BRAMWELL CAPITAL MANAGEMENT INC/NEW
13F-HR, 2000-10-17
Previous: SOUTHWEST BANCORP OF TEXAS INC, 8-K, EX-99.1, 2000-10-17
Next: CYNET INC, 8-K, 2000-10-17



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:  09/30/00

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: 	85

Form 13F Table Value Total:			668,589

<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 PRNCALLDSCRETN MANAGERS  SOLE  SHARED  NONE

Adobe Systems                     COM      00724F101    7,623  49,100SH       SOLE            27,300       21,800
Agency.com                        COM      008447104      672  45,000SH       SOLE            40,000        5,000
Agilent Technologies              COM      00846U101    2,933  59,938SH       SOLE            20,801       39,137
Alcoa Inc                         COM      013817101    4,161 164,400SH       SOLE           105,000       59,400
America Online                    COM      02364J104    2,241  41,700SH       SOLE            24,800       16,900
American Express Co               COM      025816109    8,936 147,100SH       SOLE            92,500       54,600
American Intl Group               COM      026874107    3,469  36,254SH       SOLE            10,537       25,717
Amgen Inc.                        COM      031162100    3,582  51,300SH       SOLE            33,800       17,500
Analog Devices                    COM      032654105   10,271 124,400SH       SOLE            82,000       42,400
Applied Materials                 COM      038222105   10,771 181,600SH       SOLE           110,300       71,300
Ariba Inc.                        COM      04033V104    6,332  44,200SH       SOLE            22,500       21,700
Automatic Data Processing         COM      053015103   17,254 258,000SH       SOLE           161,800       96,200
Bank New York Inc.                COM      064057102   10,730 191,400SH       SOLE           116,400       75,000
Bestfoods, Inc.                   COM      08658U101   10,374 142,600SH       SOLE            81,500       61,100
Blackrock, Inc.                   COM      09247X101    2,445  76,400SH       SOLE            48,700       27,700
Calpine Corp.                     COM      131347106    9,133  87,500SH       SOLE            55,800       31,700
Cardinal Health, Inc.             COM      14149Y108   16,824 190,780SH       SOLE           113,800       76,980
Charles Schwab Corp               COM      808513105    7,037 198,225SH       SOLE           134,100       64,125
Cisco Systems Inc                 COM      17275R102   11,790 213,400SH       SOLE           135,700       77,700
Citigroup                         COM      172967101   13,134 242,933SH       SOLE           151,066       91,867
Clear Channel Communications      COM      184502102    2,615  46,284SH       SOLE             9,964       36,320
Colgate-Palmolive Co              COM      194162103    4,753 100,700SH       SOLE            68,400       32,300
Computer Sciences Corp            COM      205363104   28,410 382,628SH       SOLE           247,658       ######
DST Systems Inc                   COM      233326107   15,827 134,700SH       SOLE            83,000       51,700
Dell Computer Corp                COM      247025109    3,728 121,000SH       SOLE            57,000       64,000
Diamond Offshore Drilling Inc     COM      25271C102    5,625 137,200SH       SOLE            83,700       53,500
EMC Corp                          COM      268648102   20,033 202,100SH       SOLE           121,300       80,800
Electronic Data Systems Corp      COM      285661104    3,196  77,000SH       SOLE            49,000       28,000
Emerson Electric Co               COM      291011104    9,789 146,100SH       SOLE            82,100       64,000
Enron Corp.                       COM      293561106    9,227 105,300SH       SOLE            62,900       42,400
Firstar Corp                      COM      33763V109    1,759  78,600SH       SOLE            26,000       52,600
Flextronics Intl                  COM      Y2573F102   11,867 144,500SH       SOLE            95,900       48,600
Focal Inc                         COM      343909107       96  37,400SH       SOLE            17,900       19,500
Genentech Inc.                    COM      368710406   13,277  71,500SH       SOLE            41,400       30,100
General Electric Co               COM      369604103   25,486 441,800SH       SOLE           274,500       ######
Grupo Televisa                    ADS      40049J206    4,655  80,700SH       SOLE            42,700       38,000
Heidrick & Struggles Intl         COM      422819102      514  10,000SH       SOLE            10,000            0
Hewlett-Packard Co                COM      428236103    8,298  85,550SH       SOLE            52,700       32,850
Home Depot Inc                    COM      437076102   17,444 328,750SH       SOLE           220,900       ######
Human Genome Sciences Inc         COM      444903108    2,614  15,100SH       SOLE             8,200        6,900
Illinois Tool Works Inc           COM      452308109    4,247  76,000SH       SOLE            52,000       24,000
Intel Corp                        COM      458140100    7,914 190,400SH       SOLE           118,600       71,800
International Business Machin     COM      459200101    6,750  60,000SH       SOLE            33,200       26,800
Jabil Circuit Inc                 COM      466313103   10,578 186,400SH       SOLE           114,400       72,000
Johnson & Johnson                 COM      478160104    5,101  54,300SH       SOLE            32,500       21,800
Jones Lang LaSalle Inc            COM      48020Q107    1,425 109,600SH       SOLE            72,100       37,500
KLA Tencor Corp                   COM      482480100    3,167  76,900SH       SOLE            35,700       41,200
Kansas City Southern Inds         COM      485170302    1,651 190,050SH       SOLE           119,100       70,950
Kohl's Corp                       COM      500255104   16,072 278,600SH       SOLE           187,000       91,600
LSI Logic Corp                    COM      502161102    3,238 110,700SH       SOLE            57,900       52,800
Lending Tree Inc                  COM      52602Q105      135  30,000SH       SOLE            30,000            0
Linear Technology Corp            COM      535678106    4,707  72,700SH       SOLE            41,500       31,200
Medtronic Inc                     COM      585055106    4,736  91,400SH       SOLE            55,400       36,000
Mellon Financial Corp             COM      58551A108    7,276 156,900SH       SOLE            97,500       59,400
Microsoft Corp                    COM      594918104    7,195 119,300SH       SOLE            77,000       42,300
Minerals Technologies Inc         COM      603158106    3,689  80,200SH       SOLE            60,200       20,000
Minnesota Mining & Mfg            COM      604059105    9,983 109,550SH       SOLE            69,700       39,850
Molex Inc                       CL A COM   608554200   16,919 408,304SH       SOLE           257,713       ######
Nabors Inds Inc                   COM      629568106    9,615 183,500SH       SOLE           113,000       70,500
Nortel Networks Corp              COM      656568102    6,701 112,500SH       SOLE            67,000       45,500
Northern Trust Co                 COM      665859104   11,794 132,700SH       SOLE            89,500       43,200
OM Group Inc                      COM      670872100    5,425 124,350SH       SOLE            82,800       41,550
On Assignment Inc                 COM      682159108    9,369 298,600SH       SOLE           229,600       69,000
Paychex Inc                       COM      704326107   10,101 192,399SH       SOLE           117,275       75,124
Petroleo Brasileiro               ADS      71654V408    7,044 234,300SH       SOLE           136,600       97,700
Pfizer, Inc.                      COM      717081103   11,486 255,600SH       SOLE           141,300       ######
Procter & Gamble Co               COM      742718109       27     400SH       SOLE                 0          400
Robert Half Intl Inc              COM      770323103    8,370 241,300SH       SOLE           153,100       88,200
Santa Fe Intl Corp.               COM      G7805C108    9,797 217,400SH       SOLE           137,000       80,400
Sealed Air Corp                   COM      81211K100    1,358  30,000SH       SOLE             8,000       22,000
Sepracor Inc                      COM      817315104    7,778  63,400SH       SOLE            46,300       17,100
Solectron Corp                    COM      834182107   10,101 219,000SH       SOLE           140,400       78,600
State Street Boston Corp          COM      857477103    5,291  40,700SH       SOLE            27,700       13,000
Stilwell Financial Inc            COM      860831106    9,279 213,300SH       SOLE           129,100       84,200
Teradyne Inc                      COM      880770102    6,923 197,800SH       SOLE           122,700       75,100
Texas Instruments Inc             COM      882508104    4,945 104,800SH       SOLE            60,600       44,200
Tiffany & Co                      COM      886547108   19,729 511,600SH       SOLE           325,400       ######
Time Warner                       COM      887315109    2,128  27,200SH       SOLE            12,200       15,000
Transocean Sedco Forex Co         COM      G90078109   10,324 176,109SH       SOLE           115,808       60,301
UTStarcom Inc                     COM      918076100    1,478  70,600SH       SOLE            39,300       31,300
Viacom Inc                      CL B COM   925524308    7,122 121,736SH       SOLE            66,342       55,394
Wal-Mart Stores Inc               COM      931142103   10,766 223,700SH       SOLE           139,800       83,900
Walgreen Co                       COM      931422109   17,809 469,420SH       SOLE           340,600       ######
Yankee Candle Co                  COM      984757104      121   6,000SH       SOLE             3,000        3,000
</TABLE>





















































































































































































































































































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