BRAMWELL CAPITAL MANAGEMENT INC/NEW
13F-HR, 2000-08-11
Previous: ADVISORS SERIES TRUST, 497, 2000-08-11
Next: INTERNATIONAL HOME FOODS INC, 10-Q, 2000-08-11



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:  06/30/00_

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  __08/11/00_
	      [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: 95

Form 13F Table Value Total:			620932


                                                                  FORM 13F
INFORMATION TABLE
                                                 VALUE   SHARES/  SH/ PUT/
INVSTMT   OTHER              VOTING AUTHORITY
     NAME OF ISSUER      TITLE OF CLA  CUSIP     X1000   PRN AMT  PRN CALL
DSCRETN  MANAGERS    SOLE     SHARED    NONE

AMFM Inc.                    COM     001693100      3360     48700SH
SOLE                  20700             28000
AT&T Corp Liberty Media G    COM     001957208      4123    170000SH
SOLE                  88000             82000
Adobe Systems Inc.           COM     00724F101      6786     52200SH
SOLE                  29700             22500
Agency.com                   COM     008447104       338     19000SH
SOLE                  17000              2000
Agilent Technologies         COM     00846U101      5434     73683SH
SOLE                  39094             34589
Alcoa Inc                    COM     013817101      3869    133400SH
SOLE                  94000             39400
America Online Inc           COM     02364J104      2202     41800SH
SOLE                  24900             16900
American Express Co          COM     025816109      1251     24000SH
SOLE                      0             24000
American Intl Group          COM     026874107      2245     19104SH
SOLE                   3625             15479
Amgen Inc.                   COM     031162100      3618     51500SH
SOLE                  34000             17500
Analog Devices Inc           COM     032654105      9257    121800SH
SOLE                  82400             39400
Applied Materials Inc        COM     038222105     17817    196600SH
SOLE                 120000             76600
Ariba Inc                    COM     04033V104      3432     35000SH
SOLE                  16000             19000
Automatic Data Processing    COM     053015103     13862    258800SH
SOLE                 162600             96200
Bell Atlantic Corp.          COM     077853109        51      1000SH
SOLE                   1000                 0
Bestfoods, Inc.              COM     08658U101      9930    143400SH
SOLE                  82000             61400
Blackrock, Inc.              COM     09247X101      2224     76700SH
SOLE                  49000             27700
Cardinal Health, Inc.        COM     14149Y108     14170    191480SH
SOLE                 114500             76980
Charles Schwab Corp          COM     808513105      6675    198525SH
SOLE                 134400             64125
Cheap Tickets Inc.           COM     162672109       257     21400SH
SOLE                   7100             14300
Cinar Films, Inc           CL B COM  171905300       413    118000SH
SOLE                  81000             37000
Cisco Systems Inc            COM     17275R102     14346    225700SH
SOLE                 146000             79700
Citigroup                    COM     172967101      8986    149150SH
SOLE                  88800             60350
Clear Channel Comm           COM     184502102       750     10000SH
SOLE                      0             10000
Colgate-Palmolive Co         COM     194162103      6029    100700SH
SOLE                  68400             32300
Computer Sciences Corpora    COM     205363104     26964    361028SH
SOLE                 240058            120970
Cox Communications Inc.      COM     224044107      3198     70200SH
SOLE                  44900             25300
Cutter & Buck Inc            COM     232217109      1373    173000SH
SOLE                 122250             50750
DST Systems Inc              COM     233326107      9028    118600SH
SOLE                  72900             45700
Dell Computer Corp           COM     247025109      4487     91000SH
SOLE                  40000             51000
Diamond Offshore Drilling    COM     25271C102      4644    132200SH
SOLE                  78700             53500
EMC Corporation*             COM     268648102     15464    201000SH
SOLE                 121000             80000
Emerson Electric Co          COM     291011104      6991    115800SH
SOLE                  72300             43500
Enron Corp.                  COM     293561106      6650    103100SH
SOLE                  60700             42400
Ethan Allen Interiors        COM     297602104       950     39600SH
SOLE                  13500             26100
Firstar Corp                 COM     33763V109      1748     83000SH
SOLE                  26500             56500
Flextronics International    COM     Y2573F102      9870    143700SH
SOLE                  94500             49200
Focal Inc                    COM     343909107       113     37800SH
SOLE                  18300             19500
GTE Corp.                    COM     362320103      5820     93500SH
SOLE                  58400             35100
Genentech, Inc.              COM     368710406     12350     71800SH
SOLE                  41700             30100
General Electric Company     COM     369604103     22642    427200SH
SOLE                 265500            161700
Grupo Televisa               ADS     40049J206      5425     78700SH
SOLE                  42750             35950
Heidrick & Struggles Intl    COM     422819102       631     10000SH
SOLE                  10000                 0
Hewlett-Packard Company      COM     428236103     10577     84700SH
SOLE                  52400             32300
Home Depot, Inc              COM     437076102     16472    329850SH
SOLE                 222000            107850
Human Genome Sciences        COM     444903108      2014     15100SH
SOLE                   8200              6900
Illinois Tool Works          COM     452308109      4349     76300SH
SOLE                  52300             24000
Imax Corp                    COM     45245E109      3299    145000SH
SOLE                  90000             55000
Intel Corporation            COM     458140100     13048     97600SH
SOLE                  59800             37800
Intl Business Machs          COM     459200101      6541     59700SH
SOLE                  32900             26800
Jabil Circuit, Inc           COM     466313103     10446    210500SH
SOLE                 126000             84500
Johnson & Johnson            COM     478160104      2751     27000SH
SOLE                  19000              8000
Jones Lang LaSalle, Inc.     COM     48020Q107      1305     97600SH
SOLE                  68100             29500
KLA Tencor Corp              COM     482480100      3918     66900SH
SOLE                  28700             38200
Kansas City Southern Inds    COM     485170302      8301     93600SH
SOLE                  59500             34100
Kohl's Corp                  COM     500255104     17967    323000SH
SOLE                 221000            102000
LSI Logic Corp               COM     502161102      3183     58800SH
SOLE                  33600             25200
Leggett & Platt, Inc.        COM     524660107      1660    100600SH
SOLE                  66600             34000
Lending Tree, Inc.           COM     52602Q105       113     15000SH
SOLE                  15000                 0
Lexmark Intl Group           COM     529771107      6053     90000SH
SOLE                  55500             34500
Linear Technology Corp       COM     535678106      4297     67200SH
SOLE                  39000             28200
Lucent Technologies, Inc.    COM     549463107      6103    103000SH
SOLE                  67500             35500
Medtronic, Inc.              COM     585055106      4583     92000SH
SOLE                  56000             36000
Mellon Financial Corp.       COM     58551A108      3921    107600SH
SOLE                  67000             40600
Microsoft Corp               COM     594918104     10384    129800SH
SOLE                  81000             48800
Minerals Technologies        COM     603158106      3979     86500SH
SOLE                  64500             22000
Molex Inc                  CL A COM  608554200     14094    402694SH
SOLE                 252103            150591
Nabors Industries Inc.       COM     629568106      6276    151000SH
SOLE                  88500             62500
Nortel Networks Corp         COM     656568102     13370    195900SH
SOLE                 126000             69900
Northern Trust Co            COM     665859104      8666    133200SH
SOLE                  90000             43200
OM Group, Inc.               COM     670872100      5520    125450SH
SOLE                  83500             41950
On Assignment, Inc           COM     682159108      9287    304500SH
SOLE                 235500             69000
Paychex, Inc.                COM     704326107      8232    195999SH
SOLE                 120875             75124
Pfizer, Inc.                 COM     717081103      8184    170500SH
SOLE                 107500             63000
Pitney Bowes, Inc.           COM     724479100      1852     46300SH
SOLE                  17500             28800
Procter & Gamble Company     COM     742718109        23       400SH
SOLE                      0               400
Robert Half International    COM     770323103      6903    242200SH
SOLE                 154000             88200
Safeguard Scientifics Inc    COM     786449108       503     15700SH
SOLE                   9500              6200
Sealed Air Corp              COM     81211K100      1257     24000SH
SOLE                   2000             22000
Sepracor Inc                 COM     817315104      6767     56100SH
SOLE                  41000             15100
Solectron Corp               COM     834182107      9418    224900SH
SOLE                 145500             79400
Sprint PCS Group             COM     852061506      4129     69400SH
SOLE                  38000             31400
State Street Boston Corp     COM     857477103      4349     41000SH
SOLE                  28000             13000
Telocity Inc.                COM     87971D103       748    163900SH
SOLE                  86400             77500
Teradyne Inc.                COM     880770102     13179    179300SH
SOLE                 115500             63800
Texas Instruments, Inc.      COM     882508104      6738     98100SH
SOLE                  55900             42200
Tiffany & Co.                COM     886547108     17577    260400SH
SOLE                 163600             96800
Time Warner                  COM     887315109      2113     27800SH
SOLE                  12500             15300
Transocean Sedco Forex Co    COM     G90078109      7749    145009SH
SOLE                  90708             54301
UTStarcom Inc                COM     918076100      1801     59300SH
SOLE                  33000             26300
Univision Comm Inc           COM     914906102       104      1000SH
SOLE                   1000                 0
Viacom Inc                 CL B COM  925524308      8426    123578SH
SOLE                  65642             57936
Wal-Mart Stores Inc          COM     931142103     12943    224600SH
SOLE                 140500             84100
Walgreen Co                  COM     931422109     15155    470820SH
SOLE                 342000            128820
Yankee Candle Co             COM     984757104       584     27000SH
SOLE                  23000              4000









































































































































































































































































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