GRATRY & CO
13F-HR, 2000-05-12
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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, 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:                     Gratry & Company
Business Address:	  1375 East Ninth Street, Suite 1930
City:			  Cleveland
State:			  OH
Zip:			  44114

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, and all
information contained herein is true, corret 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 managing:
Name:         Jerome R. Gratry
Title:        Managing Director
Phone:        216-589-9094
Signature, Place, and Date of Signing:
    Jerome R. Gratry       Cleveland, Ohio        May 14, 2000

Report Type (Check only one.):

[ x ]   13F HOLDINGS REPORT

[   ]   13F NOTICE

[   ]   13F COMBINATION REPORT

List of Other Managers Reporting for this Manager:       None

I AM SIGNING THIS REPORT AS REQUIRED BY THE SECURITIES EXCHANGE
ACT OF 1934.
<PAGE>
                     FORM 13F SUMMARY PAGE
Report Summary:

Number of Other Included Managers:               0

Form 13F Information Table Entry Total:         110

Form 13F Information Table Value Total:      639237

List of Other Included Managers:              None
<PAGE>


                                                   Gratry & Company
                                                        FORM 13F
                                                    March 31, 2000

                                                                Voting Authority

                   Title          Value  Shares/ Sh/ Put Inv Oth
  Name of Issuer   class CUSIP  (x$1000) Pr Amt Prn Call Des Mgr Sole Share Non
Air Products & Chem COM 009158106 360    12660   SH       Sole   3210       9450
American Express    COM 025816109 2899   19465   SH       Sole   10825      8640
American Intl. Grp  COM 026874107 3444   31455   SH       Sole   16271     15184
Anadarko            COM 032511107 360    9295    SH       Sole              9295
Automatic Data Proc COM 053015103 1563   32386   SH       Sole   18371     14015
Banc One Corp.      COM 06423A103 289    8375    SH       Sole   2552       5823
Best Buy            COM 086516101 2863   33296   SH       Sole   21731     11565
Charter One Fin     COM 160903100 311    14808   SH       Sole   2500      12308
Cintas Corp.        COM 172908105 1158   29548   SH       Sole   10095     19453
Cisco Systems       COM 17275R102 9355  121000   SH       Sole   33076     87924
Eaton Corporation   COM 278058102 1574  20176    SH       Sole   13784      6392
Exxon               COM 30231g102 346   4438     SH       Sole   4000        438
GTE Corp.           COM 362320103 283   3990     SH       Sole   2580       1410
Gannett             COM 364730101 1892  26887    SH       Sole   18177      8710
General Electric    COM 369604103 3389  21776    SH       Sole   13486      8290
Halliburton         COM 406216101 261   6340     SH       Sole   2440       3900
Hewlett Packard     COM 428236103 4854  36531    SH       Sole   16016     20515
Home Depot          COM 437076102 1660  25733    SH       Sole   4008      21725
Intel               COM 458140100 5586  42342    SH       Sole   22987     19355
Invacare            COM 461203101 340   12380    SH       Sole   5100       7280
J.P. Morgan         COM 616880100 994   7545     SH       Sole   2345       5200
Johnson & Johnson   COM 478160104 688   9790     SH       Sole   3195       6595
Johnson Controls    COM 478366107 1572  29077    SH       Sole   19367      9710
Lowes Companies Inc COM 548661107 1141  19541    SH       Sole   17596      1945
Lucent Tech         COM 549463107 3939  64313    SH       Sole   28813     35500
Medtronic           COM 585055106 2124  41293    SH       Sole   32958      8335
Merck & Company     COM 589331107 2033  32722    SH       Sole   16796     15926
Minn Mining Mfg.    COM 604059105 1919  21664    SH       Sole   13484      8180
Morgan Stan Dean Wi COM 617446448 2844  34319    SH       Sole   20819     13500
Motorola            COM 620076109 1952  13370    SH       Sole   4770       8600
Newell Rubbermaid   COM 651229106 256   10334    SH       Sole   3185       7149
Parametrics         COM 699173100 246   11684    SH       Sole   2990       8694
Procter & Gamble    COM 742718109 1150  20358    SH       Sole   11523      8835
Qlogic Corp.        COM 747277101 813   6000     SH       Sole              6000
Schering Plough     COM 806605101 1445  38910    SH       Sole   15570     23340
Schlumberger        COM 806857108 2207  28855    SH       Sole   19555      9300
Steris              COM 859152100 164   16030    SH       Sole   2230      13800
Stryker Corp        COM 863667101 1188  17035    SH       Sole   6805      10230
Sysco Corp          COM 871829107 461   12758    SH       Sole   7638       5120
TRW Inc.            COM 872649108 479   8195     SH       Sole   1205       6990
Tektronix           COM 879131100 298   5325     SH       Sole   2085       3240
Texas Instruments   COM 882508104 4725  29529    SH       Sole   17444     12085
Transocean Sedco    COM G90078109 246   4795     SH       Sole   3038       1756
Wal-Mart            COM 931142103 1538  27220    SH       Sole   4780      22440
Warner Lambert      COM 934488107 570   5840     SH       Sole              5840
Willamette Inds.    COM 969133107 318   7925     SH       Sole   1450       6475
Williams Cos.       COM 969457100 2341  53283    SH       Sole   36480     16803
BP Amoco ADR        ADR 055622104 15818 297047   SH       Sole   219548    77499
Bass Public LTD     ADR 069904209 2193  163180   SH       Sole   124169    39011
British Airways     ADR 110419306 3902  72604    SH       Sole   49424     23180
British Telecom     ADR 111021408 17252 91706    SH       Sole   69315     22391
Cadbury Schwep.     ADR 127209302 13877 489052   SH       Sole   380473   108579
Diageo PLC ADR      ADR 25243Q205 8042  266945   SH       Sole   201085    65860
Glaxo Wellcome      ADR 37733W105 11945 208414   SH       Sole   158049    50365
Invensys (ivnsy)    ADR 461204109 9085  1018768  SH       Sole   798087   220681
Rank Group ADR      ADR 753037100 64    12817    SH       Sole   12005       812
Rentokil Initial    ADR 760125104 3901  149567   SH       Sole   118576    30991
Smithkline ADR A    ADR 832378301 236   3570     SH       Sole   3405        165
Tomkins Spon ADR    ADR 890030208 1184  89360    SH       Sole   65740     23620
Vodafone Group ADR  ADR 92857T107 1310  235857   SH       Sole            235857
Commerzbank AG ADR  ADR 202597308 1225  32415    SH       Sole   18535     13880
Daimlerchrysler AG  ADR D1668R123 11650 178031   SH       Sole   134970    43061
Deutsche Bank ADR   ADR 251525309 10352 155776   SH       Sole   121879    33897
Deutsche Telekom    ADR 251566105 10204 127148   SH       Sole   98961     28187
Siemens A.G.        ADR 826197402 22824 158487   SH       Sole   119239    39248
Alcatel ADR         ADR 013904305 15295 354735   SH       Sole   276104    78631
Aventis Sponsored   ADR 053561106 14641 271125   SH       Sole   201294    69831
Axa ADR             ADR 054536107 14604 203723   SH       Sole   155239    48484
LVMH ADR (lvmhy)    ADR 502441207 6947  81733    SH       Sole   51698     30035
Total Fina Sa Spons ADR 89151E109 10264 139405   SH       Sole   96169     43236
Vivendi Sponsored   ADR 92851S105 14562 631452   SH       Sole   482570   148882
Akzo Nobel ADR      ADR 010199305 12224 283866   SH       Sole   220293    63573
Elsevier NW Spon    ADR 290259100 2006  96406    SH       Sole   68096     28310
ING Groep N V Spon  ADR 456837103 10966 199377   SH       Sole   153500    45877
Konink Ahold Spon   ADR 500467303 7442  280842   SH       Sole   196127    84715
Philips Electronics ADR 500472204 7289  42547    SH       Sole   33607      8940
Nestle Sponsored    ADR 641069406 13028 145384   SH       Sole   112579    32805
Novartis AG ADR     ADR 66987V109 12720 186017   SH       Sole   142670    43347
Roche ADR (rhhby)   ADR 771195104 9960  91699    SH       Sole   67596     24103
Ericsson ADR        ADR 294821400 26152 278773   SH       Sole   181545    97228
Norsk Hydro ADR     ADR 656531605 367   9635     SH       Sole   7890       1745
AMX Spanish Web     ADR 92923H830 935   32680    SH       Sole   32260       420
Banco Bilbao Vizcay ADR 05946K101 10688 718498   SH       Sole   506228   212270
Endesa SA ADR       ADR 29258N107 11847 505490   SH       Sole   373736   131754
Repsol Sponsored    ADR 76026T205 491   23045    SH       Sole   21395      1650
Telefonica ADR      ADR 879382208 21181 284783   SH       Sole   205741    79042
ENI SPA ADR         ADR 26874R108 10857 213928   SH       Sole   162685    51243
Cemex SA- Sponsored ADR 151290889 1286  56854    SH       Sole   46559     10295
Telefonos de Mexic  ADR 879403780 1070  16055    SH       Sole   13125      2930
Electricidade de    ADR 268353109 2056  54830    SH       Sole   35190     19640
Canon ADR (canny)   ADR 138006309 19251 446394   SH       Sole   329144   117250
Fuji Photo          ADR 359586302 4673  106205   SH       Sole   66845     39360
Hitachi ADR         ADR 433578507 9640  79095    SH       Sole   61775     17320
Honda Motor ADR     ADR 438128308 320   3940     SH       Sole   3660        280
Ito Yokado ADR      ADR 465714301 6283  84619    SH       Sole   57388     27231
Kyocera ADR         ADR 501556203 10772 64892    SH       Sole   48486     16406
Matsushita Elec.    ADR 576879209 491   1621     SH       Sole   1069        552
Mitsubishi Bank     ADR 065379109 6366  448675   SH       Sole   375087    73588
Nippon Telegraph    ADR 654624105 17356 220217   SH       Sole   168591    51626
Sony Corp ADR       ADR 835699307 33978 121296   SH       Sole   87049     34247
TDK Corp ADR        ADR 872351408 9167  69710    SH       Sole   49020     20690
Tokio Marine ADR    ADR 889090403 1609  30682    SH       Sole   19247     11435
Toyota Motor Corp.  ADR 892331307 17768 170850   SH       Sole   126969    43881
Pohang Iron & Steel ADR 730450103 1250  45467    SH       Sole   35631      9836
Cheung Kong         ADR 166744201 287   19185    SH       Sole   11685      7500
HSBC Hldgs Plc      ADR 404280406 16664 273453   SH       Sole   204461    68992
DBS Bank Ltd.       ADR 23304Y100 7314  138399   SH       Sole   109174    29225
Broken Hill Prop    ADR 112169602 1788  82196    SH       Sole   65690     16506
WMC Limited ADR     ADR 928947100 1104  71245    SH       Sole   53020     18225
Westpac Bank ADR    ADR 961214301 8774  272592   SH       Sole   204917    67675
REPORT SUMMARY 110 DATA RECORDS  639237  0 OTHER MANAGERS ON WHOSE BEHALF
 REPORT IS FILED







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