SOFTWARCOMM007974108       3563   71250SH    71250  0   67350  0    3900
AIRTOUCH COMMUCOMM00949T100      24910  257800SH   257800  0  128000  0  129800
AMERIN CORP   COMM03070X106        303   14900SH    14900  0   13400  0    1500
BMC SOFTWARE ICOMM055921100      36949  996950SH   996950  0  513550  0  483400
BANKAMERICA COCOMM06605F102      19065  269943SH   269943  0  133615  0  136328
BERGEN BRUNSWICL A083739102      18934  946700SH   946700  0  569300  0  377400
BOTTOMLINE TECCOMM101388106         19     300SH      300  0     300  0       0
BUCKLE INC    COMM118440106       1472   65400SH    65400  0   59800  0    5600
CBS CORP      COMM12490K107      38396  940800SH   940800  0  478700  0  462100
CADENCE DESIGNCOMM127387108      25822 1002800SH  1002800  0  516950  0  485850
CANANDAIGUA BRCL A137219200       1808   35900SH    35900  0   35900  0       0
CARDINAL HEALTCOMM14149Y108      19186  290700SH   290700  0  143700  0  147000
CARNIVAL CORP COMM143658102      31197  642400SH   642400  0  343550  0  298850
CENDANT CORP  COMM151313103      18335 1150400SH  1150400  0  532000  0  618400
CIBER INC     COMM17163B102       4691  242100SH   242100  0  236200  0    5900
CISCO SYS INC COMM17275R102      22207  202684SH   202684  0  107132  0   95552
COMPUWARE CORPCOMM205638109      34368 1439500SH  1439500  0  741300  0  698200
CONSOLIDATED GCOMM209341106       1103   19100SH    19100  0   17300  0    1800
CORINTHIAN COLCOMM218868107         18     800SH      800  0     800  0       0
COULTER PHARMACOMM222116105         16     746SH      746  0       0  0     746
DST SYS INC DECOMM233326107       2685   44700SH    44700  0   44700  0       0
DELTEK SYS INCCOMM24785A108        763   70200SH    70200  0   64400  0    5800
F Y I INC     COMM302712104       2646   82700SH    82700  0   75700  0    7000
FAIR ISAAC & CCOMM303250104        141    3800SH     3800  0    3800  0       0
FEDERAL NATL MCOMM313586109      46909  677380SH   677380  0  348980  0  328400
FISERV INC    COMM337738108      34073  635400SH   635400  0  361150  0  274250
GUITAR CTR MGMCOMM402040109        458   22400SH    22400  0   20300  0    2100
HNC SOFTWARE ICOMM40425P107        157    4800SH     4800  0    4800  0       0
HEALTHCARE FINCOMM42219W108        502   19200SH    19200  0   17400  0    1800
HOME DEPOT INCCOMM437076102      46699  750190SH   750190  0  387250  0  362940
HOT TOPIC INC COMM441339108       1410   77800SH    77800  0   71100  0    6700
INTEL CORP    COMM458140100      25404  213700SH   213700  0  105100  0  108600
JACOR COMMUNUNCL A469858401      12776  168100SH   168100  0   85000  0   83100
KANSAS CITY SOCOMM485170104      26807  470300SH   470300  0  240950  0  229350
KNIGHT TRANSN COMM499064103        126    6500SH     6500  0    5850  0     650
KNIGHT/TRIMARKCL A499067106       2794   41700SH    41700  0   40800  0     900
MBNA CORP     COMM55262L100      25721 1077333SH  1077333  0  564453  0  512880
MCI WORLDCOM ICOMM55268B106      55980  632100SH   632100  0  327400  0  304700
MGIC INVT CORPCOMM552848103      13566  386900SH   386900  0  204400  0  182500
MSC INDL DIRECCL A553530106        437   25700SH    25700  0   23600  0    2100
MASCO CORP    COMM574599106      26236  928700SH   928700  0  488700  0  440000
MCKESSON HBOC COMM58155Q103      44416  672965SH   672965  0  347470  0  325495
MEDICAL MANAGECOMM58461C103       1561   67500SH    67500  0   61700  0    5800
METRO INFORMATCOMM59162P104        808   44400SH    44400  0   40400  0    4000
MICROSOFT CORPCOMM594918104      17048  190212SH   190212  0  101612  0   88600
NCO GROUP INC COMM628858102       4155  112300SH   112300  0  107100  0    5200
NETWORK ASSOCICOMM640938106      19760  643900SH   643900  0  335700  0  308200
NOVA CORP GA  COMM669784100       2433   92700SH    92700  0   92700  0       0
OFFICE DEPOT ICOMM676220106      38465 1027450SH  1027450  0  531600  0  495850
OMNICARE INC  COMM681904108      29791 1562800SH  1562800  0  893550  0  669250
O'REILLY AUTOMCOMM686091109       5460  122000SH   122000  0  116800  0    5200
ORTHODONTIC CTCOMM68750P103       6421  407700SH   407700  0  392600  0   15100
PAPA JOHNS INTCOMM698813102      19601  444225SH   444225  0  323325  0  120900
PEPSI BOTTLINGCOMM713409100       5422  250000SH   250000  0  108900  0  141100
PFIZER INC    COMM717081103      14846  107000SH   107000  0   56200  0   50800
PHARMACEUTICALCOMM717124101       2093   62350SH    62350  0   57250  0    5100
POLICY MGMT SYCOMM731108106       1629   53200SH    53200  0   53200  0       0
PROFIT RECOVERCOMM743168106       4997  126500SH   126500  0  120300  0    6200
QUANTA SVCS INCOMM74762E102       1249   49100SH    49100  0   44800  0    4300
QUINTILES TRANCOMM748767100      28513  755300SH   755300  0  424950  0  330350
RCM TECHNOLOGICOM 749360400        770   70000SH    70000  0   64000  0    6000
RWD TECHNOLOGICOMM74975B101        931   53400SH    53400  0   48700  0    4700
RENAL CARE GROCOMM759930100       4008  204250SH   204250  0  193450  0   10800
RENTAL SERVICECOMM76009V102       4286  244900SH   244900  0  235400  0    9500
RES-CARE INC  COMM760943100       2674  118500SH   118500  0  108600  0    9900
SERVICE EXPERTCOMM817567100       3484  258100SH   258100  0  245400  0   12700
STARBUCKS CORPCOMM855244109      29236 1041800SH  1041800  0  598000  0  443800
STERIS CORP   COMM859152100       3208  120500SH   120500  0  120500  0       0
STERLING COMMECOMM859205106      46472 1511300SH  1511300  0  817900  0  693400
SUNRISE ASSISTCOMM86768K106       4306   94500SH    94500  0   91400  0    3100
SYLVAN LEARNINCOMM871399101       4402  160800SH   160800  0  156500  0    4300
SYNOPSYS INC  COMM871607107      34505  641950SH   641950  0  367950  0  274000
TELLABS INC   COMM879664100      47428  485200SH   485200  0  254650  0  230550
TIMBERLINE SOFCOMM887134104       1148  100900SH   100900  0   92600  0    8300
TIME WARNER INCOMM887315109         50     700SH      700  0       0  0     700
TOWER AUTOMOTICOMM891707101       4911  263700SH   263700  0  255800  0    7900
TRANSACTION SYCL A893416107       1660   46100SH    46100  0   46100  0       0
TRANSWITCH CORCOMM894065101         24     536SH      536  0     268  0     268
TYCO INTL LTD COMM902124106      43179  601800SH   601800  0  305200  0  296600
USANA INC     COMM90328M107         63   10000SH    10000  0   10000  0       0
WAL MART STORECOMM931142103      14593  158300SH   158300  0   84300  0   74000
WARNER LAMBERTCOMM934488107      22929  346100SH   346100  0  178500  0  167600
WASTE MGMT INCCOMM94106L109      45753 1031062SH  1031062  0  530012  0  501050
WELLS FARGO & COMM949746101      38779 1106000SH  1106000  0  557950  0  548050
WILD OATS MARKCOMM96808B107       5156  190100SH   190100  0  181800  0    8300
HILFIGER TOMMYORD G8915Z102      16320  236950SH   236950  0  143300  0   93650
                               130703931870826   31870826  018631967  013238859

</TABLE>


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