UNITED STATES
SECURITIES AND EXCHANGE
WASHINGTON, DC 20549
FORM 13F
FORM 13F COVER PAGE
Report for the Calendar Year or Quarter Ended: September 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: 1156175
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
AES CORP COMM00130H105 14260 241700SH 103900 0 137800
AMFM INC COMM001693100 17660 290700SH 126350 0 164350
ACTION PERFORMANCOMM004933107 2119 100600SH 93700 0 6900
ACXIOM CORP COMM005125109 1718 87400SH 87400 0 0
ADVENT SOFTWARE COMM007974108 4781 76800SH 74200 0 2600
AMERICA ONLINE ICOMM02364J104 25405 244128SH 103400 0 140728
ATMEL CORP COMM049513104 1772 52400SH 52400 0 0
BMC SOFTWARE INCCOMM055921100 39889 557400SH 248500 0 308900
CBS CORP COMM12490K107 34422 744250SH 331600 0 412650
CVS CORP COMM126650100 26234 642800SH 280150 0 362650
CANANDAIGUA BRANCL A137219200 2354 39400SH 39400 0 0
CARDINAL HEALTH COMM14149Y108 24495 449450SH 198100 0 251350
CARNIVAL CORP COMM143658102 27623 635000SH 277650 0 357350
CENTRAL PKG CORPCOMM154785109 2697 92200SH 92200 0 0
CHARLES RIVER ASCOMM159852102 1511 54200SH 50500 0 3700
CISCO SYS INC COMM17275R102 24038 350604SH 160274 0 190330
CLEAR CHANNEL COCOMM184502102 18662 233641SH 102770 0 130871
COMVERSE TECHNOLCOM 205862402 19478 206530SH 111550 0 94980
CONSOLIDATED GRACOMM209341106 5337 126700SH 121300 0 5400
COULTER PHARMACECOMM222116105 10 746SH 0 0 746
CREO PRODS INC COMM225606102 1781 72500SH 67600 0 4900
DST SYS INC DEL COMM233326107 3555 62500SH 62500 0 0
DAVIDS BRIDAL INCOMM238576102 797 107200SH 99900 0 7300
DELL COMPUTER COCOMM247025109 16148 386200SH 179400 0 206800
DEVRY INC DEL COMM251893103 3540 177000SH 177000 0 0
DIAMOND TECHNOLOCL A252762109 3886 86600SH 80700 0 5900
DIGITAL INSIGHT COMM25385P106 26 800SH 800 0 0
DOLLAR GEN CORP COMM256669102 26552 859975SH 374875 0 485100
E M C CORP MASS COMM268648102 15628 218950SH 94900 0 124050
EAGLE USA AIRFRECOMM270018104 6139 205050SH 196350 0 8700
EDUCATION MGMT CCOMM28139T101 2184 176500SH 164500 0 12000
F Y I INC COMM302712104 5397 160200SH 152100 0 8100
FEDERAL NATL MTGCOMM313586109 39597 631662SH 282262 0 349400
FISERV INC COMM337738108 31332 964050SH 502600 0 461450
GENERAL ELEC CO COMM369604103 26534 223800SH 93450 0 130350
GREAT PLAINS SOFCOMM39119E105 3116 60500SH 58700 0 1800
HOME DEPOT INC COMM437076102 38277 557770SH 251380 0 306390
HOT TOPIC INC COMM441339108 2818 103400SH 96400 0 7000
INTEL CORP COMM458140100 23981 322700SH 143200 0 179500
INTERNATIONAL NECOMM460053101 1049 19292SH 0 0 19292
JDS UNIPHASE CORCOMM46612J101 7978 70100SH 30600 0 39500
KANSAS CITY SOUTCOMM485170104 19679 423200SH 189150 0 234050
KNIGHT TRANSN INCOMM499064103 1492 102900SH 95700 0 7200
LEGATO SYS INC COMM524651106 2446 56100SH 56100 0 0
LEXMARK INTL GROCL A529771107 20536 255100SH 113400 0 141700
MBNA CORP COMM55262L100 19462 853109SH 378929 0 474180
MCI WORLDCOM INCCOMM55268B106 30069 418350SH 193150 0 225200
MGIC INVT CORP WCOMM552848103 14258 298600SH 128350 0 170250
MASCO CORP COMM574599106 13042 420700SH 173100 0 247600
MEDTRONIC INC COMM585055106 18084 508500SH 210500 0 298000
MERCURY INTERACTCOMM589405109 2279 35300SH 35300 0 0
MICROS SYS INC COMM594901100 2795 69000SH 66000 0 3000
MICROSOFT CORP COMM594918104 30184 333291SH 143887 0 189404
NCO GROUP INC COMM628858102 7031 149600SH 143500 0 6100
NATIONAL COMPUTECOMM635519101 3892 101500SH 99700 0 1800
NOKIA CORP DEPO654902204 20483 227900SH 99975 0 127925
NOVA CORP GA COMM669784100 2660 106400SH 106400 0 0
ORACLE CORP COMM68389X105 14287 314000SH 136500 0 177500
O'REILLY AUTOMOTCOMM686091109 9069 190300SH 183800 0 6500
ORTHODONTIC CTRSCOMM68750P103 3767 216000SH 201000 0 15000
PAPA JOHNS INTL COMM698813102 15743 381650SH 299050 0 82600
PEPSICO INC COMM713448108 4273 140100SH 140100 0 0
PHARMACEUTICAL PCOMM717124101 1686 124300SH 116000 0 8300
POLICY MGMT SYS COMM731108106 942 29800SH 29800 0 0
PROFIT RECOVERY COMM743168106 5513 123550SH 118550 0 5000
PROVANT INC COMM743724106 1651 102400SH 95400 0 7000
PROVIDIAN FINL CCOMM74406A102 22822 288200SH 126300 0 161900
QUANTA SVCS INC COMM74762E102 3195 109000SH 101600 0 7400
RCM TECHNOLOGIESCOM 749360400 1005 93500SH 87200 0 6300
RADIO ONE INC CL A75040P108 834 20100SH 18800 0 1300
RENAL CARE GROUPCOMM759930100 6180 282100SH 269200 0 12900
RES-CARE INC COMM760943100 4862 286000SH 274300 0 11700
STAPLES INC COMM855030102 17651 809200SH 355100 0 454100
SUNGARD DATA SYSCOMM867363103 3426 130200SH 130200 0 0
SUNRISE ASSISTEDCOMM86768K106 5876 221200SH 214200 0 7000
SYKES ENTERPRISECOMM871237103 881 35700SH 33300 0 2400
SYLVAN LEARNING COMM871399101 4993 257700SH 251200 0 6500
SYNOPSYS INC COMM871607107 30765 547850SH 281450 0 266400
TELLABS INC COMM879664100 33246 583900SH 271600 0 312300
TERAYON COMMUNICCOMM880775101 37 750SH 0 0 750
TIMBERLINE SOFTWCOMM887134104 2177 116900SH 108600 0 8300
TIME WARNER INC COMM887315109 14276 235000SH 96950 0 138050
TOWER AUTOMOTIVECOMM891707101 5732 289300SH 280300 0 9000
TRANSACTION SYS CL A893416107 3736 138700SH 135400 0 3300
TRANSWITCH CORP COMM894065101 46 804SH 402 0 402
TYCO INTL LTD NECOMM902124106 47144 456600SH 198400 0 258200
VERITAS SOFTWARECOMM923436109 5722 75350SH 32150 0 43200
VODAFONE AIRTOUCDEPO92857T107 23858 100350SH 43850 0 56500
WAL MART STORES COMM931142103 12927 271800SH 124800 0 147000
WALGREEN CO COMM931422109 383 15100SH 15100 0 0
WATERS CORP COMM941848103 1357 22400SH 22400 0 0
WELLS FARGO & COCOMM949746101 35888 905700SH 392750 0 512950
WILD OATS MARKETCOMM96808B107 6158 155900SH 149900 0 6000
WILLIAMS SONOMA COMM969904101 3594 74000SH 74000 0 0
AMDOCS LTD ORD G02602103 23234 1106400SH 556000 0 550400
GLOBAL CROSSING COMMG3921A100 1250 47154SH 0 0 47154
HILFIGER TOMMY CORD G8915Z102 12817 454700SH 249500 0 205200
115617524806606 14212854 010593752
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