GARRISON BRADFORD & ASSOCIATES INC
13F-HR, 1999-08-13
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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:  June 30, 1999

Check here if Amendment  [   ] ;  Amendment Number:
This Amendment  (Check only one.) :  [   ] is a restatement.
                             [   ] adds new holding entries.

Institutional Investment Manager Filing this Report:

Name:       Garrison, Bradford & Associates, Inc.
Address: 122 East 42nd Street
       35th floor
       New York, NY    10168

13F File Number:    801-10937

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.

Person Signing this Report on Behalf of Reporting Manager:

Name:    William Bradford III
Title:      Executive Vice President
Phone:    212-557-7440
Signature, Place and Date of Signing:
William Bradford III         New York, New York       August 6, 1999




Report Type  (Check only one.) :

[ X  ]  13F HOLDINGS 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 SPECIAL ELECTRONIC FILING INSTRUCTIONS Continued

                        FORM 13F SUMMARY PAGE


Report Summary:

Number of Other Included Managers:

Form 13f Information Table Entry Total:  116

Form 13f Information Table Value Total:     $153,162,000


List of Other Included Managers:  N/A

No. 13F File Number     Name

N/A

<PAGE>






















<TABLE>
FORM 13F INFORMATION TABLE
                   VALUE   SHARES/  SH/ PUT/ INVSTMT    OTHER          VOTING
AUTHORITY
NAME OF ISSUER     TITLE OF CLASS CUSIP     (x$1000)  PRN AMT   PRN CALL
DSCRETN MANAGERS   SOLE      SHARED         NONE
- -------------- -------- ------ ------ ------ ---- ---- ------ ------- --------
- -------
<S>           <C>     <C>    <C>   <C>   <C><C>  <C>   <C>      <C>      <C>
 <C>

ABBOTT LABS                  COM  002824100      298     6558 SH          Sole
6
558
AFLAC INC                      COM     001055102      736    15374 SH
Sole     15374
ALLTEL CORP                    COM     020039103      676     9450 SH
Sole     9450
ALTERRA HEALTHCARE             COM     02146c104     1618   117700 SH
Sole     117700
AMER ENVIRONMNTL CRP           COM     025669102       37    50000 SH
Sole     50000
AMERICAN INTL GROUP            COM     026874107     1582    13495 SH
Sole     13495
ASSOC. FIRST CAPITAL CORP.     COM     046008108      696    15774 SH
Sole     15774
ATLANTIC COAST AIRLINE         COM     048396105     1203    63300 SH
Sole     63300
AVALONBAY CMNTYS               COM     053484101     1882    50864 SH
Sole     50864
BANKAMERICA CORP               COM     06605f102      395     5393 SH
Sole     5393
BEMIS INC                      COM     081437105      411    10345 SH
Sole     10345
BERGEN BRUNSWIG CP             COM     083739102     3354   194417 SH
Sole     194417
BIO REFERENCE LABS (RESTRICTED COM     09057g909        7    12000 SH
Sole     12000
BITSTREAM                      COM     091736108       65    45000 SH
Sole     45000
BJ WHOLESALE CLUB              COM     05548j106     4843   161100 SH
Sole     161100
BMC SOFTWARE                   COM                    297     5500 SH
Sole     5500
BROWN & BROWN, INC.            COM     115236101      418    11000 SH
Sole     11000
BURLINGTON RES                 COM     122014103      554    12800 SH
Sole     12800
CAPITAL ONE FIN'L              COM     14040H105      401     7200 SH
Sole     7200
CENTERPOINT PR TR              COM     151895109     5330   145522 SH
Sole     145522
CENTOCOR INC                   COM     152342101     2051    44000 SH
Sole     44000
CINTAS                         COM     172908105      941    14000 SH
Sole     14000
CISCO SYSTEMS                  COM     17275R102      354     5500 SH
Sole     5500
COCA-COLA CO.                  COM     191216100      578     9318 SH
Sole     9318
COMAIR HLDNGS INC              COM     199789108      492    23625 SH
Sole     23625
COMCAST  SP. CL A              COM     200300200     2714    70600 SH
Sole     70600
COMPUTER SCIENCES              COM     205363104     4646    67150 SH
Sole     67150
COVENANT TRNSPRT               COM     22284P105      953    60500 SH
Sole     60500
CREDIT MGMT SOLUTNS            COM     224905109      258    54300 SH
Sole     54300
CROSSMAN COMMUNITIES           COM     22764e109     1549    53300 SH
Sole     53300
CVS CORPORATION                COM     585745102     3731    73520 SH
Sole     73520
DAISYTEK INT'L                 COM     234053106      674    41300 SH
Sole     41300
DOW CHEMICAL                   COM     260543103      314     2475 SH
Sole     2475
DU PONT                        COM     263534109      410     6000 SH
Sole     6000
ECLIPSE SURGICAL               COM     278849104      963    89106 SH
Sole     89106
ELAN CORP                      COM     284131208     3842   138450 SH
Sole     138450
EMC CORPORATION                COM     268648102     6110   111100 SH
Sole     111100
ETHAN ALLEN                    COM     297602104     2252    59650 SH
Sole     59650
EXXON CORP                     COM     302290101      368     4768 SH
Sole     4768
FANNIE MAE                     COM     313586109     9296   136200 SH
Sole     136200
FELCOR LODGING TR INC          COM     31430f101     1774    85500 SH
Sole     85500
FINOVA GROUP INC               COM     317928109      274     5200 SH
Sole     5200
FIRST DATA CORP.               COM     319963104      526    10756 SH
Sole     10756
FORD MOTOR CO.                 COM     345370100      940    16662 SH
Sole     16662
GENERAL ELEC CO                COM     369604103     1537    13600 SH
Sole     13600
GLOBAL IMAGNG SY               COM     37934a100      620    34000 SH
Sole     34000
HAMILTON BANCORP FLA           COM     407013101      816    34000 SH
Sole     34000
HEARTLAND EXPRESS              COM     422347104      637    38891 SH
Sole     38891
HRPT PPTYS TR                  COM     422169102      311    20300 SH
Sole     20300
IDEC PHARM CORP                COM     449370105     3768    48900 SH
Sole     48900
INNKEEPER USA TR               COM     4576J0104      301    30100 SH
Sole     30100
INTL BUS MACH                  COM     459200101      482     3728 SH
Sole     3728
INTL PAPER CO                  COM     460146103      229     4564 SH
Sole     4564
K MART CORP                    COM     482584109      297    18000 SH
Sole     18000
KIMBERLY CLARK CORP            COM     494368103      433     7600 SH
Sole     7600
KIMCO REALTY                   COM     49446R109     3100    78000 SH
Sole     78000
LOWE'S COMPANIES               COM     548661107     3027    53400 SH
Sole     53400
LTC PROPERTIES                 COM     502175102      239    18400 SH
Sole     18400
MARK VII INC.                  COM     570414102      374    22500 SH
Sole     22500
MBIA                           COM     55262C100      285     4400 SH
Sole     4400
MCCLATCHY NEWS                 COM     579489105      264     7977 SH
Sole     7977
MCI WORLDCOM                   COM     55268b106      503     5850 SH
Sole     5850
MEDIAONE GROUP                 COM     58440j104     4590    61708 SH
Sole     61708
METAMOR WW                     COM     59133p100     1285    53400 SH
Sole     53400
MICROSOFT CORP                 COM     594918104     1326    14700 SH
Sole     14700
MINN MNG & MFG                 COM     604059105      261     3000 SH
Sole     3000
MORGAN ST D W                  COM     24240V101     4023    39200 SH
Sole     39200
NATIONAL COMPUTER SYSTEMS      COM     635519101      331     9800 SH
Sole     9800
NATIONWDE HLTH PR              COM     638620104      210    11000 SH
Sole     11000
NATL HEALTH INV                COM     63633D104      687    30100 SH
Sole     30100
NORTEL NETWORKS                COM     656569100     1675    19300 SH
Sole     19300
NORTHERN TRUST                 COM     665859104     1465    15100 SH
Sole     15100
NVEST LP                       COM     67065f107      488    19800 SH
Sole     19800
OBIE MEDIA                     COM     674391107     1317   103270 SH
Sole     103270
OFFICE DEPOT                   COM     676220106      386    17500 SH
Sole     17500
OFFICEMAX                      COM     67622m108      120    10000 SH
Sole     10000
OMEGA ORTHO WTS                COM     681973111        0    22500 SH
Sole     22500
OMEGA ORTHODNTCS               COM     681973103       16    30000 SH
Sole     30000
OMNICOM GROUP                  COM     681919106     3254    40676 SH
Sole     40676
ORTHALLIANCE                   COM     687913103      543    73600 SH
Sole     73600
ORTHO CTRS OF AM               COM     68750p103     1325    93800 SH
Sole     93800
PALM HARBOR HOMES              COM     696639103     3040   121287 SH
Sole     121287
PEPSI BOTTLING GRP             COM     713409100      208     9000 SH
Sole     9000
PFIZER INC                     COM     717081103     1973    18100 SH
Sole     18100
PITNEY BOWES INC               COM     724479100      929    14454 SH
Sole     14454
PRECISION DRILLING             COM     74022D100      267    14000 SH
Sole     14000
QUESTAR CORP                   COM     748356102      229    12000 SH
Sole     12000
R & G FINANCIAL CORP CL B      COM     749136107     2528   148720 SH
Sole     148720
RELIASTAR FIN'L CORP           COM     75952u103     1024    23400 SH
Sole     23400
RITE AID                       COM     767754104     1445    58700 SH
Sole     58700
ROSS STORES                    COM     778296103     2297    45600 SH
Sole     45600
RX MEDICAL SVCS CORP           COM                      2    25000 SH
Sole     25000
SCHERING-PLOUGH                COM     806605101      252     4800 SH
Sole     4800
SEMINIS                        COM     816658108      226    15000 SH
Sole     15000
SERVICE EXPERTS                COM     817567100     1540    70400 SH
Sole     70400
SERVICEMASTER L.P.             COM     817615107      247    13171 SH
Sole     13171
SKYWEST INC                    COM     830879102     2214    88800 SH
Sole     88800
STATE STREET CORP              COM     857473102     3276    38370 SH
Sole     38370
STERIGENICS                    COM     85915R105     1266    48000 SH
Sole     48000
SYMANTEC                       COM     871503108      765    30000 SH
Sole     30000
SYSCO CORP                     COM     871829107      894    30000 SH
Sole     30000
TCF FINANCIAL                  COM     872275102      755    27100 SH
Sole     27100
TELEFONICA DE ESPANA           COM     879382208      459     3121 SH
Sole     3121
TELLABS INC                    COM     879664100      696    10300 SH
Sole     10300
TEXAS INSTRUMENTS              COM     882508104      288     2000 SH
Sole     2000
TRANSACTION NTWK               COM     893414102     1310    44800 SH
Sole     44800
UNITED HLTHCARE                COM     910581107     3343    53387 SH
Sole     53387
US BANCORP                     COM     902973106     1551    46457 SH
Sole     46457
US XPRESS A                    COM     90338n103     2409   225404 SH
Sole     225404
UTD DOMINION RLTY              COM     910197102      398    33900 SH
Sole     33900
VITESSE SEMI CONDUCTOR         COM     928497106     1204    17850 SH
Sole     17850
WALMART                        COM     931142103     4121    85410 SH
Sole     85410
WELLS FARGO                    COM     949746101      250     5838 SH
Sole     5838
WEST COAST BK OREGON           COM     952145100      198    11342 SH
Sole     11342
WORLDWIDE ENT & SPORTS         COM     98157n104      220    90300 SH
Sole     90300
STERIGENICS PFD STK PURCH RTS          85915r105        0    47000 SH
Sole     47000
</TABLE>


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