DENVER INVESTMENT ADVISORS LLC
13F-HR, 1999-05-13
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                                  UNITED STATES
                       SECURITIES AND EXCHANGE COMMISSION
                             Washington, D.C. 20549

                                    FORM 13F

          Report for the Calendar Year or Quarter Ended:  March 31, 1999
                           
Check here if Amendment  [  ]   Amendment Number: ____

This Amendment (Check only one): [   ] is a restatement
                                 [   ] adds new holding entries.


Institutional Investment Manager

Name:     Denver Investment Advisors LLC
Address:  1225 17th St., 26th Floor, Denver, CO 80202

Form 13F File Number:  28-5416

     The institutional  investment  manager filing this report and the person by
whom it is signed  represent that the person signing the report is authorized to
submit it, that all information contained therein is true, correct and complete,
ant 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 the Reporting Manager:

Reporting Manager:  Denver Investment Advisors LLC

Name:   Kenneth V. Penland
Title:  Manager
Phone:  (303) 312-5000

Signature, Place, and Date of Signing:

/S. Kenneth V. Penland
- -----------------------------------------------
[Signature]
Kenneth V. Penland, Manager

Denver, Colorado
- -----------------------------------------------
[City, State]

May 13, 1999
- -----------------------------------------------
[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 no holdings reported are in this report, and all
     holdings are reported by other reporting managers(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).)


<PAGE>

                             Form 13F SUMMARY PAGE


Report Summary:


Number of Other Included Managers:        -0-

Form 13F Information Table Entry Total: 225,417,399.00  

Form 13F Information Table Value Total: $8,394,268.00
                                         (thousands)


List of Other Included Managers: 

Provide a numbered 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.]

NONE
<PAGE>
<TABLE>
<CAPTION>
                                                           FORM 13F INFORMATION TABLE

                                              REPORTING MANAGER: DENVER INVESTMENT ADVISORS LLC
                                                                         
                                                                                                                              PAGE 1

- ------------------------------------------------------------------------------------------------------------------------------------
   COLUMN 1                   COLUMN 2          COLUMN 3   COLUMN 4        COLUMN 5        COLUMN 6  COLUMN 7        COLUMN 8 
   --------                   --------          --------   --------   ------------------- ---------- -------- ----------------------
                               TITLE                                                                  OTHER      VOTING AUTHORITY
NAME OF ISSUER                   OF              CUSIP      VALUE     SHRS OR   SH/  PUT/ INVESTMENT  MANA-   ----------------------
                               CLASS             NUMBER   (X$1,000)   PRN AMT   PRN  CALL DISCRETION  GERS     SOLE   SHARED   NONE
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                            <C>              <C>       <C>      <C>          <C>         <C>               <C>     <C>    <C>
A D C TELECOMMUNICATIONS       COMMON           000886101    48083    1008300   SH          SOLE               571700     0   436600
AFLAC INC                      COMMON           001055102      347       6374   SH          SOLE                 6374     0        0
AES CORP                       COMMON           00130H105    93951    2522183   SH          OTHER             1497511  1800  1022872
AES CORP                       SDCV  4.500  8/1 00130HAN5       47      50000   PRN         SOLE                50000     0        0
AK STL HLDG CORP               COMMON           001547108     2836     125700   SH          SOLE               121700     0     4000
AT&T CORP                      COMMON           001957109     6384      79986   SH          SOLE                79686     0      300
ABBOTT LABS                    COMMON           002824100      850      18165   SH          OTHER               16565  1600        0
ABERCROMBIE & FITCH CO         CL A             002896207    89367     968747   SH          SOLE               540283     0   428464
A C NIELSEN CORP               COMMON           004833109    67069    2472582   SH          DEFINED           1380551     0  1092031
ADELPHIA COMMUNICATIONS        CL A             006848105    50986     809300   SH          SOLE               456000     0   353300
ADOBE SYS INC                  COMMON           00724F101     3484      61400   SH          SOLE                61400     0        0
ADVEST GROUP INC               COMMON           007566102     3989     215600   SH          SOLE               208800     0     6800
AEROFLEX INC                   COMMON           007768104     1083      76000   SH          SOLE                67300     0     8700
AGRIBRANDS INTL INC            COMMON           00849R105        6        174   SH          SOLE                  174     0        0
AIR PRODS & CHEMS INC          COMMON           009158106      144       4200   SH          OTHER                3600     0      600
AIRTOUCH COMMUNICATNS          COMMON           00949T100       63        650   SH          SOLE                    0     0      650
ALASKA AIR GROUP INC           COMMON           011659109     4646      97800   SH          SOLE                94400     0     3400
ALBERTSONS INC                 COMMON           013104104       16        300   SH          SOLE                  300     0        0
ALCOA INC                      COMMON           013817101        8        200   SH          SOLE                  200     0        0
ALLAIRE CORP                   COMMON           016714107      340       5000   SH          SOLE                 5000     0        0
ALLERGAN INC                   COMMON           018490102     2487      28300   SH          SOLE                28300     0        0
ALLIANT TECHSYSTEMS            COMMON           018804104     6021      77500   SH          SOLE                75000     0     2500
ALLIEDSIGNAL INC               COMMON           019512102       30        600   SH          OTHER                 600     0        0
ALLIED WASTE INDS INC          COM PAR$.01NEW   019589308    13011     901165   SH          OTHER              465120     0   436045
ALLMERICA FINL CORP            COMMON           019754100       55       1000   SH          SOLE                 1000     0        0
ALLTEL CORP                    COMMON           020039103     8352     133900   SH          OTHER              133900     0        0
ALTERA CORP                    COMMON           021441100    33951     570600   SH          SOLE               320100     0   250500
ALZA CORP                      COMMON           022615108    26408     690400   SH          SOLE               386900     0   303500
AMAZON COM INC                 COMMON           023135106     2238      13000   SH          SOLE                13000     0        0
AMBAC FINL GROUP INC           COMMON           023139108    47430     878330   SH          OTHER              493980     0   384350
AMERADA HESS CORP              COMMON           023551104       41        806   SH          SOLE                  806     0        0
AMERICA ONLINE INC DEL         COMMON           02364J104    51127     347800   SH          SOLE               204870     0   142930
AMERICA WEST HLDG CORP         CL B             023657208     4137     217000   SH          SOLE               209500     0     7500
AMERICAN AXLE & MFG HLDG       COMMON           024061103      182      15000   SH          SOLE                15000     0        0
AMERICAN EXPRESS CO            COMMON           025816109       71        600   SH          SOLE                  600     0        0
AMERICAN GENERAL CORP          COMMON           026351106        8        115   SH          SOLE                  115     0        0
AMERICAN HOME PRODS CORP       COMMON           026609107     1736      26600   SH          OTHER               23700  2400      500
AMERICAN INTL GROUP INC        COMMON           026874107     1105       9162   SH          SOLE                 9062     0      100
AMERICAN PWR CONVERSN          COMMON           029066107       27       1000   SH          SOLE                 1000     0        0
AMERICAN STORES CO NEW         COMMON           030096101     3554     107700   SH          SOLE               107700     0        0
AMES DEPARTMENT STORES         COM NEW          030789507     4399     118500   SH          SOLE                68600     0    49900
AMSOUTH BANCORPORATION         COMMON           032165102    41485     911750   SH          SOLE               504900     0   406850
<PAGE>

                                                           FORM 13F INFORMATION TABLE

                                              REPORTING MANAGER: DENVER INVESTMENT ADVISORS LLC
                                                                         
                                                                                                                              PAGE 2

- ------------------------------------------------------------------------------------------------------------------------------------
   COLUMN 1                   COLUMN 2          COLUMN 3   COLUMN 4        COLUMN 5        COLUMN 6  COLUMN 7        COLUMN 8 
   --------                   --------          --------   --------   ------------------- ---------- -------- ----------------------
                               TITLE                                                                  OTHER      VOTING AUTHORITY
NAME OF ISSUER                   OF              CUSIP      VALUE     SHRS OR   SH/  PUT/ INVESTMENT  MANA-   ----------------------
                               CLASS             NUMBER   (X$1,000)   PRN AMT   PRN  CALL DISCRETION  GERS     SOLE   SHARED   NONE
- ------------------------------------------------------------------------------------------------------------------------------------

ANADARKO PETE CORP             COMMON           032511107    38315    1014980   SH          SOLE               572680     0   442300
ANDOVER BANCORP INC DEL        COMMON           034258103     2314      85300   SH          SOLE                82700     0     2600
ANNALY MTG MGMT INC            COMMON           035710409     2342     234200   SH          SOLE               226400     0     7800
ANNTAYLOR STORES CORP          COMMON           036115103       68       1550   SH          SOLE                 1550     0        0
ANTENNA TV SA                  DEPOSITORY RECEI 03672N100       65       5000   SH          SOLE                 5000     0        0
APPLE COMPUTER INC             COMMON           037833100     2985      83050   SH          SOLE                83050     0        0
APPLIED MATLS INC              COMMON           038222105    44458     720700   SH          SOLE               403400     0   317300
ARGOSY ED GROUP INC            CL A             040222101       43       5000   SH          SOLE                 5000     0        0
ARKANSAS BEST CORP DEL         COMMON           040790107     2362     346700   SH          SOLE               335700     0    11000
ARVIN INDS INC                 COMMON           043339100     4352     129200   SH          SOLE               124600     0     4600
ASCEND COMMUNICATIONS          COMMON           043491109    31533     376800   SH          SOLE               213400     0   163400
AT HOME CORP                   COM SER A        045919107    61614     391200   SH          SOLE               222200     0   169000
ASYMETRIX LEARNING SYS I       COMMON           045927100       23       5000   SH          SOLE                 5000     0        0
ASSOCIATES FIRST CAP COR       CL A             046008108        4         84   SH          SOLE                   84     0        0
ASTORIA FINL CORP              COMMON           046265104    12295     245900   SH          SOLE               237500     0     8400
ATLANTIC GULF COMMUNITIE       PFD B CV 20%NO   048556203        5        566   SH          SOLE                  566     0        0
ATLANTIC RICHFIELD CO          COMMON           048825103       59        800   SH          SOLE                    0     0      800
ATMEL CORP                     COMMON           049513104    23969    1578200   SH          SOLE               884600     0   693600
AUTOBYTEL COM INC              COMMON           05275N106      838      20000   SH          SOLE                20000     0        0
AUTOMATIC DATA PROCESSIN       COMMON           053015103        8        200   SH          SOLE                  200     0        0
AUTOWEB COM INC                COMMON           053331104      178       5000   SH          SOLE                 5000     0        0
AVALONBAY CMNTYS INC           COMMON           053484101     8823     276800   SH          SOLE               267300     0     9500
AVANT CORP                     COMMON           053487104      440      24800   SH          SOLE                24800     0        0
AVERY DENNISON CORP            COMMON           053611109    42562     740200   SH          SOLE               409300     0   330900
AVIS RENT A CAR INC            COMMON           053790101    18393     664300   SH          SOLE               643300     0    21000
AZTEC TECHNOLOGY PARTNER       COMMON           05480L101        0          1   SH          SOLE                    1     0        0
BEC ENERGY                     COMMON           05538M101     9662     262900   SH          SOLE               254700     0     8200
BJ SVCS CO                     COMMON           055482103    62759    2699300   SH          SOLE              1504200     0  1195100
BP AMOCO P L C                 DEPOSITORY RECEI 055622104      952       9426   SH          OTHER                9426     0        0
BMC SOFTWARE INC               COMMON           055921100      334       9000   SH          SOLE                 9000     0        0
BALL CORP                      COMMON           058498106    22938     488700   SH          SOLE               314900     0   173800
BALTIMORE GAS & ELEC CO        COMMON           059165100      793      31250   SH          SOLE                 7750     0    23500
BANK OF AMERICA CORP           COMMON           060505104      302       4273   SH          SOLE                 4273     0        0
BANK ONE CORP                  COMMON           06423A103       35        636   SH          SOLE                    0   636        0
BARD C R INC                   COMMON           067383109     6078     120500   SH          SOLE               116700     0     3800
BARRETT RESOURCES CORP         COM PAR $0.01    068480201       28       1100   SH          SOLE                 1100     0        0
BATTLE MTN GOLD CO             CL A             071593107       18       6510   SH          SOLE                 6510     0        0
BECTON DICKINSON & CO          COMMON           075887109    16903     441200   SH          SOLE               176800     0   264400
BED BATH & BEYOND INC          COMMON           075896100    77176    2114400   SH          SOLE              1210700     0   903700
BEL FUSE INC                   CL B             077347300     5036     162450   SH          SOLE               156600     0     5850
BELLSOUTH CORP                 COMMON (BELLSOUT 079860102     6168     153948   SH          SOLE               147948  6000        0
<PAGE>

                                                           FORM 13F INFORMATION TABLE

                                              REPORTING MANAGER: DENVER INVESTMENT ADVISORS LLC
                                                                         
                                                                                                                              PAGE 3

- ------------------------------------------------------------------------------------------------------------------------------------
   COLUMN 1                   COLUMN 2          COLUMN 3   COLUMN 4        COLUMN 5        COLUMN 6  COLUMN 7        COLUMN 8 
   --------                   --------          --------   --------   ------------------- ---------- -------- ----------------------
                               TITLE                                                                  OTHER      VOTING AUTHORITY
NAME OF ISSUER                   OF              CUSIP      VALUE     SHRS OR   SH/  PUT/ INVESTMENT  MANA-   ----------------------
                               CLASS             NUMBER   (X$1,000)   PRN AMT   PRN  CALL DISCRETION  GERS     SOLE   SHARED   NONE
- ------------------------------------------------------------------------------------------------------------------------------------

BEN & JERRYS HOMEMADE IN       CL A             081465106     8361     298600   SH          SOLE               288500     0    10100
BERKSHIRE HATHAWAY CL A        CL A             084670108      643          9   SH          DEFINED                 9     0        0
BERKSHIRE HATHAWAY INC D       CL B             084670207       26         11   SH          SOLE                   11     0        0
BEST BUY INC                   COMMON           086516101    29006     557800   SH          SOLE               299400     0   258400
BESTFOODS                      COMMON           08658U101      183       3900   SH          OTHER                3900     0        0
BETHLEHEM STL CORP             COMMON           087509105       44       5350   SH          SOLE                 5350     0        0
BEYOND COM CORP                COMMON           08860E101      943      36000   SH          SOLE                36000     0        0
BINDLEY WESTN INDS INC         COMMON           090324104    12354     432524   SH          SOLE               417891     0    14633
BIOGEN INC                     COMMON           090597105    51761     452800   SH          SOLE               252400     0   200400
BLAIR CORP                     COMMON           092828102     1976     125450   SH          SOLE               121650     0     3800
BOTTOMLINE TECH DEL INC        COMMON           101388106      893      14000   SH          SOLE                14000     0        0
BOWATER INC                    COMMON           102183100      563      14200   SH          SOLE                 3500     0    10700
BOYDS COLLECTION LTD           COMMON           103354106      180      10000   SH          SOLE                10000     0        0
BRADLEY REAL ESTATE INC        COMMON           104580105     4036     225800   SH          SOLE               218300     0     7500
BRIGHT HORIZON FAMILY SO       COMMON           109195107      219      10000   SH          SOLE                10000     0        0
BRISTOL MYERS SQUIBB CO        COMMON           110122108     7281     113540   SH          SOLE               112740   800        0
BROADCAST COM INC              COMMON           111310108     1418      12000   SH          SOLE                12000     0        0
BROADCOM CORP                  CL A             111320107     1849      30000   SH          SOLE                30000     0        0
BROADVISION INC                COMMON           111412102    20196     338000   SH          SOLE               192400     0   145600
BROOKTROUT TECHNOLOGY IN       COMMON           114580103     1893     180300   SH          SOLE               174500     0     5800
BURLINGTON NORTHN SANTA        FE CORP COMMON   12189T104      373      11361   SH          OTHER                9261     0     2100
BURLINGTON RES INC             COMMON           122014103       40       1000   SH          SOLE                 1000     0        0
CBT GROUP PUB LTD              DEPOSITORY RECEI 124853300      572      50000   SH          SOLE                50000     0        0
CBS CORP                       COMMON           12490K107      954      23369   SH          SOLE                23369     0        0
CDW COMPUTER CTRS INC          COMMON           125129106      690      10000   SH          SOLE                10000     0        0
CIT GROUP INC                  CL A             125577106     2233      73050   SH          SOLE                73050     0        0
CLECO CORP                     COMMON           12561M107     9124     309300   SH          SOLE               299300     0    10000
CSG SYS INTL INC               COMMON           126349109    17488     443444   SH          SOLE               443444     0        0
CVS CORP                       COMMON           126650100     4802     101100   SH          SOLE               101100     0        0
CABLE DESIGN TECHNOLOGIE       COMMON           126924109     1900     172700   SH          SOLE               166700     0     6000
CADENCE DESIGN SYSTEM IN       COMMON           127387108    36485    1416900   SH          SOLE               814700     0   602200
CAL DIVE INTL INC              COMMON           127914109       63       3000   SH          SOLE                 3000     0        0
CALIBER LEARNING NETWORK       COMMON           129914107        6       1500   SH          SOLE                 1500     0        0
CALPINE CORP                   COMMON           131347106     4832     132600   SH          SOLE               128400     0     4200
CAMBRIDGE HEART INC            COMMON           131910101      590      73800   SH          SOLE                73800     0        0
CANANDAIGUA BRANDS INC         CL A             137219200     7662     152100   SH          SOLE               147200     0     4900
CAPITAL ONE FINANCIAL          COMMON           14040H105    86719     574300   SH          SOLE               323200     0   251100
CARDINAL HEALTH INC            COMMON           14149Y108    65546     993122   SH          OTHER              585147     0   407975
CARNIVAL CORP                  COMMON           143658102     8728     179720   SH          SOLE               179720     0        0
CAROLINA PWR & LT CO           COMMON           144141108       23        600   SH          SOLE                  600     0        0
CATAPULT COMMUNICATIONS        COMMON           149016107      259      18700   SH          SOLE                16500     0     2200

<PAGE>

                                                           FORM 13F INFORMATION TABLE

                                              REPORTING MANAGER: DENVER INVESTMENT ADVISORS LLC
                                                                         
                                                                                                                              PAGE 4

- ------------------------------------------------------------------------------------------------------------------------------------
   COLUMN 1                   COLUMN 2          COLUMN 3   COLUMN 4        COLUMN 5        COLUMN 6  COLUMN 7        COLUMN 8 
   --------                   --------          --------   --------   ------------------- ---------- -------- ----------------------
                               TITLE                                                                  OTHER      VOTING AUTHORITY
NAME OF ISSUER                   OF              CUSIP      VALUE     SHRS OR   SH/  PUT/ INVESTMENT  MANA-   ----------------------
                               CLASS             NUMBER   (X$1,000)   PRN AMT   PRN  CALL DISCRETION  GERS     SOLE   SHARED   NONE
- ------------------------------------------------------------------------------------------------------------------------------------

CATERPILLAR INC DEL            COMMON           149123101      147       3200   SH          SOLE                 3200     0        0
CATO CORP NEW                  CL A             149205106     8000     859100   SH          SOLE               830000     0    29100
CEDAR FAIR L P                 DEPOSITRY UNIT   150185106       50       2000   SH          OTHER                2000     0        0
CENDANT CORP                   COMMON           151313103     1126      70682   SH          SOLE                64709     0     5973
CENTENNIAL BANCORP             COMMON           15133T104       10        762   SH          SOLE                  762     0        0
CENTEX CORP                    COMMON           152312104       19        575   SH          SOLE                  575     0        0
CENTRAL HUDSON GAS & ELE       COMMON           153609102     5760     160850   SH          SOLE               155850     0     5000
CENTURY COMMUNICATIONS C       CL A             156503104   121643    2619500   SH          SOLE              1534700     0  1084800
CHANCELLOR MEDIA CORP          COMMON           158915108    55735    1182700   SH          SOLE               663700     0   519000
CHARLES RIVER ASSOCIATES       COMMON           159852102      121       5000   SH          SOLE                    0     0     5000
CHARTER ONE FINL INC           COMMON           160903100      744      25771   SH          SOLE                25771     0        0
CHASE MANHATTAN CORP NEW       COMMON           16161A108        7         90   SH          SOLE                   90     0        0
CHEAP TICKETS INC              COMMON           162672109      841      25000   SH          SOLE                22900     0     2100
CHESAPEAKE CORP                COMMON           165159104     5373     198100   SH          SOLE               191900     0     6200
CHEVRON CORPORATION            COMMON           166751107       16        180   SH          SOLE                  180     0        0
CHICAGO TITLE CORP             COMMON           168228104     5453     149900   SH          SOLE               144600     0     5300
CIENA CORP                     COMMON           171779101      263      11700   SH          SOLE                11700     0        0
CINCINNATI BELL INC            COMMON           171870108      461      20550   SH          DEFINED             20550     0        0
CIRCUIT CITY STORE/GRP         CIRCT CITY GRP   172737108    55312     721850   SH          SOLE               399550     0   322300
CISCO SYS INC                  COMMON           17275R102     2595      23688   SH          SOLE                23188     0      500
CITATION CORP ALA              COMMON           172895104     2924     285300   SH          SOLE               275900     0     9400
CITIGROUP INC                  COMMON           172967101       61        950   SH          SOLE                  950     0        0
CITRIX SYS INC                 COMMON           177376100    32094     841800   SH          SOLE               470200     0   371600
CITY NATL CORP                 COMMON           178566105      797      25800   SH          SOLE                 6000     0    19800
CLEAR CHANNEL COMMUNICAT       COMMON           184502102      409       6100   SH          SOLE                 6100     0        0
CLOROX CO DEL                  COMMON           189054109    64113     547100   SH          SOLE               309500     0   237600
CLOSURE MED CORP               COMMON           189093107       76       2000   SH          SOLE                 2000     0        0
COASTAL CORP                   COMMON           190441105       79       2400   SH          SOLE                 2400     0        0
COCA COLA CO                   COMMON           191216100     2012      32782   SH          OTHER               31982     0      800
COLGATE PALMOLIVE CO           COMMON           194162103      805       8750   SH          SOLE                 8450     0      300
COMCAST CORP                   CL A SPL         200300200      415       6600   SH          SOLE                 6600     0        0
COMMERCIAL FEDERAL CORPO       COMMON           201647104       41       1771   SH          OTHER                1771     0        0
COMMONWEALTH ENERGY SYS        COM SH BEN INT   202800108       61       1600   SH          SOLE                 1000   600        0
COMPAQ COMPUTER CORP           COMMON           204493100     5013     158200   SH          SOLE               158200     0        0
COMPUTER ASSOC INTL INC        COMMON           204912109       12        337   SH          SOLE                  337     0        0
COMPUTER SCIENCES CORP         COMMON           205363104      938      17000   SH          SOLE                16100     0      900
COMPUWARE CORP                 COMMON           205638109    44412    1860200   SH          SOLE              1017500     0   842700
CONCENTRIC NETWORK CORP        COMMON           20589R107    27037     361700   SH          SOLE               203400     0   158300
COM21 INC                      COMMON           205937105     1050      40000   SH          SOLE                23000     0    17000
CONCORD COMMUNICATIONS I       COMMON           206186108     1055      18500   SH          SOLE                18500     0        0
CONCORD EFS INC                COMMON           206197105     1661      60268   SH          OTHER               57018     0     3250
CONCUR TECHNOLOGIES INC        COMMON           206708109      564      12500   SH          SOLE                12500     0        0
<PAGE>

                                                           FORM 13F INFORMATION TABLE

                                              REPORTING MANAGER: DENVER INVESTMENT ADVISORS LLC
                                                                         
                                                                                                                              PAGE 5

- ------------------------------------------------------------------------------------------------------------------------------------
   COLUMN 1                   COLUMN 2          COLUMN 3   COLUMN 4        COLUMN 5        COLUMN 6  COLUMN 7        COLUMN 8 
   --------                   --------          --------   --------   ------------------- ---------- -------- ----------------------
                               TITLE                                                                  OTHER      VOTING AUTHORITY
NAME OF ISSUER                   OF              CUSIP      VALUE     SHRS OR   SH/  PUT/ INVESTMENT  MANA-   ----------------------
                               CLASS             NUMBER   (X$1,000)   PRN AMT   PRN  CALL DISCRETION  GERS     SOLE   SHARED   NONE
- ------------------------------------------------------------------------------------------------------------------------------------

CONMED CORP                    COMMON           207410101     6588     212500   SH          SOLE               205100     0     7400
CONSECO INC                    COMMON           208464107    51364    1663611   SH          OTHER              926729     0   736882
CONSOLIDATED FGHT CORP         COMMON           209232107     1660     141300   SH          SOLE               136100     0     5200
CONSOLIDATED STORES CORP       COMMON           210149100    55059    1816392   SH          OTHER             1023371     0   793021
CONTINENTAL AIRLS INC          CL B             210795308    34276     902000   SH          SOLE               498900     0   403100
CONVERGYS CORP                 COMMON           212485106       14        800   SH          SOLE                  800     0        0
CORDANT TECHNOLOGIES           COMMON           218412104    10089     253420   SH          SOLE               245320     0     8100
CORN PRODS INTL INC            COMMON           219023108        5        200   SH          SOLE                  200     0        0
CORNING INC                    COMMON           219350105    87486    1458100   SH          SOLE               817400 16000   624700
CORPORATE EXECUTIVE BRD        COMMON           21988R102     1319      50000   SH          SOLE                48500     0     1500
COVAD COMMUNICATIONS GRO       COMMON           222814204     1315      20000   SH          SOLE                20000     0        0
COVANCE INC                    COMMON           222816100      128       5100   SH          SOLE                 1100  4000        0
CRESCENDO PHARMACEUTICAL       CL A             225637107        1         40   SH          SOLE                   40     0        0
CRITICAL PATH INC              COMMON           22674V100     1348      17500   SH          SOLE                17500     0        0
CROWN CORK & SEAL INC          COMMON           228255105        8        270   SH          SOLE                  270     0        0
CULLEN FROST BANKERS INC       COMMON           229899109      374       7810   SH          OTHER                4810     0     3000
CYBERIAN OUTPOST INC           COMMON           231914102       99       5000   SH          SOLE                 1000     0     4000
CYTYC CORP                     COMMON           232946103      555      40000   SH          SOLE                40000     0        0
DTE ENERGY CO                  COMMON           233331107     3518      91525   SH          SOLE                72725     0    18800
DANA CORP                      COMMON           235811106       73       1925   SH          SOLE                 1925     0        0
DARDEN RESTAURANTS INC         COMMON           237194105       61       2950   SH          SOLE                 2950     0        0
DAYTON HUDSON CORP             COMMON           239753106     7415     111300   SH          SOLE               111300     0        0
DEL MONTE FOODS CO             COMMON           24522P103      198      15000   SH          SOLE                15000     0        0
DELL COMPUTER CORP             COMMON           247025109       65       1600   SH          OTHER                1600     0        0
DELPHI AUTOMOTIVE SYS          COMMON           247126105       18       1000   SH          SOLE                 1000     0        0
DELPHI FINL GROUP INC          CL A             247131105     6568     193885   SH          SOLE               187270     0     6615
DELTA AIR LINES INC DEL        COMMON           247361108       28        400   SH          SOLE                  400     0        0
DISNEY WALT COMPANY            COMMON           254687106      276       8870   SH          SOLE                 5270   600     3000
DOCUMENTUM INC                 COMMON           256159104      173      10000   SH          SOLE                10000     0        0
DOLLAR GENERAL CORP            COMMON           256669102      357      10506   SH          SOLE                10506     0        0
DOLLAR THRIFTY AUTOMOTIV       COMMON           256743105     4823     279600   SH          SOLE               270600     0     9000
DOW CHEMICAL COMPANY           COMMON           260543103       72        774   SH          SOLE                  774     0        0
DOWNEY FINL CORP               COMMON           261018105     7499     409500   SH          SOLE               395900     0    13600
DRUG EMPORIUM INC              COMMON           262175102       10       2000   SH          SOLE                 2000     0        0
DU PONT E I DE NEMOURS &       CO COMMON        263534109       42        721   SH          OTHER                 721     0        0
<PAGE>

                                                           FORM 13F INFORMATION TABLE

                                              REPORTING MANAGER: DENVER INVESTMENT ADVISORS LLC
                                                                         
                                                                                                                              PAGE 6

- ------------------------------------------------------------------------------------------------------------------------------------
   COLUMN 1                   COLUMN 2          COLUMN 3   COLUMN 4        COLUMN 5        COLUMN 6  COLUMN 7        COLUMN 8 
   --------                   --------          --------   --------   ------------------- ---------- -------- ----------------------
                               TITLE                                                                  OTHER      VOTING AUTHORITY
NAME OF ISSUER                   OF              CUSIP      VALUE     SHRS OR   SH/  PUT/ INVESTMENT  MANA-   ----------------------
                               CLASS             NUMBER   (X$1,000)   PRN AMT   PRN  CALL DISCRETION  GERS     SOLE   SHARED   NONE
- ------------------------------------------------------------------------------------------------------------------------------------

DUANE READE INC                COMMON           263578106     1394      50000   SH          SOLE                50000     0        0
DUCOMMUN INC DEL               COMMON           264147109     5886     627850   SH          SOLE               606700     0    21150
DUKE ENERGY CORP               COMMON           264399106     2650      48352   SH          OTHER               45613  1958      781
DUN & BRADSTREET CORP          COMMON           26483B106     2529      71000   SH          SOLE                71000     0        0
DURA AUTOMOTIVE SYSTEMS        CL A             265903104     5952     210700   SH          SOLE               203600     0     7100
DUPONT PHOTOMASKS INC          COMMON           26613X101      198       5000   SH          SOLE                 5000     0        0
DURA PHARMACEUTICALS INC       COMMON           26632S109     5836     413200   SH          SOLE               398900     0    14300
DYNAMEX INC                    COMMON           26784F103      450     189300   SH          SOLE               189300     0        0
E M C CORP MASS                COMMON           268648102    68717     537900   SH          SOLE               304900     0   233000
E-TEK DYNAMICS INC             COMMON           269240107      359      10000   SH          SOLE                10000     0        0
EARTHGRAINS COMPANY            COMMON           270319106    14051     633288   SH          SOLE               615988     0    17300
EASTGROUP PPTY INC             COMMON           277276101     8512     527900   SH          SOLE               510200     0    17700
EASTMAN CHEMICAL CO            COMMON           277432100        2         50   SH          SOLE                   50     0        0
EASTMAN KODAK CO               COMMON           277461109       13        200   SH          SOLE                  200     0        0
EBAY INC                       COMMON           278642103    35138     255900   SH          SOLE               147600     0   108300
ECOLAB INC                     COMMON           278865100    27249     767580   SH          OTHER              447680     0   319900
EDISON INTL                    COMMON           281020107     2329     104680   SH          OTHER              104680     0        0
J D EDWARDS & CO               COMMON           281667105       17       1400   SH          SOLE                 1400     0        0
ELDER BEERMAN STORES           COMMON           284470101     4443     515100   SH          SOLE               499100     0    16000
ELECTRONIC ARTS INC            COMMON           285512109    17984     378600   SH          SOLE               213100     0   165500
EMERSON ELEC CO                COMMON           291011104      260       4920   SH          OTHER                4920     0        0
ENERGY EAST CORP               COMMON           29266M109     1251      23800   SH          SOLE                 6500     0    17300
ENHANCE FINL SVCS GROUP        COMMON           293310108    11834     514500   SH          SOLE               495900     0    18600
ENRON CORP                     COMMON           293561106     2150      33468   SH          OTHER               31168     0     2300
ENTERCOM COMMUNICATIONS        CL A             293639100       88       2500   SH          SOLE                 2500     0        0
ENTERGY CORP NEW               COMMON           29364G103       25        900   SH          SOLE                  900     0        0
EQUITABLE COS INC              COMMON           29444G107     6916      98800   SH          SOLE                98800     0        0
EVANS & SUTHERLAND COMPU       COMMON           299096107       41       3446   SH          SOLE                 3446     0        0
EVEREN CAPITAL CORP            COMMON           299761106     7107     363300   SH          SOLE               351700     0    11600
EXODUS COMMUNICATIONS IN       COMMON           302088109     1345      10000   SH          SOLE                10000     0        0
EXXON CORP                     COMMON           302290101     1487      21079   SH          OTHER               15079  6000        0
FBL FINL GROUP INC             CL A             30239F106     4629     260800   SH          SOLE               252000     0     8800
FACTSET RESH SYS INC           COMMON           303075105      541      12500   SH          SOLE                12500     0        0
FAMILY DLR STORES INC          COMMON           307000109   119471    5194400   SH          SOLE              3026500     0  2167900
FASTENAL COMPANY               COMMON           311900104    27240     776900   SH          SOLE               432100     0   344800
FEDERAL MOGUL CORP             COMMON           313549107    10743     251300   SH          SOLE               141000     0   110300
FEDERAL NATL MTG ASSN          COMMON           313586109      173       2500   SH          SOLE                 2500     0        0
FIFTH THIRD BANCORP            COMMON           316773100       33        505   SH          SOLE                  505     0        0
FINOVA GROUP INC               COMMON           317928109    35425     682900   SH          SOLE               378000     0   304900
FIRST AMERN FINL CORP          COMMON           318522307       14        900   SH          SOLE                  900     0        0
FIRST CONSULTING GROUP I       COMMON           31986R103       83       7500   SH          SOLE                 7500     0        0
FIRST DATA CORP                COMMON           319963104     2789      65248   SH          OTHER               59146  1268     4834
FIRST SEC CORP DEL             COMMON           336294103       85       4387   SH          OTHER                4387     0        0
FIRSTAR CORP NEW WIS           COMMON           33763V109    76467     854375   SH          OTHER              477875     0   376500
FISERV INC                     COMMON           337738108    81077    1511919   SH          OTHER              856019     0   655900
FLEET FINL GROUP INC NEW       COMMON           338915101      406      10782   SH          SOLE                 8082  2700        0
FLOWERS INDS INC               COMMON           343496105     4846     196800   SH          SOLE               190900     0     5900
<PAGE>

                                                           FORM 13F INFORMATION TABLE

                                              REPORTING MANAGER: DENVER INVESTMENT ADVISORS LLC
                                                                         
                                                                                                                              PAGE 7

- ------------------------------------------------------------------------------------------------------------------------------------
   COLUMN 1                   COLUMN 2          COLUMN 3   COLUMN 4        COLUMN 5        COLUMN 6  COLUMN 7        COLUMN 8 
   --------                   --------          --------   --------   ------------------- ---------- -------- ----------------------
                               TITLE                                                                  OTHER      VOTING AUTHORITY
NAME OF ISSUER                   OF              CUSIP      VALUE     SHRS OR   SH/  PUT/ INVESTMENT  MANA-   ----------------------
                               CLASS             NUMBER   (X$1,000)   PRN AMT   PRN  CALL DISCRETION  GERS     SOLE   SHARED   NONE
- ------------------------------------------------------------------------------------------------------------------------------------

FORD MTR CO DEL                COMMON           345370100        9        163   SH          SOLE                  163     0        0
FOREST LABS INC                CL A             345838106   150582    2671080   SH          SOLE              1531280     0  1139800
FORTUNE BRANDS INC             COMMON           349631101       12        300   SH          SOLE                  300     0        0
FOX ENTMT GROUP INC            CL A             35138T107     1967      72500   SH          SOLE                60700     0    11800
FRANKLIN RES INC               COMMON           354613101        6        205   SH          SOLE                  205     0        0
FRED'S INC                     CL A             356108100     6549     595400   SH          SOLE               575500     0    19900
FREMONT GEN CORP               COMMON           357288109     6873     360560   SH          SOLE               349060     0    11500
FRENCH FRAGRANCES INC          COMMON           357658103      995     173000   SH          SOLE               165600     0     7400
FRONTIER CORP                  COMMON           35906P105   153734    2963550   SH          OTHER             1731250     0  1232300
FRONTIER INS GROUP INC N       COMMON           359081106      138      11641   SH          OTHER                7189     0     4452
FURNITURE BRANDS INTL IN       COMMON           360921100      708      32000   SH          SOLE                 8100     0    23900
GPU INC                        COMMON           36225X100     4463     119600   SH          SOLE               119600     0        0
GTE CORP                       COMMON           362320103     1041      17209   SH          OTHER               13099  4110        0
GANNETT INC                    COMMON           364730101      151       2400   SH          SOLE                 2400     0        0
GATEWAY 2000 INC               COMMON           367833100       24        350   SH          OTHER                 350     0        0
GENERAL DYNAMICS CORP          COMMON           369550108     4555      70900   SH          SOLE                70900     0        0
GENERAL ELEC CO                COMMON           369604103     9354      84556   SH          OTHER               77456  6400      700
GENERAL GROWTH PPTYS INC       COMMON           370021107      321       9900   SH          OTHER                9900     0        0
GENERAL MILLS INC              COMMON           370334104        8        102   SH          SOLE                  102     0        0
GENERAL MTRS CORP              COMMON           370442105     5925      68101   SH          SOLE                68101     0        0
GENERAL MTRS CORP CL H         -                370442832    36542     724500   SH          SOLE               420000     0   304500
GENTEX CORP                    COMMON           371901109     9658     447890   SH          SOLE               203190     0   244700
GENUINE PARTS CO               COMMON           372460105        9        300   SH          SOLE                  300     0        0
GEOCITIES                      COMMON           37247V106     1096      10000   SH          SOLE                10000     0        0
GILEAD SCIENCES INC            COMMON           375558103    51879    1140200   SH          SOLE               640800     0   499400
GILLETTE CO                    COMMON           375766102     1943      32684   SH          OTHER               31042     0     1642
GOLDEN OIL CO DEL              COM PAR $.01     381140300        0         49   SH          OTHER                  49     0        0
GOLDEN STATE BANCORP           COMMON           381197102    13496     606550   SH          SOLE               585650     0    20900
GOLDEN WEST FINL CORP DE       COMMON           381317106     5974      62550   SH          SOLE                62550     0        0
GOODRICH B F CO                COMMON           382388106       34       1000   SH          SOLE                 1000     0        0
GREAT ATLANTIC & PAC TEA       COMMON           390064103     4455     148500   SH          SOLE               142200     0     6300
GUIDANT CORP                   COMMON           401698105   113569    1877180   SH          OTHER             1064080     0   813100
GULFSTREAM AEROSPACE           COMMON           402734107    30848     711200   SH          SOLE               395200     0   316000
HCR MANOR CARE INC             COMMON           404134108       21        900   SH          SOLE                  900     0        0
HANOVER COMPRESSOR CO          COMMON           410768105       40       1500   SH          SOLE                 1500     0        0
HARLEY DAVIDSON INC            COMMON           412822108     6093     106200   SH          SOLE               106200     0        0
HARTFORD LIFE INC              CL A             416592103    29765     541190   SH          OTHER              308840     0   232350
HAVERTY FURNITURE INC          COMMON           419596101     2606     102700   SH          SOLE                99400     0     3300
HAWAIIAN ELEC INDUSTRIES       COMMON           419870100       95       2700   SH          SOLE                 2700     0        0
HEALTHSOUTH CORP               COMMON           421924101       46       4400   SH          SOLE                 4400     0        0
HEALTHCARE RLTY TR             COMMON           421946104       46       2400   SH          OTHER                2400     0        0
HEALTH CARE REIT INC           COMMON           42217K106     7366     342600   SH          SOLE               331800     0    10800
<PAGE>

                                                           FORM 13F INFORMATION TABLE

                                              REPORTING MANAGER: DENVER INVESTMENT ADVISORS LLC
                                                                         
                                                                                                                              PAGE 8

- ------------------------------------------------------------------------------------------------------------------------------------
   COLUMN 1                   COLUMN 2          COLUMN 3   COLUMN 4        COLUMN 5        COLUMN 6  COLUMN 7        COLUMN 8 
   --------                   --------          --------   --------   ------------------- ---------- -------- ----------------------
                               TITLE                                                                  OTHER      VOTING AUTHORITY
NAME OF ISSUER                   OF              CUSIP      VALUE     SHRS OR   SH/  PUT/ INVESTMENT  MANA-   ----------------------
                               CLASS             NUMBER   (X$1,000)   PRN AMT   PRN  CALL DISCRETION  GERS     SOLE   SHARED   NONE
- ------------------------------------------------------------------------------------------------------------------------------------

HEALTHDYNE INC                 SDCV  8.000 12/3 422203AA7        0        440   PRN         SOLE                  440     0        0
HEALTHEON CORP                 COMMON           422209106      106       2500   SH          SOLE                 2500     0        0
HELLER FINANCIAL INC           CL A             423328103    10603     451200   SH          SOLE               437300     0    13900
HERSHEY FOODS CORP             COMMON           427866108      835      14900   SH          OTHER                5000     0     9900
HERTZ CORP                     CL A             428040109     5302      99100   SH          SOLE                99100     0        0
HEWLETT PACKARD CO             COMMON           428236103      362       5335   SH          OTHER                5335     0        0
HIBBETT SPORTING GOODS I       COMMON           428565105      104       5000   SH          SOLE                 5000     0        0
HILTON HOTELS CORP             COMMON           432848109    14085    1001600   SH          SOLE               580900     0   420700
HOME DEPOT INC                 COMMON           437076102     2980      47878   SH          OTHER               46178     0     1700
HONEYWELL INC                  COMMON           438506107      277       3650   SH          SOLE                 3650     0        0
HORIZON ORGANIC HOLDING        COMMON           44043T103       97       6600   SH          SOLE                 6600     0        0
HOUSEHOLD INTL INC             COMMON           441815107     5399     118325   SH          OTHER              114125     0     4200
HUFFY CORP                     COMMON           444356109     2364     197000   SH          SOLE               190400     0     6600
HUMANA INC                     COMMON           444859102       33       1900   SH          SOLE                 1900     0        0
ICN PHARMACEUTICALS INC        COMMON           448924100       13        500   SH          SOLE                  500     0        0
HYPERION SOLUTIONS CORP        COMMON           44914M104      461      31800   SH          SOLE                31800     0        0
IDG BOOKS WORLDWIDE INC        CL A             449384106      399      16000   SH          SOLE                16000     0        0
IMS HEALTH INC                 COMMON           449934108    49780    1502800   SH          OTHER              850100     0   652700
ISS GROUP INC                  COMMON           450306105      278       3500   SH          SOLE                 3500     0        0
IVI CHECKMATE LTD              COMMON           45070T205        3        400   SH          SOLE                  400     0        0
IMPCO TECHNOLOGIES INC         COM NEW          45255W106       41       4000   SH          SOLE                 4000     0        0
IMATRON INC                    COMMON           452906100        1       1000   SH          SOLE                    0     0     1000
IN FOCUS SYS INC               COMMON           452919103     3001     343000   SH          SOLE               332200     0    10800
INDIANA ENERGY INC             COMMON           454707100      152       8000   SH          OTHER                8000     0        0
INFINITY BROADCASTING CP       CL A             45662S102    72582    2818700   SH          SOLE              1516200     0  1302500
INFORMIX CORP                  COMMON           456779107    25779    3495400   SH          SOLE              1997400     0  1498000
INFOSPACE COM INC              COMMON           45678T102      461       5200   SH          SOLE                 5200     0        0
INGERSOLL RAND CO              COMMON           456866102     5866     118200   SH          SOLE               118200     0        0
INKTOMI CORP                   COMMON           457277101      463       5400   SH          SOLE                 5400     0        0
INSIGHT ENTERPRISES INC        COMMON           45765U103     2966     119853   SH          SOLE                69228     0    50625
INNKEEPERS USA TR              COMMON           4576J0104     4709     505700   SH          SOLE               489800     0    15900
INSPIRE INS SOLUTIONS IN       COMMON           457732105     2402     126420   SH          SOLE               103920     0    22500
INSURANCE MGMT SOLUTIONS       COMMON           458045101      135      15000   SH          SOLE                15000     0        0
INTEGRATED DEVICE TECH         COMMON           458118106     5072     938200   SH          SOLE               908300     0    29900
INTEL CORP                     COMMON           458140100     2404      20220   SH          OTHER               19520     0      700
INTERIM SVCS INC               COMMON           45868P100    23883    1592200   SH          SOLE               896800     0   695400
INTERNATIONAL BUS MACH         COMMON           459200101     8271      46664   SH          OTHER               46664     0        0
INTERNATIONAL NETWORK SV       COMMON           460053101      420       6000   SH          SOLE                 1000     0     5000
INTERPUBLIC GROUP COS IN       COMMON           460690100      175       2250   SH          SOLE                 2250     0        0
INTIMATE BRANDS INC            CL A             461156101     2628      54600   SH          SOLE                54600     0        0
INTRAWARE INC                  COMMON           46118M103      200       5000   SH          SOLE                 5000     0        0
INTUIT INC                     COMMON           461202103   244841    2406300   SH          SOLE              2103300     0   303000
<PAGE>

                                                           FORM 13F INFORMATION TABLE

                                              REPORTING MANAGER: DENVER INVESTMENT ADVISORS LLC
                                                                         
                                                                                                                              PAGE 9

- ------------------------------------------------------------------------------------------------------------------------------------
   COLUMN 1                   COLUMN 2          COLUMN 3   COLUMN 4        COLUMN 5        COLUMN 6  COLUMN 7        COLUMN 8 
   --------                   --------          --------   --------   ------------------- ---------- -------- ----------------------
                               TITLE                                                                  OTHER      VOTING AUTHORITY
NAME OF ISSUER                   OF              CUSIP      VALUE     SHRS OR   SH/  PUT/ INVESTMENT  MANA-   ----------------------
                               CLASS             NUMBER   (X$1,000)   PRN AMT   PRN  CALL DISCRETION  GERS     SOLE   SHARED   NONE
- ------------------------------------------------------------------------------------------------------------------------------------

IONA TECHNOLOGIES PLC          DEPOSITORY RECEI 46206P109      228       7500   SH          SOLE                 7500     0        0
IONICS INC                     COMMON           462218108       18        600   SH          SOLE                    0   600        0
IVILLAGE INC                   COMMON           46588H105      151       1500   SH          SOLE                 1500     0        0
JDN RLTY CORP                  COMMON           465917102       42       2100   SH          SOLE                 2100     0        0
JABIL CIRCUIT INC              COMMON           466313103    41853    1033400   SH          SOLE               580600     0   452800
JOHNSON & JOHNSON              COMMON           478160104     1368      14631   SH          OTHER                8921     0     5710
JOHNSON CTLS INC               COMMON           478366107       65       1050   SH          SOLE                 1050     0        0
JOHNSTOWN AMER INDS INC        COMMON           479477101     4311     289800   SH          SOLE               280600     0     9200
JONES APPAREL GROUP INC        COMMON           480074103    53495    1914800   SH          SOLE              1075500     0   839300
JONES LANG LASALLE INC         COMMON           48020Q107      390      13000   SH          SOLE                13000     0        0
K MART CORP                    COMMON           482584109     5921     352175   SH          SOLE               352175     0        0
KN ENERGY INC                  COMMON           482620101      190       9545   SH          DEFINED              6395  1350     1800
KANSAS CITY PWR & LT CO        COMMON           485134100      269      10916   SH          SOLE                 5916  5000        0
KANSAS CITY SOUTHN INDS        COMMON           485170104    84508    1482600   SH          SOLE               887000     0   595600
KELLSTROM INDS INC             COMMON           488035106     6669     420100   SH          SOLE               405600     0    14500
KEY PRODTN INC                 COMMON           493138101       25       3500   SH          SOLE                 3500     0        0
KEYSTONE AUTOMOTIVE INDS       COMMON           49338N109      301      18500   SH          SOLE                18500     0        0
KIMBERLY CLARK CORP            COMMON           494368103       38        800   SH          SOLE                  800     0        0
KING WORLD PRODTNS INC         COMMON           495667107    27405     896700   SH          SOLE               506900     0   389800
KNIGHT/TRIMARK GROUP INC       CL A             499067106    38485     574400   SH          SOLE               308300     0   266100
KOHLS CORP                     COMMON           500255104   118836    1676700   SH          SOLE               986000     0   690700
KORN FERRY INTL                COM NEW          500643200       13       1000   SH          SOLE                 1000     0        0
KROGER CO                      COMMON           501044101     6155     102800   SH          SOLE               102800     0        0
LSB INDS INC PFD CV 10%        CV PFD $10.000   502160203        0        135   SH          SOLE                  135     0        0
LADD FURNITURE INC             COM PAR $0.30    505739201     4757     277800   SH          SOLE               268500     0     9300
LAFARGE CORP                   COMMON           505862102     8163     291550   SH          SOLE               282450     0     9100
LANDAMERICA FINL GROUP I       COMMON           514936103     6925     238800   SH          SOLE               231400     0     7400
LASALLE HOTEL PPTYS            COM SH BEN INT   517942108       29       2200   SH          SOLE                 2200     0        0
LAUDER ESTEE COS INC           CL A             518439104    41797     442300   SH          SOLE               248800     0   193500
LEARNING COMPANY INC           COMMON           522008101      270       9300   SH          SOLE                 9300     0        0
LEHMAN BROS HLDGS INC          COMMON           524908100     5933      99300   SH          SOLE                85600     0    13700
LEVEL 3 COMMUNICATIONS I       COMMON           52729N100        7        100   SH          SOLE                  100     0        0
LEXMARK INTL GROUP INC         CL A             529771107    36594     327100   SH          SOLE               180800     0   146300
LIBERTY PPTY TR                SH BEN INT       531172104     8244     397300   SH          SOLE               384800     0    12500
LIFECORE BIOMEDICAL INC        COMMON           532187101     6287     723700   SH          SOLE               404400     0   319300
LILLY ELI & CO                 COMMON           532457108       36        420   SH          SOLE                  420     0        0
LIMITED INC                    COMMON           532716107       36        900   SH          SOLE                  900     0        0
LINCARE HLDGS INC              COMMON           532791100    20728     737000   SH          SOLE               431500     0   305500
LINDSAY MFG CO                 COMMON           535555106       21       1050   SH          SOLE                 1050     0        0
LINEAR TECHNOLOGY CORP         COMMON           535678106    50543     986200   SH          SOLE               559400     0   426800
LONE STAR INDS INC             COM NEW          542290408     9024     291100   SH          SOLE               281900     0     9200
<PAGE>

                                                           FORM 13F INFORMATION TABLE

                                              REPORTING MANAGER: DENVER INVESTMENT ADVISORS LLC
                                                                         
                                                                                                                             PAGE 10

- ------------------------------------------------------------------------------------------------------------------------------------
   COLUMN 1                   COLUMN 2          COLUMN 3   COLUMN 4        COLUMN 5        COLUMN 6  COLUMN 7        COLUMN 8 
   --------                   --------          --------   --------   ------------------- ---------- -------- ----------------------
                               TITLE                                                                  OTHER      VOTING AUTHORITY
NAME OF ISSUER                   OF              CUSIP      VALUE     SHRS OR   SH/  PUT/ INVESTMENT  MANA-   ----------------------
                               CLASS             NUMBER   (X$1,000)   PRN AMT   PRN  CALL DISCRETION  GERS     SOLE   SHARED   NONE
- ------------------------------------------------------------------------------------------------------------------------------------

LOWES COS INC                  COMMON           548661107    93191    1540350   SH          OTHER              895200     0   645150
LUCENT TECHNOLOGIES INC        COMMON           549463107      930       8614   SH          OTHER                8614     0        0
MAF BANCORP INC                COMMON           55261R108     3169     142445   SH          SOLE               136895     0     5550
MBNA CORP                      COMMON           55262L100     2625     109947   SH          OTHER               97983     0    11964
M D C HLDGS INC                COMMON           552676108     4377     304500   SH          SOLE               294900     0     9600
MCN ENERGY GROUP INC           COMMON           55267J100       14        900   SH          OTHER                 900     0        0
MCI WORLDCOM INC               COMMON           55268B106    10360     116983   SH          OTHER              101124  3121    12738
MGIC INVT CORP WIS             COMMON           552848103      177       5056   SH          OTHER                4456     0      600
M/I SCHOTTENSTEIN HOMES        COMMON           55305B101     2433     137050   SH          SOLE               132450     0     4600
MMC NETWORKS INC               COMMON           55308N102      347      21700   SH          SOLE                21700     0        0
MSC INDL DIRECT INC            CL A             553530106    18092    1064260   SH          DEFINED            550860     0   513400
MAC-GRAY CORP                  COMMON           554153106     2013     219100   SH          SOLE               211700     0     7400
MACK CALI RLTY CORP            COMMON           554489104     2347      79900   SH          SOLE                75700     0     4200
MANHATTAN ASSOCS INC           COMMON           562750109      106      10000   SH          SOLE                10000     0        0
MARKETWATCH COM INC            COMMON           570619106      266       3600   SH          SOLE                 3600     0        0
MARSH & MCLENNAN COS INC       COMMON           571748102       67        900   SH          OTHER                 900     0        0
MATTEL INC                     COMMON           577081102    33147    1329200   SH          SOLE               743400     0   585800
MAXIM INTEGRATED PRODS I       COMMON           57772K101    32129     593600   SH          SOLE               318000     0   275600
MCDONALDS CORP                 COMMON           580135101     1198      26440   SH          OTHER               26440     0        0
MCKESSON HBOC INC              COMMON           58155Q103    95738    1450582   SH          OTHER              832656     0   617926
MEDCO RESEARCH INC             COMMON           584059109     3990     153450   SH          SOLE               148650     0     4800
MEDIAONE GROUP INC             COMMON           58440J104      102       1600   SH          SOLE                 1600     0        0
MEDICAL MANAGER CORP           COMMON           58461C103      731      31600   SH          SOLE                21600     0    10000
MEDTRONIC INC                  COMMON           585055106     1219      16954   SH          SOLE                16954     0        0
MERCK & CO INC                 COMMON           589331107     1662      20740   SH          OTHER               20740     0        0
MERCURY INTERACTIVE CORP       COMMON           589405109      283       7950   SH          SOLE                 7950     0        0
MEREDITH CORP                  COMMON           589433101      327      10400   SH          SOLE                10400     0        0
METAMOR WORLDWIDE INC          COMMON           59133P100      506      36150   SH          SOLE                36150     0        0
MEYER FRED INC                 COMMON           592907109       94       1600   SH          OTHER                1600     0        0
MICROSOFT CORP                 COMMON           594918104     3569      39818   SH          DEFINED             39318   100      400
MICROSTRATEGY INC              CL A             594972101      356      18500   SH          SOLE                18500     0        0
MICROCHIP TECHNOLOGY INC       COMMON           595017104    36550    1055600   SH          SOLE               592000     0   463600
MICRON TECHNOLOGY INC          COMMON           595112103    45142     936800   SH          SOLE               519100     0   417700
MILACRON INC                   COMMON           598709103       28       1800   SH          SOLE                 1800     0        0
MINDSPRING ENTERPRISES         COMMON           602683104    35217     409200   SH          SOLE               221000     0   188200
MINIMED INC                    COMMON           60365K108       69        680   SH          SOLE                  680     0        0
MININGCO COM INC               COMMON           60366T108      448       5000   SH          SOLE                 5000     0        0
MINNESOTA MNG & MFG CO         COMMON           604059105       11        150   SH          SOLE                  150     0        0
MOBIUS MGMT SYSTEMS INC        COMMON           606925105      315      15000   SH          SOLE                15000     0        0
MOBIL CORP                     COMMON           607059102     1698      19300   SH          OTHER               13700  5400      200
<PAGE>

                                                           FORM 13F INFORMATION TABLE

                                              REPORTING MANAGER: DENVER INVESTMENT ADVISORS LLC
                                                                         
                                                                                                                             PAGE 11

- ------------------------------------------------------------------------------------------------------------------------------------
   COLUMN 1                   COLUMN 2          COLUMN 3   COLUMN 4        COLUMN 5        COLUMN 6  COLUMN 7        COLUMN 8 
   --------                   --------          --------   --------   ------------------- ---------- -------- ----------------------
                               TITLE                                                                  OTHER      VOTING AUTHORITY
NAME OF ISSUER                   OF              CUSIP      VALUE     SHRS OR   SH/  PUT/ INVESTMENT  MANA-   ----------------------
                               CLASS             NUMBER   (X$1,000)   PRN AMT   PRN  CALL DISCRETION  GERS     SOLE   SHARED   NONE
- ------------------------------------------------------------------------------------------------------------------------------------

MODEM MEDIA POPPE TYSON        CL A             607533106      643      15000   SH          SOLE                14600     0      400
MOMENTUM BUSINESS APPS I       CL A             60877P108       26       2900   SH          SOLE                 2900     0        0
MONACO COACH CORP              COMMON           60886R103     7248     314275   SH          SOLE               304400     0     9875
MONOGENESIS CORP               COMMON           60975R105        0          1   SH          SOLE                    0     0        1
MONSANTO COMPANY               COMMON           611662107      735      15990   SH          SOLE                15990     0        0
MONY GROUP INC                 COMMON           615337102      535      21500   SH          SOLE                21500     0        0
MOOG INC                       CL A             615394202     2571      84300   SH          SOLE                81700     0     2600
MORGAN STAN DEAN WITTR         COM NEW          617446448     4987      49900   SH          SOLE                49900     0        0
MORRISON KNUDSEN CORP          COMMON           61844A109     7514     756100   SH          SOLE               730600     0    25500
MOTOROLA INC                   COMMON           620076109     6790      92700   SH          SOLE                91700     0     1000
MULTEX COM INC                 COMMON           625367107      988      15800   SH          SOLE                15800     0        0
MUTUAL RISK MGMT LTD           COMMON           628351108    69111    1795095   SH          OTHER              907401  1400   886294
MYLAN LABS INC                 COMMON           628530107    30349    1106130   SH          OTHER              626930     0   479200
NCR CORP NEW                   COMMON           62886E108    38769     775381   SH          SOLE               433981     0   341400
NTS PROPERTIES                 NTS PROPERTIES V 62942E407        1          2   SH          SOLE                    2     0        0
NABORS INDUSTRIES INC          COMMON           629568106    65779    3616700   SH          SOLE              2030000     0  1586700
NABORS INDS INC                NOTE  5.000  5/1 629568AA4      186     165000   PRN         SOLE               165000     0        0
NATIONWIDE FINL SVCS INC       CL A             638612101    28667     682550   SH          OTHER              382850     0   299700
NAVISTAR INTL CORP             COMMON           63934E108       56       1400   SH          SOLE                 1400     0        0
NAVIGANT INTL INC              COMMON           63935R108        0          1   SH          SOLE                    1     0        0
NEON SYS INC                   COMMON           640509105       55       1000   SH          SOLE                 1000     0        0
NETWORK ASSOCIATES INC         COMMON           640938106     9140     297850   SH          SOLE               174550     0   123300
NETGRAVITY INC                 COMMON           641114103     1655      40000   SH          SOLE                40000     0        0
NETWORK APPLIANCE INC          COMMON           64120L104      354       7000   SH          SOLE                 7000     0        0
NEVADA POWER CO                COMMON           641423108       25       1000   SH          SOLE                 1000     0        0
NEW CENTURY ENERGIES           COMMON           64352U103      436      12805   SH          OTHER               12805     0        0
NEWBRIDGE NETWORKS CORP        COMMON           650901101    35532    1128000   SH          SOLE               598600     0   529400
NEWELL RUBBERMAID INC          COMMON           651229106       52       1100   SH          OTHER                 700     0      400
NEWPARK RES INC                COM PAR $.01NEW  651718504       15       2000   SH          SOLE                 2000     0        0
NEXTEL COMMUNICATIONS IN       CL A             65332V103       37       1000   SH          SOLE                 1000     0        0
NIKE INC CL B                  CL B             654106103      112       1944   SH          SOLE                 1800     0      144
NOKIA CORP                     DEPOSITORY RECEI 654902204      369       2368   SH          SOLE                 2368     0        0
NOBLE DRILLING CORP            COMMON           655042109    37233    2142900   SH          SOLE              1187000     0   955900
NORDSTROM INC                  COMMON           655664100    35230     861905   SH          SOLE               483405     0   378500
NORTEL NETWORKS CORP           COMMON           656569100       10        155   SH          SOLE                  155     0        0
NOVELL INC                     COMMON           670006105    66311    2632700   SH          SOLE              1632300     0  1000400
NOVOSTE CORP                   COMMON           67010C100     1021      42523   SH          SOLE                42523     0        0
NVIDIA CORP                    COMMON           67066G104       53       2500   SH          SOLE                 2500     0        0
OCEAN ENERGY INC               COM NEW          674812201        0       9200   SH          SOLE                 9200     0        0
OFFICE DEPOT INC               COMMON           676220106    72614    1939600   SH          OTHER             1093500     0   846100
OMNICOM GROUP INC              COMMON           681919106    77167     965336   SH          SOLE               553836     0   411500
ONEMAIN COM INC                COMMON           68267P109    39538    1090700   SH          SOLE               609100     0   481600
<PAGE>

                                                           FORM 13F INFORMATION TABLE

                                              REPORTING MANAGER: DENVER INVESTMENT ADVISORS LLC
                                                                         
                                                                                                                             PAGE 12

- ------------------------------------------------------------------------------------------------------------------------------------
   COLUMN 1                   COLUMN 2          COLUMN 3   COLUMN 4        COLUMN 5        COLUMN 6  COLUMN 7        COLUMN 8 
   --------                   --------          --------   --------   ------------------- ---------- -------- ----------------------
                               TITLE                                                                  OTHER      VOTING AUTHORITY
NAME OF ISSUER                   OF              CUSIP      VALUE     SHRS OR   SH/  PUT/ INVESTMENT  MANA-   ----------------------
                               CLASS             NUMBER   (X$1,000)   PRN AMT   PRN  CALL DISCRETION  GERS     SOLE   SHARED   NONE
- ------------------------------------------------------------------------------------------------------------------------------------

ORACLE CORP                    COMMON           68389X105      328      12442   SH          SOLE                11992     0      450
ORTHODONTIC CTRS AMER IN       COMMON           68750P103    47754    3032000   SH          SOLE              1677700     0  1354300
OSHKOSH TRUCK CORP             COMMON           688239201     2347      72200   SH          SOLE                69900     0     2300
OUTDOOR SYS INC                COMMON           690057104      843      28100   SH          SOLE                 6200     0    21900
OXFORD INDS INC                COMMON           691497309     6242     256100   SH          SOLE               247500     0     8600
P F CHANGS CHINA BISTRO        COMMON           69333Y108      793      26000   SH          SOLE                26000     0        0
PACIFIC GATEWAY EXCHANGE       COMMON           694327107    67208    2025100   SH          SOLE              1115700     0   909400
PACIFICARE HEALTH SYS DE       CL B             695112201       48        700   SH          SOLE                  700     0        0
PAGING NETWORK INC             COMMON           695542100    10306    2198706   SH          SOLE              2198706     0        0
PAN PACIFIC PETE INC           COMMON           697914109        0       2000   SH          OTHER                2000     0        0
PARAMETRIC TECHNOLOGY CO       COMMON           699173100    16604     840700   SH          SOLE               472400     0   368300
PARKWAY PPTYS INC              COMMON           70159Q104     7881     279600   SH          SOLE               270400     0     9200
PAULA FINL DEL                 COMMON           703588103       29       4100   SH          SOLE                 4100     0        0
PAYCHEX INC                    COMMON           704326107    38780     817500   SH          SOLE               463500     0   354000
PCORDER COM INC                CL A             70453H107      283       5000   SH          SOLE                 5000     0        0
PEDIATRIX MEDICAL GP           COMMON           705324101    40182    1428700   SH          SOLE               797800     0   630900
PENNZENERGY CO                 COMMON           70931Q109       22       2083   SH          SOLE                 2083     0        0
PENNZOIL-QUAKER STATE CO       COMMON           709323109       26       2083   SH          SOLE                 2083     0        0
PEOPLESOFT INC                 COMMON           712713106     1097      75000   SH          SOLE                75000     0        0
PEPSI BOTTLING GROUP           COMMON           713409100    31310    1443700   SH          SOLE               816000     0   627700
PEPSICO INC                    COMMON           713448108     2944      75132   SH          OTHER               62532  9000     3600
PERIPHONICS CORP               COMMON           714005105     1784     282600   SH          SOLE               273700     0     8900
PERKIN ELMER CORP              COMMON           714041100    50550     520795   SH          SOLE               299595     0   221200
PERSONNEL GROUP AMER INC       COMMON           715338109     3699     514600   SH          SOLE               496800     0    17800
PETROLEUM GEO-SVCS A/S         DEPOSITORY RECEI 716597109      236      15500   SH          SOLE                15500     0        0
PETSMART INC                   COMMON           716768106    26843    3342300   SH          SOLE              1848400     0  1493900
PFIZER INC                     COMMON           717081103     4523      32600   SH          SOLE                18420 13680      500
PHELPS DODGE CORP              COMMON           717265102        7        140   SH          SOLE                  140     0        0
PHILIP MORRIS COS              COMMON           718154107       73       2077   SH          SOLE                 2077     0        0
PHYSICIAN RELIANCE NETWO       COMMON           71940G108     4366     513700   SH          SOLE               496900     0    16800
PINNACLE WEST CAP CORP         COMMON           723484101      848      23300   SH          SOLE                 5900     0    17400
PIONEER HI BRED INTL INC       COMMON           723686101      103       2750   SH          OTHER                2750     0        0
PLATINUM TECHNOLOGY            COMMON           72764T101      476      18680   SH          SOLE                    0     0    18680
POLYMEDICA CORP                COMMON           731738100     2539     338500   SH          SOLE               327100     0    11400
POMEROY COMPUTER RES           COMMON           731822102     3717     285900   SH          SOLE               277000     0     8900
PRICELINE COM INC              COMMON           741503106     2072      25000   SH          SOLE                25000     0        0
PRIMACOM AG                    DEPOSITORY RECEI 74154N108       70       4000   SH          SOLE                 4000     0        0
PRIMEX TECHNOLOGIES INC        COMMON           741597108     2749     132500   SH          SOLE               128100     0     4400
PRIDE INTL INC                 COMMON           741932107       18       2200   SH          SOLE                 2200     0        0
PRIORITY HEALTHCARE CORP       CL B             74264T102        0          6   SH          SOLE                    6     0        0
PROBUSINESS SERVICES INC       COMMON           742674104       33        787   SH          DEFINED               787     0        0
PROCTER & GAMBLE CO            COMMON           742718109      470       4800   SH          SOLE                 4800     0        0
<PAGE>

                                                           FORM 13F INFORMATION TABLE

                                              REPORTING MANAGER: DENVER INVESTMENT ADVISORS LLC
                                                                         
                                                                                                                             PAGE 13

- ------------------------------------------------------------------------------------------------------------------------------------
   COLUMN 1                   COLUMN 2          COLUMN 3   COLUMN 4        COLUMN 5        COLUMN 6  COLUMN 7        COLUMN 8 
   --------                   --------          --------   --------   ------------------- ---------- -------- ----------------------
                               TITLE                                                                  OTHER      VOTING AUTHORITY
NAME OF ISSUER                   OF              CUSIP      VALUE     SHRS OR   SH/  PUT/ INVESTMENT  MANA-   ----------------------
                               CLASS             NUMBER   (X$1,000)   PRN AMT   PRN  CALL DISCRETION  GERS     SOLE   SHARED   NONE
- ------------------------------------------------------------------------------------------------------------------------------------

PRODIGY COMMUNICATIONS C       COMMON           74283P107      768      20000   SH          SOLE                20000     0        0
PROVIDIAN FINL CORP            COMMON           74406A102    68657     624150   SH          SOLE               352650     0   271500
PUBLIC SVC ENTERPRISE GR       COMMON           744573106     1086      28450   SH          SOLE                 7450     0    21000
QRS CORP                       COMMON           74726X105     3372      53900   SH          SOLE                53900     0        0
QUEST DIAGNOSTICS INC          COMMON           74834L100       46       2050   SH          SOLE                  550  1500        0
QUESTAR CORP                   COMMON           748356102      213      12600   SH          SOLE                 1400 11200        0
QWEST COMMUNICATIONS INT       COMMON           749121109    54485     755750   SH          SOLE               426850     0   328900
R & B FALCON CORP              COMMON           74912E101    26750    3101394   SH          SOLE              1701624     0  1399770
RALCORP HLDGS INC NEW          COMMON           751028101    14569     766800   SH          SOLE               741500     0    25300
RALSTON PURINA CO              COM RAL-PUR GP   751277302      132       4931   SH          SOLE                 4931     0        0
RARE HOSPITALITY INTL          COMMON           753820109     6084     442500   SH          SOLE               427600     0    14900
RAYTHEON CO                    CL A             755111309        2         38   SH          SOLE                   38     0        0
RAYTHEON CO                    CL B             755111408       35        600   SH          SOLE                  600     0        0
READ-RITE CORP                 COMMON           755246105     4755     721100   SH          SOLE               697700     0    23400
READERS DIGEST ASSN INC        CL A NON VTG     755267101    36427    1158700   SH          SOLE               654700     0   504000
REALNETWORKS INC               COMMON           75605L104    43853     358900   SH          SOLE               205300     0   153600
RELIANCE GROUP HLDGS           COMMON           759464100     3783     492100   SH          SOLE               475000     0    17100
REMEC INC                      COMMON           759543101     2305     110400   SH          SOLE               106800     0     3600
RENT WAY INC                   COMMON           76009U104     9710     404600   SH          SOLE               391600     0    13000
RENTAL SERVICE CORP            COMMON           76009V102    31825    1818560   SH          OTHER             1108860     0   709700
REUTERS GROUP PLC              DEPOSITORY RECEI 76132M102       75        866   SH          SOLE                  866     0        0
REX STORES CORP                COMMON           761624105     2488     215200   SH          SOLE               208100     0     7100
RIGGS NATL CORP WASH DC        COMMON           766570105     5611     332500   SH          SOLE               322000     0    10500
RITE AID CORP                  COMMON           767754104    51464    2058550   SH          OTHER             1193950     0   864600
ROADWAY EXPRESS INC DEL        COMMON           769742107     2491     146000   SH          SOLE               141300     0     4700
ROBERT HALF INTL INC           COMMON           770323103    20344     620000   SH          SOLE               343800     0   276200
ROBERTS PHARMACEUTICAL C       COMMON           770491108    12572     605900   SH          SOLE               585400     0    20500
ROCHESTER GAS & ELEC COR       COMMON           771367109     8197     319900   SH          SOLE               308900     0    11000
ROWECOM INC                    COMMON           77957X108      218       5000   SH          SOLE                 5000     0        0
ROYAL DUTCH PETE CO            DEPOSITORY RECEI 780257804       47        901   SH          SOLE                  901     0        0
RYANAIR HOLDINGS PLC           DEPOSITORY RECEI 783513104       82       2000   SH          SOLE                 2000     0        0
SBC COMMUNICATIONS INC         COMMON           78387G103       78       1656   SH          SOLE                 1656     0        0
SCB COMPUTER TECHNOLOGY        COMMON           78388N107       68      15000   SH          SOLE                15000     0        0
SCI SYS INC                    COMMON           783890106     1609      54300   SH          SOLE                54300     0        0
SLI INC                        COMMON           78442T108       36       1700   SH          SOLE                 1700     0        0
SAFETY-KLEEN CORP NEW          COM NEW          78648R203     8254     622950   SH          SOLE               601775     0    21175
SAKS HLDGS INC                 NOTE  5.500  9/1 79377RAA7       48      50000   PRN         SOLE                50000     0        0
SANDISK INC                    COMMON           80004C101    45591    1720400   SH          SOLE               929300     0   791100
SARA LEE CORP                  COMMON           803111103       40       1600   SH          SOLE                 1600     0        0
SCHERING PLOUGH CORP           COMMON           806605101    10190     184434   SH          OTHER              180834     0     3600
SCHLUMBERGER LTD               COMMON           806857108     1571      26106   SH          OTHER               25493     0      613
SCHWAB CHARLES CORP NEW        COMMON           808513105   183009    1903861   SH          SOLE              1095411     0   808450
<PAGE>

                                                           FORM 13F INFORMATION TABLE

                                              REPORTING MANAGER: DENVER INVESTMENT ADVISORS LLC
                                                                         
                                                                                                                             PAGE 14

- ------------------------------------------------------------------------------------------------------------------------------------
   COLUMN 1                   COLUMN 2          COLUMN 3   COLUMN 4        COLUMN 5        COLUMN 6  COLUMN 7        COLUMN 8 
   --------                   --------          --------   --------   ------------------- ---------- -------- ----------------------
                               TITLE                                                                  OTHER      VOTING AUTHORITY
NAME OF ISSUER                   OF              CUSIP      VALUE     SHRS OR   SH/  PUT/ INVESTMENT  MANA-   ----------------------
                               CLASS             NUMBER   (X$1,000)   PRN AMT   PRN  CALL DISCRETION  GERS     SOLE   SHARED   NONE
- ------------------------------------------------------------------------------------------------------------------------------------

SEAGATE TECHNOLOGY             COMMON           811804103     3955     133800   SH          SOLE               133800     0        0
SEAGRAM LTD                    COMMON           811850106      253       5056   SH          SOLE                 5056     0        0
SEACOR SMIT INC                COMMON           811904101      942      17500   SH          SOLE                15200     0     2300
SEALED AIR CORP NEW            COMMON           81211K100    27274     554500   SH          SOLE               307800     0   246700
SECURITY DYNAMICS TECH         COMMON           814208104       17        900   SH          SOLE                  900     0        0
SEITEL INC                     COM NEW          816074306     3565     255800   SH          SOLE               247600     0     8200
SERENA SOFTWARE INC            COMMON           817492101      140      10000   SH          SOLE                10000     0        0
SHOPKO STORES INC              COMMON           824911101    16260     544280   SH          SOLE               527180     0    17100
SIEBEL SYSTEMS INC             COMMON           826170102      475      10000   SH          SOLE                10000     0        0
SINCLAIR BROADCAST GROUP       CL A             829226109      146      10000   SH          SOLE                10000     0        0
SMITH-GARDNER & ASSOCS         COMMON           832059109       99       7000   SH          SOLE                 7000     0        0
SMITHFIELD FOODS INC           COMMON           832248108     3539     156000   SH          SOLE               150600     0     5400
SMITHKLINE BEECHAM PLC         DEPOSITORY RECEI 832378301       86       1200   SH          SOLE                 1200     0        0
SMUCKER J M CO                 CL A             832696108     2804     125650   SH          SOLE               121550     0     4100
SNYDER COMMUNICATIONS IN       COMMON           832914105    55934    2006600   SH          SOLE              1180900     0   825700
SOFTWARE SPECTRUM INC          COMMON           833960107     3360     246600   SH          SOLE               238300     0     8300
SOLECTRON CORP                 COMMON           834182107    78108    1608400   SH          SOLE               928000     0   680400
SOLUTIA INC                    COMMON           834376105        2        120   SH          SOLE                  120     0        0
SOUTHERN CO                    COMMON           842587107       42       1800   SH          SOLE                 1000   800        0
SOUTHWEST AIRLS CO             COMMON           844741108       48       1575   SH          SOLE                    0     0     1575
SOUTHWEST GAS CORP             COMMON           844895102     6254     227400   SH          SOLE               220300     0     7100
SPRINT CORP FON GROUP          COM FON GROUP    852061100     8705      88710   SH          OTHER               88210     0      500
SPRINT CORP PCS GROUP          PCS COM SER 1    852061506      163       3673   SH          OTHER                3423     0      250
STAFF LEASING INC              COMMON           852381102     8563     598300   SH          SOLE               324600     0   273700
STAR TELECOMMUNICATIONS        COMMON           854923109      298      31000   SH          SOLE                    0     0    31000
STAPLES INC                    COMMON           855030102      222       6750   SH          SOLE                 6750     0        0
STARBUCKS CORP                 COMMON           855244109     1005      35800   SH          SOLE                35800     0        0
STATE STR CORP                 COMMON           857477103      280       3400   SH          SOLE                 3400     0        0
STERLING SOFTWARE INC          COMMON           859547101    16044     675550   SH          SOLE               654450     0    21100
STONERIDGE INC                 COMMON           86183P102     2113     150900   SH          SOLE               146100     0     4800
STORAGE TECHNOLOGY CORP        COM PAR $0.10    862111200       83       2966   SH          SOLE                 2966     0        0
SUIZA FOODS CORP               COMMON           865077101     3090      91720   SH          SOLE                88920     0     2800
SUN MICROSYSTEMS INC           COMMON           866810104       88        700   SH          SOLE                  700     0        0
SUPERIOR CONSULTANT HLDG       COMMON           868146101      648      19000   SH          SOLE                19000     0        0
SUPERVALU INC                  COMMON           868536103     3747     181650   SH          SOLE               181650     0        0
SYBRON INTL CORP               COMMON           87114F106    91950    3678000   SH          SOLE              2086200     0  1591800
SYNOPSYS INC                   COMMON           871607107    50312     936033   SH          SOLE               520300     0   415733
SYSCO CORP                     COMMON           871829107        8        290   SH          SOLE                  290     0        0
SYSTEMS COMPUTER TECH          COMMON           871873105       24       2400   SH          SOLE                 2400     0        0
TJX COS INC NEW                COMMON           872540109    60908    1791400   SH          SOLE              1006400     0   785000
TNP ENTERPRISES INC            COMMON           872594106     2343      81500   SH          SOLE                79000     0     2500
TV GUIDE INC                   CL A             87307Q109    66692    1808600   SH          SOLE              1015100     0   793500
<PAGE>

                                                           FORM 13F INFORMATION TABLE

                                              REPORTING MANAGER: DENVER INVESTMENT ADVISORS LLC
                                                                         
                                                                                                                             PAGE 15

- ------------------------------------------------------------------------------------------------------------------------------------
   COLUMN 1                   COLUMN 2          COLUMN 3   COLUMN 4        COLUMN 5        COLUMN 6  COLUMN 7        COLUMN 8 
   --------                   --------          --------   --------   ------------------- ---------- -------- ----------------------
                               TITLE                                                                  OTHER      VOTING AUTHORITY
NAME OF ISSUER                   OF              CUSIP      VALUE     SHRS OR   SH/  PUT/ INVESTMENT  MANA-   ----------------------
                               CLASS             NUMBER   (X$1,000)   PRN AMT   PRN  CALL DISCRETION  GERS     SOLE   SHARED   NONE
- ------------------------------------------------------------------------------------------------------------------------------------

TELEFLEX INC                   COMMON           879369106        7        220   SH          SOLE                  220     0        0
TELLABS INC                    COMMON           879664100    45493     465400   SH          SOLE               262000     0   203400
TELTREND INC                   COMMON           87969R106     1961     124500   SH          SOLE               120600     0     3900
TESORO PETE CORP               COMMON           881609101     5157     468850   SH          SOLE               446150     0    22700
TEXACO INC                     COMMON           881694103      488       8592   SH          SOLE                 2192  6400        0
TEXAS INDS INC                 COMMON           882491103     4581     184640   SH          SOLE               178440     0     6200
TEXAS INSTRS INC               COMMON           882508104      377       3800   SH          SOLE                 3800     0        0
TEXAS UTILS CO                 COMMON           882848104      869      20700   SH          SOLE                 5700     0    15000
THERMO ELECTRON CORP           COMMON           883556102       12        900   SH          SOLE                  900     0        0
TICKETMASTER ONLINE-CITY       CL B             88633P203     4623     137500   SH          SOLE               121500     0    16000
TIME WARNER INC                COMMON           887315109      184       2600   SH          SOLE                 2600     0        0
TOSCO CORP                     COM NEW          891490302     2481     100000   SH          SOLE               100000     0        0
TOWER AUTOMOTIVE INC           COMMON           891707101     8471     454800   SH          SOLE               438800     0    16000
TRANSACTION SYS ARCHITEC       CL A             893416107      900      25000   SH          SOLE                15000     0    10000
TRANSOCEAN OFFSHORE INC        COMMON           893817106       39       1350   SH          SOLE                 1350     0        0
TRANSMONTAIGNE INC             COMMON           893934109      690      56900   SH          OTHER               56900     0        0
TRIGEN ENERGY CORP             COMMON           895930105     2216     161900   SH          SOLE               161900     0        0
TRICON GLOBAL RESTAURANT       COMMON           895953107      290       4132   SH          OTHER                3172   900       60
TRIBUNE CO NEW                 COMMON           896047107       42        640   SH          OTHER                 640     0        0
TRICO MARINE SERVICES IN       COMMON           896106101       57      10000   SH          SOLE                10000     0        0
TRIGON HEALTHCARE INC          COMMON           89618L100    16419     479400   SH          SOLE               464100     0    15300
TUT SYSTEMS                    COMMON           901103101      498      10000   SH          SOLE                10000     0        0
TYCO INTL LTD NEW              COMMON           902124106     7095      98885   SH          SOLE                98885     0        0
TYSON FOODS INC                CL A             902494103       64       3075   SH          SOLE                 3075     0        0
UAL CORP                       COM PAR $0.01    902549500    40277     517200   SH          SOLE               290600     0   226600
US BANCORP DEL                 COMMON           902973106     2017      59227   SH          OTHER               59227     0        0
USA NETWORKS INC               COMMON           902984103   129245    3608940   SH          SOLE              2105540     0  1503400
URS CORP NEW                   COMMON           903236107     3656     202400   SH          SOLE               195700     0     6700
U S FOODSERVICE                COMMON           90331R101    74327    1598430   SH          OTHER              892030     0   706400
USX-U S STL                    COMMON           90337T101       25       1050   SH          SOLE                 1050     0        0
ULTRA PETE CORP                COMMON           903914109        2       2200   SH          SOLE                 2200     0        0
UNION PAC CORP                 COMMON           907818108     2737      51213   SH          OTHER               45213  6000        0
UNION PAC RES GROUP INC        COMMON           907834105       73       6155   SH          OTHER                1074  5081        0
UNIONBANCAL CORP               COMMON           908906100       58       1700   SH          SOLE                 1700     0        0
UNIPHASE CORP                  COMMON           909149106    81877     711200   SH          SOLE               397400     0   313800
UNISYS CORP                    COMMON           909214108     6667     240800   SH          SOLE               240800     0        0
UNITED ASSET MGMT CORP         COMMON           909420101       23       1000   SH          SOLE                 1000     0        0
UNITED BANKERS INC             COMMON           909562100        0       5000   SH          SOLE                 5000     0        0
UNITED ILLUM CO                COMMON           910637107     4538     108200   SH          SOLE               104900     0     3300
UNITED INTL HLDGS INC          CL A             910734102       26        600   SH          SOLE                  600     0        0
UNITED PAN-EUROPE COMMUN       DEPOSITORY RECEI 911300200      574      15000   SH          SOLE                14900     0      100
UNITED ROAD SERVICE            COMMON           911384105      662     127700   SH          SOLE               123000     0     4700
<PAGE>

                                                           FORM 13F INFORMATION TABLE

                                              REPORTING MANAGER: DENVER INVESTMENT ADVISORS LLC
                                                                         
                                                                                                                             PAGE 16

- ------------------------------------------------------------------------------------------------------------------------------------
   COLUMN 1                   COLUMN 2          COLUMN 3   COLUMN 4        COLUMN 5        COLUMN 6  COLUMN 7        COLUMN 8 
   --------                   --------          --------   --------   ------------------- ---------- -------- ----------------------
                               TITLE                                                                  OTHER      VOTING AUTHORITY
NAME OF ISSUER                   OF              CUSIP      VALUE     SHRS OR   SH/  PUT/ INVESTMENT  MANA-   ----------------------
                               CLASS             NUMBER   (X$1,000)   PRN AMT   PRN  CALL DISCRETION  GERS     SOLE   SHARED   NONE
- ------------------------------------------------------------------------------------------------------------------------------------

UNITED STATES CELLULAR C       COMMON           911684108       26        600   SH          SOLE                  600     0        0
U S WEST INC NEW               COMMON           91273H101     3601      65395   SH          SOLE                62995  2400        0
UNITED TECHNOLOGIES CORP       COMMON           913017109     6427      47450   SH          SOLE                47450     0        0
UNIVISION COMMUNICATIONS       CL A             914906102      500      10000   SH          SOLE                10000     0        0
UNOVA INC                      COMMON           91529B106       26       2000   SH          SOLE                 2000     0        0
US FREIGHTWAYS CORP            COMMON           916906100     6148     187000   SH          SOLE               182700     0     4300
UTILICORP UTD INC              COMMON           918005109      187       8204   SH          SOLE                 3088  5116        0
VALLEY MEDIA INC               COMMON           91972C106       46       2000   SH          SOLE                 2000     0        0
VALUE CITY DEPT STORES I       COMMON           920387107     2653     272100   SH          SOLE               263700     0     8400
VARLEN CORP                    COMMON           922248109    12146     552084   SH          SOLE               533584     0    18500
VASTAR RESOURCES LTD           COMMON           922380100    26248     549700   SH          SOLE               281400     0   268300
VERITAS SOFTWARE CO            COMMON           923436109     5854      72500   SH          SOLE                72500     0        0
VERITY INC                     COMMON           92343C106      335      10000   SH          SOLE                10000     0        0
VERISIGN INC                   COMMON           92343E102     4312      28000   SH          SOLE                28000     0        0
VERITAS DGC INC                COMMON           92343P107       35       2475   SH          SOLE                 2475     0        0
VERTICALNET INC                COMMON           92532L107     1901      18300   SH          SOLE                18300     0        0
VIACOM INC                     CL B             925524308     3399      40500   SH          SOLE                40500     0        0
VIGNETTE CORP                  COMMON           926734104     2145      28500   SH          SOLE                28500     0        0
WD-40 CO                       COMMON           929236107      104       3600   SH          SOLE                    0  3600        0
WACHOVIA CORP                  COMMON           929771103       97       1200   SH          OTHER                1200     0        0
WAL MART STORES INC            COMMON           931142103     3858      41850   SH          SOLE                41850     0        0
WALGREEN CO                    COMMON           931422109      565      20000   SH          SOLE                20000     0        0
WANG LABS INC NEW              COMMON           93369N109     6360     324100   SH          SOLE               313300     0    10800
WARNER LAMBERT CO              COMMON           934488107     1156      17450   SH          SOLE                16250     0     1200
WASHINGTON REAL ESTATE I       SH BEN INT       939653101       37       2250   SH          OTHER                2250     0        0
WASTE MGMT INC DEL             COMMON           94106L109   165557    3730859   SH          OTHER             2188887     0  1541972
WATSON PHARMACEUTICALS I       COMMON           942683103    43656     989360   SH          SOLE               546208     0   443152
WEBTRENDS CORP                 COMMON           94844D104     1216      25000   SH          SOLE                25000     0        0
WELLPOINT HEALTH NETWORK       COMMON           94973H108    41469     547000   SH          SOLE               307900     0   239100
WELLS FARGO & CO NEW           COMMON           949746101     3155      89974   SH          OTHER               81830  3644     4500
WESTERFED FINL CORP            COMMON           957550106       34       2000   SH          SOLE                 2000     0        0
WESTCORE TR MIDCAP             OPPORTUNITY      957904584       56       5339   SH          SOLE                 5339     0        0
WESTCORE SMALL CAP             OPPORTUNITY FUND 957904618    19495    1067660   SH          OTHER              480221   831   586609
WESTCORE GROWTH & INCOME       COMMON           957904667     1618     129944   SH          OTHER              103236 10742    15966
WESTCORE BLUE CHIP FUND        COMMON           957904881    25632    1559107   SH          OTHER               60126  6201  1492781
WESTERN GAS RES INC            COMMON           958259103       13       1700   SH          SOLE                 1700     0        0
WESTPOINT STEVENS INC          COMMON           961238102      842      30400   SH          SOLE                 6400     0    24000
WESTWOOD ONE INC               COMMON           961815107    95210    3340700   SH          SOLE              1885600     0  1455100
WHIRLPOOL CORP                 COMMON           963320106       34        625   SH          SOLE                  625     0        0
WHOLE FOODS MKT INC            COMMON           966837106    28108     817700   SH          SOLE               468700     0   349000
WILLIAMS COS INC DEL           COMMON           969457100     1339      33900   SH          OTHER               33400     0      500
WILMAR INDS INC                COMMON           971426101     8703     587550   SH          OTHER              336250     0   251300
<PAGE>

                                                           FORM 13F INFORMATION TABLE

                                              REPORTING MANAGER: DENVER INVESTMENT ADVISORS LLC
                                                                         
                                                                                                                             PAGE 17

- ------------------------------------------------------------------------------------------------------------------------------------
   COLUMN 1                   COLUMN 2          COLUMN 3   COLUMN 4        COLUMN 5        COLUMN 6  COLUMN 7        COLUMN 8 
   --------                   --------          --------   --------   ------------------- ---------- -------- ----------------------
                               TITLE                                                                  OTHER      VOTING AUTHORITY
NAME OF ISSUER                   OF              CUSIP      VALUE     SHRS OR   SH/  PUT/ INVESTMENT  MANA-   ----------------------
                               CLASS             NUMBER   (X$1,000)   PRN AMT   PRN  CALL DISCRETION  GERS     SOLE   SHARED   NONE
- ------------------------------------------------------------------------------------------------------------------------------------

WIND RIVER SYSTEMS INC         COMMON           973149107    25999    1459598   SH          SOLE               822899     0   636699
WINDMERE-DURABLE HLDGS         COMMON           973411101       20       2912   SH          SOLE                    0     0     2912
WORLD COLOR PRESS INC DE       COMMON           981443104     7278     342500   SH          SOLE               331200     0    11300
XILINX INC                     COMMON           983919101    53490    1318700   SH          SOLE               718900     0   599800
YAHOO INC                      COMMON           984332106   149778     889550   SH          SOLE               498100     0   391450
YOUNG & RUBICAM INC            COMMON           987425105     2038      50000   SH          SOLE                50000     0        0
ZALE CORP NEW                  COMMON           988858106    67214    1966050   SH          SOLE              1368450     0   597600
ZIFF-DAVIS INC                 COM ZDNET        989511209      900      25000   SH          SOLE                17000     0     8000
ZIONS BANCORPORATION           COMMON           989701107    47185     709550   SH          OTHER              401800     0   307750
LERNOUT HAUSPIE NV             COMMON           B5628B104       42       1400   SH          SOLE                 1400     0        0
ANNUITY AND LIFE RE HLDG       ORD              G03910109      114       5000   SH          SOLE                 5000     0        0
GEMSTAR INTL GROUP LTD         ORD              G3788V106    38490     511500   SH          SOLE               261900     0   249600
LORAL SPACE & COMMUNICAT       COMMON           G56462107      543      37600   SH          SOLE                 9600     0    28000
SBS BROADCASTING SA            ORD              L8137F102       13        400   SH          SOLE                  400     0        0
CORE LABORATORIES N V          COMMON           N22717107      705      40000   SH          SOLE                40000     0        0
PACIFIC INTERNET LTD           ORD              Y66183107      873      15000   SH          SOLE                15000     0        0
                                                           -------  ---------
                                                           8394268  225417339
                                                           =======  =========


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