FINANCIAL COUNSELORS INC
13F-HR, 2000-11-14
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UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549

FORM 13F

FORM 13F COVER PAGE

Report for the Quarter Ended: September 30, 2000

Institutional Investment Manager Filing this Report:

Name:	Financial Counselors, Inc.
Address:	700 W. 47th Street, Ste. 510
		Kansas City, MO 64112

13F File Number: 0000949623

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:	Tammy Endres
Title:	Director of Operations
Phone:	(816)329-1586
Signature, Place, and Date of Signing:


Report Type:

[X]		13F HOLDINGS REPORT

List of Other Managers Reporting for this Manager:  None





FORM 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:		0

Form 13F Information Table Entry Total:	158

Form 13F Information Table Value Total:	$222,239


<TABLE>
                                    <C>         <C>
24/7 MEDIA INC                      COM   901314104        2     170  SH    SOLE  N/A      170  0  0
3 COM CORP                          COM   885535104        4     200  SH    SOLE  N/A      200  0  0
A T & T CORPORATION                 COM   001957109      731   24871  SH    SOLE  N/A    24871  0  0
ABBOTT LABORATORIES                 COM   002824100      228    4800  SH    SOLE  N/A     4800  0  0
ADOBE SYSTEMS INC                   COM   00724F101     4578   29488  SH    SOLE  N/A    29488  0  0
ALBERTSONS, INC.                    COM   013104104       84    4000  SH    SOLE  N/A     4000  0  0
ALLSTATE CORP.                      COM   020002101       35    1000  SH    SOLE  N/A     1000  0  0
ALUMINUM CO OF AMERICA              COM   013817101     2668  105409  SH    SOLE  N/A   105409  0  0
AMERICA ONLINE INC                  COM   02364J104     4441   83096  SH    SOLE  N/A    83096  0  0
AMERICAN CENTURY INTERNATION        COM   025086109      569   42733  SH    SOLE  N/A    42733  0  0
AMERICAN ELEC PWR INC               COM   025537101       20     500  SH    SOLE  N/A      500  0  0
AMERICAN GENERAL CORP               COM   026351106       78    1000  SH    SOLE  N/A     1000  0  0
AMERICAN HOME PRODS CP              COM   026609107       20     350  SH    SOLE  N/A      350  0  0
AMERICAN INTL GROUP INC             COM   026874107     9853  102971  SH    SOLE  N/A   102971  0  0
AMERICUS LIFE HOLDINGS, INC.        COM   030732101       15     625  SH    SOLE  N/A      625  0  0
ANADARKO PETROLEUM CORP.            COM   032511107       20     307  SH    SOLE  N/A      307  0  0
ANHEUSER BUSCH COMPANIES, IN        COM   035229103      237    5612  SH    SOLE  N/A     5612  0  0
AON CORPORATION                     COM   037389103     1913   48727  SH    SOLE  N/A    48727  0  0
ARCH CHEMICALS, INC.                COM   03937R102       15     800  SH    SOLE  N/A      800  0  0
ASSOCIATES FIRST CAPITAL COR        COM   046008108       30     800  SH    SOLE  N/A      800  0  0
AT & T CORP LIBERTY MEDIA           COM   001957208       14     756  SH    SOLE  N/A      756  0  0
AUTOMATIC DATA PROCESSING IN        COM   053015103       40     600  SH    SOLE  N/A      600  0  0
BAKER HUGHES, INC.                  COM   057224107      464   12500  SH    SOLE  N/A    12500  0  0
BANK OF AMERICA CORP                COM   060505104      544   10394  SH    SOLE  N/A    10394  0  0
BELLSOUTH CORPORATION               COM   079860102      131    3242  SH    SOLE  N/A     3242  0  0
BERKSHIRE HATHAWAY, INC.            COM   084670207      237     115  SH    SOLE  N/A      115  0  0
BERKSHIRE HATHAWAY, INC. CLA        COM   084670108        2       1  SH    SOLE  N/A        1  0  0
BIOGEN INC                          COM   090597105     3995   65484  SH    SOLE  N/A    65484  0  0
BIOTECH HOLDRS TRUST                COM   09067D201       97     500  SH    SOLE  N/A      500  0  0
BP PRUDHOE BAY RTY TR               COM   055630107       14    1000  SH    SOLE  N/A     1000  0  0
BRISTOL MYERS SQUIBB                COM   110122108       34     600  SH    SOLE  N/A      600  0  0
BRITISH PETROLEUM ADS               COM   055622104      218    4114  SH    SOLE  N/A     4114  0  0
BUTLER MANUFACTURING COMPANY        COM   123655102      479   20860  SH    SOLE  N/A    20860  0  0
CATERPILLAR INC                     COM   149123101       95    2800  SH    SOLE  N/A     2800  0  0
CEDAR FAIR, L.P.                    COM   150185106       37    2000  SH    SOLE  N/A     2000  0  0
CHASE MANHATTAN CORP                COM   16161A108     4597   98850  SH    SOLE  N/A    98850  0  0
CHEVRON CORPORATION                 COM   166751107     2721   31915  SH    SOLE  N/A    31915  0  0
CINTAS CORP                         COM   172908105      301    6900  SH    SOLE  N/A     6900  0  0
CIRCUIT CITY STORES - CIRCUI        COM   172737108        7     300  SH    SOLE  N/A      300  0  0
CISCO SYS INC                       COM   17275R102     8217  148716  SH    SOLE  N/A   148716  0  0
CITIGROUP, INC.                     COM   172967101     7008  129638  SH    SOLE  N/A   129638  0  0
CMGI INC                            COM   125750109       53    1900  SH    SOLE  N/A     1900  0  0
COCA COLA CO                        COM   191216100      662   12000  SH    SOLE  N/A    12000  0  0
COLGATE PALMOLIVE CO                COM   194162103     1954   41400  SH    SOLE  N/A    41400  0  0
COMCAST CORPORATION CLASS A         COM   200300200      147    3600  SH    SOLE  N/A     3600  0  0
COMMERCE BANCSHARES                 COM   200525103      226    6127  SH    SOLE  N/A     6127  0  0
COMMUNICATION INTELLIGENCE C        COM   20338K106        1     600  SH    SOLE  N/A      600  0  0
COMPAQ COMPUTER CORP                COM   204493100      514   18646  SH    SOLE  N/A    18646  0  0
COMVERSE TECHNOLOGY INC             COM   205862402      194    1800  SH    SOLE  N/A     1800  0  0
CONOCO INC-CL A                     COM   208251306      648   24800  SH    SOLE  N/A    24800  0  0
CORECOMM LTD                        COM   G2422R109        2     282  SH    SOLE  N/A      282  0  0
CORNING, INC.                       COM   219350105      327    1100  SH    SOLE  N/A     1100  0  0
COSTCO WHOLESALE CORPORATION        COM   22160K105      573   16402  SH    SOLE  N/A    16402  0  0
DELPHI AUTOMOTIVE SYSTEMS           COM   247126105        5     315  SH    SOLE  N/A      315  0  0
DISNEY WALT CO DEL (HOLDING         COM   254687106     4127  107887  SH    SOLE  N/A   107887  0  0
DST SYSTEMS INC DEL                 COM   233326107     1128    9600  SH    SOLE  N/A     9600  0  0
DU PONT E I DE NEMOURS              COM   263534109      149    3600  SH    SOLE  N/A     3600  0  0
E M C CORP                          COM   268648102    14121  142447  SH    SOLE  N/A   142447  0  0
EASTMAN KODAK CO                    COM   277461109       59    1450  SH    SOLE  N/A     1450  0  0
ELECTRONIC DATA SYS CORP            COM   285661104      149    3600  SH    SOLE  N/A     3600  0  0
EMERSON ELEC CO                     COM   291011104      800   11937  SH    SOLE  N/A    11937  0  0
ENRON CORP                          COM   293561106      237    2700  SH    SOLE  N/A     2700  0  0
ERICSSON (L.M.) TELE CO ADR         COM   294821400     1341   90538  SH    SOLE  N/A    90538  0  0
EXXON MOBIL CORP                    COM   30231G102     6669   74818  SH    SOLE  N/A    74818  0  0
FEDERAL HOME LOAN MORTGAGE          COM   313400301      961   17782  SH    SOLE  N/A    17782  0  0
FEDERAL NATL MTG ASSN               COM   313586109     4074   56979  SH    SOLE  N/A    56979  0  0
FORD MTR CO DEL                     COM   345370100      124    2672  SH    SOLE  N/A     2672  0  0
FRANKLIN RESOURCES INC              COM   354613101       44    1000  SH    SOLE  N/A     1000  0  0
GANNETT CO., INC.                   COM   364730101       21     392  SH    SOLE  N/A      392  0  0
GATEWAY SPORTING GOODS CO -         COM   367802303       42    1000  SH    SOLE  N/A     1000  0  0
GENERAL ELEC CO                     COM   369604103    12486  216439  SH    SOLE  N/A   216439  0  0
GENERAL MOTORS CORPORATION          COM   370442105       29     452  SH    SOLE  N/A      452  0  0
GEORGIA PACIFIC                     COM   373298108        7     300  SH    SOLE  N/A      300  0  0
GILLETTE CO.                        COM   375766102       25     814  SH    SOLE  N/A      814  0  0
GLAXO WELLCOME PLC                  COM   37733W105       60    1000  SH    SOLE  N/A     1000  0  0
H & R BLOCK, INC.                   COM   093671105      510   13769  SH    SOLE  N/A    13769  0  0
HARTFORD FINANCIAL SERVICES         COM   416515104      336    4600  SH    SOLE  N/A     4600  0  0
HENRY JACK & ASSOC INC              COM   426281101       78    1800  SH    SOLE  N/A     1800  0  0
HOME DEPOT                          COM   437076102     3399   63970  SH    SOLE  N/A    63970  0  0
HUDSON UNITED BANCORP               COM   444165104       26     934  SH    SOLE  N/A      934  0  0
IIC INDUSTRIES, INC.                COM   465110104        5     408  SH    SOLE  N/A      408  0  0
ILLINOIS TOOL WKS INC               COM   452308109      704   12600  SH    SOLE  N/A    12600  0  0
INGERSOLL RAND CO                   COM   456866102       90    2640  SH    SOLE  N/A     2640  0  0
INTEL CORPORATION                   COM   458140100     5259  126539  SH    SOLE  N/A   126539  0  0
INTERNATIONAL BUS MACH              COM   459200101      615    5466  SH    SOLE  N/A     5466  0  0
INTERPUBLIC GROUP OF COS INC        COM   460690100      204    6000  SH    SOLE  N/A     6000  0  0
JDS UNIPHASE CORP                   COM   46612J101     2791   29472  SH    SOLE  N/A    29472  0  0
JOHNSON & JOHNSON                   COM   478160104     5067   53944  SH    SOLE  N/A    53944  0  0
KANSAS CITY PWR< CO               COM   485134100      181    6800  SH    SOLE  N/A     6800  0  0
KANSAS CITY SOUTHERN INDUSTR        COM   485170302        4     450  SH    SOLE  N/A      450  0  0
KIMBERLY CLARK CORP                 COM   494368103     5016   89881  SH    SOLE  N/A    89881  0  0
LUCENT TECHNOLOGIES, INC.           COM   549463107      333   10894  SH    SOLE  N/A    10894  0  0
MANAGERS SPECIAL EQUITY             COM   561717208      355    3515  SH    SOLE  N/A     3515  0  0
MASCO CORP                          COM   574599106      358   19226  SH    SOLE  N/A    19226  0  0
MCDONALD'SCORP 7.5% 1/2/37          COM   580135887        5     200  SH    SOLE  N/A      200  0  0
MCDONALDS CORP                      COM   580135101      640   21200  SH    SOLE  N/A    21200  0  0
MDU RESOURCES INC                   COM   552690109        8     262  SH    SOLE  N/A      262  0  0
MEDTRONIC                           COM   585055106     6154  118786  SH    SOLE  N/A   118786  0  0
MERCK & CO INC                      COM   589331107     5244   70446  SH    SOLE  N/A    70446  0  0
MERRILL LNCH PFD CAP TR I 7.        COM   589977206       19     800  SH    SOLE  N/A      800  0  0
MICROSOFT CORPORATION               COM   594918104     5159   85538  SH    SOLE  N/A    85538  0  0
MOTOROLA INC                        COM   620076109     1005   35325  SH    SOLE  N/A    35325  0  0
NEXTEL COMMUNICATIONS INC           COM   65332V103     1866   39915  SH    SOLE  N/A    39915  0  0
NICOR INC                           COM   654086107       29     800  SH    SOLE  N/A      800  0  0
NORTEL NETWORKS CORP                COM   656569100     6080  102076  SH    SOLE  N/A   102076  0  0
NTL, INC.                           COM   629407107       15     314  SH    SOLE  N/A      314  0  0
OLIN CORP                           COM   680665205       26    1600  SH    SOLE  N/A     1600  0  0
OMNICOM GROUP                       COM   681919106     3496   47927  SH    SOLE  N/A    47927  0  0
ORACLE CORP                         COM   68389X105     4285   54412  SH    SOLE  N/A    54412  0  0
PAINE WEBBER GLOBAL EQUITY F        COM   493924104       21    1297  SH    SOLE  N/A     1297  0  0
PAINE WEBBER GROWTH & INCOME        COM   695625103       51    1591  SH    SOLE  N/A     1591  0  0
PALM INC                            COM   696642107       16     296  SH    SOLE  N/A      296  0  0
PCS GROUP                           COM   852061506      111    3163  SH    SOLE  N/A     3163  0  0
PEPSICO INC                         COM   713448108     1707   37115  SH    SOLE  N/A    37115  0  0
PFD CHASE CAP 8.1% "A"              COM   161637202       15     600  SH    SOLE  N/A      600  0  0
PFIZER INC                          COM   717081103     6348  141449  SH    SOLE  N/A   141449  0  0
PHARMACIA CORP                      COM   71713U102      301    5000  SH    SOLE  N/A     5000  0  0
PRIMEX TECHNOLOGIES, INC.           COM   741597108        9     320  SH    SOLE  N/A      320  0  0
PROCTER & GAMBLE CO                 COM   742718109      390    5800  SH    SOLE  N/A     5800  0  0
PW STRATEGY FUND A                  COM   695746107       34    3861  SH    SOLE  N/A     3861  0  0
QUALCOMM INC.                       COM   747525103      143    2000  SH    SOLE  N/A     2000  0  0
QUEST COMMUNICATIONS INTERNA        COM   749121109       33     691  SH    SOLE  N/A      691  0  0
READER'S DIGEST                     COM   755267101     1102   31200  SH    SOLE  N/A    31200  0  0
SBC COMMUNICATIONS, INC.            COM   78387G103     3291   65819  SH    SOLE  N/A    65819  0  0
SCHERING-PLOUGH CORPORATION         COM   806605101     5099  109654  SH    SOLE  N/A   109654  0  0
SCHWAB (CHARLES) CORP               COM   808513105     3427   96543  SH    SOLE  N/A    96543  0  0
SCOTTISH POWER PLC-ADR              COM   81013T705       17     580  SH    SOLE  N/A      580  0  0
SHELL TRANS & TRADING PLC NE        COM   822703609      171    3500  SH    SOLE  N/A     3500  0  0
SMITHKLINE BEECHAM P L C REP        COM   832378301       63     922  SH    SOLE  N/A      922  0  0
SMURFIT STONE CONTAINER             COM   832727101       90    7480  SH    SOLE  N/A     7480  0  0
SPRINT CORP                         COM   852061100      455   15521  SH    SOLE  N/A    15521  0  0
STILLWELL FINANCIAL INC.            COM   860831106       57    1300  SH    SOLE  N/A     1300  0  0
SUN MICROSYSTEMS INC                COM   866810104     6045   51776  SH    SOLE  N/A    51776  0  0
SUPERIOR INDUSTRIES                 COM   868168105      272    9075  SH    SOLE  N/A     9075  0  0
SYBASE, INC.                        COM   871130100       45    1945  SH    SOLE  N/A     1945  0  0
TARGET CORP                         COM   87612E106     2636  102831  SH    SOLE  N/A   102831  0  0
TECO ENERGY INC                     COM   872375100       40    1400  SH    SOLE  N/A     1400  0  0
TELLABS INC DELAWARE                COM   879664100      158    3300  SH    SOLE  N/A     3300  0  0
TEXACO INC                          COM   881694103     3935   74951  SH    SOLE  N/A    74951  0  0
TEXAS INSTRUMENTS                   COM   882508104     3578   75831  SH    SOLE  N/A    75831  0  0
TEXTRON, INC                        COM   883203101       47    1009  SH    SOLE  N/A     1009  0  0
TIME WARNER INC                     COM   887315109       78    1000  SH    SOLE  N/A     1000  0  0
TRI CONTINENTAL                     COM   895436103        6     222  SH    SOLE  N/A      222  0  0
TYCO INTERNATIONAL LTD              COM   902124106     4094   78915  SH    SOLE  N/A    78915  0  0
UMB FINANCIAL CORP                  COM   902788108       99    2647  SH    SOLE  N/A     2647  0  0
UNION PAC CORP                      COM   907818108       58    1500  SH    SOLE  N/A     1500  0  0
UNITED TECHNOLOGIES CORP            COM   913017109       80    1160  SH    SOLE  N/A     1160  0  0
VERIZON COMMUNICATIONS              COM   92343V104      264    5455  SH    SOLE  N/A     5455  0  0
VISHAY INTERTECHNOLOGY I            COM   928298108        0       1  SH    SOLE  N/A        1  0  0
VODAFONE AIRTOUCH PLC UTD KN        COM   92857T107       76    2050  SH    SOLE  N/A     2050  0  0
WAL-MART STORES, INC.               COM   931142103     3485   72411  SH    SOLE  N/A    72411  0  0
WALGREEN                            COM   931422109      115    3034  SH    SOLE  N/A     3034  0  0
WEBSENSE INC                        COM   947684106       10     400  SH    SOLE  N/A      400  0  0
WELLS FARGO & CO                    COM   949746101     4034   87802  SH    SOLE  N/A    87802  0  0
WESTERN RESOURCES, INC.             COM   959425109       11     500  SH    SOLE  N/A      500  0  0
WORLDCOM, INC.                      COM   55268B106     3815  125571  SH    SOLE  N/A   125571  0  0
XEROX CORP                          COM   984121103       39    2600  SH    SOLE  N/A     2600  0  0
XILINX INC                          COM   983919101      154    1800  SH    SOLE  N/A     1800  0  0

</TABLE>



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