JACOBS & CO/CA
13F-HR, 2000-04-27
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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: Jacobs and Company
Address: 595 Market Street
	   Suite 1140
         San Francisco, CA 94105

13F File Number: 28-6710

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, correctly 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:  Matt Jacobson
Title: Partner
Phone: 415-777-1617
Signature, place, and date of signing:

	Matt Jacobson  San Francisco, CA    March 19, 2000

Report type (check only one):

[X]	13F Holding Report
[ ] 	13F Notice
[ ] 	13F Combination Report

List of other managers reporting for this manager:

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:

Form 13F information table value total:
<PAGE>




<TABLE>              <C>                                               <C>
                                                 Form 13F Information T
                                                 Value         Shares  SH/ InvstOther  Voting  Authority
Name of Issuer       Title of Class  CUSIP       (x$1,000)    Prn Amt  PRN DscreManager(a) Sole(b) (c) None


Abbott Laboratories  COM             002824 10 0    3,190       90,925 SH                20,000   0     0
Albertsons           COM             013104 10 4      606       19,610 SH                     0   0     0
American Greetings   CL A            026375 10 5      524       28,685 SH                 6,000   0     0
American Home ProductCOM             026609 10 7    5,182       96,409 SH                17,200   0     0
American InternationaCOM             026874 10 7      588        5,368 SH                     0   0     0
Anheuser Busch       COM             035229 10 3    3,585       57,596 SH                12,410   0     0
At Home Corp Cl A    COM             045919 10 7      287        8,725 SH                     0   0     0
AT&T                 COM             001957 10 9    4,456       79,121 SH                16,590   0     0
AT&T Liberty Media GrCOM             001957 20 8    3,309       55,787 SH                     0   0     0
Atlantic Richfield CoCOM             048825 10 3    2,190       25,766 SH                 5,160   0     0
Atrix Labs Inc       COM             04962L 10 1       96       10,000 SH                     0   0     0
Auto Data Processing COM             053015 10 3    1,360       28,184 SH                18,000   0     0
Avnet Inc            COM             053807 10 3      974       15,456 SH                     0   0     0
Baker Hughes         COM             057224 10 7      210        6,925 SH                     0   0     0
Baxter International COM             071813 10 9    2,432       40,781 SH                 3,757   0     0
Becton Dickinson & CoCOM             075887 10 9    2,453       93,216 SH                16,000   0     0
Bell Atlantic Corp   COM             077853 10 9    3,009       49,231 SH                13,750   0     0
Bell South           COM             079860 10 2    1,962       41,865 SH                 8,000   0     0
Berkshire Hathaway ClCOM             084670 20 7      567           31 SH                     0   0     0
Bestfoods            COM             08658U 10 1    1,837       39,230 SH                 9,000   0     0
Biogen               COM             090597 10 5      241        3,450 SH                     0   0     0
Boeing               COM             097023 10 5    2,255       59,645 SH                 8,150   0     0
BP Amoco             AMERN SH        110889 40 9    3,404       63,922 SH                35,324   0     0
Bristol Myers Squibb COM             110122 10 8    5,514       95,076 SH                12,700   0     0
Cadbury Schweppes PLCADR             127209 30 2    1,347       47,462 SH                 9,090   0     0
Cardinal Health Inc. COM             14149y 10 8    1,085       23,645 SH                 5,603   0     0
Chevron              COM             166751 10 7    1,032       11,168 SH                     0   0     0
Chiron Corp          COM             170040 10 9      599       12,004 SH                   616   0     0
Cisco Systems        COM             17275R 10 2    8,381      108,410 SH                27,000   0     0
Citigroup Inc.       COM             172967 10 1      315        5,264 SH                     0   0     0
Coca Cola Company    COM             191216 10 0      866       18,459 SH                     0   0     0
Compaq               COM             204493 10 3      703       26,300 SH                     0   0     0
Conoco Cl. B         COM             208251 40 5    1,092       42,602 SH                 8,475   0     0
Corning Inc          COM             219350 10 5   10,217       52,667 SH                 8,100   0     0
Costco Companies Inc.COM             22160Q 10 2    2,616       49,774 SH                     0   0     0
Crown Cork & Seal PfdPFD CV 4.5%     228255 30 3      389       24,283 SH                 2,733   0     0
CVS Corp.            COM             126650 10 0      240        6,400 SH                 6,400   0     0
Diebold Inc          COM             253651 10 3      287       10,425 SH                     0   0     0
Disney               COM             254687 10 6    2,294       55,610 SH                 3,960   0     0
Dorchester Hugoton   DEPST RCPT      258205 20 2      100       10,000 SH                     0   0     0
Dow Jones            COM             260561 10 5    1,577       21,954 SH                 6,200   0     0
Duke Energy          COM             264399 10 6      325        6,196 SH                     0   0     0
DuPont               COM             263534 10 9    1,216       22,976 SH                 4,027   0     0
EMC Corp             COM             268648 10 2      340        2,700 SH                     0   0     0
Eastman Kodak        COM             277461 10 9    2,356       43,384 SH                 7,549   0     0
El Paso Energy Corp. COM             283905 10 7    1,270       31,455 SH                     0   0     0
Electronic Data SysteCOM             285661 10 4    2,250       35,051 SH                 4,927   0     0
Eli Lilly            COM             532457 10 8    4,332       69,175 SH                12,200   0     0
Emerson Electric     COM             291011 10 4      889       16,730 SH                     0   0     0
Enron Corp           COM             293561 10 6    1,804       24,100 SH                     0   0     0
Exxon Corporation    COM             302290 10 1    2,533       32,468 SH                 6,621   0     0
Gannett              COM             364730 10 1    3,138       44,587 SH                 5,400   0     0
General Electric     COM             369604 10 3    3,371       21,658 SH                 9,400   0     0
Genzyme Corporation  COM             372917 10 4      227        4,525 SH                     0   0     0
Golden West FinancialCOM             381317 10 6      253        8,100 SH                     0   0     0
GTE                  COM             362320 10 3    1,594       22,453 SH                 6,000   0     0
Hewlett-Packard CompaCOM             428236 10 3    7,346       55,414 SH                11,600   0     0
Hilton Hotels        COM             432848 10 9      145       18,650 SH                     0   0     0
Hubbell Inc Class A  CL  A           443510 10 2      495       19,225 SH                 1,100   0     0
Hubbell Inc Class B  CL  B           443510 20 1      681       24,878 SH                 6,796   0     0
IMS Health Inc       COM             449934 10 8    1,015       59,895 SH                 8,100   0     0
Intel Corp           COM             458140 10 0   14,302      108,396 SH                12,450   0     0
Intl Business MachineCOM             459200 10 1    9,288       78,542 SH                12,600   0     0
Jacobson Stores      COM             469834 10 5      347       71,255 SH                     0   0     0
Johnson & Johnson    COM             478160 10 4    2,849       40,557 SH                 9,600   0     0
Kroger Company       COM             501044 10 1      764       43,515 SH                   600   0     0
Lee Enterprises      COM             523768 10 9      683       26,150 SH                     0   0     0
Longs Drug Stores    COM             543162 10 1      427       18,750 SH                 6,000   0     0
Lucent Technologies  COM             549463 10 7    3,441       55,505 SH                 8,835   0     0
MCI Worldcom Inc     COM             55268b 10 6      752       16,593 SH                 1,200   0     0
M D C Holding        COM             552676 10 8      233       13,000 SH                     0   0     0
Masco Corp           COM             574599 10 6    2,703      131,847 SH                18,000   0     0
Mc Cormick & Co      COM NON VTG     579780 20 6    1,995       61,870 SH                13,600   0     0
McClatchy Newspapers CL  A           579489 10 5      445       13,600 SH                     0   0     0
MediaOne Group       COM             58440J 10 4    1,677       20,708 SH                   400   0     0
Merck                COM             589331 10 7    1,946       31,326 SH                11,340   0     0
Microsoft Corp.      COM             594918 10 4    2,302       21,665 SH                 4,100   0     0
Millipore            COM             601073 10 9      720       12,762 SH                 4,500   0     0
Minnesota Mining     COM             604059 10 5    1,127       12,720 SH                 4,000   0     0
Motorola             COM             620076 10 9    7,989       54,718 SH                12,600   0     0
New York Times Class CL  A           650111 10 7    2,532       58,975 SH                 2,000   0     0
Oracle Corp.         COM             68389x 10 5      400        5,124 SH                     0   0     0
Park Place EntertainmCOM             700690 10 0      128       11,050 SH                     0   0     0
Pepsico Inc          COM             713448 10 8    4,481      128,500 SH                24,700   0     0
Pfizer Inc           COM             717081 10 3    6,629      181,303 SH                35,400   0     0
Pharmacia & Upjohn   COM             716941 10 9      809       13,590 SH                     0   0     0
Philip Morris Cos    COM             718154 10 7      568       27,225 SH                   825   0     0
Procter & Gamble     COM             742718 10 9    1,846       32,527 SH                 5,800   0     0
Qwest Comm.          COM             749121 10 9      244        5,100 SH                     0   0     0
Ralston Purina Group COM RAL-PUR GR  751277 30 2    1,915       69,670 SH                15,216   0     0
Rite Aid Corporation COM             767754 10 4      322       58,475 SH                     0   0     0
Royal Dutch PetroleumNY REG GLD1.25  780257 80 4      486        8,408 SH                     0   0     0
S B C Communications COM             78387G 10 3    2,291       54,399 SH                 1,200   0     0
Schering Plough Corp COM             806605 10 1      633       17,000 SH                     0   0     0
Schlumberger         COM             806857 10 8    2,902       37,935 SH                 4,800   0     0
Seagram Ltd          COM             811850 10 6    1,343       22,575 SH                     0   0     0
Servicemaster        COM             81760N 10 9      443       39,336 SH                     0   0     0
Snap On Tools        COM             833034 10 1    2,497       95,345 SH                36,317   0     0
Sun Microsystems Inc.COM             866810 10 4    1,696       18,100 SH                     0   0     0
Target Corporation   COM             87612e 10 6    3,620       48,425 SH                 9,000   0     0
Texaco               COM             881694 10 3      859       15,976 SH                 5,100   0     0
Time Warner IncorporaCOM             887315 10 9    5,440       54,403 SH                 8,700   0     0
Transocean Sedco ForeCOM             g90078 10 9      276        5,379 SH                     0   0     0
Tribune Co           COM             896047 10 7    1,827       49,967 SH                12,000   0     0
Tribune Phones       PFD CV 2%       896047 30 5    1,593       11,060 SH                 1,600   0     0
Twentieth Century IndCOM             901272 20 3      921       42,838 SH                     0   0     0
Tyco Intl. Ltd       COM             902124 10 6      362        7,213 SH                   851   0     0
U S T Inc            COM             902911 10 6      540       34,575 SH                   675   0     0
U S West             COM             91273H 10 1    2,478       34,118 SH                 4,510   0     0
Union Pacific Corp   COM             907818 10 8      924       23,620 SH                 3,200   0     0
Union Pacific ResourcCOM             907834 10 5      165       11,408 SH                     0   0     0
Unocal               COM             915289 10 2      339       11,408 SH                     0   0     0
USA Networks         COM             902984 10 3      591       26,200 SH                     0   0     0
USX-Marathon Group   COM             902905 82 7      458       17,590 SH                     0   0     0
Vodafone Airtouch ADRADR             92857T 10 7    7,702      138,618 SH                16,550   0     0
Wal-Mart Stores Inc. COM             931142 10 3      627       11,100 SH                     0   0     0
Warner Lambert CompanCOM             934488 10 7    7,094       72,622 SH                18,300   0     0
Wells Fargo & CompanyCOM             949740 10 4    1,592       39,074 SH                     0   0     0

Alza Corp 5% 06      SUBDBCV         022615 AD 0    1,066      996,000 PRN                  100   0     0
Alza Corp 0% 14      SUB LYON        022615 AC 2      429      825,000 PRN                  350   0     0
Hilton Hotel 5% 06   SUB NT CONV     432848 AL 3    1,307    1,756,000 PRN                  300   0     0
Park Electrochem 5.5%SUBNT CV        700416 AB 6    1,407    1,675,000 PRN                  310   0     0
Seagram 0% 06        LYON CV         811845 AH 9      761      725,000 PRN                  380   0     0
</TABLE>






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