MASTRAPASQUA & ASSOCIATES
13F-HR, 2000-10-10
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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: September 30, 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:		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:	2,205,045,000






<TABLE>
 <C>                                  <C>
                                       VALUE     SHARES   SH PUT/INVSTMTOTHER   VOTING AUTHORITY
 NAME OF ISSUER  TITLE OF C  CUSIP    (X$1000)  PRN AMT  PRN CALLDSCRETNMANAGERS SOLE SHARE NONE

AT & T CORP LIBER   COM     1957208    34163    1897945  SH  N/A SOLE   N/A     189794     0     0
AMERICA ONLINE IN   COM    02364J104    155       2894   SH  N/A SOLE   N/A      2894      0     0
AMERICAN EXPRESS    COM    025816109   18402     302908  SH  N/A SOLE   N/A     302908     0     0
AMGEN INC           COM    O31162100   68382     979260  SH  N/A SOLE   N/A     979260     0     0
ANALOG DEVICES      COM    032654106    4703     56970   SH  N/A SOLE   N/A     56970      0     0
APPLIED MATERIALS   COM    O38222105   45326     764221  SH  N/A SOLE   N/A     764221     0     0
BANK OF NEW YORK    COM    064057102   18820     335710  SH  N/A SOLE   N/A     335710     0     0
BAXTER INT'L        COM    O71813109   41494     519909  SH  N/A SOLE   N/A     519909     0     0
BECTON DICKINSON    COM    075887109     85       3200   SH  N/A SOLE   N/A      3200      0     0
BIOVAIL CORP        COM    09067J109   48677     597702  SH  N/A SOLE   N/A     597702     0     0
BRISTOL MYERS SQU   COM    110122108    232       4060   SH  N/A SOLE   N/A      4060      0     0
BROADCOM CORP       COM    111320107   101858    417880  SH  N/A SOLE   N/A     417880     0     0
CENTRAL PARKING     COM    154785109     81       4075   SH  N/A SOLE   N/A      4075      0     0
CIENA CORP          COM    171779101    6153     50100   SH  N/A SOLE   N/A     50100      0     0
CISCO INC           COM    17275R102   49615     898014  SH  N/A SOLE   N/A     898014     0     0
CITIGROUP INC       COM    172967101   40107     741899  SH  N/A SOLE   N/A     741899     0     0
COCA COLA           COM    191216100    259       4700   SH  N/A SOLE   N/A      4700      0     0
CONCORD EFS IN      COM    206197105    240       6750   SH  N/A SOLE   N/A      6750      0     0
CV THERAPEUTICS     COM    126667104    467       6000   SH  N/A SOLE   N/A      6000      0     0
ELAN CORP PLC       COM    284131208   52988     967812  SH  N/A SOLE   N/A     967812     0     0
EMC CORP MASS       COM    268648102   125763   1268668  SH  N/A SOLE   N/A     126866     0     0
EMERSON ELECTRIC    COM    291011104   44346     661882  SH  N/A SOLE   N/A     661882     0     0
EXOCUS              COM    302088109    678      13725   SH  N/A SOLE   N/A     13725      0     0
EXXON CORP          COM    302290101    812       9106   SH  N/A SOLE   N/A      9106      0     0
FOREST LABORATORI   COM    345838106   32569     283970  SH  N/A SOLE   N/A     283970     0     0
GENENTECH INC       COM    368710406   73699     396896  SH  N/A SOLE   N/A     396896     0     0
GENERAL ELECTRIC    COM    369604103   55014     953620  SH  N/A SOLE   N/A     953620     0     0
IBM                 COM    459200101     84       750    SH  N/A SOLE   N/A      750       0     0
IDEC PHARMACEUTIC   COM    449370105   99367     566645  SH  N/A SOLE   N/A     566645     0     0
INTREGRATED DEVIC   COM    458118106   13516     149345  SH  N/A SOLE   N/A     149345     0     0
INTEL CORP          COM    458140100   42064    1012121  SH  N/A SOLE   N/A     101212     0     0
JDS UNIPHASE CORP   COM    909149106   82856     875022  SH  N/A SOLE   N/A     875022     0     0
LILLY ELI & CO CO   COM    532457108     87       1070   SH  N/A SOLE   N/A      1070      0     0
MEDIMMUNE           COM    584699102   53758     695897  SH  N/A SOLE   N/A     695897     0     0
MERCK & CO INC CO   COM    589331107     80       1079   SH  N/A SOLE   N/A      1079      0     0
MERRILL LYNCH & C   COM    590188108   67566    1023725  SH  N/A SOLE   N/A     102372     0     0
MINIMED INC         COM    30665K108    983      11000   SH  N/A SOLE   N/A     11000      0     0
MORGAN ST DEAN      COM    617446448   48907     534850  SH  N/A SOLE   N/A     534850     0     0
NORTEL NETWORKS     COM    656569100   40631     682180  SH  N/A SOLE   N/A     682180     0     0
NOVELL INC          COM    670006105   17054    1715656  SH  N/A SOLE   N/A     171565     0     0
ORACLE CORP         COM    68389X105   118774   1508240  SH  N/A SOLE   N/A     150824     0     0
PE CORP-PE BIO SY   COM    693332S102  104489    896904  SH  N/A SOLE   N/A     896904     0     0
PEB CORP-CELERA     COM    69332S201    5282     53016   SH  N/A SOLE   N/A     53016      0     0
PFIZER INC COM      COM    717081103   25775     573540  SH  N/A SOLE   N/A     573540     0     0
PHARMACIA           COM    71713U102   46431     771412  SH  N/A SOLE   N/A     771412     0     0
PMC SEIRRA          COM    69344F106   63208     293647  SH  N/A SOLE   N/A     293647     0     0
PROCTOR & GAMBLE    COM    742718109   38259     571029  SH  N/A SOLE   N/A     571029     0     0
QWEST COMMUNICATI   COM    749121109    160       3323   SH  N/A SOLE   N/A      3323      0     0
REALNETWORKS INC    COM    756056104    2401     60400   SH  N/A SOLE   N/A     60400      0     0
SCHERING PLOUGH     COM    806605101     76       1645   SH  N/A SOLE   N/A      1645      0     0
SDL INC             COM    784076101    1693      5475   SH  N/A SOLE   N/A      5475      0     0
SUN MICROSYSTEMS    COM    866810104   122856   1052298  SH  N/A SOLE   N/A     105229     0     0
SYCAMORE NETWORKS   COM    871206108    931       8620   SH  N/A SOLE   N/A      8620      0     0
TERADYNE INC        COM    880770102   28386     811031  SH  N/A SOLE   N/A     811031     0     0
TEXAS INSTRS INC    COM    882508104   37632     797453  SH  N/A SOLE   N/A     797453     0     0
USA NETWORKS        COM    902984103   41323    1883459  SH  N/A SOLE   N/A     188345     0     0
VERITAS SOFTWARE    COM    923436109   89950     633454  SH  N/A SOLE   N/A     633454     0     0
VIACOM INC CL A     COM    925524100    9258     158250  SH  N/A SOLE   N/A     158250     0     0
VIACOM INC CL B     COM    925524100   32964     563483  SH  N/A SOLE   N/A     563483     0     0
WATERS CORP         COM    941848103   103156   1159051  SH  N/A SOLE   N/A     115905     0     0



</TABLE>


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