CAPITAL MANAGEMENT ASSOCIATES INC
13F-HR, 2000-10-16
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Form 13F Information Table
<TABLE>
<C>    <C>

FORM 13F INFORMATION TABLE

                            TITLE
NAME OF ISSUER        OF CLASS   CUSIP   VALUE  SHARES   SH  PUT/   INVSTMT   OTHER     VOTING AUTHORITY
0            (x1000)   PRN AMT  PRN CALL   DSCRETN  MANAGERS  SOLE   SHARED  NONE
--------------------------------------------------------------------------------
AIR PRODUCTS & CHEM             COM                009158106   96        2680     SH         SOLE                   2680
ALCOA INC                       COM                013817101   135       5340     SH         SOLE                   5340
CATERPILLAR INC                 COM                149123101   112       3315     SH         SOLE                   3315
DOW CHEMICAL                    COM                260543103   75        3005     SH         SOLE                   3005
FLOUR CORP                      COM                343861100   45        1500     SH         SOLE                   1500
GREAT LAKES CHEMICAL            COM                390568101   118       4030     SH         SOLE                   4030
INTERNATIONAL PAPER CO          COM                460146103   16        550      SH         SOLE                   550
OCTEL CORP                      COM                675727101   7         803      SH         SOLE                   803
SHERWIN WILLIAMS                COM                824348106   41        1900     SH         SOLE                   1900
SIGMA ALDRICH CORP              COM                826552101   50        1500     SH         SOLE                   1500
BOEING CO                       COM                097023105   595       9441     SH         SOLE                   9441
EMERSON ELEC CO                 COM                291011104   147       2200     SH         SOLE                   2200
GENERAL ELECTRIC                COM                369604103   537       9305     SH         SOLE                   9305
JOHNSON CTLS INC                COM                478366107   185       3475     SH         SOLE                   3475
NORTHRUP GRUMMAN                COM                666807102   154       1700     SH         SOLE                   1700
PALL CORP                       COM                696429307   130       6540     SH         SOLE                   6540
TEXTRON INC                     COM                883203101   43        930      SH         SOLE                   930
TYCO INTL LTD                   COM                902124106   606       11680    SH         SOLE                   11680
WATERS CORP                     COM                941848103   404       4540     SH         SOLE                   4540
AT&T CORP                       COM                001957109   51        1727     SH         SOLE                   1727
ALLTELL CORP                    COM                020039103   84        1615     SH         SOLE                   1615
JDS UNIPHASE                    COM                46612J101   826       8725     SH         SOLE                   8725
SBC COMMUNICATIONS              COM                78387G103   247       4932     SH         SOLE                   4932
WORLDCOM INC. NEW               COM                98157D106   43        1421     SH         SOLE                   1421
COPART                          COM                217204106   293       21095    SH         SOLE                   21095
DEVRY INC                       COM                251893103   259       6875     SH         SOLE                   6875
FORD MTR CO DEL                 COM                345370100   292       11530    SH         SOLE                   11530
GANNETT INC DEL                 COM                364730101   123       2315     SH         SOLE                   2315
HOME DEPOT                      COM                437076102   341       6427     SH         SOLE                   6427
SAFEWAY INC                     COM                786514208   190       4070     SH         SOLE                   4070
SEARS, ROEBUCK                  COM                812387108   123       3800     SH         SOLE                   3800
VISTEON CORP                    COM                92839U107   18        1193     SH         SOLE                   1193
WAL-MART                        COM                931142103   81        1680     SH         SOLE                   1680
ANHEUSER BUSCH COS              COM                035229103   83        1970     SH         SOLE                   1970
DARDEN RESTAURANTS INC          COM                237194105   9         450      SH         SOLE                   450
DISNEY WALT CO                  COM                254687106   168       4400     SH         SOLE                   4400
FORTUNE BRANDS                  COM                349631101   71        2663     SH         SOLE                   2663
HEINZ HJ CO                     COM                423074103   207       5575     SH         SOLE                   5575
PEPSICO INC                     COM                713448108   170       3705     SH         SOLE                   3705
TRICON GLOBAL RESTAURANTS       COM                895953107   213       6970     SH         SOLE                   6970
ARCH COAL INC                   COM                039380100   23        2349     SH         SOLE                   2349
ASHLAND INC                     COM                044204105   337       9996     SH         SOLE                   9996
BURLINGTON RES INC              COM                122014103   123       3350     SH         SOLE                   3350
CHEVRON                         COM                166751107   890       10440    SH         SOLE                   10440
DIAMOND OFFSHORE DRILLING       COM                25271C102   123       3000     SH         SOLE                   3000
EL PASO ENERGY CORP             COM                283905109   156       2535     SH         SOLE                   2535
EXXON MOBIL CORP                COM                30231G102   414       4645     SH         SOLE                   4645
HALLIBURTON CO                  COM                406216101   112       2280     SH         SOLE                   2280
PHILLIPS PETE CO                COM                718507106   664       10577    SH         SOLE                   10577
R&B FALCON CORP                 COM                74912E101   466       16729    SH         SOLE                   16729
SUNOCO INC                      COM                86764P109   12        445      SH         SOLE                   445
TEXACO INC                      COM                881694103   406       7735     SH         SOLE                   7735
UNOCAL CORP                     COM                915289102   96        2700     SH         SOLE                   2700
ACM GOVT OPPORTUNITY FD         COM                000918102   7         1050     SH         SOLE                   1050
ACE LIMITED                     COM                G0070K103   474       12070    SH         SOLE                   12070
ALLIANCE CAP MGMT LP            COM                018548107   62        1245     SH         SOLE                   1245
AMERICAN EXPRESS CO             COM                025816109   177       2915     SH         SOLE                   2915
AMERICAN INTL GROUP             COM                026874107   205       2146     SH         SOLE                   2146
BRE PROPERTIES INC              COM                05564E106   233       7287     SH         SOLE                   7287
BANK OF NEW YORK INC            COM                064057102   253       4515     SH         SOLE                   4515
BERKSHIRE HATHAWAY CL B         COM                084670207   199       96       SH         SOLE                   96
CAPITAL ONE FINANCIAL           COM                14040H105   534       7620     SH         SOLE                   7620
CHUBB CORP                      COM                171232101   166       2100     SH         SOLE                   2100
CITIGROUP                       COM                172967101   815       15082    SH         SOLE                   15082
DUKE REALTY INVEST INC          COM                264411505   74        3085     SH         SOLE                   3085
FANNIE MAE                      COM                313586109   192       2685     SH         SOLE                   2685
HARTFORD FINANCIAL              COM                416515104   185       2530     SH         SOLE                   2530
HOUSEHOLD INT'L CORP            COM                441815107   96        2300     SH         SOLE                   2300
KNIGHT TRADING GRP INC          COM                499063105   13        350      SH         SOLE                   350
MERRILL LYNCH & CO              COM                590188108   281       4260     SH         SOLE                   4260
MORGAN JP & CO                  COM                616880100   204       1250     SH         SOLE                   1250
MORGAN STANLEY ASIA-PAC         COM                617440106   .2        20       SH         SOLE                   20
NATIONAL CITY CORP              COM                635405103   175       7905     SH         SOLE                   7905
SAFECO CORP                     COM                786429100   23        845      SH         SOLE                   845
SELECTIVE INSURANCE GRP         COM                816300107   102       5705     SH         SOLE                   5705
ST PAUL COMPANIES               COM                792860108   379       7690     SH         SOLE                   7690
WASHINGTON MUTUAL               COM                939322103   296       7425     SH         SOLE                   7425
WELLS FARGO & CO                COM                949746101   115       2500     SH         SOLE                   2500
AMERICAN HOME PRODUCTS          COM                026609107   109       1925     SH         SOLE                   1925
BARD C R INC                    COM                067383109   99        2350     SH         SOLE                   2350
BAXTER INTL INC                 COM                071131109   120       1500     SH         SOLE                   1500
COVANCE INC                     COM                222816100   89        10840    SH         SOLE                   10840
IMPATH INC                      COM                45255G101   1271      20130    SH         SOLE                   20130
LABORATORY CORP OF AMER HLDG    COM                50540R409   213       1780     SH         SOLE                   1780
LILLY ELI & COMPANY             COM                532457108   472       5815     SH         SOLE                   5815
MEDTRONIC INC                   COM                585055106   107       2070     SH         SOLE                   2070
MERCK & CO INC                  COM                589331107   628       8440     SH         SOLE                   8440
MINIMED INC                     COM                60365K108   72        800      SH         SOLE                   800
PHARMACIA & UPJOHN              COM                716941109   306       5087     SH         SOLE                   5087
SCHERING PLOUGH CORP            COM                806605101   353       7590     SH         SOLE                   7590
ST JUDE MEDICAL INC             COM                790849103   273       5350     SH         SOLE                   5350
TENET HEALTHCARE CORP           COM                88033G100   99        2725     SH         SOLE                   2725
ACXIOM CORP                     COM                005125109   25        780      SH         SOLE                   780
AGILENT TECHNOLOGIES            COM                00846U101   33        673      SH         SOLE                   673
ALTERA CORP                     COM                021441100   318       660      SH         SOLE                   6660
AMERICA ONLINE INC              COM                02364J104   13        240      SH         SOLE                   240
ANALOG DEVICES INC              COM                032654105   275       3330     SH         SOLE                   3330
ANDREW CORP                     COM                034425108   72        2740     SH         SOLE                   2740
APPLIED MATERIALS INC           COM                038222105   122       2055     SH         SOLE                   2055
BROADCOM                        COM                111320107   26        105      SH         SOLE                   105
CISCO SYSTEMS INC               COM                17275R102   200       3628     SH         SOLE                   3628
COMPAQ COMPUTER CORP            COM                204493100   304       11017    SH         SOLE                   11017
DIEBOLD INC                     COM                253651103   126       4755     SH         SOLE                   4755
EMC CORPORATION                 COM                268648102   153       1540     SH         SOLE                   1540
GLOBAL DATATEL INC              COM                37934G107   2         550      SH         SOLE                   550
GRAINGER WW INC                 COM                384802104   62        2344     SH         SOLE                   2344
HEWLETT PACKARD CO              COM                428236103   190       1956     SH         SOLE                   1956
INTEL CORP                      COM                458140100   469       11275    SH         SOLE                   11275
INTERNATIONAL BUSINESS MACH     COM                459200101   317       2820     SH         SOLE                   2820
INTUIT INC                      COM                461202103   103       1815     SH         SOLE                   1815
JABIL CIRCUIT                   COM                466313103   189       3330     SH         SOLE                   3330
LUCENT TECHNOLOGIES             COM                549463107   96        3155     SH         SOLE                   3155
MIPS TECHNOLOGIES               COM                604567107   109       2827     SH         SOLE                   2827
MICROSOFT CORP                  COM                594918104   291       4820     SH         SOLE                   4820
NEXTLINK                        COM                65333H707   8         240      SH         SOLE                   240
ORACLE CORP                     COM                68389X105   481       6110     SH         SOLE                   6110
PERKINELMER INC                 COM                714046109   481       4605     SH         SOLE                   4605
PRECISION AUTO CARE             COM                74018R105   5         3800     SH         SOLE                   3800
QUALCOMM INC                    COM                747525103   400       5615     SH         SOLE                   5615
SABRE HOLDINGS CORP             COM                785905100   .05       2        SH         SOLE                   2
SILICON GRAPHICS INC            COM                827056102   85        20585    SH         SOLE                   20585
SUN MICROSYSTEMS                COM                866810104   302       2590     SH         SOLE                   2590
VITESSE SEMICONDUCTOR           COM                928497106   175       1970     SH         SOLE                   1970
XILINX INC                      COM                983919101   2         25       SH         SOLE                   25
AMR CORP DEL                    COM                001765106   79        2425     SH         SOLE                   2425
DELTA AIRLINES INC              COM                247361108   117       2635     SH         SOLE                   2635
AMERICAN ELECTRIC POWER         COM                025537101   306       7826     SH         SOLE                   7826
CALPINE CORP                    COM                131347106   399       3820     SH         SOLE                   3820
CITIZENS COMMUNICATIONS CO      COM                177342201   44        3273     SH         SOLE                   3273
CONSOLIDATED EDISON INC         COM                209115104   223       6540     SH         SOLE                   6540
ENTERGY CORP                    COM                29364G103   123       3296     SH         SOLE                   3296
FLORIDA PROGRESS CORP           COM                341109106   5         95       SH         SOLE                   95
UNICOM CORP                     COM                904911104   16        276      SH         SOLE                   276
WILLIAMS COS INC DEL            COM                969457100   29        680      SH         SOLE                   680
GAP INC                         COM                364760108   30        1494     SH         SOLE                   1494
KROGER COMPANY                  COM                501044101   26        1140     SH         SOLE                   1140
MCDONALDS CORP                  COM                580135101   140       4625     SH         SOLE                   4625
PENNEY JC INC                   COM                708160106   3         280      SH         SOLE                   280
JAPAN EQUITY FD INC             COM                471057109   .5        65       SH         SOLE                   65
GERMANY FD INC                  COM                374143105   .2        19       SH         SOLE                   19
ITALY FUND                      COM                465395101   .4        25       SH         SOLE                   25
SWISS HELVETIA FUND             COM                870875101   .1        10       SH         SOLE                   10
THE SPAIN FUND                  COM                846330108   1         90       SH         SOLE                   90
MEXICO FUND                     COM                592835102   .3        20       SH         SOLE                   20
IRISH INVT FD INC               COM                462710104   .3        20       SH         SOLE                   20
PORTUGAL FUND                   COM                737265108   .1        10       SH         SOLE                   10
CANON INC                       ADR                138006309   555       12540    SH         SOLE                   12540
HITACHI                         ADR                433578507   243       2131     SH         SOLE                   2131
HONDA MOTOR ADR                 ADR                438128308   567       7746     SH         SOLE                   7746
KYOCERA CORP                    ADR                501566203   354       2354     SH         SOLE                   2354
NIPPON TEL & TEL                ADR                654624105   2         40       SH         SOLE                   40
SONY CORP                       ADR                835699307   1040      10302    SH         SOLE                   10302
DAIMLERCHRYSLER AG FRANKFORT    ADR                D1668R123   173       3895     SH         SOLE                   3895
INFINEON TECH                   ADR                45662N103   192       3620     SH         SOLE                   3620
SIEMENS SPONSORED ADR           ADR                826197402   341       2648     SH         SOLE                   2648
VOLKSWAGON AGA                  ADR                928662303   255       27790    SH         SOLE                   27790
BP AMOCO PLC                    ADR                055622104   1091      20578    SH         SOLE                   20578
BASS PLC                        ADR                069904209   287       28706    SH         SOLE                   28706
BRITISH TELECOMMUNICATIONS      ADR                111021408   853       7970     SH         SOLE                   7970
CADBURY SCHWEPPES               ADR                127209300   270       11200    SH         SOLE                   11200
DIAGEO PLC                      ADR                25243Q205   204       5785     SH         SOLE                   5785
GLAXO WELCOME PLC               ADR                37733W105   418       6915     SH         SOLE                   6915
HSBC HOLDINGS PLC               ADR                404280406   456       6390     SH         SOLE                   6390
SMITHKLINE BEECHAM              ADR                832378301   203       2960     SH         SOLE                   2960
VODAFONE GROUP                  ADR                92857T187   462       12480    SH         SOLE                   12480
BENETTON GROUP SPA              ADR                081795403   249       6848     SH         SOLE                   6848
NESTLE                          ADR                641079406   215       2060     SH         SOLE                   2060
BANCO BILBAO VIZCAYA            ADR                059458208   1048      69850    SH         SOLE                   69850
TELEFONICA DE ESPANA            ADR                879382208   340       5717     SH         SOLE                   5717
AKZO NOBEL NV                   ADR                010199305   322       7645     SH         SOLE                   7645
PHILIPS ELECTRONICS             ADR                500472204   82        1940     SH         SOLE                   1940
ROYAL DUTCH PETE CO             ADR                780257804   113       1885     SH         SOLE                   1885
STMICROELECTRONICS              ADR                861012102   217       4555     SH         SOLE                   4555
SCHLUMBERGER LTD                ADR                806857108   235       2850     SH         SOLE                   2850
UNILEVER PLC                    ADR                904784501   275       10488    SH         SOLE                   10488
LM ERICSSON TEL CO              ADR                294821400   1119      75575    SH         SOLE                   75575
TOTAL SA                        ADR                89151E109   983       13392    SH         SOLE                   13392
NOKIA CORPORATION               ADR                654902204   14        340      SH         SOLE                   340
NEWS CORPORATION                ADR                652487703   123       2200     SH         SOLE                   2200
NORTEL NETWORKS                 ADR                656568102   311       5225     SH         SOLE                   5225
ISHARES INC                     MSCI JAPAN         464286848   203       15310    SH         SOLE                   15310
ISHARES S&P MIDCAP              S&P MIDCAP 400     464287507   20        200      SH         SOLE                   200
ISHARES S&P SMALLCAP            S&P SMLCAP 600     464287804   20        260      SH         SOLE                   260
JAPAN WEB INDEX SERIES          JAPAN WEBS         92923H889   279       16930    SH         SOLE                   16930
GERMANY WEBS INDEX SERIES       GERMANY WEBS       92923H608   .3        15       SH         SOLE                   15
UNITED KINGDOM WEBS INDEX       UNITED KINGDOM     92923H798   1         55       SH         SOLE                   55
SWITZERLAND WEBS INDEX          SWITZRLND WEBS     92923H814   .2        15       SH         SOLE                   15
SWEDEN WEBS INDEX               SWEDEN WEBS        92923H822   .3        10       SH         SOLE                   10
FRANCE WEBS INDEX SERIES        FRANCE WEBS        92923H509   .5        20       SH         SOLE                   20
AUSTRALIA WEBS INDEX            MUTFND             92923H103   .2        25       SH         SOLE                   25
HONG KONG WEBS INDEX            MUTFND             92923H707   .2        15       SH         SOLE                   15
UNILEVER NV                     N Y SHS NEW        904784709   15        303      SH         SOLE                   303
CANON INC JPY50 ORDS            ORD                J05124144   266       6000     SH         SOLE                   6000
HITACHI LTD JPY50 ORDS          ORD                J20454112   104       9000     SH         SOLE                   9000
HONDA MTR JPY ORD               ORD                J22302111   221       6000     SH         SOLE                   6000
KYOCERA CORP JPY50 ORDS         ORD                J37479110   489       3200     SH         SOLE                   3200
NIPPON TELEGRAPH & TEL JPY5000  ORD                J59396101   138       14       SH         SOLE                   14
SONY CORP JPY50 ORDS            ORD                J76379106   567       5593     SH         SOLE                   5593
DAIMLERCHRYSLER AG DEM ORDS     ORD                D1668R107   31        700      SH         SOLE                   700
INFINEON TECH AG ORD            ORD                D35415104   101       2100     SH         SOLE                   2100
SIEMENS AG                      ORD                D69671218   149       1160     SH         SOLE                   1160
VOLKSWAGON AG DEM NPV ORDS      ORD                D94523145   179       3900     SH         SOLE                   3900
BASS PLC 29P ORDS               ORD                G08708177   107       10900    SH         SOLE                   10900
BRITISH TELECOM                 ORD                G15820114   249       23700    SH         SOLE                   23700
CADBURY SCHWEPPES ORDS 12.5P    ORD                992291WR6   132       22400    SH         SOLE                   22400
GLAXO WELCOME                   ORD                G39088102   242       8000     SH         SOLE                   8000
SMITHKLINE BEECHAM              ORD                G8232L174   266       19400    SH         SOLE                   19400
VODAFONE GROUP OLC 5P ORDS      ORD                G9387S105   771       206500   SH         SOLE                   206500
BENETTON GROUP S.P.A.           ORD                T1966F113   119       67000    SH         SOLE                   67000
NESTLE AG REGD CHF10            ORD                H57312227   167       80       SH         SOLE                   80
BANCO BILBAO VIZCAYA            ORD                E12190182   479       31700    SH         SOLE                   31700
REPSOL SA EURL ORDS             ORD                E8471S130   132       7200     SH         SOLE                   7200
TELEFONICA SA EURL ORDS         ORD                E90183182   220       11099    SH         SOLE                   11099
AKZO NOBEL NV                   ORD                N01803100   110       2600     SH         SOLE                   2600
PHILIPS ELECTRONICS             ORD                999288AK9   154       3589     SH         SOLE                   3589
ROYAL DUTCH PETROL NLG1.25 ORDS ORD                N76277172   101       1670     SH         SOLE                   1670
SCHLUMBERGER                    ORD                999223AK6   264       3200     SH         SOLE                   3200
UNILEVER PLC                    ORD                992991XN4   134       20712    SH         SOLE                   20712
ERICSSON LM TELEFON SEK2.5 SERB ORD                W20649119   1101      72400    SH         SOLE                   72400
STMICROELECTRONICS              ORD                N79112111   127       2600     SH         SOLE                   2600
TOTAL SA B ORDS FF50            ORD                F92124100   167       1142     SH         SOLE                   1142
NOKIA OY FIM5 A SHS             ORD                X61873133   110       2720     SH         SOLE                   2720
NORTEL INVERSORA S A            SPON ADR PFD B     656567401   19        650      SH         SOLE                   650
NEWS CORPORATION                ORD                Q67027112   253       18000    SH         SOLE                   18000





                                                       FORM 13F
                                                 FORM 13F COVER PAGE

REPORT FOR THE CALENDER YEAR OR QUARTER ENDED: SEPTEMBER 30, 2000

INSTITUTIONAL INVESTMENT MANAGER FILING THIS REPORT:

NAME:    CAPITAL MANAGEMENT ASSOCIATES INC.
ADDRESS: 1245 W FAIRBANKS AVENUE
         SUITE 301
         WINTER PARK, FL 32789

13F FILE NUMBER: 28-5720

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 HEREINIS TRUE, CORRECT AND
COMPLETE, AND SCHEDULES, LISTS AND TABLES, ARE CONSIDERED INTERGRAL PARTS OF
THIS FORM.

PERSON SIGNING THIS REPORT ON BEHALF OF REPORTING MANAGER:

NAME:      BETH LANG
TITLE:     SEC/TREAS
PHONE:     407-628-5005
SIGNATURE, PLACE, AND DATE OF SIGNING:

BETH A LANG     WINTER PARK, FL    AUGUST 7, 2000

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.

REPORT SUMMARY:

NUMBER OF OTHER MANAGERS:                      0
FORM 13F INFORMATION TABLE ENTRY TOTAL:        225
FORM 13F INFORMATION TABLE VALUE TOTAL:        49221847.71

LIST OF OTHER INCLUDED MANAGERS:

NONE


</TABLE>


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