-----BEGIN PRIVACY-ENHANCED MESSAGE----- Proc-Type: 2001,MIC-CLEAR Originator-Name: webmaster@www.sec.gov Originator-Key-Asymmetric: MFgwCgYEVQgBAQICAf8DSgAwRwJAW2sNKK9AVtBzYZmr6aGjlWyK3XmZv3dTINen TWSM7vrzLADbmYQaionwg5sDW3P6oaM5D3tdezXMm7z1T+B+twIDAQAB MIC-Info: RSA-MD5,RSA, O5U9zfRH1+NMsKCOWVJz1fnkNwtjxcbt8HU0LO7iFhd3KBZeOwXryPzyeFws5eke bJfLUlK/Ce2rEerqVslD4g== 0000809443-01-500007.txt : 20010411 0000809443-01-500007.hdr.sgml : 20010411 ACCESSION NUMBER: 0000809443-01-500007 CONFORMED SUBMISSION TYPE: 13F-HR PUBLIC DOCUMENT COUNT: 1 CONFORMED PERIOD OF REPORT: 20010331 FILED AS OF DATE: 20010410 FILER: COMPANY DATA: COMPANY CONFORMED NAME: MEEDER ASSET MANAGEMENT INC CENTRAL INDEX KEY: 0000809443 STANDARD INDUSTRIAL CLASSIFICATION: [] IRS NUMBER: 310841498 STATE OF INCORPORATION: OH FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: 13F-HR SEC ACT: SEC FILE NUMBER: 028-01512 FILM NUMBER: 1599688 BUSINESS ADDRESS: STREET 1: 6000 MEMORIAL DRIVE CITY: DUBLIN STATE: OH ZIP: 43017 BUSINESS PHONE: 6147667000 MAIL ADDRESS: STREET 1: 6000 MEMORIAL DRIVE CITY: DUBLIN STATE: OH ZIP: 43017 FORMER COMPANY: FORMER CONFORMED NAME: MEEDER R & ASSOCIATES INC DATE OF NAME CHANGE: 19990330 13F-HR 1 q1-01.txt MEEDER ASSET MANAGEMENT FORM 13F UNITED STATES SECURITIES AND EXCHANGE COMMISSION Washington, D.C. 20549 FORM 13F FORM 13F COVER PAGE Report for the Calendar Year or Quarter Ended: March 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: Meeder Asset Management, Inc. Address: 6000 Memorial Drive Dublin, OH 43017 13F File Number: 28-1512 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 conatained 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: Donald F. Meeder Title: Vice President Phone: 614-766-7000 Signature, Place, and Date of Signing: /s/ Donald F. Meeder Dublin, Ohio April 10, 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. FORM 13F SUMMARY PAGE Report Summary: Number of Other Included Managers: 0 Form 13F Information Table Entry Total: 176 Form 13F Information Table Value Total: $141,453 List of Other Included Managers: N/A No. 13F File Number Name
PAGE: 1 OF: 3 FORM 13F NAME OF REPORTING MANAGER: Meeder Asset Management, Inc. #28-1512 DATE:03/31/01 - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- | | | | | | | ITEM 1: | ITEM 2: | ITEM 3: | ITEM 4: | ITEM 5: | ITEM 6: |ITEM 7:| ITEM 8: NAME OF ISSUER |TITLE OF CLASS | CUSIP | FAIR MARKET | SHARES OR |INVESTMENT DISCRETION|MANAGER| VOTING AUTHORITY | | NUMBER | VALUE | PRINC. AMT.| SOLE SHARED OTHER | |SOLE SHARED NONE - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- Alcoa Inc. | COMMON STOCK |013817101 | 214,263| 5,980| X | 01 | 5980 | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- Abbott Labs | COMMON STOCK |002824100 | 312,421| 6,660| X | 01 | 6660 | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- Action Performance | COMMON STOCK |004933107 | 266,263| 23,800| X | 01 | 23800 | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- AES Corp. | COMMON STOCK |00130H105 | 214,391| 4,275| X | 01 | 4275 | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- American Home Prods | COMMON STOCK |026609107 | 413,130| 7,050| X | 01 | 7050 | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- American Int'l. | COMMON STOCK |026874107 | 907,051| 11,300| X | 01 | 11300 Group | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- AMGEN | COMMON STOCK |031162100 | 261,000| 4,350| X | 01 | 4350 | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- America Online Time | COMMON STOCK |02364J104 | 786,840| 19,750| X | 01 | 19750 Warner Inc. | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- American Express | COMMON STOCK |025816109 | 274,700| 6,700| X | 01 | 6700 | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- Boeing Company | COMMON STOCK |097023105 | 366,769| 6,580| X | 01 | 6580 | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- BankAmerica Corp. | COMMON STOCK |060505104 | 582,722| 10,700| X | 01 | 10700 | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- Bellsouth Corp. | COMMON STOCK |079860102 | 356,621| 8,730| X | 01 | 8730 | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- Bristol Myers Squibb| COMMON STOCK |110122108 | 440,837| 7,510| X | 01 | 7510 | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- Citigroup Inc. | COMMON STOCK |172967101 | 1,113,885| 24,975| X | 01 | 24975 | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- Chevron Corporation | COMMON STOCK |166751107 | 236,952| 2,700| X | 01 | 2700 | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- Compaq Computer Corp| COMMON STOCK |204493100 | 257,769| 14,210| X | 01 | 14210 | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- Cisco Systems Inc. | COMMON STOCK |17275R102 | 579,600| 36,800| X | 01 | 36800 | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- Walt Disney Co. | COMMON STOCK |254687106 | 246,297| 8,700| X | 01 | 8700 | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- EMC Corp./Mass | COMMON STOCK |268648102 | 300,056| 10,290| X | 01 | 10290 | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- Ford Motor Company | COMMON STOCK |345370860 | 207,348| 7,400| X | 01 | 7400 | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- FleetBoston | COMMON STOCK |339030108 | 252,301| 6,775| X | 01 | 6775 Financial Corp. | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- Federal National | COMMON STOCK |313586109 | 487,449| 6,150| X | 01 | 6150 Mortgage Assoc. | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- Federal Home Loan | COMMON STOCK |313400301 | 274,763| 4,250| X | 01 | 4250 Mortgage Corp. | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- First Union Corp. | COMMON STOCK |337358105 | 202,864| 6,200| X | 01 | 6200 | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- General Electric Co.| COMMON STOCK |369604103 | 1,938,224| 46,817| X | 01 | 46817 | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- Global Crossing LTD | COMMON STOCK |G3921A100 | 182,094| 13,579| X | 01 | 13579 | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- Home Depot Inc. | COMMON STOCK |437076102 | 339,542| 7,900| X | 01 | 7900 | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- Haggar Corp. | COMMON STOCK |405173105 | 162,719| 12,700| X | 01 | 12700 | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- COLUMN TOTALS: | | | 12,178,871| | | | =================================================================================================================================== PAGE: 2 OF: 3 FORM 13F NAME OF REPORTING MANAGER: Meeder Asset Management, Inc. #28-1512 DATE:03/31/01 - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- | | | | | | | ITEM 1: | ITEM 2: | ITEM 3: | ITEM 4: | ITEM 5: | ITEM 6: |ITEM 7:| ITEM 8: NAME OF ISSUER |TITLE OF CLASS | CUSIP | FAIR MARKET | SHARES OR |INVESTMENT DISCRETION|MANAGER| VOTING AUTHORITY | | NUMBER | VALUE | PRINC. AMT.| SOLE SHARED OTHER | |SOLE SHARED NONE - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- Int'l. Business | COMMON STOCK |459200101 | 900,469| 9,340| X | 01 | 9340 Machines | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- Intel | COMMON STOCK |458140100 | 779,626| 29,860| X | 01 | 29860 | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- Johnson & Johnson | COMMON STOCK |478160104 | 521,500| 5,960| X | 01 | 5960 | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- J.P. Morgan Chase & | COMMON STOCK |46625H100 | 453,870| 10,250| X | 01 | 10250 Company | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- Kimberly Clark | COMMON STOCK |494368103 | 251,119| 3,700| X | 01 | 3700 | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- Coca Cola | COMMON STOCK |191216100 | 546,557| 12,100| X | 01 | 12100 | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- Lilly, Eli & Co. | COMMON STOCK |532457108 | 345,644| 4,520| X | 01 | 4520 | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- Lucent Technologies | COMMON STOCK |549463107 | 111,550| 11,500| X | 01 | 11500 Inc. | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- McDonalds Corp. | COMMON STOCK |580135101 | 261,855| 9,900| X | 01 | 9900 | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- Medtronic Inc. | COMMON STOCK |585055106 | 289,456| 6,320| X | 01 | 6320 | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- Merrill Lynch & Co. | COMMON STOCK |590188108 | 209,000| 3,800| X | 01 | 3800 | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- Philip Morris Cos. | COMMON STOCK |718154107 | 587,760| 12,400| X | 01 | 12400 | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- Merck & Co., Inc. | COMMON STOCK |589331107 | 755,259| 10,030| X | 01 | 10030 | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- Microsoft Corp. | COMMON STOCK |594918104 | 1,499,025| 27,600| X | 01 | 27600 | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- Morgan Stanley Dean | COMMON STOCK |617446448 | 321,600| 6,000| X | 01 | 6000 Witter & Co. | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- Nortel Networks | COMMON STOCK |656568102 | 172,603| 12,320| X | 01 | 12320 | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- Bank One Corp. | COMMON STOCK |06423A103 | 205,485| 5,700| X | 01 | 5700 | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- Oracle Corporation | COMMON STOCK |68389X105 | 397,474| 26,500| X | 01 | 26500 | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- Pepsico Inc. | COMMON STOCK |713448108 | 236,790| 5,400| X | 01 | 5400 | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- Pfizer Inc. | COMMON STOCK |717081103 | 1,358,618| 33,480| X | 01 | 33480 | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- Proctor & Gamble | COMMON STOCK |742718109 | 416,606| 6,700| X | 01 | 6700 | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- Pharmacia Corp. | COMMON STOCK |71713U102 | 419,502| 8,340| X | 01 | 8340 | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- Qwest Communications| COMMON STOCK |749121109 | 242,882| 6,863| X | 01 | 6863 | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- Qualcom Inc. | COMMON STOCK |747525103 | 262,640| 4,690| X | 01 | 4690 | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- Royal Dutch Pete | COMMON STOCK |780257804 | 558,530| 10,100| X | 01 | 10100 | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- SBC Communications | COMMON STOCK |78387G103 | 718,476| 16,329| X | 01 | 16329 | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- Schering Plough Corp| COMMON STOCK |806605101 | 310,792| 8,480| X | 01 | 8480 | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- Sun Microsystems | COMMON STOCK |866810104 | 197,118| 12,860| X | 01 | 12860 | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- COLUMN TOTALS: | | | 13,331,806| | | | =================================================================================================================================== PAGE: 3 OF: 3 FORM 13F NAME OF REPORTING MANAGER: Meeder Asset Management, Inc. #28-1512 DATE:03/31/01 - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- | | | | | | | ITEM 1: | ITEM 2: | ITEM 3: | ITEM 4: | ITEM 5: | ITEM 6: |ITEM 7:| ITEM 8: NAME OF ISSUER |TITLE OF CLASS | CUSIP | FAIR MARKET | SHARES OR |INVESTMENT DISCRETION|MANAGER| VOTING AUTHORITY | | NUMBER | VALUE | PRINC. AMT.| SOLE SHARED OTHER | |SOLE SHARED NONE - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- Tyco International | COMMON STOCK |902124106 | 442,163| 10,240| X | 01 | 10240 | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- U.S. Bancorp | COMMON STOCK |902973304 | 231,937| 10,213| X | 01 | 10213 | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- Viacom Inc | COMMON STOCK |925524308 | 379,607| 8,653| X | 01 | 8653 Class B | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- Verizon | COMMON STOCK |92343V104 | 635,256| 12,975| X | 01 | 12975 Communications | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- Worldcom Inc. | COMMON STOCK |98157D106 | 357,062| 19,107| X | 01 | 19107 | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- Wells Fargo Company | COMMON STOCK |949746101 | 407,447| 8,300| X | 01 | 8300 | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- Wal Mart Stores Inc.| COMMON STOCK |931142103 | 829,620| 16,500| X | 01 | 16500 | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- Exxon Corporation | COMMON STOCK |30231G102 | 1,303,399| 16,262| X | 01 | 16262 | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- COLUMN TOTALS: | | | 4,586,492| | | | GRAND TOTAL: | | | 30,097,169| | | | ===================================================================================================================================
PAGE: 1 OF: 2 FORM 13F NAME OF REPORTING MANAGER: Meeder Asset Management, Inc. #28-1512 DATE:03/31/01 - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- | | | | | | | ITEM 1: | ITEM 2: | ITEM 3: | ITEM 4: | ITEM 5: | ITEM 6: |ITEM 7:| ITEM 8: NAME OF ISSUER |TITLE OF CLASS | CUSIP | FAIR MARKET | SHARES OR |INVESTMENT DISCRETION|MANAGER| VOTING AUTHORITY | | NUMBER | VALUE | PRINC. AMT.| SOLE SHARED OTHER | |SOLE SHARED NONE - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- AES Corp. | COMMON STOCK |00130H105 | 760,769| 15,185| X | 02 | 15185 | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- Alltel Corp. | COMMON STOCK |020039103 | 1,018,967| 19,420| X | 02 | 19420 | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- AGL Resources Inc. | COMMON STOCK |001204106 | 708,716| 34,155| X | 02 | 34155 | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- American Water | COMMON STOCK |030411102 | 1,327,183| 50,680| X | 02 | 50680 Works Inc. | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- Bellsouth Corp. | COMMON STOCK |079860102 | 703,941| 17,245| X | 02 | 17245 | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- DQE Inc. | COMMON STOCK |23329J104 | 1,012,242| 34,430| X | 02 | 34430 | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- Energy East Corp. | COMMON STOCK |29266M109 | 640,062| 36,450| X | 02 | 36450 | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- Enron Corp. | COMMON STOCK |293561106 | 757,442| 13,100| X | 02 | 13100 | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- El Paso Corporation | COMMON STOCK |28336L109 | 2,189,592| 33,480| X | 02 | 33480 | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- Sprint Corp. | COMMON STOCK |852061100 | 519,937| 23,655| X | 02 | 23655 FON Group | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- Nicor Inc. | COMMON STOCK |654086107 | 481,873| 12,905| X | 02 | 12905 | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- GPU Inc. | COMMON STOCK |36225X100 | 1,741,717| 53,990| X | 02 | 53990 | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- Global Crossing LTD | COMMON STOCK |G3921A100 | 433,494| 32,254| X | 02 | 32254 | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- Idacorp Inc. | COMMON STOCK |451107106 | 1,121,075| 29,440| X | 02 | 29440 | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- Kinder Morgan Inc.UK| COMMON STOCK |49455P101 | 1,364,892| 25,680| X | 02 | 25680 | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- Kinder Morgan | COMMON STOCK |494550106 | 1,877,115| 29,944| X | 02 | 29944 Energy Partners | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- Kinder Morgan Inc.US| COMMON STOCK |482620507 | 694,000| 10,000| X | 02 | 10000 | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- KeySpan Corp. | COMMON STOCK |49337W100 | 1,700,217| 44,590| X | 02 | 44590 | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- MDU Res Group Inc. | COMMON STOCK |552690109 | 622,456| 21,190| X | 02 | 21190 | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- Montana Power Co. | COMMON STOCK |612085100 | 371,389| 25,935| X | 02 | 25935 | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- NiSource Inc. | COMMON STOCK |65473P105 | 1,959,938| 62,980| X | 02 | 62980 | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- NSTAR BEN INT | COMMON STOCK |67019E107 | 672,491| 17,490| X | 02 | 17490 | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- People's Energy Corp| COMMON STOCK |711030106 | 649,740| 16,660| X | 02 | 16660 | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- Qwest Communications| COMMON STOCK |749121109 | 410,035| 11,619| X | 02 | 11619 | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- SBC Communications | COMMON STOCK |78387G103 | 1,298,440| 29,510| X | 02 | 29510 | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- Questar Corp. | COMMON STOCK |748356102 | 1,971,966| 69,650| X | 02 | 69650 | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- Telephone & Data Sys| COMMON STOCK |879433100 | 833,458| 8,815| X | 02 | 8815 | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- Teco Energy Inc. | COMMON STOCK |872375100 | 1,742,690| 58,245| X | 02 | 58245 | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- COLUMN TOTALS: | | | 29,585,835| | | | =================================================================================================================================== PAGE: 2 OF: 2 FORM 13F NAME OF REPORTING MANAGER: Meeder Asset Management, Inc. #28-1512 DATE:03/31/01 - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- | | | | | | | ITEM 1: | ITEM 2: | ITEM 3: | ITEM 4: | ITEM 5: | ITEM 6: |ITEM 7:| ITEM 8: NAME OF ISSUER |TITLE OF CLASS | CUSIP | FAIR MARKET | SHARES OR |INVESTMENT DISCRETION|MANAGER| VOTING AUTHORITY | | NUMBER | VALUE | PRINC. AMT.| SOLE SHARED OTHER | |SOLE SHARED NONE - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- Utilicorp United | COMMON STOCK |918005109 | 1,744,271| 61,337| X | 02 | 61337 Inc. Del | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- Verizon | COMMON STOCK |92343V104 | 937,272| 19,128| X | 02 | 19128 Communications | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- Worldcom Inc. | COMMON STOCK |98157D106 | 922,733| 49,377| X | 02 | 49377 | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- Williams Cos Inc. | COMMON STOCK |969457100 | 1,929,157| 44,885| X | 02 | 44885 | | | | | | | - --------------------|---------------|-----------|--------------|------------|----------------------|-------|----------------------- COLUMN TOTALS: | | | 5,533,433| | | | GRAND TOTAL: | | | 35,119,268| | | | ===================================================================================================================================
Date: 03/31/01 MEEDER ASSET MANAGEMENT, INC. FORM 13-F Page 1 of 2
DISCRETION VOTING AUTHORITY NAME OF ISSUER TITLE OF CLASS CUSIP # MARKET VALUE SHARES SOLE SHARED OTHER MANAGER SOLE SHARED OTHER - -------------- -------------- ------- ------------ ------ ---- ------ ----- ------- ---- ------ ----- Adaptec Inc COMMON STOCKS 00651F108 733651.20 84600 X X Alberto Culver CLB COMMON STOCKS 013068101 903058.20 22770 X X Allegheny Tech COMMON STOCKS 01741R102 1149060.00 66000 X X Allied Waste Industries COMMON STOCKS 019589308 1027040.00 65500 X X American Greetings CL A COMMON STOCKS 026375105 930362.00 87770 X X Andrew Corp. COMMON STOCKS 034425108 606826.25 42214 X X Ashland Inc COMMON STOCKS 044204105 1040640.00 27100 X X Autodesk Inc COMMON STOCKS 052769106 830091.08 27160 X X Avaya, Inc. COMMON STOCKS 053499109 1186930.32 91302 X X Ball Corp. COMMON STOCKS 058498106 977948.40 21320 X X C.R. Bard, Inc. COMMON STOCKS 067383109 985180.00 21700 X X Bausch & Lomb Inc COMMON STOCKS 071707103 1068444.00 23400 X X Bemis Co., Inc. COMMON STOCKS 081437105 892271.85 26965 X X Boise Cascade COMMON STOCKS 097383103 866640.00 27600 X X Briggs & Stratton Corp. COMMON STOCKS 109043109 785433.90 20470 X X Brunswick Corp. COMMON STOCKS 117043109 1056290.30 53810 X X Cabletron Systems COMMON STOCKS 126920107 820440.00 63600 X X Centex Corp. COMMON STOCKS 152312104 1040417.00 24980 X X Ceridian COMMON STOCKS 15677T106 860250.00 46500 X X Consolidated Stores COMMON STOCKS 210149100 807316.50 80330 X X Cooper Tire & Rubber COMMON STOCKS 216831107 909135.00 80100 X X Adolph Coors Co. COMMON STOCKS 217016104 1086958.40 16610 X X Crane Co. COMMON STOCKS 224399105 880880.75 33815 X X Cummins Engine, Inc. COMMON STOCKS 231021106 850281.00 22650 X X Dana Corp. COMMON STOCKS 235811106 989568.00 57600 X X Darden Restaurants Inc. COMMON STOCKS 237194105 997262.50 41990 X X Deluxe Corp COMMON STOCKS 248019101 1152255.60 48680 X X Dillards Inc-Cl A COMMON STOCKS 254067101 1476562.00 67300 X X eFunds Corp COMMON STOCKS 28224R101 343692.04 17854 X X Englehard Corp COMMON STOCKS 292845104 1283949.00 49650 X X FMC Corp COMMON STOCKS 302491303 938173.60 12740 X X Freeport McMoran Cl B COMMON STOCKS 35671D857 1425712.50 109250 X X Great Lakes Chemical COMMON STOCKS 390568103 736530.40 23960 X X Harrah's Entertainment COMMON STOCKS 413619107 1062717.30 36110 X X Hercules Inc COMMON STOCKS 427056106 619623.00 47700 X X Homestake Mng Co. COMMON STOCKS 437614100 1142787.60 217260 X X Humana COMMON STOCKS 444859102 692728.00 66100 X X INCO Ltd COMMON STOCKS 453258402 846051.50 57050 X X Kaufman & Broad Home COMMON STOCKS 486168107 923548.80 28295 X X Liz Claiborne, Inc. COMMON STOCKS 539320101 1009693.00 21460 X X Longs Drug Stores COMMON STOCKS 543162101 1120915.20 37920 X X Louisiana-Pacific Corp COMMON STOCKS 546347105 882390.20 91820 X X HCR Manor Care, Inc. COMMON STOCKS 564055101 1089156.00 53390 X X McDermitt International COMMON STOCKS 580037109 1102827.00 87180 X X Meredith Corporation COMMON STOCKS 589433101 1000520.60 28660 X X Millipore COMMON STOCKS 601073109 718417.80 15530 X X National Service Ind. COMMON STOCKS 637657107 841151.50 35870 X X Navistar Intl Corp. COMMON STOCKS 63934E108 772464.00 33880 X X Date: 03/31/01 MEEDER ASSET MANAGEMENT, INC. FORM 13-F Page 2 of 2 DISCRETION VOTING AUTHORITY NAME OF ISSUER TITLE OF CLASS CUSIP # MARKET VALUE SHARES SOLE SHARED OTHER MANAGER SOLE SHARED OTHER - -------------- -------------- ------- ------------ ------ ---- ------ ----- ------- ---- ------ ----- Newmont Mining Corp COMMON STOCKS 65163910600 844688.00 52400 X X Niagara Mohawk Holdings COMMON STOCKS 653520106 1054560.00 62400 X X Nicor, Inc. COMMON STOCKS 654086107 1019707.20 27360 X X Office Depot Inc COMMON STOCKS 676220106 1035125.00 118300 X X ONEOK, Inc. COMMON STOCKS 682680103 824546.85 20165 X X Pactiv Corp COMMON STOCKS 695257105 937314.00 77400 X X Pall Corp COMMON STOCKS 696429307 940368.00 42900 X X People's Energy Corp. COMMON STOCKS 711030106 991573.70 25510 X X Placer Dome, Inc. COMMON STOCKS 725906101 836714.50 96730 X X Potlatch Corp COMMON STOCKS 737628107 921757.50 28850 X X Pulte Corp. COMMON STOCKS 745867101 979538.40 24240 X X Quintiles Transnational COMMON STOCKS 748767100 849375.00 45000 X X Reebok International Ltd COMMON STOCKS 758110100 921560.20 37070 X X Rowan Co., Inc. COMMON STOCKS 779382100 1074562.50 39075 X X Ryder Systems COMMON STOCKS 783549108 952930.30 52970 X X Sigma-Aldrich COMMON STOCKS 826552101 1125062.50 23500 X X Snap-On, Inc. COMMON STOCKS 833034101 884083.20 30360 X X Stanley Works COMMON STOCKS 854616109 988500.00 30000 X X Sunoco Inc. COMMON STOCKS 86764P109 1047489.00 32300 X X Supervalu Inc COMMON STOCKS 868536103 890444.00 66800 X X Tektronix COMMON STOCKS 879131100 799869.90 29310 X X Temple-Inland Inc. COMMON STOCKS 879868107 778800.00 17600 X X Thomas & Betts COMMON STOCKS 884315102 1006012.00 57950 X X Timken Co. COMMON STOCKS 887389104 948390.00 60600 X X Tupperware Corp. COMMON STOCKS 899896104 1180115.60 49460 X X USX U.S. Steel Group Inc COMMON STOCKS 90337T101 789881.30 53770 X X U.S. Airways Group COMMON STOCKS 911905107 833500.40 23512 X X Visteon Corp COMMON STOCKS 92839U107 1078368.00 71700 X X Wendy's Int'l., Inc. COMMON STOCKS 950590109 939934.28 42111 X X Westvaco Corp. COMMON STOCKS 961548104 714785.00 29500 X X Winn-Dixie Stores Inc COMMON STOCKS 974280109 1418500.00 50000 X X Worthington Ind COMMON STOCKS 981811102 1164453.00 125210 X X GRAND TOTAL 76236752.62
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