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FILE NUMBER 028-06458
FORM 13 F
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT
MANAGERS PURSUANT TO SECTION 13 (F) OF THE SECURITIES
EXCHANGE ACT OF 1934 AND RULES THEREUNDER
Securities and Exchange Commission
Washington, D.C.
Report for the Calendar Year or Quarter Ended June 30, 2000
If amended report check here: _____
Name of Institutional Investment Manager:
The Torray Corporation
Business Address:
6610 Rockledge Drive, Suite 450, Bethesda, Maryland 20817
Name, Phone No., and Title of Person Duly Authorized to Submit this Report:
William M Lane, Vice President (301) 493-4600
The institutional investment manager submitting this Form and its
attachments and the person by whom it is signed represent hereby that all
information contained therein is true, correct and complete. It is understood
that all required items, statements, and schedules are considered integral parts
of this Form and that the submission of any amendment represents that all
unamended items, statements and schedules remain true, correct and complete as
previously submitted.
Pursuant to the requirements of Securities Exchange Act of 1934, the
undersigned institutional investment manager has caused this report to be signed
on its behalf in the City of Bethesda and the State of Maryland on the 11th
day of August, 2000.
By: /s/ William M. Lane
-----------------------------------
William M Lane, Vice President
for The Torray Corporation
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June 30, 2000 Form 13F - The Torray Corporation
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Item 1 Item 2 Item 3 Item 4 Item 5 Item 6
Invest
Title CUSIP Fair Market Total ----------------------------
Name of Issuer of Class Number Value Shares (a)Sole (b)Shared (c)Other
-------------- -------- ------ - ------ ------ ------- --------- --------
<S> <C>
Abbott Laboratories common 002824100 142,470,769 3,197,100 X
AT & T Corporation common 001957109 42,693,750 1,350,000 X
Bank One Corporation common 06423A103 31,165,781 1,173,300 X
Bank of America Corporation common 060505104 43,473,000 1,011,000 X
Boston Scientific Corporation common 101137107 123,464,250 5,628,000 X
Bristol-Myers Squibb Company common 110122108 25,530,975 438,300 X
Carnival Corporation common 143658102 33,085,650 1,696,700 X
CarrAmerica Realty Corporation common 144418100 44,957,250 1,696,500 X
Citigroup, Inc. common 172967101 27,926,960 463,518 X
Clear Channel Communications common 184502102 36,735,000 489,800 X
Crown Cork & Seal Co. Inc. common 228255105 14,700,000 980,000 X
CSX Corporation common 126408103 27,429,338 1,294,600 X
Disney Company, The Walt common 254687106 90,239,063 2,325,000 X
Dow Jones & Company common 260561105 7,325,000 100,000 X
du Pont de Nemours & Company, E.I. common 263534109 32,900,000 752,000 X
Emerson Electric Company common 291011104 24,210,375 401,000 X
Franklin Resources, Inc. common 354613101 51,910,875 1,709,000 X
General Dynamics Corporation common 369550108 42,061,250 805,000 X
Hughes Electronics Corporation common 370442832 161,109,000 1,836,000 X
Gilette Company common 375766102 68,446,056 1,959,100 X
Illinois Tool Works common 452308109 91,422,300 1,603,900 X
Int'l Business Machines Corporation common 459200101 23,227,250 212,000 X
Int'l Flavors & Fragrances common 459506101 41,308,575 1,368,400 X
Johnson & Johnson common 478160104 26,864,438 263,700 X
Kimberly-Clark Corporation common 494368103 52,785,000 920,000 X
Markel Corporation common 570535104 35,718,533 252,205 X
Mellon Financial Corporation common 585509102 34,280,400 940,800 X
Molex, Inc. Class A common 608554200 26,530,000 758,000 X
J.P. Morgan & Company common 616880100 87,714,563 796,500 X
PanAmSat Corporation common 697933109 59,633,438 1,365,000 X
Proctor & Gmble Company common 742718109 32,122,975 561,100 X
Raytheon Company Class A common 755111309 54,425,000 2,800,000 X
SLM Holding Corporation common 78442A109 106,285,063 2,839,000 X
Tribune Company common 896047107 61,771,500 1,764,900 X
Xerox Corporation common 984121103 52,000,000 2,600,000 X
-----------------
Total 1,857,923,374
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Item 1 Item 7 Item 8
Voting Authority
-----------------------------------------
Name of Issuer Managers (a) Sole (b) Shared (c)None
-------------- -------- -------- ---------- -------
<S> <C>
Abbott Laboratories All 3,197,100
AT & T Corporation All 1,350,000
Bank One Corporation All 1,173,300
Bank of America Corporation All 1,011,000
Boston Scientific Corporation All 5,628,000
Bristol-Myers Squibb Company All 438,300
Carnival Corporation All 1,696,700
CarrAmerica Realty Corporation All 1,696,500
Citigroup, Inc. All 463,518
Clear Channel Communications All 489,800
Crown Cork & Seal Co. Inc. All 980,000
CSX Corporation All 1,294,600
Disney Company, The Walt All 2,325,000
Dow Jones & Company All 100,000
du Pont de Nemours & Company, E.I. All 752,000
Emerson Electric Company All 401,000
Franklin Resources, Inc. All 1,709,000
General Dynamics Corporation All 805,000
Hughes Electronics Corporation All 1,836,000
Gilette Company All 1,959,100
Illinois Tool Works All 1,603,900
Int'l Business Machines Corporation All 212,000
Int'l Flavors & Fragrances All 1,368,400
Johnson & Johnson All 263,700
Kimberly-Clark Corporation All 920,000
Markel Corporation All 252,205
Mellon Financial Corporation All 940,800
Molex, Inc. Class A All 758,000
J.P. Morgan & Company All 796,500
PanAmSat Corporation All 1,365,000
Proctor & Gmble Company All 561,100
Raytheon Company Class A All 2,800,000
SLM Holding Corporation All 2,839,000
Tribune Company All 1,764,900
Xerox Corporation All 2,600,000
Total
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