FIRST COMMERCE INVESTORS INC/
13F-HR, 2000-02-15
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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:    12/31/99

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:        First Commerce Investors, Inc.
Address:     1248 O Street
             Lincoln, NE  68508

Form 13F File Number: 28-04823

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  therein 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.


Name:   Anne E. Hansen
Title:  Vice-President
Phone:  (402) 434-4415

Signature, Place, and Date of Signing:

/s/ Anne E. Hansen                  Lincoln, NE                     02/15/00
- --------------------              --------------------           ------------
[Signature]                        [City, State]                   [Date]

Report Type (Check only one.):

[X]  13F HOLDINGS REPORT.  (Check here if all holdings of this reporting manager
     are reported in this report.)

[ ]  13F NOTICE.  (Check here if all no holdings  reported are in this report,
     and all holdings are reported by other reporting manager(s).)

[ ]  13F COMBINATION REPORT. (Check here if a portion of the holdings for this
     reporting manager are reported in this report and a portion are reported by
     other reporting manager(s).)

List of Other Managers Reporting for this Manager:  None


Report Summary:

Number of Other Included Managers:                2

Form 13F Information Table Entry Total:         113

Form 13F Information Table Value Total:  10,502,224


List of Other Included Managers:  None

<PAGE>
<TABLE>
<CAPTION>

                                           SECURITIES AND EXCHANGE COMMISSION FORM 13-F
                                                      ASSET AS OF 12/31/99
                                                                                ------------------------------
                                                                                         MANAGERS
                                                                                 1=FIRST COMMERCE BANCSHARES
                                                                                 2=GREAT PLAINS FUNDS
                                                                                ------------------------------

                                                MARKET                   INVESTMENT DISC                   VOTING AUTHORITY
                                                VALUE     SHS OR SH/   SOLE   SHR  OTHER               SOLE   SHARED      NONE
       ISSUER AND TITLE OF CLASS        CUSIP  (X$1000)   PRN AMT PRN  (A)    (B)  (C)   MANAGERS      (A)     (B)        (C)
- -------------------------------------------------------------------------------------------------------------------------------
<S>                                   <C>         <C>     <C>         <C>   <C>  <C>      <C>        <C>         <C>        <C>
CONSOLIDATED WTR CO LTD ORD        G23773107      645      102,235           X             1      102,235           0         0
AFLAC INC                          001055102      391        8,300           X    X        1        8,300           0         0
A T & T CORP                       001957109      986       19,393           X    X        1       19,393           0         0
ABBOTT LABORATORIES                002824100      589       16,200           X    X        1       16,200           0         0
AETNA INC                          008117103    3,815       68,344      X    X    X        1       27,244      41,100         0
ALLSTATE CORP                      020002101    3,087      128,516      X    X    X        1,2     32,342      96,174         0
ALLTEL CORP                        020039103   26,604      321,742      X    X    X        1,2    187,998     133,744         0
AMERICAN GENERAL CORP              026351106      379        5,000           X    X        1        5,000           0         0
AMERICAN HOME PRODUCTS CORP        026609107      298        7,600           X             1        7,600           0         0
AMERICAN INTL GROUP INC            026874107      543        5,021           X    X        1        5,021           0         0
AMGEN INC                          031162100      380        6,336           X    X        1        6,336           0         0
ANHEUSER BUSCH CO INC              035229103    1,673       23,614      X    X             1       23,614           0         0
AUTOLIV INC                        052800109    6,645      227,206      X    X    X        1,2     86,430     140,776         0
BP AMOCO PLC SPONSORED ADR         055622104      390        6,570           X    X        1        6,570           0         0
BANK OF NEW YORK INC               064057102      356        8,900           X             1        8,900           0         0
BANK ONE CORP NEW                  06423A103      627       19,600      X    X             1       19,600           0         0
BAXTER INTERNATIONAL               071813109      404        6,428           X             1        6,428           0         0
BELL ATLANTIC CORP                 077853109      410        6,669           X    X        1        6,669           0         0
BELLSOUTH CORP                     079860102      523       11,169           X    X        1       11,169           0         0
BERKSHIRE HATHAWAY INC DEL CL A    084670108   18,289          326           X    X        1,2        151         109        66
BERKSHIRE HATHAWAY INC DEL CL B    084670207      339          185           X             1          185           0         0
H & R BLOCK INC                    093671105   11,814      270,031      X    X    X        1,2     75,451     194,580         0
BOEING CO                          097023105      557       13,450           X    X        1       13,450           0         0
BRISTOL MYERS SQUIBB CO            110122108    1,052       16,390           X    X        1       16,390           0         0
BUCKLE INC                         118440106    2,242      151,350      X    X    X        1,2     78,150      73,200         0
CARNIVAL CORP                      143658102   14,720      307,871      X    X    X        1,2    142,269     165,602         0
CHEVRON CORP                       166751107      230        2,656           X    X        1        2,656           0         0
CISCO SYSTEMS                      17275R102      477        4,454           X    X        1        4,454           0         0
CITIGROUP INC                      172967101    1,092       19,604           X    X        1       19,604           0         0
COCA COLA CO                       191216100    1,833       31,480           X    X        1       31,480           0         0
COLGATE PALMOLIVE CO               194162103    1,293       19,888           X    X        1       19,888           0         0
COMMERCIAL FEDERAL CORP            201647104    3,867      217,075      X    X    X        1,2     83,475     133,600         0
COMPX INTL INC CL A                20563P101      763       41,550           X    X        1,2      2,300      39,250         0
CONAGRA INC                        205887102    2,660      117,299      X    X    X        1,2    103,399      13,900         0
CORVEL CORP                        221006109    1,749       74,410      X    X    X        1,2     46,930      27,480         0
DEBEERS CONS MINES LTD ADR         240253302    3,737      129,125           X    X        1,2     23,125     106,000         0
DISNEY COM                         254687106    3,258      111,408      X    X    X        1,2     51,608      59,800         0
DU PONT (E.I.) DE NEMOURS & CO     263534109      608        9,220           X    X        1        9,220           0         0
DUFF & PHELPS CREDIT RATING CO     26432F109    3,151       35,425           X    X        1,2      2,875      32,550         0
ECOLAB INC                         278865100      827       21,130           X    X        1       21,130           0         0
EMERSON ELECTRIC CO                291011104      236        4,100           X    X        1        4,100           0         0
ENRON CORP                         293561106    1,662       37,441           X    X        1       37,441           0         0
EXXON MOBIL CORPORATION            30231G102    3,303       40,995           X    X        1       40,995           0         0
FAIR ISAAC & CO INC                303250104    7,296      137,650      X    X    X        1,2     54,220      83,430         0
FEDERAL HOME LOAN MTG CORP (VOTING)313400301   10,826      230,050      X    X    X        1,2     77,350     152,700         0
FEDERAL NATIONAL MORTGAGE ASSN     313586109    9,842      158,181      X    X    X        1,2     78,246      79,935         0
FIRST COMMERCE BANCSHARES INC CL A 319777108      771       34,622           X    X        1       25,514           0     9,108
FIRST COMMERCE BANCSHARES INC CL B 319777207    7,338      372,720           X    X        1      335,106           0    37,614
FORD MOTOR CO                      345370100      524        9,836           X             1        9,836           0         0
FRANKLIN RESOURCES                 354613101      497       15,490           X    X        1       15,490           0         0
GTE CORP                           362320103      248        3,514           X    X        1        3,514           0         0
GENERAL ELECTRIC CO                369604103    5,223       33,745      X    X    X        1       32,345       1,400         0
HASBRO INC                         418056107   10,461      549,625      X    X    X        1,2    115,825     433,800         0
HEWLETT PACKARD CO                 428236103    1,325       11,640           X    X        1       11,640           0         0
HON INDS INC                       438092108    4,243      193,425           X    X        1,2     33,760     159,665         0
HUB GROUP INC CL A                 443320106      775       38,750           X    X        1,2      2,350      36,400         0
INTEL CORP                         458140100    3,282       39,870           X    X        1       39,870           0         0
INTERNATIONAL BUSINESS MACHINES    459200101      995        9,225           X    X        1        9,225           0         0
JOHNSON & JOHNSON                  478160104    1,081       11,600           X    X        1       11,600           0         0
KEYSTONE AUTOMOTIVE INDS INC       49338N109    2,975      506,340      X    X    X        1,2    143,195     363,145         0
KONINKLIJKE PHILIPS ELECTRONICSS   500472204    6,668       49,393      X    X    X        1,2     26,623      22,770         0
 NEW (NY REG SHS)
LEE ENTERPRISES INC                523768109    8,023      251,201           X    X        1      251,201           0         0
LILLY (ELI) & CO                   532457108      738       11,100           X    X        1       11,100           0         0
LILLY INDS INC CL A                532491107    3,900      290,225      X    X    X        1,2     77,575     212,650         0
LUCENT TECHNOLOGIES INC            549463107    1,174       15,656           X    X        1       15,656           0         0
MBNA CORP                          55262L100    1,287       47,245           X    X        1       47,245           0         0
MBIA INC COM                       55262C100      317        6,000           X             1,2          0       6,000         0
MCI WORLDCOM INC                   55268B106      539       10,157           X    X        1       10,157           0         0
MANPOWER INC WIS                   56418H100    7,724      205,282      X    X    X        1,2     93,022     112,260         0
MCDONALDS CORP                     580135101      252        6,256           X             1        6,256           0         0
MEDIAONE GROUP INC                 58440J104      327        4,263           X    X        1        4,263           0         0
MELLON FINANCIAL CORP              58551A108      313        9,184           X             1        9,184           0         0
MERCK & CO INC                     589331107    1,320       19,646           X    X        1       19,646           0         0
MERCURY GENERAL CORP NEW           589400100    3,678      165,325      X    X    X        1,2     73,245      92,080         0
MICROSOFT CORPORATION              594918104    2,701       23,141           X    X        1       23,141           0         0
MIDAMERICAN ENGY HOLDINGS CO NEW   59562V107    6,020      178,725      X    X    X        1,2     62,525     116,200         0
MORGAN JP & CO INC                 616880100      205        2,450      X    X             1        2,450           0         0
MORGAN STANLEY DEAN WITTER & CO    617446448    1,414        9,913      X    X    X        1        9,913           0         0
MOTOROLA INC                       620076109    1,148        7,800      X    X             1        7,800           0         0
NASH-FINCH CO                      631158102      177       27,732           X    X        1       27,732           0         0
NEW HORIZONS WORLDWIDE INC         645526104    3,149      265,149      X    X    X        1,2    144,059     121,090         0
NEWELL REBBERMAID INC COM          651229106      270        9,315           X             1,2        315       9,000         0
NOKIA CORP ADR                     654902204   11,107       58,135      X    X    X        1,2     44,835      13,300         0
OMNICOM GROUP                      681919106      394        3,936           X             1        3,936           0         0
ORACLE SYSTEMS CORP                68389X105      245        2,187           X    X        1        2,187           0         0
OSHKOSH B'GOSH INC CL A            688222207      128        6,105      X                  1        6,105           0         0
PEPSICO INC                        713448108      251        7,133           X    X        1        7,133           0         0
PERSONNEL GROUP AMERICA INC        715338109    3,519      345,085      X    X    X        1,2    189,635     155,450         0
PHARMACIA & UPJOHN INC             716941109    2,422       53,820           X    X        1,2      8,220      45,600         0
PFIZER INC                         717081103      868       26,750           X    X        1       26,750           0         0
PHILIP MORRIS COMPANIES INC        718154107    4,203      181,587           X    X        1,2     39,987     141,600         0
ROYAL DUTCH PETROLEUM CO           780257804    5,227       86,403      X    X    X        1,2     35,199      51,204         0
SBC COMMUNICATIONS INC             78387G103    1,079       22,130           X    X        1       22,130           0         0
SCHWEITZER-MAUDUIT INTL INC COM    808541106      742       52,950           X    X        1,2      1,950      51,000         0
SMITHKLINE BEECHAM PLC ADR         832378301    1,443       22,506      X    X    X        1       22,506           0         0
RPSTG ORD A
SPRINT CORP (FON GROUP)            852061100    1,681       24,978           X    X        1       24,978           0         0
SPRINT CORP (PCS GROUP)            852061506      580        5,652           X    X        1        5,652           0         0
SYSCO CORP                         871829107      435       11,000      X                  1       11,000           0         0
TEXACO INC                         881694103      571       10,504           X    X        1       10,504           0         0
US BANCORP DEL                     902973106    4,430      186,033           X    X        1      104,333      81,700         0
UNION PACIFIC CORP                 907818108      336        7,683           X    X        1        7,683           0         0
U.S. WEST INC NEW                  91273H101      353        4,894           X    X        1        4,894           0         0
VISHAY INTERTECH INC               928298108   15,004      474,459      X    X    X        1,2    161,906     312,553         0
VODAFONE AIRTOUCH PLC SPONS ADR    92857T107      280        5,650           X    X        1        5,650           0         0
VULCAN MATERIALS                   929160109      479       12,000           X    X        1       12,000           0         0
WALLACE COMPUTER SVCS INC          932270101    7,682      462,035      X    X    X        1,2    148,085     313,950         0
WARNER-LAMBERT COMPANY             934488107      492        6,000           X    X        1        6,000           0         0
WASTE CONNECTIONS INC              941053100    3,551      245,958           X             1      245,958           0         0
WASTE MGMT INC                     94106L109    2,238      130,195           X    X        1,2     30,195     100,000         0
WAUSAU-MOSINEE PAPER CORP          943315101    1,373      117,510           X    X        1,2     26,510      91,000         0
WELLS FARGO & CO NEW               949746101    5,770      142,704      X    X    X        1,2    132,704      10,000         0
WERNER ENTERPRISES INC             950755108   10,532      748,885      X    X    X        1,2    327,023     421,862         0
WEST TELESERVICES CORP             956188106    9,536      390,210      X    X    X        1,2    305,630      84,580         0
TOTALS                                        344,501   10,502,224                              5,321,247   5,134,189    46,788

MANAGERS
1=FIRST COMMERCE BANCSHARES
2=GREAT PLAINS FUNDS

</TABLE>



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