THOMPSON PLUMB & ASSOCIATES INC
13F-HR, 2000-05-08
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                        UNITED STATES
               SECURITIES AND EXCHANGE COMMISSION
                    Washington, D.C.  20549

                          FORM 13F

                     FORM 13F COVER PAGE

 Report for the Calendar Year or Quarter Ended:  March 31, 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:     Thompson, Plumb & Associates, Inc.
Address:  1200 John Q. Hammons Drive
          5th Floor
          Madison, WI  53717

13F File Number:  28-04396

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:      Penny M. Hubbard
Title:     Assistant Vice President
Phone:     608-831-1300
Signature, Place, and Date of Signing:

/s/ Penny M. Hubbard        Madison, WI           05/08/00

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.
                        THOMPSON, PLUMB & ASSOCIATES  INC.
                             FORM 13F SUMMARY PAGE
                              AS OF DATE: 03/31/00



REPORT SUMMARY:

NUMBER OF OTHER INCLUDED MANAGERS:        0

FORM 13F INFORMATION TABLE ENTRY TOTAL:   172

FORM 13F INFORMATION TABLE VALUE TOTAL:   $734,450,000



LIST OF OTHER INCLUDED MANAGERS:

NO.   13F FILE NUMBER      NAME

<TABLE>
                                                                              PAGE 1

                                                     FORM 13F INFORMATION TABLE
                                                        AS OF DATE: 03/31/00

                                                            VALUE   SHARES/ SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
  NAME OF ISSUER               TITLE OF CLASS    CUSIP    (x$1000)  PRN AMT PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- ------------------------------ ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- --------
<S>                            <C>              <C>          <C>     <C>    <C>      <C>                      <C>   <C>       <C>
ABBOTT LABS                    COM              002824100     8508   241793 SH       SOLE                        0   204793    37000
ACXIOM CORP                    COM              005125109     2029    61025 SH       SOLE                        0    21025    40000
ADC TELECOMMUNICATIONS INC     COM              000886101     5565   103300 SH       DEFINED                     0    89800    13500
ADVANCED LIGHTING TECHS        COM              00753C102     5634   300500 SH       DEFINED                     0   236500    64000
AEGON NV ORD AMER REG          FOREIGN COMMON S 007924103      648     8052 SH       SOLE                        0     8052        0
ALBERTSONS INC                 COM              013104104      403    13050 SH       SOLE                        0    13050        0
ALLSTATE CORP                  COM              020002101      427    17948 SH       SOLE                        0    17948        0
ALTERA CORPORATION             COM              021441100      500     5600 SH       SOLE                        0     5600        0
AMERICA ONLINE INC             COM              02364J104      200     2966 SH       SOLE                        0     2966        0
AMERICAN EXPRESS CO            COM              025816109      693     4650 SH       SOLE                        0     4650        0
AMERICAN HOME PRODS CORP       COM              026609107     4273    79495 SH       DEFINED                     0    61895    17600
AMERICAN RE CAPITAL 8.500% PFD PREFERRED STOCKS 029162203      234    10000 SH       SOLE                        0    10000        0
AMGEN INC                      COM              031162100      399     6496 SH       SOLE                        0     6496        0
ANCHOR BANCORP WIS INC         COM              032839102    15575   981115 SH       SOLE                        0   966115    15000
ASSOCIATED BANCORP             COM              045487105     4261   142623 SH       DEFINED                     0   113831    28792
ASSOCIATES FIRST CAPITAL CORP  COM              046008108     6926   324036 SH       SOLE                        0   234036    90000
AT & T CORP.                   COM              001957109     6839   121440 SH       DEFINED                     0    97840    23600
ATLANTIC RICHFIELD COMPANY     COM              048825103      816     9600 SH       SOLE                        0     9600        0
AT&T CORP LIBERTY MEDIA CL A   COM              001957208      411     6935 SH       SOLE                        0     6935        0
AUTOMATIC DATA PROCESSING      COM              053015103      573    11882 SH       SOLE                        0    11882        0
AUTOZONE INC                   COM              053332102     3373   121550 SH       SOLE                        0    91250    30300
BAKER FENTRESS & COMPANY       COM              057213209      148    12300 SH       SOLE                        0    12300        0
BANK OF AMERICA                COM              060505104     5801   110636 SH       SOLE                        0    90636    20000
BANK ONE CORP                  COM              06423A103      577    16781 SH       SOLE                        0    16781        0
BELL ATLANTIC CORP             COM              077853109     1033    16902 SH       SOLE                        0    16902        0
BELLSOUTH CORP                 COM              079860102      628    13406 SH       SOLE                        0    13406        0
BEMIS COMPANY                  COM              081437105     1851    50200 SH       SOLE                        0    50200        0
BERKSHIRE HATHAWAY INC-CL B    COM              084670207     3489     1917 SH       SOLE                        0      517     1400
BIOCHEM PHARMA INC             FOREIGN COMMON S 09058T108     1602    72400 SH       SOLE                        0    42400    30000
BOEING CO                      COM              097023105     2363    62488 SH       SOLE                        0    62288      200
BP AMOCO PLC                   FOREIGN COMMON S 055622104     1235    23191 SH       SOLE                        0    23191        0
BRISTOL MYERS SQUIBB CO        COM              110122108     3834    66096 SH       SOLE                        0    66096        0
CADENCE DESIGN SYS INC         COM              127387108     1155    56000 SH       SOLE                        0    56000        0
CARDINAL HEALTH INC COM        COM              14149Y108     3429    74750 SH       DEFINED                     0    51750    23000
CBS CORPORATION                COM              12490K107    12477   220345 SH       DEFINED                     0   163345    57000
CHEVRON CORP                   COM              166751107     7442    80505 SH       DEFINED                     0    64505    16000
CHIEFTAIN INTL FUNDING $1.8125 CONVERTIBLE PREF 168672202     1426    52100 SH       SOLE                        0    52100        0
CHIEFTAIN INTL INC             COM              16867C101      783    38900 SH       SOLE                        0    38900        0
CISCO SYSTEMS INC              COM              17275R102     1128    14590 SH       SOLE                        0    14590        0
CIT GROUP INC-A                COM              125577106    12784   655610 SH       DEFINED                     0   453610   202000
CITIGROUP INC.                 COM              172967101      269     4486 SH       SOLE                        0     4486        0
COCA COLA CO                   COM              191216100     5736   122207 SH       SOLE                        0    96207    26000
COLGATE PALMOLIVE CO           COM              194162103    11595   205680 SH       DEFINED                     0   184480    21200
COMPAQ COMPUTER CORP COM       COM              204493100     2027    75780 SH       SOLE                        0    57780    18000
CONAGRA CAPTL LC PFD 9.350% SE PREFERRED STOCKS 20588V406      286    12000 SH       SOLE                        0    12000        0
CONAGRA INC                    COM              205887102     3390   187040 SH       DEFINED                     0   129540    57500
CONCORD EFS INC                COM              206197105    12573   548162 SH       SOLE                        0   397762   150400
CONS TOMOKA LAND CO - FLORIDA  COM              210226106      135    12169 SH       SOLE                        0    12169        0
CONSECO INC COM                COM              208464107      893    78100 SH       SOLE                        0    12100    66000
CVS CORP COM                   COM              126650100     5395   143632 SH       DEFINED                     0   125132    18500
DANA CORP                      COM              235811106      236     8363 SH       SOLE                        0     8363        0

                                                     FORM 13F INFORMATION TABLE
                                                        AS OF DATE: 03/31/00

                                                            VALUE   SHARES/ SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
  NAME OF ISSUER               TITLE OF CLASS    CUSIP    (x$1000)  PRN AMT PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- ------------------------------ ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- --------

DANAHER CORP                   COM              235851102     2259    44300 SH       DEFINED                     0    23800    20500
DELL COMPUTER CORP             COM              247025109     2474    45860 SH       SOLE                        0    28360    17500
DENTSPLY INTL INC NEW          COM              249030107      624    22000 SH       SOLE                        0    22000        0
DEVON ENERGY CORP NEW          COM              25179M103      481     9900 SH       SOLE                        0     9900        0
DISCOUNT AUTO PARTS INC        COM              254642101     1137   127200 SH       DEFINED                     0    84700    42500
DISNEY WALT PRODTNS            COM              254687106     6659   161426 SH       DEFINED                     0   124926    36500
DST SYSTEMS INC DEL            COM              233326107     2610    40200 SH       SOLE                        0    30200    10000
DU PONT E I DE NEMOURS CO      COM              263534109      436     8233 SH       SOLE                        0     8233        0
EMC CORP/MASS                  COM              268648102    10961    86990 SH       DEFINED                     0    76690    10300
EMERSON ELEC CO                COM              291011104     8963   168723 SH       DEFINED                     0   151223    17500
EQUIFAX INC COM                COM              294429105      291    11526 SH       SOLE                        0    11526        0
EXXON MOBIL CORPORATION        COM              30231G102    22263   285655 SH       DEFINED                     0   262855    22800
FANNIE MAE                     COM              313586109    11192   197873 SH       SOLE                        0   159673    38200
FASTENAL CO                    COM              311900104     9196   192075 SH       DEFINED                     0   135775    56300
FIBERMARK INC                  COM              315646109     2967   229325 SH       DEFINED                     0   179825    49500
FIDELITY ADVISOR SER II GROWTH MUTUAL FUNDS     315807206      292     6313 SH       SOLE                        0     6313        0
FIRST DATA CORP                COM              319963104      221     4974 SH       SOLE                        0     4974        0
FIRSTAR CORPORATION            COM              33763V109      462    20125 SH       SOLE                        0    20125        0
FISERV INC                     COM              337738108     5327   143250 SH       DEFINED                     0   109750    33500
FOREST LABORATORIES INC        COM              345838106      338     4000 SH       SOLE                        0     4000        0
FORT JAMES CORPORATION         COM              347471104     2167    98512 SH       SOLE                        0    98375      137
FREDDIE MAC                    COM              313400301     3577    80950 SH       SOLE                        0    36950    44000
G A P INC                      COM              364760108      302     6064 SH       SOLE                        0     6064        0
GALILEO INTERNATIONAL INC      COM              363547100     3008   125000 SH       SOLE                        0    45000    80000
GENERAL ELEC CO                COM              369604103    27509   530286 SH       DEFINED                     0   527886     2400
GENERAL MILLS INC              COM              370334104     2133    58952 SH       SOLE                        0    58652      300
GILLETTE CO                    COM              375766102     7664   203353 SH       SOLE                        0   166153    37200
GTE CORP                       COM              362320103      804    11327 SH       SOLE                        0    11327        0
HALLIBURTON COMPANY            COM              406216101     1847    44900 SH       SOLE                        0    44900        0
HARBOR INTERNATIONAL FD        MUTUAL FUNDS     411511306      200     4886 SH       SOLE                        0     4886        0
HOME DEPOT INC                 COM              437076102      640     9919 SH       SOLE                        0     9919        0
I B M                          COM              459200101     8803    74600 SH       DEFINED                     0    63700    10900
ICN PHARMACEUTICAL INC NEW COM COM              448924100      747    27400 SH       SOLE                        0     5400    22000
IMS HEALTH INC                 COM              449934108     3854   227525 SH       DEFINED                     0   181725    45800
INFINITY BROADCASTING CORP-A   COM              45662S102      819    25300 SH       SOLE                        0    10300    15000
INGERSOLL RAND CO              COM              456866102      516    11650 SH       SOLE                        0    11650        0
INTEL CORP                     COM              458140100    11865    89929 SH       SOLE                        0    80929     9000
INTERPUBLIC GROUP COS INC      COM              460690100      340     7194 SH       SOLE                        0     7194        0
JDA SOFTWARE GROUP INC         COM              46612K108     1094    74800 SH       SOLE                        0    74800        0
JOHNSON & JOHNSON              COM              478160104    15693   223389 SH       DEFINED                     0   197289    26100
KEANE INC                      COM              486665102     4424   175200 SH       SOLE                        0   175200        0
KIMBERLY CLARK CORP            COM              494368103     9275   165433 SH       DEFINED                     0   144533    20900
LATTICE SEMICONDUCTOR CORP     COM              518415104     5290    78150 SH       DEFINED                     0    63150    15000
LERNOUT &HAUSPIE SPEECH PRDSOR COM              B5628B104      851     7700 SH       DEFINED                     0     1700     6000
LILLY, ELI AND COMPANY         COM              532457108     6356   101486 SH       SOLE                        0    57486    44000
LINEAR TECHNOLOGY CORP         COM              535678106    30406   552832 SH       DEFINED                     0   488232    64600
LUCENT TECHNOLOGIES INC        COM              549463107     9921   160009 SH       DEFINED                     0   148609    11400
MARSHALL & ILSLEY CORP         COM              571834100    14446   250149 SH       DEFINED                     0   232149    18000
MAXIM INTEGRATED PRODUCTS      COM              57772K101     1123    15800 SH       SOLE                        0    15800        0
MBIA INC COM                   COM              55262C100     1859    35700 SH       SOLE                        0    35700        0
MCDONALDS CORP                 COM              580135101      491    13125 SH       SOLE                        0    13125        0


                                                     FORM 13F INFORMATION TABLE
                                                        AS OF DATE: 03/31/00

                                                            VALUE   SHARES/ SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
  NAME OF ISSUER               TITLE OF CLASS    CUSIP    (x$1000)  PRN AMT PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- ------------------------------ ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- --------

MCI CAPITAL PFD 8.000% SER A   PREFERRED STOCKS 55267Y206      270    12000 SH       SOLE                        0    12000        0
MCI WORLDCOM                   COM              55268B106      529    11676 SH       DEFINED                     0     8075     3601
MCKESSON HBOC INC.             COM              58155Q103      394    18775 SH       SOLE                        0      775    18000
MEDIAONE GROUP INC             COM              58440J104      389     4808 SH       SOLE                        0     4808        0
MEDTRONIC INC                  COM              585055106    11861   230588 SH       DEFINED                     0   210846    19742
MERCK & CO INC                 COM              589331107    23477   377904 SH       DEFINED                     0   321604    56300
MERRILL LYNCH & CO. INC.       COM              590188108      914     8700 SH       SOLE                        0     8700        0
MICROCHIP TECHNOLOGY INC       COM              595017104     6707   102000 SH       DEFINED                     0    76900    25100
MICROSOFT CORP                 COM              594918104    11493   108168 SH       DEFINED                     0    78968    29200
MINNESOTA MNG & MFG CO         COM              604059105     2488    28092 SH       SOLE                        0    28092        0
MONSANTO CO                    COM              611662107      662    12860 SH       SOLE                        0    12860        0
NATIONWIDE FINANCIAL SERV-A    COM              638612101      278     9500 SH       SOLE                        0        0     9500
NEW PERSPECTIVE FD INC COM     MUTUAL FUNDS     648018109      349    11121 SH       SOLE                        0    11121        0
NEW YORK TIMES CO CLASS A      COM              650111107    14307   333200 SH       DEFINED                     0   278100    55100
NEWELL FINL TR I CNV 5.250% 12 CONVERTIBLE PREF 651195307     5492   151500 SH       SOLE                        0   106500    45000
NOKIA CORP-SPONSORED ADR A     FOREIGN COMMON S 654902204      333     6000 SH       SOLE                        0     6000        0
NORDSTROM INC                  COM              655664100      668    22650 SH       SOLE                        0    22650        0
NORTEL NETWORKS CORP COM       FOREIGN COMMON S 656569100     2999    23800 SH       SOLE                        0    17800     6000
NOVA CORP/GEORGIA              COM              669784100    15641   537025 SH       DEFINED                     0   413825   123200
OFFICE DEPOT INC COM           COM              676220106     4609   398600 SH       DEFINED                     0   258100   140500
ORACLE CORP                    COM              68389X105     7545    96650 SH       DEFINED                     0    80250    16400
PENTAIR INC                    COM              709631105      322     8700 SH       SOLE                        0     8700        0
PEPSICO INC                    COM              713448108    15654   448852 SH       DEFINED                     0   387552    61300
PFIZER INC                     COM              717081103     2029    55498 SH       SOLE                        0    55498        0
PHILIP MORRIS COS INS          COM              718154107      241    11430 SH       SOLE                        0    11430        0
PITNEY BOWES INC               COM              724479100     9085   203300 SH       DEFINED                     0   154800    48500
PROCTER & GAMBLE COMPANY       COM              742718109     5534    97939 SH       SOLE                        0    97939        0
PROVIDIAN FINL CORP COM        COM              74406A102      823     9500 SH       SOLE                        0     9500        0
PSS WORLD MEDICAL INC          COM              69366A100     1609   237200 SH       DEFINED                     0   147200    90000
RAYOVAC CORP                   COM              755081106     1233    53050 SH       SOLE                        0    33050    20000
ROYAL DUTCH PETRO-NY SHARES    FOREIGN COMMON S 780257804      380     6577 SH       SOLE                        0     6577        0
RPM INC/OHIO                   COM              749685103     1113   101200 SH       SOLE                        0    41200    60000
SBC COMMUNICATIONS INC         COM              78387G103    11990   284622 SH       DEFINED                     0   220222    64400
SCHEIN HENRY INC COM           COM              806407102     4259   263125 SH       SOLE                        0   222825    40300
SCHWAB (CHARLES) CORP          COM              808513105      785    13890 SH       DEFINED                     0    11890     2000
SIGMA ALDRICH CORP             COM              826552101     1596    59400 SH       SOLE                        0    59400        0
SPRINT CORP                    COM              852061100      378     6000 SH       SOLE                        0     6000        0
SUNGARD DATA SYSTEMS           COM              867363103    12507   331300 SH       DEFINED                     0   243300    88000
SYBRON CORP                    COM              87114F106     7536   259875 SH       SOLE                        0   189875    70000
TARGET CORP                    COM              87612E106     1415    18934 SH       DEFINED                     0    11434     7500
TELEFLEX INC                   COM              879369106     1032    29175 SH       SOLE                        0    13175    16000
TELEPHONE & DATA SYS INC       COM              879433100      321     2888 SH       SOLE                        0     2888        0
TELLABS INC                    COM              879664100     9178   145721 SH       DEFINED                     0   123121    22600
TENN VALLEY AUTH 6.750% SERIES PREFERRED STOCKS 880591300      497    23000 SH       SOLE                        0    23000        0
THERMO ELECTRON 4.250% 01/01/0 CONVERTIBLE BOND U88356AF4     5002  5400000 PRN      SOLE                        0  3900000  1500000
THOMPSON PLUMB FDS INC BALANCE MUTUAL FUNDS     884891102     8243   429995 SH       SOLE                        0   429995        0
THOMPSON PLUMB FDS INC GROWTH  MUTUAL FUNDS     884891300    17093   411483 SH       SOLE                        0   411483        0
TITAN CORP                     COM              888266103     1715    33800 SH       DEFINED                     0    20300    13500
TOOTSIE ROLL INDS              COM              890516107     1080    34278 SH       SOLE                        0    14678    19600
TYCO INTERNATIONAL LTD         COM              902124106      293     5850 SH       SOLE                        0     5850        0
U.S. BANCORP                   COM              902973106      978    44700 SH       SOLE                        0    10700    34000


                                                     FORM 13F INFORMATION TABLE
                                                        AS OF DATE: 03/31/00

                                                            VALUE   SHARES/ SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
  NAME OF ISSUER               TITLE OF CLASS    CUSIP    (x$1000)  PRN AMT PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- ------------------------------ ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- --------

UNISYS CORP                    COM              909214108     8851   344550 SH       SOLE                        0   225550   119000
UNIVERSAL FOODS CORP           COM              913538104      460    21506 SH       SOLE                        0    21506        0
USX-MARATHON GROUP             COM              902905827      440    16900 SH       SOLE                        0    16900        0
VALSPAR CORP COM               COM              920355104     1086    28350 SH       SOLE                        0    28350        0
VANGUARD INDEX TR MID-CAP INDX MUTUAL FUNDS     922908843      511    40510 SH       SOLE                        0    40510        0
VANGUARD INDEX TR SML CAP INDX MUTUAL FUNDS     922908702      501    20028 SH       SOLE                        0    20028        0
VANGUARD PACIFIC STOCK INDEX   MUTUAL FUNDS     922042106      133    10933 SH       SOLE                        0    10933        0
VODAFONE GROUP PLC ADR SPONSOR FOREIGN COMMON S 92857T107      289     5200 SH       SOLE                        0     5200        0
WACHOVIA CORP                  COM              929771103      216     3200 SH       SOLE                        0     3200        0
WALGREEN COMPANY               COM              931422109    15908   617778 SH       DEFINED                     0   582778    35000
WARNER LAMBERT CO              COM              934488107      232     2372 SH       SOLE                        0     2372        0
WAUSAU-MOSINEE PAPER CORP      COM              943315101     1393   107646 SH       SOLE                        0   107646        0
WELLS FARGO NEW                COM              949746101    10940   268477 SH       DEFINED                     0   198477    70000
WENDYS INTL INC COM            COM              950590109     2948   146025 SH       SOLE                        0    96025    50000
WESCO FINANCIAL CORP COM       COM              950817106      324     1270 SH       SOLE                        0     1270        0
WISCONSIN ENERGY CORP          COM              976657106      256    12831 SH       SOLE                        0    12831        0
WRIGLEY WM JR CO               COM              982526105     7207    93825 SH       SOLE                        0    67625    26200
XEROX CORP                     COM              984121103     2697   103734 SH       SOLE                        0    83734    20000
ZEBRA TECHNOLOGIES CORP-CL A   COM              989207105     3548    70950 SH       SOLE                        0    53950    17000

     LINE COUNT: 172
</TABLE>


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