WILSON BENNETT CAPITAL MANAGEMENT INC/VA
13F-HR, 1999-05-14
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	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, 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:		Wilson/Bennett Capital Management, Inc.
Address: 	8260 Greensboro Drive, Suite 250 
		McLean, Virginia 22102
		

13F File Number: 28-5872

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:	John W. Fisher
Title:	President
Phone:	(703)506-0213

Signature, Place, and Date of Signing:

	___________________________ 			McLean, Virginia	
	January 27, 1999
		[Signature]				[City, State]	
	[Date
]

Report Type (Check only one.):

[X]	13F HOLDINGS REPORT.  (Check here if all holdings of this 
reporting manager are reported in this report.)

[  ]	13F NOTICE.  (Check here if no holdings reported are in this 
report, and all holdings are reported by other reporting 
manager(s).)								

[  ]	13F COMBINATION REPORT.  (Check here if a portion of the 
holdings for this reporting manager are reported in this 
report and a portion are reported by other reporting 
manager(s).)



	FORM 13F SUMMARY PAGE


Report Summary:


Number of Other Included Managers:	 0

Form 13F Information Table Entry Total:	 146

Form 13F Information Table Value Total:	$311,643,785

List of Other Included Managers: None

Provide a numbered list of the name(s) and 13F file number(s) of 
all institutional investment managers with respect to which this 
report is filed, other than the manager filing this report.

<TABLE>
<S>
                            <C>       <C>      <C>                                                          
                                               FORM   SHARES/      PUT/ INVSTMT OTHER  VOTING AUTHORITY
NAME OF ISSUER              TITLE OF C CUSIP   VALUE   PRN AMT SH/PRCALL DSCRETNMANAGERS  SOLE  SHARE NONE

ADOBE SYSTEMS               com       00724F1      4540      80 SH        SOLE                80  0    0
AETNA INCORPORATED          com       0811710      3071      37 SH        SOLE                37  0    0
ALLSTATE                    com       2000210   2358472   63635 SH        SOLE             63635  0    0
ALLTEL CORP                 com       2003910     24950     400 SH        SOLE               400  0    0
ALUMINUM CO OF AMERICA      com       2224910     12027     292 SH        SOLE               292  0    0
AMERICAN EXPRESS            com       2581610    306150    2600 SH        SOLE              2600  0    0
AMERICAN GENERAL CORP       com       2635110      4794      68 SH        SOLE                68  0    0
AMERICAN GREETING CORP CL A com       2637510      2258      89 SH        SOLE                89  0    0
AMERICAN HOME PRODUCTS      com       2660910    287100    4400 SH        SOLE              4400  0    0
AMERICAN INTERNATIONAL GP   com       2687410     30156     250 SH        SOLE               250  0    0
AMERICAN TOWER SYSTEMS      com       2991220      2450     100 SH        SOLE               100  0    0
AMERITECH CORPORATION       com       3095410      5763     100 SH        SOLE               100  0    0
ASSOCIATES FIRST CAPITAL CORcom       4600810    178470    3966 SH        SOLE              3966  0    0
AT&T                        com       0195710  38161272  478137 SH        SOLE            478137  0    0
ATLANTIC RICHFIELD CO.      com       4882510     83363    1140 SH        SOLE              1140  0    0
Annuity And Life Resources Hcom       G039101      3431     150 SH        SOLE               150  0    0
BANK AMERICA CORP.          com       06605F1    288079    4079 SH        SOLE              4079  0    0
BANK OF BOSTON              com       0607161     34650     800 SH        SOLE               800  0    0
BANK OF NEW YORK            com       6405710      4672     130 SH        SOLE               130  0    0
BANKERS TRUST               com       6636510  14513454  164458 SH        SOLE            164458  0    0
BEAR STEARNS COMPANIES INC  com       0739021      7731     173 SH        SOLE               173  0    0
BELL ATLANTIC CORP.         com       7785310    235592    4558 SH        SOLE              4558  0    0
BELL SOUTH                  com       0798601    193342    4826 SH        SOLE              4826  0    0
BERKSHIRE HATHAWAY CLASS A  com       8467010    285600       4 SH        SOLE                 4  0    0
BOEING COMPANY              com       0970231     13022     383 SH        SOLE               383  0    0
BOSTON SCIENTIFIC CORP      com       1011371      4794     118 SH        SOLE               118  0    0
BRISTOL MEYERS              com       1101221    706145   11012 SH        SOLE             11012  0    0
BRITISH PETRO AMOCO         com       1108894     13736     136 SH        SOLE               136  0    0
BURLINGTON NO SANTA FE CP   com       12189T1     13282     404 SH        SOLE               404  0    0
BRITISH STEEL PLC           com       1110153     12885     234 SH        SOLE               234  0    0
CAMBRIDGE TECH PARTNERS     com       1325241      5273     380 SH        SOLE               380  0    0
CATEPILLAR                  com       1491231  13442599  292628 SH        SOLE            292628  0    0
CHASE MANHATTAN             com       16161A1    598920    7360 SH        SOLE              7360  0    0
CHEVRON                     com       1667511  25394286  286133 SH        SOLE            286133  0    0
CHUBB CORPORATION           com       1712321     17569     300 SH        SOLE               300  0    0
CIGNA CORP                  com       1255091     26150     312 SH        SOLE               312  0    0
CISCO SYSTEMS INC           com       17275R1     36375     332 SH        SOLE               332  0    0
CITIGROUP                   com       1729671    570212    8927 SH        SOLE              8927  0    0
CMP MEDIA INCORPORATED      com       1258911      3075     100 SH        SOLE               100  0    0
COASTAL CORP                com       1904411      4818     146 SH        SOLE               146  0    0
COCA COLA                   com       1912161    687646   11204 SH        SOLE             11204  0    0
COLGATE PALMOLIVE CO        com       1941621    138000    1500 SH        SOLE              1500  0    0
COLUMBIA ENERGY GROUP       com       1976481      3919      75 SH        SOLE                75  0    0
COMDISCO INC                com       2003361      7150     400 SH        SOLE               400  0    0
COMMONWEALTH GENERAL LLC MONcom       P305251      5013     200 SH        SOLE               200  0    0
COMPUTER ASSOC INTL INC     com       2049121      3378      95 SH        SOLE                95  0    0
COUNTRYWIDE CREDIT          com       2223721      4875     130 SH        SOLE               130  0    0
CRESCENT REAL EST EQUITIES Ccom       2257561      1935      90 SH        SOLE                90  0    0
CUNNINGHAM GRAPHICS         com       2311571      1313     100 SH        SOLE               100  0    0
DAIMLER CHRYSLER            com       D1668R1    182695    2129 SH        SOLE              2129  0    0
DEERE & CO.                 com       2441991      9038     234 SH        SOLE               234  0    0
DELL COMPUTER CORP          com       2470251     19293     472 SH        SOLE               472  0    0
DELTA AIRLINES              com       2473611     17097     246 SH        SOLE               246  0    0
DORAL FINANCIAL CORPOR      com       25811P1      7350     400 SH        SOLE               400  0    0
DOW CHEMICAL                com       2605431      9319     100 SH        SOLE               100  0    0
DUPONT                      com       2635341  30530829  525827 SH        SOLE            525827  0    0
EASTMAN KODAK               com       2774611  26777788  419222 SH        SOLE            419222  0    0
ECLIPSYS CORPORATION        com       2788561      2218     105 SH        SOLE               105  0    0
ELI LILLY                   com       5324571     10185     120 SH        SOLE               120  0    0
EMERSON ELECTRIC CO         com       2910111      4764      90 SH        SOLE                90  0    0
EXXON                       com       3022901  19767810  280146 SH        SOLE            280146  0    0
FANNIE MAE                  com       3135861    309409    4468 SH        SOLE              4468  0    0
FEDERATED DEPARTMENT STORES com       31410H1      7343     183 SH        SOLE               183  0    0
FIRST UN CORP               com       3373581     59048    1105 SH        SOLE              1105  0    0
FLEET FINANCIAL GROUP INC NEcom       3389151     10347     275 SH        SOLE               275  0    0
FORD MOTOR CO.              com       3453701    479123    8452 SH        SOLE              8452  0    0
FORT JAMES CORPORATION      com       3474711      1584      50 SH        SOLE                50  0    0
FORTUNE BRANDS INCORPORATED com       3496311      3350      87 SH        SOLE                87  0    0
GENERAL ELECTRIC            com       3696041   2685643   24277 SH        SOLE             24277  0    0
GENERAL MOTORS              com       3704421  35496179  408002 SH        SOLE            408002  0    0
GILLETTE CO                 com       3757661      6538     110 SH        SOLE               110  0    0
GOODYEAR TIRE & RUBBER      com       3825501     32976     662 SH        SOLE               662  0    0
GTE                         com       3623201     38962     644 SH        SOLE               644  0    0
GUIDANT CORP                com       4016981      7260     120 SH        SOLE               120  0    0
HALLIBURTON                 com       4062161     10742     279 SH        SOLE               279  0    0
HANSON PLC                  com       4113524      1540      35 SH        SOLE                35  0    0
HEWLETT PACKARD CO          com       4282361     84698    1249 SH        SOLE              1249  0    0
HONEYWELL INCORPORATED      com       4385061      7581     100 SH        SOLE               100  0    0
HOUGHTON MIFFLLIN CO        com       4415601      9375     200 SH        SOLE               200  0    0
Home Depot Inc              com       4370761     34238     550 SH        SOLE               550  0    0
IBM                         com       4592001     70900     400 SH        SOLE               400  0    0
ICN PHARMACEUTICALS INC NEW com       4489241      3266     130 SH        SOLE               130  0    0
IMPERIAL TOBACCO            com       4531421      2005      99 SH        SOLE                99  0    0
INGERSOLL RAND              com       4568661      7493     151 SH        SOLE               151  0    0
INTEL CORP                  com       4581401   1004494    8450 SH        SOLE              8450  0    0
INTER POLY GR               com       4609191     15825     600 SH        SOLE               600  0    0
INTERNATIONAL PAPER         com       4601461        29       1 SH        SOLE                 1  0    0
JOHNSON & JOHNSON           com       4781601    241978    2588 SH        SOLE              2588  0    0
JP MORGAN                   com       6168801  16627703  134774 SH        SOLE            134774  0    0
LOCKHEED MARTIN CORP        com       5398301      2265      60 SH        SOLE                60  0    0
LOEWS CORP DELAWARE         com       5404241      4925      66 SH        SOLE                66  0    0
LUCENT TECHNOLOGIES         com       5494631    829440    7680 SH        SOLE              7680  0    0
MANAGED HIGH INCOME         com       56166C1       115      11 SH        SOLE                11  0    0
MAY DEPARTMENT STORES       com       5777781      2348      60 SH        SOLE                60  0    0
MCDONALDS CORPORATION       com       5801351     36250     800 SH        SOLE               800  0    0
MCKESSON HBOC INC.          com       58155Q1      3762      57 SH        SOLE                57  0    0
MELLON BANK                 com       5855091    147788    2100 SH        SOLE              2100  0    0
MERCK                       com       5893311   2070430   25840 SH        SOLE             25840  0    0
MERRILL LYNCH & CO INC      com       5901881     13275     150 SH        SOLE               150  0    0
MINNESOTA MINING & MFG CO   com       6040591  24862316  351411 SH        SOLE            351411  0    0
MOBIL                       com       6070591    918720   10440 SH        SOLE             10440  0    0
NATINAL DATA CORP           com       6356211      4200     100 SH        SOLE               100  0    0
NEW HORIZONS WORLDWIDE      com       6455261      1988     100 SH        SOLE               100  0    0
PERIPHONICS CORPORATION     com       7140051      1263     200 SH        SOLE               200  0    0
PFIZER, INC.                com       7170811   1290375    9300 SH        SOLE              9300  0    0
PHILIP MORRIS               com       7181541  25029146  711308 SH        SOLE            711308  0    0
PLC CAP LLC                 com       P205331      5025     200 SH        SOLE               200  0    0
PRAZAIR INC                 com       74005P1      2597      72 SH        SOLE                72  0    0
PROCTER & GAMBLE            com       7427181    601924    6146 SH        SOLE              6146  0    0
QWEST COMMUNICATIONS INTL   com       7491211      9372     130 SH        SOLE               130  0    0
RAYTHEON                    com       7551113    490586    8495 SH        SOLE              8495  0    0
RAYTHEON COMPANY CLASS B    com       7551114     17588     300 SH        SOLE               300  0    0
REDHOOK ALE                 com       7574731      1850     400 SH        SOLE               400  0    0
ROYAL DUTCH                 com       7802578     53040    1020 SH        SOLE              1020  0    0
SAFEWAY INC                 com       7865142     26169     510 SH        SOLE               510  0    0
SBC COMMUNICATIONS, INC.    com       78387G1     16752     355 SH        SOLE               355  0    0
SCHERING PLOUGH             com       8066051    150888    2731 SH        SOLE              2731  0    0
SCHLUMBERGER LTD            com       8068571      2167      36 SH        SOLE                36  0    0
SEARS                       com       8123871    127655    2825 SH        SOLE              2825  0    0
SECURITY DYNAMICS           com       8142081      9313     500 SH        SOLE               500  0    0
SHARED MEDICAL SYS          com       8194861      2784      50 SH        SOLE                50  0    0
SPRINT                      com       8520611      9813     100 SH        SOLE               100  0    0
SPRINT PCS                  com       8520615      2216      50 SH        SOLE                50  0    0
SPYDER                      com       78462F1     10912      85 SH        SOLE                85  0    0
STAPLES INC                 com       8550301     23177     705 SH        SOLE               705  0    0
STAR TEK                    com       85569C1      2113     200 SH        SOLE               200  0    0
STARBUCKS                   com       8552441     44900    1600 SH        SOLE              1600  0    0
TELMEX                      com       8794037     13200     200 SH        SOLE               200  0    0
TEXACO                      com       8816941  20910251  368463 SH        SOLE            368463  0    0
TEXAS INSTRUMENTS           com       8825081      5757      58 SH        SOLE                58  0    0
TIME WARNER INC             com       8873151     33990     480 SH        SOLE               480  0    0
TORCHMARK                   com       8910271      5088     200 SH        SOLE               200  0    0
U S WEST INCORPORATED       com       91273H1      2753      50 SH        SOLE                50  0    0
UNION PACIFIC RESOURCES GROUcom       9078341      1758     148 SH        SOLE               148  0    0
UNITED TECHNOLOGIES CORP.   com       9130171    162525    1200 SH        SOLE              1200  0    0
US INDUSTRIES               com       9120801       115       7 SH        SOLE                 7  0    0
UTD HEALTHCARE CORP         com       9105811      2894      55 SH        SOLE                55  0    0
WAL MART STORES INC         com       9311421     21203     230 SH        SOLE               230  0    0
WALT DISNEY                 com       2546871     55932    1797 SH        SOLE              1797  0    0
WASHINGTON MUTUAL INC       com       9393221      3679      90 SH        SOLE                90  0    0
WASHINGTON POST COMPANY CL Bcom       9396401     13038      25 SH        SOLE                25  0    0
WELLS FARGO & CO NEW        com       9497401      5330     152 SH        SOLE               152  0    0
WILEY, JOHN & SONS CL A     com       9682232      8400     200 SH        SOLE               200  0    0
XEROX CORP.                 com       9841211    184627    3542 SH        SOLE              3542  0    0
XOMA CORP.                  com       9839071      3369    1100 SH        SOLE              1100  0    0
ZEBRA TECHNOLOGY CORP       com       9892071      2138      90 SH        SOLE                90  0    0

                         146                  311643785

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