BURNHAM SULLIVAN & ASSOCIATES/
13F-HR, 2001-01-12
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             		SECURITIES AND EXCHANGE COMMISSION
		                  	Washington, D.C. 20549

                       				FORM 13F

                			   FORM 13F COVER PAGE

Report for Calendar Year or Quarter Ended: DEC 31,2000

Check here if Amendment [  ]; Amendment Number:
This Amendment (Check only one) : [  ] is a restatement
				  [  ] adds new holdings entries

Institutional Investment Manager Filing this Report:

Name: Burnham, Sullivan & Associates
Address: 77 Monroe Center
	 Suite 1200
	 Grand Rapids, Michigan 49503

13f File Number:  801-38037

The institutional investment manager filing this report and the
person by whom it is signed hereby represent that the person
signing the report is authorized to submit it, that all
information contained herein is true, correct and complete, and
that it is understood that all required items, statements,
schedules, lists, and tables, are considered integral parts of
this form.

Person Signing this Report on Behalf of Reporting Manager

Name: Sandy L. Burnham
Title: Secretary/Treasurer
Phone: 616-459-1043
Signature, Place, and Date of Signing:

    Sandy L. Burnham     Grand Rapids, Michigan   January 8, 2001

Report Type (Check only one) :

[ X]        13F HOLDINGS REPORT.

[  ]        13F NOTICE.

[  ]        13F COMBINATION REPORT.

List of Other Managers Reporting for this Manager :

I AM SIGNING THIS REPORT AS REQUIRED BY THE SECURITIES EXCHANGE
ACT OF 1934.
<PAGE>



                             FORM 13F SUMMARY PAGE
                              AS OF DATE: 12/31/00
                         RUN DATE: 01/08/01 2:30 P.M.


REPORT SUMMARY:

NUMBER OF OTHER INCLUDED MANAGERS:        0

FORM 13F INFORMATION TABLE ENTRY TOTAL:   181

FORM 13F INFORMATION TABLE VALUE TOTAL:   $365,435,000



LIST OF OTHER INCLUDED MANAGERS:

FORM 13F
"

								Voting Authority
								--------------------------
			Value	Shares/	Sh/	Put/	Invstmt	Other
Name of Issuer	Title of class	CUSIP	(x$1000)	Prn Amt	Prn	Call	Dscretn	Managers	S
------------------------------	----------------	---------	--------	--------	---

A D C TELECOMMUNICATIONS	COM	000886101	8243	454765	SH		Sole		454765
ABBOTT LABS 	COM	002824100	5884	121479	SH		Sole		121479
AES CORP COM	COM	00130h105	861	15550	SH		Sole		15550
AGILENT TECHNOLOGIES 	COM	00846U101	479	8742.56	SH		Sole		8742.56
ALLIANCE CAP MGMT HLDG UNIT LT	COM	01855A101	444	8773	SH		Sole		8773
ALTERA CORP 	COM	021441100	838	31850	SH		Sole		31850
AMERICA ONLINE INC 	COM	02364J104	2648	76078	SH		Sole		76078
AMERICAN EXPRESS CO 	COM	025816109	4870	88650	SH		Sole		88650
AMERICAN HOME PRODUCTS 	COM	026609107	905	14240	SH		Sole		14240
AMERICAN INTERNATIONAL GROUP	COM	026874107	6180	62705.06	SH		Sole		62705.06
AMERICAN POWER CONVERSION 	COM	029066107	1158	93600	SH		Sole		93600
AMERICAN WATER WORKS INC 	COM	030411102	297	10100	SH		Sole		10100
AMGEN INC	COM	031162100	7764	121425	SH		Sole		121425
AMSOUTH BANCORPORATION	COM	032165102	159	10446	SH		Sole		10446
ANADARKO PETROLEUM CORP 	COM	032511107	1057	14871.01	SH		Sole		14871.01
ANHEUSER BUSCH COS INC	COM	035229103	482	10600	SH		Sole		10600
APPLERA CORP COM AP BIO GRP	COM	038020103	4770	50710	SH		Sole		50710
APPLERA CORP COM CE GEN GRP	COM	038020202	714	19866	SH		Sole		19866
ASSOCIATED BANC CORP 	COM	045487105	379	12490	SH		Sole		12490
AT&T CORP 	COM	001957109	1046	60389.05	SH		Sole		60389.05
AUTOMATIC DATA PROCESS 	COM	053015103	269	4250	SH		Sole		4250
AVON PRODS INC	COM	054303102	605	12640	SH		Sole		12640
BANK MONTREAL QUE 	COM	063671101	622	11805	SH		Sole		11805
BANK ONE CORP 	COM	06423A103	320	8723.62	SH		Sole		8723.62
BELLSOUTH CORP 	COM	079860102	530	12952	SH		Sole		12952
BIOGEN INC 	COM	090597105	2713	45175	SH		Sole		45175
BIOMET INC 	COM	090613100	714	18000	SH		Sole		18000
BOEING CO COM	COM		680	10300	SH		Sole		10300
BOSTON SCIENTIFIC CORP 	COM	101137107	192	14031	SH		Sole		14031
BRISTOL MYERS SQUIBB	COM	110122108	6545	88516.93	SH		Sole		88516.93
CALEDONIA FINANCIAL CORP 	COM	129267100	364	10200	SH		Sole		10200
CAMPBELL SOUP CO 	COM	134429109	608	17552.59	SH		Sole		17552.59
CAPITAL ONE FINL CORP	COM	14040H105	1247	18950	SH		Sole		18950
CENTURYTEL INC	COM	156700106	418	11700	SH		Sole		11700
CHASE MANHATTAN 	COM	16161A108	1179	25952	SH		Sole		25952
CHIRON CORP 	COM	170040109	354	7960	SH		Sole		7960
CISCO SYS INC 	COM	17275R102	7539	197097	SH		Sole		197097
CITIGROUP INC 	COM	172967101	6118	119804.82	SH		Sole		119804.82
CITIZENS BKG CORP MICH 	COM	174420109	299	10297	SH		Sole		10297
COCA COLA CO 	COM	191216100	2081	34153.1	SH		Sole		34153.1
COLUMBIA BANKING SYS INC 	COM	197236102	229	14702.5	SH		Sole		14702.5
COMERICA INC 	COM	200340107	636	10719	SH		Sole		10719
COR THERAPEUTICS INC COM	COM	217753102	306	8705	SH		Sole		8705
CORNING INC 	COM	219350105	2066	39115	SH		Sole		39115
COSTCO WHSL CORP 	COM	22160K105	1198	30000	SH		Sole		30000
CRYOLIFE INC 	COM	228903100	8006	264674.25	SH		Sole		264674.25
CYTOGEN CORP 	COM	232824102	54	23000	SH		Sole		23000
CYTYC CORP 	COM	232946103	1412	22565	SH		Sole		22565
DISNEY WALT CO 	COM	254687106	2989	103285	SH		Sole		103285
DOMINION RES VA NEW	COM	257470104	335	5000	SH		Sole		5000
DU PONT E I DE NEMOURS	COM	263534109	575	11900	SH		Sole		11900
E M C CORP 	COM	268648102	2019	30360	SH		Sole		30360
ELAN PLC ADR	COM	284131208	4594	98130	SH		Sole		98130
ELI LILLY & CO 	COM	532457108	6176	66368.3	SH		Sole		66368.3
EMERSON ELECTRIC	COM	291011104	985	12500	SH		Sole		12500
ENRON CORP 	COM	293561106	1813	21810	SH		Sole		21810
EQUITABLE RES INC 	COM		338	5062	SH		Sole		5062
ERICSSON L M TEL CO ADR CL B 	COM	294821400	6706	599369.76	SH		Sole		599369.76
EXXON MOBIL CORP 	COM	30231G102	2931	33719	SH		Sole		33719
FEDERAL HOME LN MTG CP 	COM	313400301	412	5975	SH		Sole		5975
FEDERAL NATL MTG ASSN 	COM	313586109	697	8036.35	SH		Sole		8036.35
FEDEX CORP 	COM	31428X106	1683	42120	SH		Sole		42120
FIFTH THIRD BANCORP 	COM	316773100	1929	32290.21	SH		Sole		32290.21
FIRST DATA CORP 	COM	319963104	237	4500	SH		Sole		4500
FIRST MIDWEST BANCORP 	COM	320867104	535	18624	SH		Sole		18624
FIRST OAK BROOK BANCSH	COM	335847208	427	24224	SH		Sole		24224
FIRST VA BANKS INC 	COM	337477103	326	6800	SH		Sole		6800
FIRSTBANK CORP MICH 	COM	33761G104	375	19607.7	SH		Sole		19607.7
FISERV INC 	COM	337738108	1088	22925	SH		Sole		22925
FRANKLIN RESOURCES INC 	COM	354613101	647	16988	SH		Sole		16988
GENENTECH INC 	COM	368710406	579	7100	SH		Sole		7100
GENERAL ELEC CO 	COM	369604103	9675	201818	SH		Sole		201818
GENERAL MILLS INC 	COM	370334104	1662	37298.26	SH		Sole		37298.26
GENZYME CORP GENL DIV	COM	372917104	406	4514	SH		Sole		4514
GILLETTE CO 	COM	375766102	1126	31166	SH		Sole		31166
GLAXOSMITHKLINE PLC SPONSORED 	COM	37733w105	357	6378.9	SH		Sole		6378.9
GOLDMAN SACHS GROUP 	COM	38141G104	326	3050	SH		Sole		3050
GUIDANT CORP 	COM	401698105	1315	24381	SH		Sole		24381
H J HEINZ CO 	COM	423074103	351	7408	SH		Sole		7408
HEWLETT PACKARD CO 	COM	428236103	3029	95974.63	SH		Sole		95974.63
HOME DEPOT INC 	COM	437076102	4244	92887.19	SH		Sole		92887.19
HUNTINGTON BANCSHARES 	COM	446150104	343	21211.12	SH		Sole		21211.12
ILLINOIS TOOL WKS INC 	COM	452308109	207	3470	SH		Sole		3470
IMMUNEX CORP 	COM	452528102	319	7850	SH		Sole		7850
INCYTE PHARMACEUTICALS	COM	45337C102	348	14000	SH		Sole		14000
INDEPENDENT BK CORP MI 	COM	453838104	209	10573	SH		Sole		10573
INTEL CORP 	COM	458140100	7521	248638.27	SH		Sole		248638.27
INTERNATIONAL BUSINESS MACHINE	COM	459200101	6480	76238.44	SH		Sole		76238.44
J P MORGAN & CO INC 	COM	616880100	602	3640	SH		Sole		3640
JDS UNIPHASE CORP 	COM	46612J101	379	9100	SH		Sole		9100
JOHNSON & JOHNSON 	COM	478160104	9282	88345.77	SH		Sole		88345.77
KELLOGG CO 	COM	487836108	1130	43065	SH		Sole		43065
LEXMARK INTERNATIONAL INC	COM	529771107	1133	25558	SH		Sole		25558
LML PAYMENT SYS INC	COM	50208P109	197	48400	SH		Sole		48400
LUCENT TECHNOLOGIES 	COM	549463107	1185	87799.97	SH		Sole		87799.97
M & T BK CORP 	COM	55261F104	270	3970	SH		Sole		3970
MARKETING SVCS GROUP 	COM	570907105	15	12535	SH		Sole		12535
MARRIOTT INTL INC 	COM	571903202	491	11626	SH		Sole		11626
MARSHALL & ILSLEY CORP COM	COM	571834100	320	6300	SH		Sole		6300
MATRITECH INC 	COM	576818108	304	74300	SH		Sole		74300
MBNA CORP 	COM	55262L100	396	10720	SH		Sole		10720
MEDIMMUNE INC 	COM	584699102	365	7650	SH		Sole		7650
MEDTRONIC INC 	COM	585055106	10033	166177.66	SH		Sole		166177.66
MELLON FINL CORP 	COM	58551A108	3271	66500	SH		Sole		66500
MERCH & MFR BANCORP 	COM	588327106	216	7700	SH		Sole		7700
MERCK & CO INC 	COM	589331107	12355	131962.07	SH		Sole		131962.07
METLIFE INC COM	COM	59156R108	480	13700	SH		Sole		13700
MGIC INVT CORP WIS 	COM	552848103	742	11000	SH		Sole		11000
MICROSOFT CORP 	COM	594918104	5390	123905	SH		Sole		123905
MINNESOTA MNG & MFG CO 	COM	604059105	301	2500	SH		Sole		2500
MOLEX INC 	COM	608554101	308	8674	SH		Sole		8674
MORGAN STAN DEAN WITTR 	COM	617446448	1423	17950	SH		Sole		17950
MOTOROLA INC 	COM	620076109	310	15322	SH		Sole		15322
NATIONAL CITY CORP	COM	635405103	1992	69271.33	SH		Sole		69271.33
NETWORK APPLIANCE INC COM	COM	64120l104	340	5300	SH		Sole		5300
NEW YORK TIMES CO CL A	COM	650111107	797	19900	SH		Sole		19900
NOKIA CORP SPONSORED ADR	COM	654902204	6553	150645	SH		Sole		150645
NORTEL NETWORKS 	COM	656568102	5103	159166.06	SH		Sole		159166.06
NORTH CTRY FINL CORP COM	COM		68	10800	SH		Sole		10800
NORTH FORK BANCORP NY 	COM	659424105	366	14895	SH		Sole		14895
NORTHERN TRUST CORP 	COM	665859104	1880	23055	SH		Sole		23055
NORTHWESTERN BANCORP-TRAVERSE 	COM		407	3700	SH		Sole		3700
NOVARTIS AG-ADR	COM	66987v109	824	18414	SH		Sole		18414
NVID INTL INC 	COM	62944Y104	1	13000	SH		Sole		13000
OLD KENT FINL CORP 	COM	679833103	10126	231441.11	SH		Sole		231441.11
ORACLE CORP 	COM	68389X105	2973	102309	SH		Sole		102309
PELICAN FINL INC 	COM		23	12500	SH		Sole		12500
PEPSICO INC 	COM	713448108	2205	44486.5	SH		Sole		44486.5
PFIZER INC 	COM	717081103	9274	201611.87	SH		Sole		201611.87
PHARMACIA CORP	COM	71713U102	778	12750	SH		Sole		12750
PN HOLDINGS INC 	COM		105	28000	SH		Sole		28000
PNC FINL SVCS GROUP 	COM	693475105	256	3500	SH		Sole		3500
PRICE T ROWE GROUP INC COM	COM	74144t108	598	14155	SH		Sole		14155
PROCTER & GAMBLE CO	COM	742718109	3623	46191.27	SH		Sole		46191.27
PROFESSIONALS GRP INC 	COM	742954100	1611	66952	SH		Sole		66952
PROGRESS ENERGY INC COM	COM	743263105	206	4190	SH		Sole		4190
QUAKER OATS CO 	COM	747402105	1061	10900	SH		Sole		10900
QWEST COMMUNICATIONS 	COM	749121109	4438	108248	SH		Sole		108248
RENAL CARE GROUP INC 	COM	759930100	243	8850	SH		Sole		8850
REPUBLIC BANCORP INC 	COM	760282103	121	11215.6	SH		Sole		11215.6
ROCHE HLDG LTD SPONSORED ADR	COM	771195104	3935	38627	SH		Sole		38627
ROCHE HOLDINGS DIV REINV CERT	COM		902	88	SH		Sole		88
SAFEWAY INC 	COM	786514208	2488	39800	SH		Sole		39800
SBC COMMUNICATIONS INC 	COM	78387G103	1225	25657.72	SH		Sole		25657.72
SCHERING PLOUGH CORP 	COM	806605101	10615	187044.96	SH		Sole		187044.96
SCHLUMBERGER LTD 	COM	806857108	360	4500	SH		Sole		4500
SCI SYS INC 	COM	783890106	620	23500	SH		Sole		23500
SIDEWARE SYSTEMS INC 	COM	825907108	10	20000	SH		Sole		20000
SOLECTRON CORP 	COM	834182107	313	9220	SH		Sole		9220
SOUTHTRUST CORP 	COM	844730101	323	7939	SH		Sole		7939
SPDR TR UNIT SER 1	COM	78462F103	362	2763	SH		Sole		2763
STAAR SURGICAL CO 	COM	852312305	315	25110	SH		Sole		25110
STEELCASE INC CL A	COM	858155203	150	10825.75	SH		Sole		10825.75
STRYKER CORP 	COM	863667101	9579	189346	SH		Sole		189346
SUMMIT BANCORP 	COM	866005101	435	11388	SH		Sole		11388
SUN MICROSYSTEMS INC	COM	866810104	4220	151405	SH		Sole		151405
SUNTRUST BKS INC 	COM	867914103	900	14284	SH		Sole		14284
SYSCO CORP 	COM	871829107	3066	102200	SH		Sole		102200
TCF FINL CORP 	COM	872275102	1103	24748	SH		Sole		24748
TELLABS INC 	COM	879664100	6897	122074	SH		Sole		122074
TEXAS INSTRUMENTS INC 	COM	882508104	6633	140015.69	SH		Sole		140015.69
TIME WARNER INC 	COM	887315109	374	7150	SH		Sole		7150
TRIBUNE CO 	COM	896047107	7769	183887.09	SH		Sole		183887.09
TYCO INTL LTD 	COM	902124106	1329	23950	SH		Sole		23950
UMPQUA HLDGS CORP COM	COM		101	11912.89	SH		Sole		11912.89
UNION PAC CORP 	COM	907818108	254	5000	SH		Sole		5000
VERIZON COMMUNICATIONS COM	COM	92343v104	771	15380.15	SH		Sole		15380.15
VODAFONE GROUP PLC NEW SPONSOR	COM	92857w100	1494	41719	SH		Sole		41719
WAL MART STORES INC 	COM	931142103	767	14445	SH		Sole		14445
WALGREEN CO 	COM	931422109	794	18981	SH		Sole		18981
WATSON PHARMACEUTICALS 	COM	942683103	1953	38150	SH		Sole		38150
WATTAGE MONITOR INC 	COM	94274R102	67	97060	SH		Sole		97060
WELLS FARGO & CO 	COM	949746101	6195	111250.5	SH		Sole		111250.5
WILLIAMS COS INC DEL COM	COM		222	5550	SH		Sole		5550
WORLDCOM INC 	COM	98157D106	3051	217894	SH		Sole		217894
WPP GROUP PLC SPON ADR NEW	COM		917	14603.5	SH		Sole		14603.5
WRIGLEY WM JR CO 	COM	982526105	978	10210	SH		Sole		10210
WSFS FINL CORP 	COM	929328102	129	10000	SH		Sole		10000
X-RITE INC 	COM	983857103	305	39100	SH		Sole		39100
XILINX INC 	COM	983919101	2715	58858	SH		Sole		58858
ZIONS BANCORPORATION 	COM	989701107	1129	18075	SH		Sole		18075
REPORT SUMMARY 	181	DATA RECORDS	365435		0	OTHER MANAGERS ON WHOSE BEHALF REPORT





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