UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
FORM 13F
FORM 13F COVER PAGE
Report for the Quarter Ended: Sept 30,1999
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: Farr, Miller & Washington, LLC.
Address: 1020 19th Street, NW, Suite 200
Washington, D.C. 20036
13F File Number: Not Known
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.
Per Signing this Report on Behalf of Reporting Manager:
Name: Susan W. Cantus
Title: Principal
Phone: (800) 390-3277
Signature, Place, and Date of Signing:
Susan W. Cantus Washington, D.C. October 26, 1999
Report Type (Check only one.):
[X] 13F HOLDINGS REPORT.
[ ] 13F NOTICE.
[ ] 13F COMBINATION REPORT.
List of Other Managers Reporting for this Manager: N/A
I AM SIGNING THIS REPORT AS REQUIRED BY THE SECURITIES EXCHANGE ACT OF 1934.
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FORM 13F SUMMARY PAGE
Report Summary:
Number of Other Included Managers: 0
Form 13F Information Table Entry Total: 133
Form 13F Information Table Value Total: 231,176,160
List of Other Included Managers: N/A
No. 13F File Number Name
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<TABLE>
NAME OF ISSUER TITLE CUSIP MARKET QUANTITY INVSTMNT MGR VOTING
OF VALUE DISC AUTH
CLASS SHARED SHARED
(b)
<S> <C> <C> <C> <C> <C> <C> <C>
INTEL CORP EQUITY 458140100 11,402,766 153,442 b 2,3 b
HEWLETT PACKARD EQUITY 428236103 9,280,172 100,871 b 2,3 b
MERCK EQUITY 589331107 8,565,512 132,157 b 2,3 b
MICROSOFT CORP EQUITY 594918104 8,546,158 94,367 b 2,3 b
BANC ONE EQUITY 059438101 8,082,847 232,179 b 2,3 b
MCI WORLDCOM INC EQUITY 55268B106 8,019,668 111,578 b 2,3 b
QUALCOMM INC EQUITY 747525103 7,180,062 37,952 b 2,3 b
GENERAL ELECTRIC CORP EQUITY 369604103 6,568,421 55,400 b 2,3 b
EMC CORP/MASS EQUITY 268648102 6,414,346 89,789 b 2,3 b
HOME DEPOT INC EQUITY 437076102 5,919,395 86,257 b 2,3 b
FREDDIE MAC EQUITY 313400301 5,860,446 112,700 b 2,3 b
COLGATE PALMOLIVE CO EQUITY 194162103 5,044,395 110,260 b 2,3 b
MCDONALDS CORP EQUITY 580135101 4,717,663 109,713 b 2,3 b
EXXON CORP EQUITY 302290101 4,323,743 56,937 b 2,3 b
MEDTRONIC INC EQUITY 585055106 4,269,840 120,277 b 2,3 b
PEPSI CO EQUITY 713448108 4,189,402 138,492 b 2,3 b
JOHNSON & JOHNSON EQUITY 478160104 4,178,385 45,479 b 2,3 b
AMERICAN INT.GROUP EQUITY 026874107 4,163,727 47,893 b 2,3 b
TELEFLEX INC EQUITY 879369106 4,095,823 103,691 b 2,3 b
KIMBERLY CLARK CORP EQUITY 494368103 3,954,756 75,328 b 2,3 b
WELLS FARGO & CO EQUITY 949746101 3,442,620 86,880 b 2,3 b
AMERICAN HOME PRODUCTS EQUITY 026609107 3,357,350 80,900 b 2,3 b
ALLIED SIGNAL INC EQUITY 019512102 3,330,196 55,560 b 2,3 b
ALBERTSONS INC EQUITY 013104104 3,316,813 83,836 b 2,3 b
INTL BUSINESS MACHINES EQUITY 459200101 2,967,497 24,449 b 2,3 b
WALMART STORES INC EQUITY 931142103 2,927,692 61,554 b 2,3 b
SUNRISE ASST LIVING INC EQUITY 86768K106 2,799,076 105,375 b 2,3 b
BERKSHIRE HTHWY CL B EQUITY 084670207 2,689,344 1,449 b 2,3 b
EMERSON ELEC CO EQUITY 291011104 2,647,893 41,905 b 2,3 b
MOBIL CORP EQUITY 607059102 2,598,342 25,790 b 2,3 b
ABBOTT LABORATORIES EQUITY 002824100 2,580,320 70,212 b 2,3 b
AMERICAN EXPRESS EQUITY 025816109 2,576,587 19,139 b 2,3 b
XEROX CORP EQUITY 984121103 2,541,478 60,600 b 2,3 b
ELI LILLY & CO EQUITY 532457108 2,361,600 36,900 b 2,3 b
EASTMAN KODAK EQUITY 277461109 2,229,192 29,550 b 2,3 b
MICROS SYS INC EQUITY 594901100 2,118,150 52,300 b 2,3 b
PROCTER & GAMBLE CO EQUITY 742718109 2,030,437 21,658 b 2,3 b
SILICON VALLEY BANCSH EQUITY 827064106 1,872,100 77,600 b 2,3 b
SYNALLOY CP EQUITY 871565107 1,861,803 270,807 b 2,3 b
FDX CORP EQUITY 31304N107 1,860,000 48,000 b 2,3 b
AMERICAN POWER CONV EQUITY 029066107 1,805,475 95,025 b 2,3 b
SYSCO CORP EQUITY 871829107 1,742,631 49,701 b 2,3 b
BRISTOL MYERS SQUIBB EQUITY 110122108 1,730,103 25,631 b 2,3 b
CISCO SYSTEMS INC EQUITY 17275R102 1,663,612 24,264 b 2,3 b
CONSECO CORP EQUITY 208464107 1,651,525 85,513 b 2,3 b
ROYAL DUTCH PETRO CO EQUITY 780257705 1,640,474 27,775 b 2,3 b
COCA-COLA CO EQUITY 191216100 1,625,126 33,812 b 2,3 b
PFIZER INC EQUITY 717081103 1,624,146 45,193 b 2,3 b
HEINZ HJ CO EQUITY 423074103 1,504,054 34,978 b 2,3 b
ELECTRONIC DATA SYST EQUITY 285661104 1,434,619 27,100 b 2,3 b
LUCENT TECHNOLOGIES EQUITY 549463107 1,262,597 19,462 b 2,3 b
PRINCE GEORGES CNTY MD FXD IN 741701BD7 1,008,970 1000000 b 2,3 b
WACHOVIA CORP EQUITY 929771103 978,547 12,445 b 2,3 b
CDI INC EQUITY 125071100 879,478 32,200 b 2,3 b
FLAG INVESTORS COMM. EQUITY 338331101 875,636 23,288 b 2,3 b
BANK OF AMERICA CORP EQUITY 060505104 868,492 15,595 b 2,3 b
DELL COMPUTER CORP EQUITY 247025109 808,663 19,340 b 2,3 b
SCHERING PLOUGH CORP EQUITY 806605101 802,700 18,400 b 2,3 b
BELL ATLANTIC CORP EQUITY 077853109 779,484 11,580 b 2,3 b
GILLETTE CORP EQUITY 375766102 775,008 22,836 b 2,3 b
SMITHKLINE BEECHAM ADR EQUITY 832378301 772,175 13,400 b 2,3 b
SCUDDER NEW ASIA FUND EQUITY 811183102 754,363 51,800 b 2,3 b
FIRST UNION CORP EQUITY 337358105 751,872 21,142 b 2,3 b
NUVEEN MARKET OPPRTY EQUITY 67062W400 725,000 29 b 2,3 b
MOTOROLA INC EQUITY 620076109 691,592 7,859 b 2,3 b
AIR EXPRESS INT CORP EQUITY 009104100 597,828 26,350 b 2,3 b
FLAG INVS EQUITY PARTN EQUITY 33832P109 591,891 25,326 b 2,3 b
MD STATE AND LOCAL FACS FXD IN 574192LG3 583,404 600,000 b 2,3 b
NORTEL NETWORKS CORP EQUITY 656569100 578,034 11,334 b 2,3 b
BP AMOCO PLC ADR EQUITY 055622104 558,608 5,041 b 2,3 b
WALGREEN CO EQUITY 931422109 545,562 21,500 b 2,3 b
FLEET BOSTON CORP EQUITY 33901A108 539,193 14,722 b 2,3 b
AT&T CORP EQUITY 001957109 534,397 12,285 b 2,3 b
BALTIMORE MD G/O FXD IN 0591856L7 511,920 500,000 b 2,3 b b 2,3 b
MONTGOMERY CNTY MD CONS FXD IN 613340ST6 507,550 500,000 b 2,3 b
BALTIMORE MD CONS PUB FXD IN 0591856N3 506,260 500,000 b 2,3 b
EATON VANCE SER TRUST EQUITY 277919205 506,211 1,048 b 2,3 b
MINN. MINING & MFG EQUITY 604059105 505,291 5,260 b 2,3 b
ANHEUSER BUSCH CO INC EQUITY 035229103 504,453 7,200 b 2,3 b
BERK AND HERBERT BK/TST EQUITY 121331102 502,640 824 b 2,3 b
PRINCE GEO. CNTY MD FXD IN 741701JB3 500,390 500,000 b 2,3 b
ATLANTIC RICHFIELD CO EQUITY 048825103 495,768 5,594 b 2,3 b
PRINCE GEO. CNTY MD FXD IN 741701HX7 494,410 500,000 b 2,3 b
WASHINGTON MUTUAL INV EQUITY 939330106 492,423 15,254 b 2,3 b
FNMA FXD IN 31359MCE1 446,908 450,000 b 2,3 b
BELLSOUTH CORP EQUITY 079860102 441,855 9,819 b 2,3 b
CHEVRON CORP EQUITY 166751107 438,070 4,936 b 2,3 b
IBM CREDIT CORP FXD IN 44922L5K8 433,478 457,000 b 2,3 b
NORFOLK SOUTHERN CORP EQUITY 655844108 410,007 16,735 b 2,3 b
MD STATE DEPT TRANS FXD IN 574204LA9 409,610 410,000 b 2,3 b
CITICORP EQUITY 17303MGQ6 397,180 416,000 b 2,3 b
ORACLE CORP EQUITY 68389X105 395,258 8,687 b 2,3 b
FNMA FXD IN 31364CJE2 392,916 400,000 b 2,3 b
SBC COMMUNICATIONS EQUITY 78387G103 390,172 7,641 b 2,3 b
MONT. CNTY MD CONS PUB FXD IN 613340PG7 384,221 375,000 b 2,3 b
FLEET FINANCIAL GROUP FXD IN 33900TAM0 371,532 400,000 b 2,3 b
FHLMC FXD IN 3134A1NB2 348,033 350,000 b 2,3 b
FHLB FXD IN 3133M9GL0 344,095 350,000 b 2,3 b
FNMA FXD IN 31364C3N6 341,932 350,000 b 2,3 b
COMPAQ COMPUTER CORP EQUITY 204493100 339,482 14,800 b 2,3 b
SHELL TRANS AND TRADING EQUITY 822703609 334,425 7,350 b 2,3 b
DOLLAR GENERAL EQUITY 256669102 334,221 10,825 b 2,3 b
BIOMATRIX INC EQUITY 09060P120 321,753 14,340 b 2,3 b
AT&T CORP/LIBERTY MEDIA EQUITY 001957208 317,418 8,550 b 2,3 b
AUTOMATIC DATA PROCESS EQUITY 053015103 316,971 7,103 b 2,3 b
FLAG MANAGED MUN FD INC EQUITY 561661208 310,737 30,227 b 2,3 b
DUPONT E I DE NEMOURS EQUITY 263534109 308,149 5,062 b 2,3 b
MAYTAG CORP EQUITY 578592107 302,920 9,093 b 2,3 b
WORCESTER MASS FXD IN 981305SN6 299,001 300,000 b 2,3 b
US TREAS SECS STRIPS FXD IN 912833FK1 297,131 299,000 b 2,3 b
GTE CORP EQUITY 362320103 292,125 3,800 b 2,3 b
FLAG TOTAL RETURN US EQUITY 89151D101 282,600 30,000 b 2,3 b
AMER FDS-EUROPAC GROWTH EQUITY 298706102 275,910 8,055 b 2,3 b
ARTHROCARE CORP EQUITY 043136100 273,179 5,001 b 2,3 b
CITIGROUP EQUITY 172967101 267,520 6,080 b 2,3 b
VODAFONE GROUP PLC EQUITY 92857T107 267,231 1,124 b 2,3 b
GANNETT CO INC EQUITY 364730101 265,681 3,840 b 2,3 b
STATE STREET CORP EQUITY 857477103 258,500 4,000 b 2,3 b
BALTIMORE MD SER A FXD IN 059185X52 258,132 250,000 b 2,3 b
FIRST FINANCIAL BNKSHRS EQUITY 32020R109 252,467 7,593 b 2,3 b
MASSACHUSETTS ST TPK FXD IN 576018DE2 251,537 250,000 b 2,3 b
AMERICA ONLINE INC EQUITY 02364J104 249,600 2,400 b 2,3 b
FNMA FXD IN 31364CN46 247,060 250,000 b 2,3 b
WORCESTER MASS FXD IN 981305NX9 245,282 250,000 b 2,3 b
US TREAS NOTE SE FXD IN 912827K43 235,366 235,000 b 2,3 b
MASSACHUSETTS MUN WHSL FXD IN 575765QM7 235,287 250,000 b 2,3 b
MARYLAND ST THIRD SER FXD IN 5741916X5 229,011 225,000 b 2,3 b
SPRINT CORP EQUITY 852061100 227,850 4,200 b 2,3 b
MARKEL CORP EQUITY 570535104 218,475 1,200 b 2,3 b
DOW CHEMICAL CO EQUITY 260543103 208,047 1,831 b 2,3 b
YAHOO INC EQUITY 984332106 206,568 1,150 b 2,3 b
MASS ST HEALTH & EDL FXD IN 5758505G3 201,880 190,000 b 2,3 b
MD ST & LOC FAC 2ND SER FXD IN 574192PA2 200,736 200,000 b 2,3 b
</TABLE>
</SEC-DOCUMENT>