GARRISON BRADFORD & ASSOCIATES INC
13F-HR, 2000-11-03
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<PAGE>   1

                                  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, 2000

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              July 31, 2000


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>   2
FORM 13F SPECIAL ELECTRONIC FILING INSTRUCTIONS Continued

                              FORM 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:

Form 13f Information Table Entry Total:  96

Form 13f Information Table Value Total: $151,814,000


List of Other Included Managers:  N/A

No.     13F File Number Name

N/A
<PAGE>   3
FORM 13F INFORMATION TABLE

<TABLE>
<CAPTION>
                             TITLE                    VALUE    SHARES/   SH/     PUT/   INVSTMT    OTHER    VOTING AUTHORITY
NAME OF ISSUER              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       292       6558    SH               6558              Sole
ACSIS INC                       COM                      50      66667    SH              66667              Sole
AFLAC INC                       COM     001055102       396       8624    SH               8624              Sole
ALLTEL CORP                     COM     020039103       585       9450    SH               9450              Sole
AMER ENVRNMNTL CRP              COM     025669102        42      50000    SH              50000              Sole
AMER INTL GRP                   COM     026874107      1580      13447    SH              13447              Sole
ANTISOMA PLC ORD                COM     g0395b135        20      10000    SH              10000              Sole
ATLANTIC COAST AIRLINE          COM     048396105      1946      61300    SH              61300              Sole
ATLAS AIR INC                   COM     049164106      1812      50500    SH              50500              Sole
AVALONBAY CMNTYS                COM     053484101      2199      52668    SH              52668              Sole
AVIS GROUP HLDGS                COM     053790101       932      49700    SH              49700              Sole
BERGEN BRUNSWIG                 COM     083739102       177      32100    SH              32100              Sole
BESTFOODS INT'L                 COM                     222       3200    SH               3200              Sole
BIOGEN N V                      COM     090597105      1961      30400    SH              30400              Sole
BJ WHOLESALE                    COM     05548j106      4877     147800    SH             147800              Sole
BLACKROCK INC CL A              COM     09247x101       215       7400    SH               7400              Sole
BROWN & BROWN, INC.             COM     115236101       312       6000    SH               6000              Sole
BURLINGTON RES                  COM     122014103      1729      45200    SH              45200              Sole
CAPITAL ONE FIN'L               COM     14040H105       232       5200    SH               5200              Sole
CARDINAL HEALTH                 COM     14149y108      2220      30000    SH              30000              Sole
CENTERPOINT PR TR               COM     151895109      4639     113846    SH             113846              Sole
CEPHALON                        COM     156708109      2323      38800    SH              38800              Sole
CINTAS                          COM     172908105      4157     113300    SH             113300              Sole
CISCO SYSTEMS                   COM     17275R102       667      10500    SH              10500              Sole
COHESION TECH                   COM     19248n101       236      20000    SH              20000              Sole
COMCAST  SP. CL A               COM     200300200      2535      62600    SH              62600              Sole
COMPUTER ASSOC                  COM     204912109      2749      53700    SH              53700              Sole
COMPUTER SCI                    COM     205363104      7525     100750    SH             100750              Sole
COVENANT TRNSPRT                COM     22284P105       464      58000    SH              58000              Sole
CREDIT MGMT SOLUTNS             COM     224905109       278      46500    SH              46500              Sole
CROSSMAN COMMUNITIES            COM     22764e109       668      40500    SH              40500              Sole
CVS CORPORATION                 COM     585745102      4628     115700    SH             115700              Sole
DAISYTEK INT'L                  COM     234053106       127      13500    SH              13500              Sole
DOW CHEMICAL                    COM     260543103       224       7425    SH               7425              Sole
ECLIPSE SURGICAL                COM     278849104       103      23538    SH              23538              Sole
ELAN CORP                       COM     284131208      2456      50700    SH              50700              Sole
EMC CORPORATION                 COM     268648102     10440     135700    SH             135700              Sole
ETHAN ALLEN                     COM     297602104      1147      47800    SH              47800              Sole
EXXON MOBIL CORP                COM     302290101       395       5032    SH               5032              Sole
FANNIE MAE                      COM     313586109      5590     107106    SH             107106              Sole
FIRST DATA CORP.                COM     319963104       534      10756    SH              10756              Sole
FORD MOTOR CO.                  COM     345370100       351       8162    SH               8162              Sole
GENERAL ELEC CO                 COM     369604103      2194      41400    SH              41400              Sole
HEARTLAND EXP                   COM     422347104       349      20891    SH              20891              Sole
HONEYWELL INTL                  COM     438516106       394      11700    SH              11700              Sole
HRPT PPTYS TR                   COM     422169102       163      26600    SH              26600              Sole
IDEC PHARM CORP                 COM     449370105      6347      54100    SH              54100              Sole
IMMUNOGEN INC                   COM     45253h101       253      21000    SH              21000              Sole
INFORMIX                        COM     456779107       867     116600    SH             116600              Sole
INTL BUS MACH                   COM     459200101       408       3728    SH               3728              Sole
JABIL CIRCUIT                   COM     466313103      2268      45700    SH              45700              Sole
JOHNSON & JOHNSON               COM     478160104      2036      19984    SH              19984              Sole
KIMBERLY CLARK CORP             COM     494368103       436       7600    SH               7600              Sole
KIMCO REALTY                    COM     49446R109      1917      46750    SH              46750              Sole
KROGER CO                       COM     501044101      2200      99700    SH              99700              Sole
LEAR                            COM     521865105       800      40000    SH              40000              Sole
LOWE'S COMPANIES                COM     548661107      3228      78600    SH              78600              Sole
MEREDITH CORP                   COM     589433101      1566      46400    SH              46400              Sole
MILLIPORE CORP                  COM     601073109      1952      25900    SH              25900              Sole
MOLEX INC CL A                  COM     608554200      1671      47750    SH              47750              Sole
MORGAN ST D W                   COM     24240V101      6768      81300    SH              81300              Sole
NASDAQ 100 TR UNIT              COM     631100104       513       5500    SH               5500              Sole
NATIONAL COMPUTER SYS           COM     635519101       355       7200    SH               7200              Sole
NATIONAL DATA CORP              COM     635621105       253      11000    SH              11000              Sole
NATL HEALTH INV                 COM     63633D104       172      15600    SH              15600              Sole
NORTEL NETWORKS                 COM     656568102      2866      42000    SH              42000              Sole
NORTHERN TRUST                  COM     665859104      1542      23700    SH              23700              Sole
OBIE MEDIA                      COM     674391107       253      31620    SH              31620              Sole
OMEGA ORTHO WTS                 COM     681973111         0      22500    SH              22500              Sole
OMNICOM GROUP                   COM     681919106       534       5996    SH               5996              Sole
ORTHO CTRS OF AM                COM     68750p103      2303     101800    SH             101800              Sole
OUTBACK STEAKHOUSE              COM     689899102      1316      45000    SH              45000              Sole
PALL CORP                       COM     696429307       610      33000    SH              33000              Sole
PALM HARBOR HOMES               COM     696639103      1322      91175    SH              91175              Sole
PFIZER INC                      COM     717081103      1431      29811    SH              29811              Sole
PHARMACIA CORP                  COM     71713u102       246       4750    SH               4750              Sole
PITNEY BOWES INC                COM     724479100       200       5000    SH               5000              Sole
PRECISION DRILLING              COM     74022D100       309       8000    SH               8000              Sole
PSINET                          COM                     547      21774    SH              21774              Sole
ROSS STORES                     COM     778296103      2283     133800    SH             133800              Sole
RX MEDICAL SVCS CORP            COM     749917209         0      25000    SH              25000              Sole
SBC COMM                        COM     78387G103       225       5199    SH               5199              Sole
SKYWEST INC                     COM     830879102      2350      63400    SH              63400              Sole
SOLECTRON CORP                  COM     834182107      2567      61300    SH              61300              Sole
STATE STREET CORP               COM     857473102      4630      43654    SH              43654              Sole
SYSCO CORP                      COM     871829107       774      18365    SH              18365              Sole
TELEFONICA DE ESPANA            COM     879382208       204       3182    SH               3182              Sole
TEXAS INSTR                     COM     882508104       330       4800    SH               4800              Sole
UNION PAC RES GROUP             COM     907834105       902      41000    SH              41000              Sole
UNITEDHEALTH GR                 COM     91324P102      4828      56305    SH              56305              Sole
US BANCORP                      COM     902973106       241      12537    SH              12537              Sole
US XPRESS A                     COM     90338n103       165      20500    SH              20500              Sole
UTD DOMINION RLTY               COM     910197102       302      27500    SH              27500              Sole
VITESSE SEMI CON                COM     928497106      2828      38450    SH              38450              Sole
WALMART                         COM     931142103      3941      68390    SH              68390              Sole
ZIONS BANCORPORATION            COM                     620      13500    SH              13500              Sole
</TABLE>


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