BRAMWELL CAPITAL MANAGEMENT INC/NEW
13F-HR, 2000-05-10
Previous: DELAWARE CAPITAL MANAGEMENT INC, 13F-HR/A, 2000-05-10
Next: WELLEK RICHARD L, 4, 2000-05-10



UNITED STATES OF AMERICA
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:	Bramwell Capital Management, Inc.
Address:	745 Fifth Avenue, 16th Floor
		New York, NY 10051

Form 13 F File Number:  28-5934

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 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:	Mary F. McCollum__________________________
Title:	Executive Vice President__________________
Phone:	212-308-1296______________________________
Signature, Place, and Date of Signing:

	_Mary F. McCollum		  ___New York, New York  _5/9/00_
	      [Signature]	           [City, State]		  [Date]

Report Type (Check only one.):

[ ]	13F HOLDINGS REPORT
[ ]	13F NOTICE.
[X]	13F COMBINATION REPORT

List of Other Managers Reporting for this Manager:

28-5114 Davis Selected Advisors, LP

Form 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:		NONE

Form 13F Information Table Entry Total: 110

Form 13F Table Value Total:			709,446

<TABLE>                 <C>                                           <C>
<S>                                                                FORM 13F
INFORMATION TABLE
                                                 VALUE    SHARES/  SH/PUT/
INVSTMT  OTHER            VOTING AUTHORITY
     NAME OF ISSUER     TITLE OF CLASS  CUSIP    X1000    PRN AMT  PRNCALL
DSCRETN MANAGERS   SOLE   SHARED    NONE

AMFM Inc                     COM      001693100    3,212     51,700SH       SOLE
20,700            31,000
AT & T Corp Liberty Medi     COM      001957208    5,480     92,400SH       SOLE
44,000            48,400
Adobe Systems Inc.           COM      00724F101    3,228     29,000SH       SOLE
17,100            11,900
Agency.com                   COM      008447104      454     17,000SH       SOLE
16,000             1,000
Agilent Technologies         COM      00846U101    3,973     38,200SH       SOLE
20,300            17,900
Alcoa Inc                    COM      013817101    5,002     71,200SH       SOLE
47,000            24,200
America Online, Inc          COM      02364J104    3,055     45,300SH       SOLE
24,900            20,400
American Express Co          COM      025816109    1,043      7,000SH       SOLE
0             7,000
American Intl Group          COM      026874107    2,927     26,729SH       SOLE
4,625            22,104
Amgen Inc.                   COM      031162100    3,437     56,000SH       SOLE
34,000            22,000
Analog Devices Inc           COM      032654105   10,449    129,800SH       SOLE
82,400            47,400
Ann Taylor Stores            COM      036115103      368     16,000SH       SOLE
7,000             9,000
Applied Materials Inc        COM      038222105   20,038    212,600SH       SOLE
120,000            92,600
Ariba Inc.                   COM      04033V104    1,614      7,700SH       SOLE
3,900             3,800
Automatic Data Processin     COM      053015103   14,369    297,800SH       SOLE
183,600           114,200
BUY.COM                      COM      124269101       20      2,000SH       SOLE
2,000                 0
Bell Atlantic Corp.          COM      077853109    1,039     17,000SH       SOLE
17,000                 0
Bestfoods, Inc.              COM      08658U101    6,521    139,300SH       SOLE
71,500            67,800
Blackrock, Inc.              COM      09247X101    1,796     88,700SH       SOLE
55,000            33,700
CBS Corp.                    COM      12490K107    6,846    120,900SH       SOLE
60,500            60,400
CVS Corporation              COM      126650100    8,831    235,100SH       SOLE
133,500           101,600
Cardinal Health, Inc.        COM      14149Y108   10,961    238,930SH       SOLE
141,500            97,430
Charles Schwab Corp          COM      808513105    7,945    139,850SH       SOLE
89,600            50,250
Cheap Tickets Inc.           COM      162672109      359     25,400SH       SOLE
7,100            18,300
Cinar Films, Inc         SUB VTG SH B 171905300      889    127,000SH       SOLE
81,000            46,000
Cisco Systems, Inc           COM      17275R102   20,094    259,900SH       SOLE
161,700            98,200
Citigroup                    COM      172967101    9,529    159,150SH       SOLE
88,800            70,350
Clear Channel Comm           COM      184502102      691     10,000SH       SOLE
0            10,000
Colgate-Palmolive Compan     COM      194162103    6,128    108,700SH       SOLE
68,400            40,300
Comcast Corp                 CL A     200300200      390      9,000SH       SOLE
1,000             8,000
Computer Sciences Corp       COM      205363104   30,268    382,528SH       SOLE
236,558           145,970
Corning Inc                  COM      219350105    3,511     18,100SH       SOLE
10,600             7,500
Costco Wholesale Corp        COM      22160K105    6,702    127,500SH       SOLE
72,500            55,000
Cox Communications Inc.      COM      224044107    3,696     76,200SH       SOLE
44,900            31,300
Cutter & Buck, Inc           COM      232217109    2,748    204,500SH       SOLE
129,250            75,250
DST Systems, Inc             COM      233326107    8,051    124,000SH       SOLE
72,300            51,700
Dell Computer Corp           COM      247025109    5,529    102,500SH       SOLE
41,500            61,000
Diamond Offshore Drillin     COM      25271C102    5,571    139,500SH       SOLE
79,500            60,000
EMC Corp                     COM      268648102   13,797    109,500SH       SOLE
61,000            48,500
Earthlink Network Inc        COM      270321102      628     32,300SH       SOLE
24,225             8,075
Electronic Data Systems      COM      285661104    4,660     72,600SH       SOLE
34,200            38,400
Emerson Electric Co          COM      291011104    6,630    124,800SH       SOLE
72,300            52,500
Enron Corp.                  COM      293561106    4,208     56,200SH       SOLE
25,000            31,200
Ethan Allen Interiors        COM      297602104    1,174     46,950SH       SOLE
15,000            31,950
Firstar Corp                 COM      33763V109    2,156     94,000SH       SOLE
26,500            67,500
Flextronics Intl             COM      Y2573F102   10,721    152,200SH       SOLE
95,000            57,200
Focal Inc                    COM      343909107      546     68,300SH       SOLE
43,300            25,000
GTE Corp.                    COM      362320103    7,136    100,500SH       SOLE
58,400            42,100
Genentech, Inc.              COM      368710406   11,522     75,800SH       SOLE
41,700            34,100
General Electric Co          COM      369604103   23,717    152,400SH       SOLE
88,500            63,900
Grupo Televisa               ADS      40049J206    4,352     64,000SH       SOLE
36,000            28,000
H&R Block, Inc.              COM      093671105      716     16,000SH       SOLE
16,000                 0
Heidrick & Struggles Int     COM      422819102    1,304     32,500SH       SOLE
20,500            12,000
Hewlett-Packard Co           COM      428236103    4,690     35,300SH       SOLE
16,800            18,500
Home Depot, Inc              COM      437076102   23,817    369,250SH       SOLE
229,000           140,250
Illinois Tool Works, Inc     COM      452308109    4,519     81,800SH       SOLE
52,300            29,500
Imax Corporation*            COM      45245E109    3,342    155,000SH       SOLE
90,000            65,000
Intel Corp                   COM      458140100   19,659    149,000SH       SOLE
91,000            58,000
Intl Business Machines       COM      459200101    9,700     82,200SH       SOLE
44,200            38,000
Jabil Circuit, Inc           COM      466313103    9,948    230,000SH       SOLE
130,000           100,000
Johnson & Johnson            COM      478160104    2,178     31,000SH       SOLE
19,000            12,000
Jones Lang LaSalle, Inc.     COM      48020Q107    1,730    111,600SH       SOLE
74,100            37,500
Kansas City Southern Ind     COM      485170104    8,645    100,600SH       SOLE
59,500            41,100
Keane, Inc                   COM      486665102    2,626    104,000SH       SOLE
67,000            37,000
Kohl's Corp                  COM      500255104   17,835    174,000SH       SOLE
113,000            61,000
Labor Ready, Inc           COM NEW    505401208    2,080    210,594SH       SOLE
135,500            75,094
Leggett & Platt, Inc.        COM      524660107    2,647    123,100SH       SOLE
78,600            44,500
Lending Tree, Inc.           COM      52602Q105       41      3,000SH       SOLE
3,000                 0
Lexmark Intl Group           COM      529771107   14,868    140,600SH       SOLE
83,000            57,600
Linear Technology Corp       COM      535678106    4,213     76,600SH       SOLE
42,400            34,200
Lowe's Cos, Inc.             COM      548661107    4,909     84,100SH       SOLE
56,000            28,100
Lucent Technologies, Inc     COM      549463107    6,829    111,500SH       SOLE
67,500            44,000
MCI Worldcom, Inc.           COM      55268B106    6,551    144,580SH       SOLE
88,225            56,355
Medtronic, Inc.              COM      585055106    5,041     98,000SH       SOLE
56,000            42,000
Mellon Financial Corp.       COM      58551A108    3,528    118,600SH       SOLE
67,000            51,600
Microsoft Corp               COM      594918104   15,895    149,600SH       SOLE
87,800            61,800
Minerals Technologies, I     COM      603158106    4,278     96,000SH       SOLE
67,500            28,500
Molex Inc.                 COM CL A   608554200   14,642    329,960SH       SOLE
198,603           131,357
Nabors Industries Inc.       COM      629568106    6,016    155,000SH       SOLE
83,500            71,500
Neoforma.com                 COM      640475109       16      1,000SH       SOLE
1,000                 0
Nortel Networks Corporat     COM      656569100   15,627    123,900SH       SOLE
77,500            46,400
Northern Trust Company       COM      665859104   10,655    157,700SH       SOLE
97,500            60,200
OM Group, Inc.               COM      670872100    6,072    133,450SH       SOLE
83,500            49,950
Office Depot, Inc            COM      676220106    1,536    132,800SH       SOLE
35,750            97,050
On Assignment, Inc           COM      682159108    9,113    202,500SH       SOLE
140,000            62,500
Palm Inc.                    COM      696642107       45      1,000SH       SOLE
1,000                 0
Paychex, Inc.                COM      704326107    8,249    157,500SH       SOLE
93,750            63,750
Pfizer, Inc.                 COM      717081103    6,654    182,000SH       SOLE
107,500            74,500
Pitney Bowes, Inc.           COM      724479100    4,505    100,800SH       SOLE
58,500            42,300
Procter & Gamble Co          COM      742718109       23        400SH       SOLE
0               400
Robert Half Intl, Inc        COM      770323103    6,289    132,600SH       SOLE
77,500            55,100
Sealed Air Corp              COM      81211K100      435      8,000SH       SOLE
1,500             6,500
Sepracor Inc                 COM      817315104    4,332     59,500SH       SOLE
41,000            18,500
ServiceMaster Co             COM      81760N109      473     42,000SH       SOLE
2,000            40,000
Solectron Corp               COM      834182107    8,109    202,100SH       SOLE
118,500            83,600
Sprint PCS Group             COM      852061506    4,644     70,900SH       SOLE
33,000            37,900
State Street Boston Corp     COM      857477103    4,553     47,000SH       SOLE
33,000            14,000
TD Waterhouse Group          COM      872362108      475     19,000SH       SOLE
17,000             2,000
Tandy Corporation            COM      875382103    3,903     76,900SH       SOLE
39,500            37,400
Target Corporation           COM      87612E106    4,859     65,000SH       SOLE
42,000            23,000
Telocity Inc.                COM      87971D103    1,750    141,400SH       SOLE
69,400            72,000
Teradyne Inc.                COM      880770102   15,564    189,800SH       SOLE
115,000            74,800
Texas Instruments, Inc.      COM      882508104    6,864     42,900SH       SOLE
25,000            17,900
Tiffany & Co.                COM      886547108   22,654    270,900SH       SOLE
162,600           108,300
Time Warner                  COM      887315109    3,330     33,300SH       SOLE
12500            20,800
Transocean Sedco Forex C     COM      G90078109    3,963     77,236SH       SOLE
34708            42,528
UTStarcom, Inc               COM      918076100    4,262     54,600SH       SOLE
29900            24,700
Univision Communications     COM      914906102      113      1,000SH       SOLE
1000                 0
Wal-Mart Stores, Inc.        COM      931142103   15,458    273,600SH       SOLE
162,000           111,600
Walgreen Co                  COM      931422109   14,101    547,620SH       SOLE
358,000           189,620
Yankee Candle Co             COM      984757104      569     36,000SH       SOLE
30,000             6,000
</TABLE>

























































































































































































































































© 2022 IncJournal is not affiliated with or endorsed by the U.S. Securities and Exchange Commission