MUNDER CAPITAL MANAGEMENT /ADV
13F-HR, 1999-11-10
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<PAGE>   1
                                  UNITED STATES
                       SECURITIES AND EXCHANGE COMMISSION
                             Washington, D.C. 20549

                                    Form 13F

                               Form 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: 9/30/99

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:       Munder Capital Management
Address:    480 Pierce Street
            Birmingham, 48009
            __________________________________________


 Form 13F File Number: 28-1874

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:     Mary Ann C. Shumaker
Title:    Associate General Counsel
Phone:    (248) 647-9200

Signature, Place, and Date of Signing:

/s/ Mary Ann C. Shoemaker       Birmingham, MI                   11/9/99
[Signature]                      [City, State]                   [Date]

Report Type (Check only one.):

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

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

[ X]      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:
 [If there are no entries in this list, omit this section.]

          Form 13F File Number       Name

          28-4980                    World Asset Management, L.L.C.
          28-412                     Comerica Bank


<PAGE>   2


                     Form 13F SUMMARY PAGE



Report Summary:



Number of Other Included Managers:              1
                                           ------------

Form 13F Information Table Entry Total:        501
                                           ------------

Form 13F Information Table Value Total:     $8,486,748
                                           ------------
                                            (thousand)


List of Other Included Managers:



Provide a number list of the name(s) and Form 13F file number(s) of all
institutional investment managers with respect to which this report is filed,
other than the manager filing this report.

[If there are no entries in this list, state "NONE" and omit the column headings
and list entries.]

        No.         Form 13F File Number            Name

        01          28- 412                         Comerica Bank
        ---             -------------               -------------------

        [Repeat as necessary.]
<PAGE>   3

                            MUNDER CAPITAL MANAGEMENT
                               FORM 13F 9/30/1999



<TABLE>
<CAPTION>

- ------------------------------------------------------------------------------------------------------------------------------------
        ITEM 1                  ITEM 2       ITEM 3     ITEM 4     ITEM 5                  ITEM 6     ITEM 7          ITEM 8


                                                                 SHARES OR                          OTHER
     NAME OF ISSUER            TITLE OF     CUSIP    FAIR MARKET PRINCIPAL   SH/   PUT/ INVESTMENT  MANA-
                                CLASS       NUMBER      VALUE      AMOUNT    PRN   CALL DISCRETION  GERS         VOTING AUTHORITY

                                                       (x $1000)                                               Sole   Shared   None
                                                                                                                (A)     (B)     (C)
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                             <C>        <C>         <C>      <C>           <C>  <C>  <C>          <C>    <C>        <C>   <C>
HOME DEPOT INC CVT              CONV C     437076AE2     6,953  2,350,000     SH          Defined      01    2,050,000       300,000
HOSPITAL CORP AMER CONV         CONV C     441065AL3        47     50,000     SH          Defined      01      50,000
LIEBERT (EMERSON ELEC) CV       CONV C     531735AA6       472    100,000     SH          Defined      01     100,000
ALCOA INC                       COMMON     013817101     2,976     47,950     SH          Defined      01      46,700          1,250
ACE CASH EXPRESS INC            COMMON     004403101       585     40,360     SH          Defined      01      39,300          1,060
ABBOTT LABORATORIES             COMMON     002824100    79,069  2,155,235     SH          Defined      01   1,544,234        611,001
AUTOBYTEL.COM INC               COMMON     05275N106     4,856    413,300     SH          Defined      01     405,300          8,000
ACE LTD                         COMMON     G0070K103     2,499    147,550     SH          Defined      01     138,950          8,600
AFFILIATED COMPUTER SVCS-A      COMMON     008190100     7,942    195,494     SH          Defined      01      69,975        125,519
ADVANCED COMMUNICATION SYS      COMMON     00750X109     1,033     83,050     SH          Defined      01      80,500          2,550
ACTION PREFORMANCE COS INC      COMMON     004933107     4,319    205,055     SH          Defined      01     182,005         23,050
ADVANCE PARADIGM INC            COMMON     007491103     5,080     92,785     SH          Defined      01      79,285         13,500
ASSOC FIRST CAPITAL CORP C      COMMON     046008108    90,268  2,507,458     SH          Defined      01   1,660,890        846,568
AMERICAN HOME PRODUCTS          COMMON     026609107     5,367    129,330     SH          Defined      01      86,600         42,730
AMERICAN INT'L GROUP            COMMON     026874107    64,144    737,824     SH          Defined      01     430,424        307,400
AMERITECH CORP                  COMMON     030954101       568      8,516     SH          Defined      01       2,864          5,652
APARTMENT INVT & MGMT CO A      COMMON     03748R101     7,821    204,475     SH          Defined      01     191,125         13,350
ALLIED-SIGNAL INC               COMMON     019512102    13,786    230,000     SH          Defined      01     230,000
ALLSTATE CORP                   COMMON     020002101       288     11,550     SH          Defined      01                     11,550
ALPHARMA INC-CL A               COMMON     020813101    14,148    400,670     SH          Defined      01     342,370         58,300
ALTERA CORP                     COMMON     021441100     7,545    173,945     SH          Defined      01      37,200        136,745
APPLIED MATERIALS INC           COMMON     038222105     1,830     23,550     SH          Defined      01      21,200          2,350
APPLIED MICRO CIRCUITS COR      COMMON     03822W109    71,239  1,249,800     SH          Defined      01   1,239,800         10,000
AFFILIATED MANAGERS GROUP       COMMON     008252108     6,274    230,230     SH          Defined      01     205,230         25,000
AMGEN INC.                      COMMON     031162100    62,242    763,709     SH          Defined      01     488,987        274,722
AMERITRADE HOLDING CORP-CL      COMMON     03072H109    25,043  1,362,900     SH          Defined      01   1,352,400         10,500
AMAZON.COM INC                  COMMON     023135106   117,507  1,470,000     SH          Defined      01   1,464,000          6,000
ANAREN MICROWAVE INC            COMMON     032744104     1,106     39,160     SH          Defined      01      38,060          1,100
AMERICA ONLINE INC              COMMON     02364J104   112,064  1,076,900     SH          Defined      01   1,073,250          3,650
ATLANTIC RICHFIELD              COMMON     048825103     3,156     35,610     SH          Defined      01      30,900          4,710
AEROFLEX INC                    COMMON     007768104     9,153    751,035     SH          Defined      01     673,385         77,650
APPLIED SCIENCE & TECHNOLO      COMMON     038236105     1,365     66,200     SH          Defined      01      64,450          1,750
ALLTEL CORP.                    COMMON     020039103     4,961     70,500     SH          Defined      01      66,150          4,350
AT HOME CORP -SER A             COMMON     045919107    29,096    702,182     SH          Defined      01     696,182          6,000
AUTO DATA PROCESSING            COMMON     053015103   100,955  2,262,295     SH          Defined      01   1,435,054        827,241
AULT INC                        COMMON     051503100       785    103,750     SH          Defined      01     100,000          3,750
AVALONBAY COMMUNITIES INC       COMMON     053484101     3,639    107,424     SH          Defined      01      93,014         14,410
AVT CORPORATION                 COMMON     002420107     3,643    118,950     SH          Defined      01     106,310         12,640
AVERY DENNISON CORP             COMMON     053611109    61,268  1,161,476     SH          Defined      01     779,131        382,345
AZURIX CORP                     COMMON     05501M104     3,003    174,700     SH          Defined      01     168,800          5,900
BAXTER INTERNATIONAL INC        COMMON     071813109     8,327    138,200     SH          Defined      01     135,900          2,300
BROADBASE SOFTWARE INC          COMMON     11130R100       173     10,850     SH          Defined      01      10,300            550
BRANDYWINE REALTY TRUST         COMMON     105368203     2,941    180,975     SH          Defined      01     159,050         21,925
BINDLEY WESTERN INDS            COMMON     090324104     1,923    134,385     SH          Defined      01     131,375          3,010
BELL ATLANTIC CORP.             COMMON     077853109       385      5,724     SH          Defined      01       3,380          2,344
BESTFOODS                       COMMON     08658U101       233      4,800     SH          Defined      01                      4,800
BIOGEN                          COMMON     090597105       265      3,364     SH          Defined      01         600          2,764
BELLSOUTH CORPORATION           COMMON     079860102     6,698    148,835     SH          Defined      01     130,300         18,535
BLUESTONE SOFTWARE              COMMON     09623P102       456     19,700     SH          Defined      01      18,750            950
BMC SOFTWARE                    COMMON     055921100    73,126  1,021,854     SH          Defined      01     665,880        355,974
BIOMET                          COMMON     090613100    38,583  1,466,361     SH          Defined      01   1,033,544        432,817
BRISTOL MYERS SQUIBB            COMMON     110122108     2,821     41,796     SH          Defined      01       6,000         35,796
ABOUT.COM INC                   COMMON     003736105    13,927    246,500     SH          Defined      01     246,500
BURLINGTON RESOURCES            COMMON     122014103     4,456    121,250     SH          Defined      01     113,200          8,050
BERKSHIRE HATHAWAY CL A         COMMON     084670108       715         13     SH          Defined      01           3             10
BRADLEY REAL ESTATE TRUST       COMMON     104580105     3,412    185,675     SH          Defined      01     162,700         22,975
ANHEUSER-BUSCH                  COMMON     035229103    48,517    692,483     SH          Defined      01     474,725        217,758
BORG-WARNER AUTOMOTIVE INC      COMMON     099724106       445     10,353     SH          Defined      01       8,986          1,367
BOSTON PROPERTIES INC           COMMON     101121101     6,699    218,300     SH          Defined      01     203,800         14,500
BEYOND.COM CORP                 COMMON     08860E101     8,563    699,000     SH          Defined      01     699,000
CITIGROUP INC                   COMMON     172967101     2,626     59,675     SH          Defined      01      52,050          7,625
CARRIER ACCESS CORP             COMMON     144460102    12,544    300,000     SH          Defined      01     300,000
CONAGRA                         COMMON     205887102     2,182     96,700     SH          Defined      01      92,900          3,800
CARDINAL HEALTH INC             COMMON     14149Y108    46,333    850,145     SH          Defined      01     549,002        301,143
COOPER INDUSTRIES               COMMON     216669101     4,348     93,000     SH          Defined      01      81,000         12,000
CBL & ASSOCIATES                COMMON     124830100     2,609    106,750     SH          Defined      01      93,575         13,175
CBRL GROUP INC                  COMMON     12489V106     1,125     72,600     SH          Defined      01      72,600
CUTTER & BUCK INC               COMMON     232217109     5,889    378,400     SH          Defined      01     344,275         34,125
CYBEX COMPUTER PRODUCTS CO      COMMON     232522102     8,590    257,376     SH          Defined      01     212,126         45,250
</TABLE>





                                     Page 1



<PAGE>   4




                            MUNDER CAPITAL MANAGEMENT
                               FORM 13F 9/30/1999


<TABLE>
<CAPTION>

- ------------------------------------------------------------------------------------------------------------------------------------
        ITEM 1                  ITEM 2       ITEM 3     ITEM 4     ITEM 5                 ITEM 6      ITEM 7          ITEM 8


                                                                  SHARES OR                          OTHER
     NAME OF ISSUER            TITLE OF     CUSIP    FAIR MARKET  PRINCIPAL   SH/  PUT/  INVESTMENT  MANA-
                                CLASS       NUMBER      VALUE      AMOUNT     PRN  CALL  DISCRETION  GERS       VOTING AUTHORITY

                                                       (x $1000)                                             Sole    Shared    None
                                                                                                              (A)      (B)     (C)
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                             <C>       <C>           <C>     <C>           <C>  <C>    <C>          <C>  <C>       <C>    <C>
CIRCUIT CITY STORES             COMMON     172737108       337      8,000     SH          Defined      01                      8,000
CARNIVAL CORP                   COMMON     143658102    98,562  2,265,792     SH          Defined      01   1,413,462        852,330
CANANDAIGUA BRANDS INC /A       COMMON     137219200     2,076     34,750     SH          Defined      01      34,600            150
COMDISCO INC                    COMMON     200336105    24,508  1,269,050     SH          Defined      01   1,257,050         12,000
CABLE DESIGN TECHNOLOGIES       COMMON     126924109       430     18,850     SH          Defined      01      16,750          2,100
CDW COMPUTER CENTERS            COMMON     125129106       298      6,100     SH          Defined      01       1,400          4,700
CEC ENTERTAINMENT INC           COMMON     125137109       538     15,000     SH          Defined      01      13,350          1,650
CONCORD EFS INC                 COMMON     206197105       356     17,250     SH          Defined      01       4,050         13,200
CRESCENT REAL ESTATE            COMMON     225756105     2,379    132,150     SH          Defined      01     114,650         17,500
CERIDIAN CORP                   COMMON     15677T106    48,039  1,931,222     SH          Defined      01   1,088,805        842,417
CYBERGOLD INC                   COMMON     23246N105       974     98,600     SH          Defined      01      93,900          4,700
MACK-CALI REALTY CORP           COMMON     554489104     5,310    198,050     SH          Defined      01     178,925         19,125
CLOROX COMPANY                  COMMON     189054109       571     14,940     SH          Defined      01      10,000          4,940
COMERICA                        COMMON     200340107       361      7,124     SH          Defined      01                      7,124
CHASE MANHATTAN CORP            COMMON     16161A108     3,456     45,850     SH          Defined      01      39,250          6,600
CMGI INC                        COMMON     125750109    77,839    759,400     SH          Defined      01     755,900          3,500
CLAYTON HOMES                   COMMON     184190106    50,100  5,767,215     SH          Defined      01   4,044,900      1,722,315
COMARCO INC                     COMMON     200080109       667     33,780     SH          Defined      01      33,780
COMVERSE TECHNOLOGY INC         COMMON     205862402    44,810    475,130     SH          Defined      01     354,760        120,370
CONCENTRIC NETWORK CORP         COMMON     20589R107    19,460    958,050     SH          Defined      01     949,050          9,000
CNET INC                        COMMON     125945105    86,190  1,539,100     SH          Defined      01   1,533,600          5,500
CNF TRANSPORTATION INC          COMMON     12612W104     4,466    119,900     SH          Defined      01     116,300          3,600
CONMED CORP                     COMMON     207410101     7,107    290,094     SH          Defined      01     258,544         31,550
CONCUR TECHNOLOGIES INC         COMMON     206708109    14,621    513,000     SH          Defined      01     513,000
CENTERPOINT PROPERTIES          COMMON     151895109     7,039    208,550     SH          Defined      01     193,800         14,750
CHARTER ONE FINL INC            COMMON     160903100    51,072  2,208,538     SH          Defined      01   1,409,304        799,234
COSTCO WHOLESALE CORP           COMMON     22160K105     6,357     88,291     SH          Defined      01      19,896         68,395
COVAD COMMUNICATIONS GROUP      COMMON     222814204     9,429    216,300     SH          Defined      01     213,500          2,800
CAMDEN PROPERTY TRUST           COMMON     133131102     3,608    134,250     SH          Defined      01     116,725         17,525
CRITICAL PATH INC               COMMON     22674V100    21,233    526,300     SH          Defined      01     520,300          6,000
CORRECTIONAL PROPERTIES TR      COMMON     22025E104     3,450    249,750     SH          Defined      01     221,575         28,175
COMPUWARE CORP                  COMMON     205638109     6,615    253,817     SH          Defined      01     132,270        121,547
CHARLES RIVER ASSOCIATES I      COMMON     159852102       399     14,300     SH          Defined      01      13,850            450
CRAFTMADE INTERNATIONAL IN      COMMON     22413E104     1,073    153,350     SH          Defined      01     148,900          4,450
CISCO SYSTEMS                   COMMON     17275R102   234,361  3,418,241     SH          Defined      01   2,690,782        727,459
CARLISLE COS INC                COMMON     142339100     4,350    110,115     SH          Defined      01      85,965         24,150
CAPITAL SENIOR LIVING CORP      COMMON     140475104     6,940    917,805     SH          Defined      01     820,745         97,060
CINTAS                          COMMON     172908105       266      4,600     SH          Defined      01         900          3,700
CENTURYTEL INC                  COMMON     156700106    92,906  2,286,927     SH          Defined      01   1,445,475        841,452
CTS CORP                        COMMON     126501105    16,103    280,055     SH          Defined      01     248,105         31,950
CVS CORP                        COMMON     126650100       611     14,970     SH          Defined      01         810         14,160
CENTEX CONSTRUCTION PRODUC      COMMON     15231R109     5,901    158,941     SH          Defined      01     142,641         16,300
DOUBLECLICK INC                 COMMON     258609304    88,927    746,500     SH          Defined      01     743,300          3,200
DETROIT DIESEL CORP             COMMON     250837101     1,124     60,750     SH          Defined      01      59,800            950
DEVELOPERS DIVERSIFIED REA      COMMON     251591103     2,740    195,700     SH          Defined      01     169,000         26,700
DELL COMPUTER CORP.             COMMON     247025109    47,047  1,125,200     SH          Defined      01   1,116,700          8,500
DOLLAR GENERAL                  COMMON     256669102    38,671  1,252,500     SH          Defined      01     816,350        436,150
DAYTON HUDSON CORP.             COMMON     239753106     7,448    124,004     SH          Defined      01       2,000        122,004
DIGEX INC                       COMMON     253756100     6,514    275,000     SH          Defined      01     274,600            400
DEL MONTE FOODS CO              COMMON     24522P103     3,938    278,800     SH          Defined      01     275,000          3,800
DIGITAL MICROWAVE CORP          COMMON     253859102       386     24,600     SH          Defined      01      21,900          2,700
DUN & BRADSTREET CORP           COMMON     26483B106     3,522    117,900     SH          Defined      01      96,000         21,900
DIONEX                          COMMON     254546104    10,847    253,732     SH          Defined      01     139,965        113,767
DUKE-WEEKS REALTY CORP          COMMON     264411505     4,378    224,525     SH          Defined      01     203,475         21,050
DURA AUTOMOTIVE SYSTEMS IN      COMMON     265903104     3,049    126,700     SH          Defined      01     111,600         15,100
DATASCOPE CORP                  COMMON     238113104    10,970    312,313     SH          Defined      01     278,813         33,500
DAYTON SUPERIOR CORP            COMMON     240028100     4,281    251,820     SH          Defined      01     245,020          6,800
DSP COMMUNICATIONS INC          COMMON     23332K106     6,678    351,450     SH          Defined      01     311,200         40,250
DATASTREAM SYSTEMS INC          COMMON     238124101       924     70,400     SH          Defined      01      68,700          1,700
DIAMOND TECH PARTNERS INC       COMMON     252762109    13,463    300,000     SH          Defined      01     300,000
DYCOM INDUSTRIES INC            COMMON     267475101       527     12,500     SH          Defined      01      11,100          1,400
BRINKER INT'L                   COMMON     109641100     7,404    273,600     SH          Defined      01     262,000         11,600
EBAY INC                        COMMON     278642103    77,711    550,900     SH          Defined      01     549,900          1,000
CENTRAL NEWSPAPERS INC CL       COMMON     154647101    16,935    380,555     SH          Defined      01     234,075        146,480
CONSOLIDATED EDISON INC         COMMON     209115104     4,752    114,500     SH          Defined      01      97,000         17,500
ELECTRONIC DATA SYSTEMS CO      COMMON     285661104       204      3,858     SH          Defined      01                      3,858
EQUIFAX INC                     COMMON     294429105       491     17,450     SH          Defined      01       1,500         15,950
EGAIN COMMUNICATIONS CORP       COMMON     28225C103       459     24,800     SH          Defined      01      23,800          1,000
E*TRADE GROUP INC               COMMON     269246104    23,314    992,100     SH          Defined      01     984,600          7,500
</TABLE>



                                     Page 2


<PAGE>   5



                            MUNDER CAPITAL MANAGEMENT
                               FORM 13F 9/30/1999

<TABLE>
<CAPTION>

- ------------------------------------------------------------------------------------------------------------------------------------
        ITEM 1                  ITEM 2       ITEM 3     ITEM 4     ITEM 5                 ITEM 6      ITEM 7          ITEM 8


                                                                   SHARES OR                          OTHER
     NAME OF ISSUER            TITLE Of     CUSIP     FAIR MARKET  PRINCIPAL  SH/  PUT/  INVESTMENT   MANA-
                                CLASS       NUMBER       VALUE      AMOUNT    PRN  CALL  DISCRETION   GERS     VOTING AUTHORITY

                                                       (x $1000)                                               Sole   Shared   None
                                                                                                                (A)     (B)     (C)
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                             <C>        <C>          <C>     <C>           <C>  <C>    <C>          <C>    <C>      <C>    <C>
E-SIM LTD                       COMMON     M40990109       679     85,600     SH          Defined      01      83,200          2,400
EDISON INTERNATIONAL            COMMON     281020107     1,947     80,100     SH          Defined      01      76,800          3,300
ESTEE LAUDER CO CL A            COMMON     518439104       586     15,000     SH          Defined      01                     15,000
ELF AQUITAINE-SPONSORED AD      COMMON     286269105     2,941     32,100     SH          Defined      01      31,100          1,000
ELCOR CORPORATION               COMMON     284443108    10,858    434,302     SH          Defined      01     391,428         42,874
EARTHLINK NETWORK INC           COMMON     270322100    13,583    316,350     SH          Defined      01     313,550          2,800
EMC CORP                        COMMON     268648102    54,439    762,715     SH          Defined      01     751,400         11,315
EMERSON ELECTRIC                COMMON     291011104       867     13,725     SH          Defined      01       3,200         10,525
EMUSIC.COM INC                  COMMON     292476108     4,463    300,000     SH          Defined      01     300,000
ENDOCARE INC                    COMMON     29264P104     1,035    163,950     SH          Defined      01     159,500          4,450
ENGAGE TECHNOLOGIES INC         COMMON     292827102     7,270    192,900     SH          Defined      01     192,700            200
ENTRUST TECHNOLOGIES INC        COMMON     293848107    25,165  1,121,600     SH          Defined      01   1,109,100         12,500
EQUITY OFFICE PROPERTIES T      COMMON     294741103     3,747    161,145     SH          Defined      01     141,158         19,987
EL PASO ENERGY CORPORATION      COMMON     283905107     6,393    158,822     SH          Defined      01     137,262         21,560
EQUITY RESIDENTIAL PROPERT      COMMON     29476L107     3,877     91,500     SH          Defined      01      79,850         11,650
ESG RE LTD                      COMMON     G31215109     1,048    118,050     SH          Defined      01     116,550          1,500
ESS TECHNOLOGY                  COMMON     269151106       359     27,100     SH          Defined      01      24,150          2,950
ENSCO INTERNATIONAL INC         COMMON     26874Q100     1,906    105,500     SH          Defined      01      88,000         17,500
ETOYS INC                       COMMON     297862104     3,618     54,350     SH          Defined      01      54,350
EARTHWEB INC                    COMMON     27032C108    28,337    717,400     SH          Defined      01     712,900          4,500
EXODUS COMMUNICATIONS INC       COMMON     302088109    68,113    945,200     SH          Defined      01     938,200          7,000
FIRST AMERICAN CORP-TENN        COMMON     318900107     3,154     72,500     SH          Defined      01      69,350          3,150
FURNITURE BRANDS INTL INC       COMMON     360921100     3,221    163,600     SH          Defined      01     152,550         11,050
FELCOR LODGING TRUST INC        COMMON     31430F101       326     18,650     SH          Defined      01       5,650         13,000
FEDERATED DEPARTMENT STORE      COMMON     31410H101     1,363     31,200     SH          Defined      01      30,300            900
FAMILY DOLLAR STORES            COMMON     307000109    40,387  1,911,826     SH          Defined      01   1,344,032        567,794
FOUNDRY NETWORKS INC            COMMON     35063R100     1,777     14,100     SH          Defined      01      13,450            650
FIRST EXECUTIVE CV PFD G        CONV P     320135809         0     10,000     SH          Defined      01                     10,000
4FRONT TECHNOLOGIES INC         COMMON     351042106       887     62,800     SH          Defined      01      61,050          1,750
FINANCIAL FEDERAL CORP          COMMON     317492106     7,703    410,830     SH          Defined      01     379,080         31,750
FISERV                          COMMON     337738108    21,057    647,905     SH          Defined      01     395,557        252,348
COMFORT SYSTEMS USA INC         COMMON     199908104     5,601    474,166     SH          Defined      01     421,266         52,900
FLAGSTAR BANCORP INC            COMMON     337930101     2,356    153,250     SH          Defined      01     151,400          1,850
FLIR SYSTEMS                    COMMON     302445101     2,393    184,980     SH          Defined      01     156,030         28,950
FLEET BOSTON CORP               COMMON     33901A108    74,607  2,037,056     SH          Defined      01   1,460,059        576,997
FINET.COM INC                   COMMON     317922300     6,012  1,983,550     SH          Defined      01   1,983,550
FUNDTECH LTD                    COMMON     M47095100     3,941    176,610     SH          Defined      01     154,210         22,400
FANNIE MAE                      COMMON     313586109    11,318    180,545     SH          Defined      01      92,405         88,140
FOSSIL INC                      COMMON     349882100     4,969    183,598     SH          Defined      01     165,598         18,000
FREDDIE MAC                     COMMON     313400301    46,367    891,672     SH          Defined      01     656,820        234,852
F.Y.I. INC                      COMMON     302712104     8,419    249,914     SH          Defined      01     222,914         27,000
GILLETTE                        COMMON     375766102       276      8,125     SH          Defined      01       1,825          6,300
GLOBAL CROSSING LTD             COMMON     G3921A100    34,440  1,299,615     SH          Defined      01   1,293,465          6,150
GUIDANT CORP                    COMMON     401698105       236      4,400     SH          Defined      01       1,200          3,200
GENERAL ELECTRIC                COMMON     369604103   155,107  1,308,236     SH          Defined      01     847,876        460,360
GENERAL GROWTH PROPERTIES       COMMON     370021107     1,874     59,500     SH          Defined      01      59,500
GILAT COMMUNICATIONS LTD        COMMON     M50876107     1,420     98,800     SH          Defined      01      93,750          5,050
GILDAN ACTIVEWEAR INC-CL A      COMMON     375916103     1,204     69,800     SH          Defined      01      68,000          1,800
GILAT SATELLITE NETWORKS L      COMMON     M51474100    78,477  1,463,440     SH          Defined      01   1,433,645         29,795
GENERAL MILLS                   COMMON     370334104     6,636     81,800     SH          Defined      01      67,000         14,800
GLENBOROUGH REALTY TRUST I      COMMON     37803P105     2,117    128,325     SH          Defined      01     108,300         20,025
GENERAL MOTORS CORP.            COMMON     370442105       430      6,839     SH          Defined      01                      6,839
GEORGIA-PAC (GEORGIA PACIF      COMMON     373298108     4,011     99,200     SH          Defined      01      82,000         17,200
THE GAP INC                     COMMON     364760108    18,936    591,750     SH          Defined      01     585,000          6,750
GPU INC                         COMMON     36225X100     1,305     40,000     SH          Defined      01      38,900          1,100
GERBER SCIENTIFIC INC           COMMON     373730100     8,870    396,430     SH          Defined      01     352,380         44,050
ROADHOUSE GRILL INC             COMMON     769725102       993    186,900     SH          Defined      01     181,800          5,100
GOLDMAN SACHS GROUP INC         COMMON     38141G104     3,361     55,100     SH          Defined      01      47,300          7,800
GTE CORP                        COMMON     362320103     6,127     79,700     SH          Defined      01      76,900          2,800
GUITAR CENTER INC               COMMON     402040109       244     25,900     SH          Defined      01                     25,900
GLOBAL TELESYSTEMS GROUP I      COMMON     37936U104    15,853    804,000     SH          Defined      01     804,000
HAIN FOOD GROUP INC             COMMON     405219106     4,143    167,385     SH          Defined      01     151,885         15,500
HANOVER COMPRESSOR CO           COMMON     410768105     4,401    138,355     SH          Defined      01     122,505         15,850
HOME DEPOT                      COMMON     437076102   124,025  1,807,293     SH          Defined      01   1,108,989        698,304
HELEN OF TROY LTD               COMMON     G4388N106     1,874    194,750     SH          Defined      01     191,700          3,050
HELLER FINANCIAL INC            COMMON     423328103     2,691    119,600     SH          Defined      01     116,300          3,300
HANGER ORTHOPEDIC GROUP IN      COMMON     41043F208     9,844    678,914     SH          Defined      01     603,354         75,560
HAPPY KIDS INC                  COMMON     411391105     1,334    133,440     SH          Defined      01     127,720          5,720
HOLLYWOOD ENTERTAINMENT CO      COMMON     436141105       536     35,750     SH          Defined      01      31,700          4,050
</TABLE>



                                     Page 3






<PAGE>   6
                           MUNDER CAPITAL MANAGEMENT
                               FORM 13F 9/30/1999

<TABLE>
<CAPTION>
- ------------------------------------------------------------------------------------------------------------------------------------
     ITEM 1                       ITEM 2      ITEM 3       ITEM 4      ITEM 5            ITEM 6       ITEM 7       ITEM 8

                                                                      Shares or                       Other
                                 Title of     Cusip      Fair Market  Principal SH/  Put/ Investment  Mana-
    Name of Issuer                Class       Number        Value      Amount   PRN  Call Discretion  gers     Voting Authority
                                                          (x $1000)                                         Sole    Shared   None
                                                                                                             (A)      (B)     (C)
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                              <C>         <C>           <C>        <C>       <C>  <C>  <C>         <C>  <C>        <C>   <C>
HONEYWELL INC                     COMMON     438506107        73,479    660,120  SH       Defined     01     449,805        210,315
STARWOOD HOTELS & RESORTS         COMMON     85590A203         2,568    115,100  SH       Defined     01     101,950         13,150
HEALTHSOUTH CORP                  COMMON     421924101        11,664  1,904,260  SH       Defined     01   1,719,850        184,410
HERLEY INDUSTRIES INC             COMMON     427398102         1,794    125,890  SH       Defined     01     120,190          5,700
HEWLETT PACKARD CO.               COMMON     428236103           212      2,340  SH       Defined     01         700          1,640
INSURANCE AUTO AUCTIONS IN        COMMON     457875102           930     62,500  SH       Defined     01      60,800          1,700
INTIMATE BRANDS INC               COMMON     461156101           217      5,565  SH       Defined     01       1,365          4,200
INT'L BUSINESS MACHINES CO        COMMON     459200101        68,907    569,483  SH       Defined     01     370,095        199,388
INTERNET CAPITAL GROUP INC        COMMON     46059C106        11,169    127,100  SH       Defined     01     127,100
INTERMEDIA COMMUNICATIONS         COMMON     458801107        20,580    946,200  SH       Defined     01     940,200          6,000
ICU MEDICAL INC                   COMMON     44930G107         1,132     75,440  SH       Defined     01      71,940          3,500
INTERNET INITIATIVE JAPAN         COMMON     46059T109         3,181     49,700  SH       Defined     01      49,700
INTEGRATED MEASUREMENT SYS        COMMON     457923100         1,312    102,400  SH       Defined     01      99,550          2,850
INKTOMI CORP                      COMMON     457277101        57,465    478,750  SH       Defined     01     475,750          3,000
INFOSPACE.COM INC                 COMMON     45678T102        99,716  2,424,700  SH       Defined     01   2,424,700
INSWEB CORP                       COMMON     45809K103         2,498    127,300  SH       Defined     01     127,000            300
INTEL CORP                        COMMON     458140100       234,577  3,156,646  SH       Defined     01   2,486,517        670,129
INET TECHNOLOGIES INC             COMMON     45662V105           243      6,100  SH       Defined     01       1,400          4,700
INTER-TEL INC                     COMMON     458372109        29,335  1,652,675  SH       Defined     01   1,591,925         60,750
INTEST CORP                       COMMON     461147100           781    115,650  SH       Defined     01     112,650          3,000
INTUIT INC                        COMMON     461202103        42,469    484,500  SH       Defined     01     482,700          1,800
INTERVOICE-BRITE INC              COMMON     461142101         6,430    581,305  SH       Defined     01     515,055         66,250
INTERPUBLIC GROUP                 COMMON     460690100        90,179  2,192,801  SH       Defined     01   1,361,311        831,490
INGERSOLL-RAND CO.                COMMON     456866102           225      4,100  SH       Defined     01       3,400            700
IRT PROPERTY CO                   COMMON     450058102         2,778    308,700  SH       Defined     01     271,625         37,075
DIGITAL ISLAND INC                COMMON     25385N101        12,350    475,000  SH       Defined     01     472,132          2,868
ISLE OF CAPRI CASINOS             COMMON     464592104         1,063    106,300  SH       Defined     01     106,300
ISS GROUP INC                     COMMON     450306105        25,272    927,400  SH       Defined     01     917,400         10,000
INTEGRAL SYSTEMS INC/MD           COMMON     45810H107         1,334     46,400  SH       Defined     01      45,050          1,350
INTL TELECOMM DATA SYSTEMS        COMMON     46047F104         3,906    463,000  SH       Defined     01     394,250         68,750
ITI TECHNOLOGIES INC              COMMON     450564109         1,129     37,550  SH       Defined     01      18,400         19,150
IVILLAGE INC                      COMMON     46588H105         9,271    263,000  SH       Defined     01     263,000
WEBSTAKES.COM INC                 COMMON     94768K100           355     40,000  SH       Defined     01      40,000
IVEX PACKAGING CORP               COMMON     465855104         1,516    151,600  SH       Defined     01     147,700          3,900
JAKKS PACIFIC INC                 COMMON     47012E106         2,076     55,350  SH       Defined     01      53,550          1,800
JABIL CIRCUIT INC                 COMMON     466313103         2,265     45,750  SH       Defined     01      44,350          1,400
JOHNSON CONTROLS                  COMMON     478366107       108,372  1,634,278  SH       Defined     01   1,150,384        483,894
JDN REALTY CORP                   COMMON     465917102         6,947    338,900  SH       Defined     01     315,050         23,850
JDS UNIPHASE CORP                 COMMON     46612J101        42,850    376,500  SH       Defined     01     376,500
JACOBS ENGINEERING                COMMON     469814107           309      9,500  SH       Defined     01       2,200          7,300
J & J SNACK FOODS CORP            COMMON     466032109         3,165    160,250  SH       Defined     01     155,800          4,450
JLG INDUSTRIES INC                COMMON     466210101         4,392    289,215  SH       Defined     01     257,165         32,050
JOHNSON & JOHNSON                 COMMON     478160104        90,531    985,372  SH       Defined     01     628,658        356,714
J.P. MORGAN                       COMMON     616880100           217      1,900  SH       Defined     01                      1,900
JP REALTY INC                     COMMON     46624A106           998     58,250  SH       Defined     01      42,850         15,400
KOALA CORP                        COMMON     499866101         1,704     55,400  SH       Defined     01      53,850          1,550
KEYSTONE AUTOMOTIVE INDS I        COMMON     49338N109           175     15,955  SH       Defined     01      15,955
KIMCO REALTY CORP                 COMMON     49446R109         4,807    134,450  SH       Defined     01     121,450         13,000
KIMBERLY-CLARK                    COMMON     494368103           380      7,200  SH       Defined     01                      7,200
KROGER                            COMMON     501044101           547     24,800  SH       Defined     01                     24,800
KILROY REALTY CORP                COMMON     49427F108         7,468    353,525  SH       Defined     01     331,550         21,975
KROLL-O'GARA COMPANY              COMMON     501050108         1,512     90,600  SH       Defined     01      80,400         10,200
LONG BEACH FINANCIAL CORP         COMMON     542446109         4,471    281,650  SH       Defined     01     276,600          5,050
LONE STAR INDUSTRIES              COMMON     542290408         4,075     81,700  SH       Defined     01      80,650          1,050
LYCOS INC                         COMMON     550818108         5,965    119,000  SH       Defined     01     119,000
LEGGETT & PLATT INC               COMMON     524660107        50,441  2,562,138  SH       Defined     01   1,794,410        767,728
L-3 COMMUNICATIONS HLDGS I        COMMON     502424104         8,570    227,020  SH       Defined     01     191,770         35,250
LINCOLN NATIONAL CORP.            COMMON     534187109         6,322    168,300  SH       Defined     01     152,000         16,300
LOOKSMART LTD                     COMMON     543442107        21,431    900,000  SH       Defined     01     895,300          4,700
LOWES COMPANIES INC               COMMON     548661107        38,831    796,526  SH       Defined     01     523,114        273,412
LITCHFIELD FINANCIAL CORP         COMMON     536619109         6,178    256,748  SH       Defined     01     226,098         30,650
LUCENT TECHNOLOGIES INC           COMMON     549463107        84,255  1,298,735  SH       Defined     01     804,249        494,486
LEXMARK INTL GROUP INC-CL         COMMON     529771107        25,971    322,620  SH       Defined     01     173,800        148,820
MASCO CORP                        COMMON     574599106       102,959  3,321,244  SH       Defined     01   2,402,376        918,868
MAVERICK TUBE CORP                COMMON     577914104           539     32,450  SH       Defined     01      31,550            900
MBIA                              COMMON     55262C100         4,130     88,579  SH       Defined     01      19,665         68,914
MCDONALDS                         COMMON     580135101           642     14,840  SH       Defined     01       2,000         12,840
MICROCHIP TECHNOLOGY INC          COMMON     595017104           339      6,600  SH       Defined     01       1,200          5,400
MCN ENERGY GROUP INC              COMMON     55267J100         5,861    341,042  SH       Defined     01     283,671         57,371
</TABLE>



                                     Page 4
<PAGE>   7

                           MUNDER CAPITAL MANAGEMENT
                               FORM 13F 9/30/1999

<TABLE>
<CAPTION>
- ------------------------------------------------------------------------------------------------------------------------------------
     ITEM 1                       ITEM 2      ITEM 3       ITEM 4      ITEM 5               ITEM 6    ITEM 7        ITEM 8

                                                                      Shares or                       Other
                                 Title of     Cusip      Fair Market  Principal SH/  Put/ Investment  Mana-
    Name of Issuer                Class       Number        Value      Amount   PRN  Call Discretion  gers     Voting Authority
                                                          (x $1000)                                         Sole    Shared   None
                                                                                                             (A)      (B)     (C)
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                              <C>         <C>           <C>        <C>       <C>  <C>  <C>         <C>  <C>        <C>   <C>
MICROS SYS INC                    COMMON     594901100        11,009    271,830  SH       Defined     01     241,180         30,650
MIAMI COMPUTER SUPPLY CORP        COMMON     593261100         5,470    304,970  SH       Defined     01     272,570         32,400
MOLECULAR DEVICES CORP            COMMON     60851C107         7,396    268,935  SH       Defined     01     239,535         29,400
MEREDITH CORP                     COMMON     589433101           396     10,900  SH       Defined     01       2,700          8,200
MEDTRONIC, INC.                   COMMON     585055106           979     27,526  SH       Defined     01       4,000         23,526
MIDWEST EXPRESS HOLDINGS          COMMON     597911106         2,995    114,375  SH       Defined     01     112,775          1,600
MELLON FINANCIAL CORP             COMMON     58551A108        44,739  1,330,518  SH       Defined     01     889,625        440,893
MERCURY INTERACTIVE CORP          COMMON     589405109        19,369    300,000  SH       Defined     01     300,000
METHODE ELECTRONICS               COMMON     591520200        19,046  1,009,075  SH       Defined     01     961,325         47,750
METROMEDIA FIBER NETWORK C        COMMON     591689104        13,811    563,706  SH       Defined     01     563,706
MORRISON MGMT SPECIALIST          COMMON     618459101        10,517    467,410  SH       Defined     01     413,170         54,240
MC GRAW HILL INC.                 COMMON     580645109         4,799     99,200  SH       Defined     01      86,000         13,200
MIIX GROUP INC                    COMMON     59862V104         3,665    216,400  SH       Defined     01     213,500          2,900
MICHAELS STORES                   COMMON     594087108         2,133     72,300  SH       Defined     01      63,150          9,150
MITCHAM INDUSTRIES INC            COMMON     606501104           619    120,850  SH       Defined     01     120,850
MOBILE MINI INC                   COMMON     60740F105         6,131    280,285  SH       Defined     01     248,635         31,650
McCORMICK & COMPANY               COMMON     579780206         3,481    105,300  SH       Defined     01      93,900         11,400
MARKETWATCH.COM INC               COMMON     570619106        13,792    291,900  SH       Defined     01     291,900
MARSH & MC LENNAN                 COMMON     571748102        51,258    748,299  SH       Defined     01     519,379        228,920
MMC NETWORKS INC                  COMMON     55308N102        38,742  1,242,250  SH       Defined     01   1,237,250          5,000
MINNESOTA MNG & MFG               COMMON     604059105           210      2,181  SH       Defined     01                      2,181
MENTOR CORP MINN                  COMMON     587188103           443     15,550  SH       Defined     01      13,850          1,700
PHILIP MORRIS                     COMMON     718154107         1,561     45,650  SH       Defined     01      41,000          4,650
MOBIL CORP.                       COMMON     607059102         5,471     54,300  SH       Defined     01      42,500         11,800
MOTOROLA INC                      COMMON     620076109         5,148     58,500  SH       Defined     01      42,000         16,500
MP3.COM INC                       COMMON     62473M109         7,512    200,000  SH       Defined     01     199,728            272
MAPQUEST.COM INC                  COMMON     565644101         4,988    420,050  SH       Defined     01     417,850          2,200
MERCK                             COMMON     589331107        91,994  1,419,393  SH       Defined     01     933,796        485,597
MARINE DRILLING CO INC            COMMON     568240204           781     49,400  SH       Defined     01      48,200          1,200
USX-MARATHON GROUP                COMMON     902905827           652     22,300  SH       Defined     01      20,800          1,500
MICROSOFT CORP                    COMMON     594918104       265,866  2,935,735  SH       Defined     01   2,186,309        749,426
MINDSPRING ENTERPRISES INC        COMMON     602683104        10,338    373,400  SH       Defined     01     369,400          4,000
MEASUREMENT SPECIALTIES IN        COMMON     583421102           872     47,450  SH       Defined     01      45,500          1,950
MERIDIAN MEDICAL TECH INC         COMMON     589658103           364     67,700  SH       Defined     01      67,700
MGIC INVESTMENT                   COMMON     552848103         2,032     42,550  SH       Defined     01      35,400          7,150
METRO ONE TELECOMMUNICATIO        COMMON     59163F105         1,552     80,900  SH       Defined     01      78,400          2,500
MANITOWOC CO INC                  COMMON     563571108         9,840    288,352  SH       Defined     01     255,752         32,600
MICROMUSE INC                     COMMON     595094103        34,416    535,650  SH       Defined     01     532,150          3,500
MORGAN ST DEAN WITTER CO          COMMON     617446448           647      7,250  SH       Defined     01       1,400          5,850
MAIL-WELL INC                     COMMON     560321200         1,948    140,400  SH       Defined     01     138,500          1,900
MAXIM INTEGRATED PRODUCTS         COMMON     57772K101        44,260    701,499  SH       Defined     01     473,681        227,818
METRIS COMPANIES INC              COMMON     591598107         4,868    165,000  SH       Defined     01     160,100          4,900
MAYTAG CORP                       COMMON     578592107         3,025     90,800  SH       Defined     01      79,000         11,800
MYPOINTS.COM INC                  COMMON     62855T102         7,125    500,000  SH       Defined     01     497,450          2,550
INCO LTD                          COMMON     453258402         3,003    140,500  SH       Defined     01     136,600          3,900
NEW CENTURY ENERGIES INC          COMMON     64352U103           752     22,500  SH       Defined     01                     22,500
NOBLE DRILLING CORP               COMMON     655042109         1,741     79,600  SH       Defined     01      76,100          3,500
NETGRAVITY INC                    COMMON     641114103        38,502  1,164,550  SH       Defined     01   1,156,550          8,000
NABISCO GROUP HOLDINGS            COMMON     62952P102           975     65,000  SH       Defined     01      64,600            400
COMMERCIAL NET LEASE REALT        COMMON     202218103         2,482    233,600  SH       Defined     01     205,775         27,825
NATIONAL-OILWELL INC              COMMON     637071101           311     18,950  SH       Defined     01      16,900          2,050
NORTHPOINT COMMUNICATIONS         COMMON     666610100        11,285    610,000  SH       Defined     01     610,000
NETWORK SOLUTIONS CL A            COMMON     64121Q102        63,247    688,400  SH       Defined     01     682,900          5,500
NS GROUP INC                      COMMON     628916108           515     47,900  SH       Defined     01      46,600          1,300
NETWORK APPLIANCE INC             COMMON     64120L104         5,787     80,800  SH       Defined     01      75,000          5,800
NORTHERN TRUST CORP.              COMMON     665859104         1,667     19,965  SH       Defined     01       3,800         16,165
NORTHEAST UTILITIES               COMMON     664397106         2,701    147,000  SH       Defined     01     141,300          5,700
NATIONAL R.V. HOLDINGS INC        COMMON     637277104         1,461     73,950  SH       Defined     01      66,250          7,700
NEWELL RUBBERMAID INC.            COMMON     651229106           371     12,998  SH       Defined     01         380         12,618
QUANEX CORP.                      COMMON     747620102         2,527     98,600  SH       Defined     01      84,250         14,350
NETZERO INC                       COMMON     64122R109           231      8,900  SH       Defined     01       2,100          6,800
OCEANFIRST FINCL CORP             COMMON     675234108         2,129    130,000  SH       Defined     01     125,600          4,400
OFFICE DEPOT, INC.                COMMON     676220106           300     28,574  SH       Defined     01      25,450          3,124
CORPORATE OFFICE PROPERTIE        COMMON     22002T108         1,447    191,400  SH       Defined     01     167,875         23,525
ORTHOFIX INTERNATIONAL N.V        COMMON     N6748L102           390     28,600  SH       Defined     01      25,300          3,300
OMNICOM GROUP                     COMMON     681919106       104,180  1,315,618  SH       Defined     01     817,686        497,932
BANK ONE CORP                     COMMON     06423A103         1,435     41,213  SH       Defined     01       1,534         39,679
ORACLE CORP                       COMMON     68389X105        41,485    911,768  SH       Defined     01     897,387         14,381
O'REILLY AUTO                     COMMON     686091109           348      7,300  SH       Defined     01       1,700          5,600
</TABLE>



                                     Page 5

<PAGE>   8


                           MUNDER CAPITAL MANAGEMENT
                               FORM 13F 9/30/1999

<TABLE>
<CAPTION>
- ------------------------------------------------------------------------------------------------------------------------------------
     ITEM 1                       ITEM 2      ITEM 3       ITEM 4      ITEM 5               ITEM 6    ITEM 7       ITEM 8

                                                                      Shares or                       Other
                                 Title of     Cusip      Fair Market  Principal SH/  Put/ Investment  Mana-
    Name of Issuer                Class       Number        Value      Amount   PRN  Call Discretion  gers     Voting Authority
                                                          (x $1000)                                         Sole    Shared   None
                                                                                                             (A)      (B)     (C)
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                              <C>         <C>           <C>        <C>       <C>  <C>  <C>         <C>  <C>        <C>   <C>
PITNEY BOWES                      COMMON     724479100         8,117    133,195  SH       Defined     01     118,050         15,145
PACCAR INC                        COMMON     693718108         2,134     41,950  SH       Defined     01      40,800          1,150
PATTERSON DENTAL COMPANY          COMMON     703412106         7,460    150,510  SH       Defined     01      30,675        119,835
PRIDE INTL                        COMMON     741932107         1,068     75,300  SH       Defined     01      74,100          1,200
PEPSICO                           COMMON     713448108         4,846    158,900  SH       Defined     01     129,700         29,200
PFIZER                            COMMON     717081103         8,238    229,636  SH       Defined     01      58,813        170,823
PROCTER & GAMBLE                  COMMON     742718109        45,225    482,402  SH       Defined     01     285,945        196,457
PULTE CORP                        COMMON     745867101         2,238    102,900  SH       Defined     01     100,100          2,800
PARK ELECTROCHEMICAL CORP         COMMON     700416209           549     16,700  SH       Defined     01      14,900          1,800
PERKINELMER INC                   COMMON     714046109        10,795    271,571  SH       Defined     01     240,521         31,050
PARK-OHIO HOLDINGS CORP           COMMON     700666100           724     57,950  SH       Defined     01      56,150          1,800
PALL CORP                         COMMON     696429307         1,841     79,400  SH       Defined     01      75,600          3,800
POLYMEDICA CORP                   COMMON     731738100         4,074    175,240  SH       Defined     01     173,690          1,550
PENNACO ENERGY INC                COMMON     708046107           674     55,300  SH       Defined     01      53,800          1,500
PNC BANK CORP                     COMMON     693475105         3,462     65,700  SH       Defined     01      63,900          1,800
PENN ENGINEERING & MFG COR        COMMON     707389300           270     11,000  SH       Defined     01       9,300          1,700
PENTAIR INC                       COMMON     709631105         2,496     62,200  SH       Defined     01      57,100          5,100
PROSOFT TRAINING.COM              COMMON     743477101           618    163,350  SH       Defined     01     158,800          4,550
PRENTISS PROPERTIES TRUST         COMMON     740706106         1,835     82,725  SH       Defined     01      82,125            600
PREPAID LEGAL SERVICES INC        COMMON     740065107        10,295    261,460  SH       Defined     01     232,410         29,050
PROVINCE HEALTHCARE CO.           COMMON     743977100         5,220    453,943  SH       Defined     01     404,143         49,800
PUBLIC STORAGE INC                COMMON     74460D109         5,155    204,675  SH       Defined     01     184,700         19,975
PERICOM SEMICONDUCTOR CORP        COMMON     713831105         4,384    294,690  SH       Defined     01     272,790         21,900
PSINET INC                        COMMON     74437C101        37,610  1,045,650  SH       Defined     01   1,038,950          6,700
PACIFIC SUNWEAR OF CALIF          COMMON     694873100         6,691    238,694  SH       Defined     01     212,369         26,325
QUANTA SERVICES INC               COMMON     74762E102         8,393    286,335  SH       Defined     01     256,035         30,300
PAPA JOHN'S INTL INC              COMMON     698813102         5,313    128,795  SH       Defined     01     114,395         14,400
QUAKER FABRIC CORP                COMMON     747399103           903    206,375  SH       Defined     01     206,375
QWEST COMMUNICATIONS INTL         COMMON     749121109        12,797    432,900  SH       Defined     01     425,900          7,000
RECKSON ASSOCIATES REALTY         COMMON     75621K106         6,605    317,350  SH       Defined     01     294,775         22,575
RECKSON ASSOC REALTY CL B         COMMON     75621K304           795     36,363  SH       Defined     01      31,741          4,622
ROYAL CARIBBEAN CRUISES LT        COMMON     V7780T103           270      6,000  SH       Defined     01       1,400          4,600
RADIAN GROUP INC                  COMMON     750236101           399      9,300  SH       Defined     01       4,700          4,600
REMEC INC                         COMMON     759543101         2,538    184,600  SH       Defined     01     182,200          2,400
RUBY TUESDAY INC                  COMMON     781182100         2,056    105,450  SH       Defined     01     103,900          1,550
TRANSOCEAN OFFSHORE INC           COMMON     G90076103           226      7,375  SH       Defined     01       1,875          5,500
RIGGS NATL CORP WASH DC           COMMON     766570105         1,585     93,950  SH       Defined     01      92,650          1,300
U S CONCRETE INC                  COMMON     90333L102           609     75,000  SH       Defined     01      72,900          2,100
RES-CARE INC                      COMMON     760943100         4,947    291,015  SH       Defined     01     260,265         30,750
REPUBLIC SERVICES INC             COMMON     760759100        28,208  2,593,848  SH       Defined     01   1,884,571        709,277
RECKSON SERVICE INDUSTRIES        COMMON     75621J109           175     11,074  SH       Defined     01      10,792            282
RENT-WAY INC                      COMMON     76009U104         7,798    410,405  SH       Defined     01     364,905         45,500
SONIC AUTOMOTIVE INC              COMMON     83545G102         5,134    394,900  SH       Defined     01     355,050         39,850
SAWTEK INC                        COMMON     805468105         6,058    173,090  SH       Defined     01     151,290         21,800
SBC COMMUNICATIONS INC            COMMON     78387G103       101,074  1,979,445  SH       Defined     01   1,313,413        666,032
SBS TECHNOLOGIES INC              COMMON     78387P103         8,177    320,649  SH       Defined     01     293,349         27,300
SCANA CORP                        COMMON     805898103         1,531     63,300  SH       Defined     01      61,500          1,800
CHARLES SCHWAB CORP               COMMON     808513105        40,332  1,206,200  SH       Defined     01   1,200,200          6,000
SCI SYSTEMS                       COMMON     783890106         1,435     32,300  SH       Defined     01      31,300          1,000
SCANSOURCE INC                    COMMON     806037107         1,468     52,650  SH       Defined     01      51,150          1,500
STOLT COMEX SEAWAY S.A.           COMMON     L8873E103           195     17,200  SH       Defined     01      14,100          3,100
SUNGARD DATA SYSTEMS              COMMON     867363103        40,229  1,528,923  SH       Defined     01   1,011,871        517,052
SOUTHDOWN INC                     COMMON     841297104         4,515     84,400  SH       Defined     01      72,600         11,800
SCHERING-PLOUGH                   COMMON     806605101        58,607  1,343,420  SH       Defined     01     791,122        552,298
SIERRA HEALTH SVCS INC            COMMON     826322109         1,385    136,825  SH       Defined     01     135,125          1,700
SILKNET SOFTWARE INC              COMMON     827094103         7,149    155,000  SH       Defined     01     155,000
SCHLUMBERGER, LTD.                COMMON     806857108         3,835     61,550  SH       Defined     01      52,300          9,250
SARA LEE                          COMMON     803111103         1,085     46,400  SH       Defined     01       1,600         44,800
SLI INC                           COMMON     78442T108         9,356    438,989  SH       Defined     01     387,189         51,800
SMART MODULAR TECHNOLOGIES        COMMON     831690102         2,803     82,300  SH       Defined     01      81,200          1,100
SOUTHTRUST CORP                   COMMON     844730101           265      7,400  SH       Defined     01       1,700          5,700
SPECTRUM CONTROL INC              COMMON     847615101         1,247    162,250  SH       Defined     01     157,750          4,500
SIMON PROPERTY GROUP INC          COMMON     828806109         3,158    140,750  SH       Defined     01     123,225         17,525
SPIEKER PROPERTIES                COMMON     848497103         5,097    146,950  SH       Defined     01     133,175         13,775
SPORTSLINE USA INC                COMMON     848934105        27,395    926,700  SH       Defined     01     917,700          9,000
SHOPNOW.COM INC                   COMMON     82508R105         8,138    700,000  SH       Defined     01     696,600          3,400
US SEARCH.COM                     COMMON     903404101           617     62,900  SH       Defined     01      61,200          1,700
STAAR SURGICAL CO                 COMMON     852312305         1,330    112,000  SH       Defined     01     108,900          3,100
STUDENT ADVANTAGE INC             COMMON     86386Q105         7,763    675,000  SH       Defined     01     672,084          2,916
</TABLE>


                                     Page 6

<PAGE>   9


                           MUNDER CAPITAL MANAGEMENT
                               FORM 13F 9/30/1999

<TABLE>
<CAPTION>
- ------------------------------------------------------------------------------------------------------------------------------------
     ITEM 1                       ITEM 2      ITEM 3       ITEM 4      ITEM 5               ITEM 6    ITEM 7        ITEM 8

                                                                      Shares or                       Other
                                 Title of     Cusip      Fair Market  Principal SH/  Put/ Investment  Mana-
    Name of Issuer                Class       Number        Value      Amount   PRN  Call Discretion  gers     Voting Authority
                                                          (x $1000)                                         Sole    Shared   None
                                                                                                             (A)      (B)     (C)
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                              <C>         <C>           <C>        <C>       <C>  <C>  <C>         <C>  <C>        <C>   <C>
STEINER LEISURE LTD               COMMON     P8744Y102         9,166    366,620  SH       Defined     01     310,676         55,944
STATE STREET CORP                 COMMON     857477103         1,112     17,200  SH       Defined     01                     17,200
THE MEN'S WEARHOUSE INC           COMMON     587118100         8,092    376,383  SH       Defined     01     334,658         41,725
SUN MICROSYSTEM, INC.             COMMON     866810104       162,338  1,745,565  SH       Defined     01   1,449,570        295,995
SOUTHWEST BANCORP OF TEXAS        COMMON     84476R109         4,096    234,910  SH       Defined     01     185,210         49,700
SWIFT TRANSPORTATION CO IN        COMMON     870756103         5,107    259,385  SH       Defined     01     219,285         40,100
SOUTHWEST GAS CORP                COMMON     844895102         2,578     95,700  SH       Defined     01      94,250          1,450
SAFEWAY INC                       COMMON     786514208        36,406    956,503  SH       Defined     01     686,575        269,928
STRYKER CORPORATION               COMMON     863667101         5,545    108,458  SH       Defined     01      20,550         87,908
SYSCO CORP                        COMMON     871829107       110,973  3,165,040  SH       Defined     01   2,109,696      1,055,344
AT&T CORP                         COMMON     001957109           287      6,594  SH       Defined     01       3,592          3,002
TUBOSCOPE VETCO INTL CORP         COMMON     898600101           261     20,950  SH       Defined     01      18,650          2,300
TERADYNE INC.                     COMMON     880770102           649     18,400  SH       Defined     01      10,000          8,400
TERAYON COMMUNICATION SYS         COMMON     880775101        32,800    671,100  SH       Defined     01     661,100         10,000
TEREX CORP                        COMMON     880779103         3,789    120,300  SH       Defined     01     117,300          3,000
24/7 MEDIA INC                    COMMON     901314104        33,194    876,400  SH       Defined     01     871,400          5,000
TRIGON HEALTHCARE INC             COMMON     89618L100         2,630     89,900  SH       Defined     01      86,100          3,800
THEGLOBE.COM INC                  COMMON     88335R101        13,913  1,016,500  SH       Defined     01   1,016,500
HOUSTON EXPLORATION COMPAN        COMMON     442120101         2,784    128,350  SH       Defined     01     126,700          1,650
TJX COMPANIES INC.                COMMON     872540109         2,503     89,200  SH       Defined     01      89,200
TIMBERLINE SOFTWARE CORP          COMMON     887134104         1,215     65,250  SH       Defined     01      63,350          1,900
TORCHMARK                         COMMON     891027104         1,234     47,700  SH       Defined     01      46,350          1,350
TMP WORLDWIDE INC                 COMMON     872941109        85,039  1,396,950  SH       Defined     01   1,388,650          8,300
TOKHEIM CORP                      COMMON     889073102         1,737    194,350  SH       Defined     01     191,500          2,850
TRIMBLE NAVIGATION LTD            COMMON     896239100         2,162    202,300  SH       Defined     01     192,650          9,650
THESTREET.COM INC                 COMMON     88368Q103         9,969    550,000  SH       Defined     01     550,000
TRANSTECHNOLOGY CORP              COMMON     893889105           519     44,850  SH       Defined     01      43,500          1,350
TORO CO.                          COMMON     891092108         3,483     93,200  SH       Defined     01      91,850          1,350
TTI TEAM TELECOM INTL LTD         COMMON     M88258104         1,313    128,900  SH       Defined     01     125,300          3,600
ITURF INC -CL A                   COMMON     46575Q100         7,209    686,550  SH       Defined     01     686,550
TIME WARNER                       COMMON     887315109           462      7,600  SH       Defined     01                      7,600
TEXACO INC.                       COMMON     881694103         2,413     38,225  SH       Defined     01      37,200          1,025
TEXAS INSTRUMENTS                 COMMON     882508104         4,034     49,050  SH       Defined     01      34,400         14,650
TEXTRON INC                       COMMON     883203101       112,016  1,447,700  SH       Defined     01     978,177        469,523
TEXAS UTILITIES CO                COMMON     882848104         6,201    166,200  SH       Defined     01     141,000         25,200
TYCO INTERNATIONAL LTD            COMMON     902124106       150,259  1,455,296  SH       Defined     01     947,880        507,416
UNITEDGLOBALCOM INC CL A          COMMON     913247508         1,461     20,400  SH       Defined     01      20,400
UNIVERSAL FORESTS PRODUCTS        COMMON     913543104         2,160    165,400  SH       Defined     01     163,250          2,150
U.S. FOODSERVICE                  COMMON     90331R101         4,573    254,045  SH       Defined     01      49,900        204,145
ULTIMATE ELECTRONICS INC          COMMON     903849107         1,186     75,900  SH       Defined     01      73,250          2,650
MEDIAONE GROUP INC                COMMON     58440J104         3,654     53,484  SH       Defined     01      49,650          3,834
UNUMPROVIDENT CORP                COMMON     91529Y106           231      7,850  SH       Defined     01       7,850
UNION PACIFIC                     COMMON     907818108           246      5,108  SH       Defined     01         400          4,708
URS CORP                          COMMON     903236107        10,789    440,380  SH       Defined     01     391,655         48,725
U.S. BANCORP                      COMMON     902973106        67,028  2,220,419  SH       Defined     01   1,549,665        670,754
US ONCOLOGY INC                   COMMON     90338W103         8,706    960,684  SH       Defined     01     852,342        108,342
UST                               COMMON     902911106         1,458     48,300  SH       Defined     01      48,000            300
UST CORP                          COMMON     902900109         5,244    170,550  SH       Defined     01     167,400          3,150
USWEB CORP                        COMMON     917327108        65,193  1,900,000  SH       Defined     01   1,900,000
UNITED TECHNOLOGIES               COMMON     913017109        51,770    872,835  SH       Defined     01     577,582        295,253
VERTICALNET INC                   COMMON     92532L107        49,140  1,328,100  SH       Defined     01   1,320,100          8,000
VIGNETTE CORPORATION              COMMON     926734104        11,846    130,900  SH       Defined     01     127,900          3,000
VORNADO REALTY TRUST              COMMON     929042109         3,109     95,650  SH       Defined     01      83,800         11,850
VASTAR RESOURCES INC              COMMON     922380100         2,083     33,300  SH       Defined     01      32,300          1,000
VERIO INC                         COMMON     923433106        26,294    848,200  SH       Defined     01     843,200          5,000
VERISIGN INC                      COMMON     92343E102        71,153    668,100  SH       Defined     01     665,600          2,500
VISIO CORP                        COMMON     927914101         2,051     52,250  SH       Defined     01      51,650            600
VIATEL INC                        COMMON     925529208        20,546    695,000  SH       Defined     01     693,800          1,200
WALGREEN                          COMMON     931422109         1,232     48,540  SH       Defined     01       5,300         43,240
WALL DATA INC                     COMMON     932045107         3,025    562,800  SH       Defined     01     558,050          4,750
TETRA TECH INC                    COMMON     88162G103         7,228    433,176  SH       Defined     01     386,677         46,499
WACHOVIA                          COMMON     929771103           377      4,800  SH       Defined     01       4,800
WINSTAR COMMUNICATIONS INC        COMMON     975515107        27,736    710,050  SH       Defined     01     707,250          2,800
MCI WORLDCOM INC                  COMMON     55268B106       183,459  2,552,476  SH       Defined     01   1,991,496        560,980
WENDY'S INT'L INC                 COMMON     950590109        80,391  3,033,629  SH       Defined     01   2,080,812        952,817
WENDYS FINANCING I                CONV P     950588202         6,017    106,500  SH       Defined     01      93,000         13,500
WELLS FARGO COMPANY               COMMON     949746101        11,744    296,368  SH       Defined     01     156,360        140,008
WHITEHALL JEWELERS INC.           COMMON     965063100         5,757    200,245  SH       Defined     01     177,545         22,700
WHIRLPOOL                         COMMON     963320106         1,496     22,900  SH       Defined     01      22,200            700
</TABLE>


                                     Page 7

<PAGE>   10


                           MUNDER CAPITAL MANAGEMENT
                               FORM 13F 9/30/1999

<TABLE>
<CAPTION>
- ------------------------------------------------------------------------------------------------------------------------------------
     ITEM 1                       ITEM 2       ITEM 3      ITEM 4       ITEM 5              ITEM 6    ITEM 7        ITEM 8

                                                                      Shares or                       Other
                                 Title of     Cusip      Fair Market  Principal SH/  Put/ Investment  Mana-
    Name of Issuer                Class       Number        Value      Amount   PRN  Call Discretion  gers     Voting Authority
                                                          (x $1000)                                         Sole    Shared   None
                                                                                                             (A)      (B)     (C)
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                              <C>         <C>           <C>        <C>       <C>  <C>  <C>         <C>  <C>        <C>   <C>
WARNER LAMBERT                    COMMON     934488107         1,144     17,240  SH       Defined     01       1,400         15,840
WAL-MART STORES                   COMMON     931142103        53,939  1,134,080  SH       Defined     01     728,559        405,521
WORKFLOW MANAGEMENT INC           COMMON     98137N109           892     68,600  SH       Defined     01      66,650          1,950
WATSCO INC                        COMMON     942622200         4,583    402,930  SH       Defined     01     350,780         52,150
XL CAPITAL LTD CL A               COMMON     G98255105         4,361     96,900  SH       Defined     01      83,000         13,900
XILINX INC                        COMMON     983919101           816     12,450  SH       Defined     01       2,400         10,050
EXXON CORP.                       COMMON     302290101         5,469     71,960  SH       Defined     01      56,000         15,960
U.S. XPRESS ENTERPRISES-A         COMMON     90338N103            83     14,195  SH       Defined     01      14,195
XEROX CORP.                       COMMON     984121103         5,271    125,700  SH       Defined     01     107,000         18,700
CROSS TIMBERS OIL CO              COMMON     227573102           491     36,350  SH       Defined     01      32,350          4,000
YOUNG BROADCASTING INC-A          COMMON     987434107           393      7,500  SH       Defined     01       6,700            800
YESMAIL.COM INC                   COMMON     98583Q101           458     43,100  SH       Defined     01      41,050          2,050
YAHOO! INC                        COMMON     984332106       103,518    576,704  SH       Defined     01     574,704          2,000
ZIFF-DAVIS INC - ZDNET            COMMON     989511209        13,813    650,000  SH       Defined     01     650,000
ZIONS BANCORP                     COMMON     989701107           303      5,500  SH       Defined     01       1,300          4,200
ZALE CORP                         COMMON     988858106         5,587    145,835  SH       Defined     01     124,835         21,000
ZOLL MEDICAL CORP                 COMMON     989922109         1,662     54,950  SH       Defined     01      52,900          2,050
ZOMAX INC /MN                     COMMON     989929104         7,090    274,015  SH       Defined     01     241,465         32,550

                                                        ------------
AGGREGATE COLUMN TOTALS                                    8,486,748
                                                        ============
</TABLE>


                                     Page 8


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