MASTRAPASQUA & ASSOCIATES
13F-HR, 2000-02-10
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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: December 31, 1999

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:		Mastrapasqua & Associates
Address:	814 Church Street
		Suite 600
		Nashville, Tennessee 37203

13F File Number:		28-5580

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: 		Frank Mastrapasqua
Title:		Chairman & CEO
Phone:		615-244-8400

Signature,			Place,			Date of Signing:



Report Type:		13F HOLDINGS REPORT



I AM SIGNING THIS REPORT AS REQUIRED BY THE SECURITIES AND
EXCHANGE ACT OF 1934.

<PAGE>








13F Summary Page


Report Summary:

Number of Other Included Managers:		0

Form 13 F	Information Table Entry Total:	60
Form 13 F	Information Table Value Total:	$1,155,629,000.00




<TABLE>
<S><C> <S>                 <C>     <C>   <C>     <S>  <C>       <S>     <C>        <C>   <C>

                                  VALUE  SHARES  SH PUT/INVSTMTOTHER   VOTING AUTHORITY
 NAME OF ISSUER  TITLE OF C CUSIP (X$1000 PRN AMTPRN CALLDSCRETNMANAGERS SOLE SHARE NONE

AT & T CORP LIBER   COM    1957208 27513 540754  SH  N/A SOLE   N/A     540754     0     0
AMERICAN EXPRESS    COM    O2581610 640   4047   SH  N/A SOLE   N/A      4047      0     0
AMERICAN HOME PRO   COM    O2660910 182   4800   SH  N/A SOLE   N/A      4800      0     0
AMGEN INC           COM    O3116210 34773 653754 SH  N/A SOLE   N/A     653754     0     0
APPLIED MATERIALS   COM    O3822210 36045 282291 SH  N/A SOLE   N/A     282291     0     0
BAXTER INT'L        COM    O7181310 1156  18875  SH  N/A SOLE   N/A     18875      0     0
BELLSOUTH           COM    O7986010 148   3323   SH  N/A SOLE   N/A      3323      0     0
BIOGEN INC          COM    O9059710 29839 363891 SH  N/A SOLE   N/A     363891     0     0
BRISTOL MYERS SQU   COM    11012210 21815 320817 SH  N/A SOLE   N/A     320817     0     0
BROADCOM CORP       COM    11132010 41410 165641 SH  N/A SOLE   N/A     165641     0     0
BROADWING           COM    11162010 11345 337375 SH  N/A SOLE   N/A     337375     0     0
CARNIVAL CRUISE     COM    14365810 21031 454736 SH  N/A SOLE   N/A     454736     0     0
CISCO INC           COM    17275R10 32592 309841 SH  N/A SOLE   N/A     309841     0     0
COCA COLA           COM    19121610 175   2944   SH  N/A SOLE   N/A      2944      0     0
COMPUWARE CORP      COM    20563810 28309 724761 SH  N/A SOLE   N/A     724761     0     0
CONCORD EFS INC     COM    20619710 20182 779835 SH  N/A SOLE   N/A     779835     0     0
CVS CORP            COM    12665010 13388 373140 SH  N/A SOLE   N/A     373140     0     0
CYBEX CORP          COM    23252E11 169   4500   SH  N/A SOLE   N/A      4500      0     0
ELAN CORP PLC       COM    28413120 12485 456008 SH  N/A SOLE   N/A     456008     0     0
ELI LILLY           COM    53245710 348   4940   SH  N/A SOLE   N/A      4940      0     0
EMC CORP MASS       COM    26864810 68918 656363 SH  N/A SOLE   N/A     656363     0     0
EXXON CORP          COM    30229010 1434  17653  SH  N/A SOLE   N/A     17653      0     0
FORD MOTOR CO       COM    34537010 234   4469   SH  N/A SOLE   N/A      4469      0     0
GENENTECH INC       COM    36871040 37514 274830 SH  N/A SOLE   N/A     274830     0     0
GENERAL ELECTRIC    COM    36960410 983   6165   SH  N/A SOLE   N/A      6165      0     0
HEALTHCARE RLTY T   COM    42192410 125   8534   SH  N/A SOLE   N/A      8534      0     0
HOME DEPOT          COM    43707610 1732  17714  SH  N/A SOLE   N/A     17714      0     0
IDEC PHARMACEUTIC   COM    44937010 38140 389661 SH  N/A SOLE   N/A     389661     0     0
INTEL CORP          COM    45814010 31675 372394 SH  N/A SOLE   N/A     372394     0     0
INTERNET CAPITAL    COM    46059C10 2063  11615  SH  N/A SOLE   N/A     11615      0     0
JDS UNIPHASE CORP   COM    90914910 78892 235324 SH  N/A SOLE   N/A     235324     0     0
JOHNSON & JOHNSON   COM    47816010 290   2974   SH  N/A SOLE   N/A      2974      0     0
LUCENT TECHNOLOGI   COM    54946310 342   4518   SH  N/A SOLE   N/A      4518      0     0
MCDONALDS           COM    58013510 17950 439847 SH  N/A SOLE   N/A     439847     0     0
MEDIMMUNE           COM    58469910 12500  81071 SH  N/A SOLE   N/A     81071      0     0
MERK & CO           COM    58933110 17388 246648 SH  N/A SOLE   N/A     246648     0     0
MONTANA POWER       COM    61208510 21237 586830 SH  N/A SOLE   N/A     586830     0     0
NATIONAL HEALTH     COM    63633D10 228   13800  SH  N/A SOLE   N/A     13800      0     0
NORTEL NETWORKS     COM    65656910 5006  46091  SH  N/A SOLE   N/A     46091      0     0
NOVELL INC          COM    67000610 52875 1608125SH  N/A SOLE   N/A     160812     0     0
ORACLE CORP         COM    68389X10 88078 843824 SH  N/A SOLE   N/A     843824     0     0
PE CORP-PE BIO SY   COM    693332S1 38903 352449 SH  N/A SOLE   N/A     352449     0     0
PFIZER INC          COM    71708110 3832 111090  SH  N/A SOLE   N/A     111090     0     0
PHARMACIA & UPJOH   COM    71694110 18925 405867 SH  N/A SOLE   N/A     405867     0     0
PROCTOR & GAMBLE    COM    74271810 2382  21431  SH  N/A SOLE   N/A     21431      0     0
SBC COMMUNICATION   COM    78387G10 285   5832   SH  N/A SOLE   N/A      5832      0     0
SCHERING PLOUGH     COM    80660510 20483 457737 SH  N/A SOLE   N/A     457737     0     0
SHOP AT HOME INC    COM    82506630 190   20000  SH  N/A SOLE   N/A     20000      0     0
SMITHKLINE BEECHA COM ADR  83237830 393   6340   SH  N/A SOLE   N/A      6340      0     0
SOLECTRON           COM    83418210 17173 189242 SH  N/A SOLE   N/A     189242     0     0
SUN MICROSYSTEMS    COM    86681010 91053 1198070SH  N/A SOLE   N/A     119807     0     0
SUNTRUST BANKS      COM    86791410 576   8337   SH  N/A SOLE   N/A      8337      0     0
SYNOPSYS INC        COM    87160710 688   10735  SH  N/A SOLE   N/A     10735      0     0
TERADYNE INC        COM    88077010 35263 613913 SH  N/A SOLE   N/A     613913     0     0
TEXAS INSTRS INC    COM    88250810 24675 230612 SH  N/A SOLE   N/A     230612     0     0
THE ROWE COS        COM    77952810 125   15000  SH  N/A SOLE   N/A     15000      0     0
USA NETWORKS        COM    90298410 12303 228359 SH  N/A SOLE   N/A     228359     0     0
VERITAS SOFTWARE    COM    92343610 41957 313981 SH  N/A SOLE   N/A     313981     0     0
VERITY INC          COM    92343C10 3530 100245  SH  N/A SOLE   N/A     100245     0     0
WALMART STORES      COM    93114210 31744 457152 SH  N/A SOLE   N/A     457152     0     0





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