M&R CAPITAL MANAGEMENT INC
13F-HR, 2000-11-13
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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 Quarterly Ended: September 30, 2000
Check here is Amendment [ ]; Amendment Number:
This Amendment (Check only one.): [ ] is a restatement.
                                  [ ] adds new holdings entries.

Institutional Investment Manager Filing This Report:

Name:     M&R Capital Management, Inc.
Address:  40 Fulton Street, 8th Floor
          New York, Ny  10038

13F File Number:  28-7056

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:   Richard Diver
Title:  Senior Vice President
Phone:  212-584-8999
Signature, Place and Date of Signing:

      Richard Diver,  New York, NY    November 14, 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>

                       FORM 13F SUMMARY PAGE


Report Summary:

Number of Other Included Managers:           0

Form 13F Information Table Entry Total:     82

Form 13F Information Table Value Total: 197743


List of Other Included Managers:

No.      13F File Number         Name
01       N/A                     N/A

<PAGE>

<TABLE>
                                    <C>                                                <C>
                                                                Form 13F Information Table
                                                            Value    Shares/  SH/ Put/ Investment  Other     Voting Authority
    Name of Issuer                Title of Class   CUSIP   (x$1000)  Prn Amt  Prn Call Dscretn    Managers  Sole   Shared  None
AT&T                              COM            001957109    7340    249883  SH       SOLE                249883
AT&T CORP LIBERTY MEDIA GROUP     COM                         1546     85873  SH       SOLE                 85873
AGILENT TECHNOLOGIES INC.         COM                          825     16840  SH       SOLE                 16840
AIR PRODUCT & CHEMICALS INC.      COM            009158106    8051    223652  SH       SOLE                223652
AIRBORNE FREIGHT CORP             COM                         2023    198604  SH       SOLE                198604
ALZA CORP                         COM            022615108    3681     42550  SH       SOLE                 42550
AMERICAN INTERNATIONAL GROUP 1    COM            026874107    3615     37779  SH       SOLE                 37779
APPLE COMPUTER INC W/RTS          COM            037833100     998     38770  SH       SOLE                 38770
BCE, INC.                         COM                          666     28475  SH       SOLE                 28475
BP AMOCO PLC SPONS ADR            COM                         1722     32489  SH       SOLE                 32489
BEAR STEARNS COS INC              COM            073902108    1509     23945  SH       SOLE                 23945
BELLSOUTH CORP W/RTS TO PUR P     COM            079860102     454     11286  SH       SOLE                 11286
BESTFOODS                         COM            08658U101     553      7608  SH       SOLE                  7608
BRISTOL MYERS SQUIBB CO.          COM            110122108    2856     50002  SH       SOLE                 50002
CIT GROUP INC CL A                COM                         2359    134778  SH       SOLE                134778
CHASE MANHATTAN CORP              COM            16161A108    2847     61649  SH       SOLE                 61649
CITIGROUP INC                     COM            173034109     320      5910  SH       SOLE                  5910
COCA COLA CO                      COM            191216100     216      3920  SH       SOLE                  3920
COLGATE PALMOLIVE CO              COM            194162103     367      7780  SH       SOLE                  7780
COLUMBIA ENERGY GROUP             COM                         4994     70341  SH       SOLE                 70341
COX COMMUNICATIONS INC NEW CL     COM            224044107     227      5934  SH       SOLE                  5934
DISNEY WALT (HOLDING CO) USD.0    COM            254687106   10935    285895  SH       SOLE                285895
EARTHLINK                         COM                         6712    735512  SH       SOLE                735512
ERICSSON TEL B ADS                COM                          153     10400  SH       SOLE                 10400
EXXON MOBIL CORP                  COM                         1073     12034  SH       SOLE                 12034
FIDELITY NATIONAL FINANCIAL IN    COM                         8989    363189  SH       SOLE                363189
GENERAL ELECTRIC CO               COM            369604103    1142     19800  SH       SOLE                 19800
GENERAL MOTORS CORP               COM            370442105    6275     96541  SH       SOLE                 96541
GENERAL MOTORS CORP CL H          COM            370442832    2698     72557  SH       SOLE                 72557
HARCOURT GENERAL INC              COM            41163G101     442      7500  SH       SOLE                  7500
HEALTH CARE PROPERTIES INV        COM                         2370     80000  SH       SOLE                 80000
HEARX LTD                         COM                          156     56800  SH       SOLE                 56800
HEWLETT PACKARD CO                COM                         4264     43960  SH       SOLE                 43960
HOME DEPOT INC                    COM            437076102    1575     29679  SH       SOLE                 29679
INTEL                             COM            458140100     520     12538  SH       SOLE                 12538
INTL BUSINESS MACHINES CORP       COM            459200101    1193     10606  SH       SOLE                 10606
JOHN HANCOCK STRATEGIC INCOME     COM                           97     14107  SH       SOLE                 14107
JOHNSON & JOHNSON                 COM            478160104   10789    114850  SH       SOLE                114850
KINDER MORGAN INC KANSAS          COM                          259      6316  SH       SOLE                  6316
LEHMAN BROS HLDGS INC             COM            524908100     519      3513  SH       SOLE                  3513
LILLY ELI & CO                    COM            532457108     324      4000  SH       SOLE                  4000
LUCENT TECHNOLOGIES INC           COM            549463107     349     11410  SH       SOLE                 11410
MARRIOTT INTERNATIONAL INC.       COM            571903202    3944    108250  SH       SOLE                108250
MATTEL INC W/RTS TO PUR P/STK     COM            577081102    1038     92777  SH       SOLE                 92777
MERCK & CO INC.                   COM            589331107     499      6700  SH       SOLE                  6700
NCR CORP                          COM            62886E108    6749    178478  SH       SOLE                178478
NATIONAL OILWELL INC              COM                          827     26451  SH       SOLE                 26451
NESTLE SA-SPONSORED ADR           COM                         1026      9850  SH       SOLE                  9850
PAINE WEBBER GROUP INC            COM            695629105     393      5775  SH       SOLE                  5775
PEPSICO INC                       COM            713448108    3578     77790  SH       SOLE                 77790
QUAKER OAKS CO                    COM            747402105     245      3100  SH       SOLE                  3100
QUALCOMM INC                      COM            747525103    2458     34499  SH       SOLE                 34499
QWEST COMMUNICATIONS INTERNAT     COM                          234      4877  SH       SOLE                  4877
ROWAN COMPANIES INC.              COM            779382100    3135    108118  SH       SOLE                108118
SBC COMMUNICATIONS CORP           COM            78387G103     731     14625  SH       SOLE                 14625
SABRE HOLDINGS CORP CL A          COM                         1309     45224  SH       SOLE                 45224
SARA LEE CORP                     COM            803111103    9255    455601  SH       SOLE                455601
SERVICE CORP INTERNATIONAL W/R    COM            817565104     409    167610  SH       SOLE                167610
SPRINT CORP (PCS GROUP)           COM                         1192     34002  SH       SOLE                 34002
SPRINT CORP                       COM            852061100    4186    142820  SH       SOLE                142820
STATE STREET BOSTON CORPORATION   COM            857477103    9456     72740  SH       SOLE                 72740
STATEWIDE BANCORP NJ              COM                            0     10000  SH       SOLE                 10000
STEWART INFORMATION SERVICES C    COM                          739     48050  SH       SOLE                 48050
TELEFONICA DE ESPANA SA ADR       COM            879382208    1609     27076  SH       SOLE                 27076
THORNBURG MORTGAGE ASSET CORP     COM            885218107     163     17400  SH       SOLE                 17400
TIME WARNER INC                   COM            887315109    3478     44441  SH       SOLE                 44441
TOKIO MARINE & FIRE INS CO LTD    COM                          823     16400  SH       SOLE                 16400
UAL CORP                          COM                          724     17250  SH       SOLE                 17250
USA ED INC                        COM            78442A109    3417     70900  SH       SOLE                 70900
UNION PACIFIC CORP                COM            907818108    2438     62724  SH       SOLE                 62724
UNION PLANTERS CORP               COM            908068109    2957     89425  SH       SOLE                 89425
VERIZON COMMUNICATIONS CORP       COM                          646     13345  SH       SOLE                 13345
WHITEHALL ENTERPRISE              COM                            1     10000  SH       SOLE                 10000
WASHINGTON GAS LIGHT CO           COM            938837101     296     11000  SH       SOLE                 11000
WASHINGTON MUTUAL INC             COM            939322103    2582     64864  SH       SOLE                 64864
WASTE MANAGEMENT INC.             COM                         2444    140146  SH       SOLE                140146
WILLIAMS COS INC                  COM                         8303    196531  SH       SOLE                196531
CAPSTEAD MTG CORP $1.26 CONV P    PRD                          322     29650  SH       SOLE                 29650
LOEWEN GROUP CAP L PMONTHLY IN    PRD                            0     12404  SH       SOLE                 12404
MEDITRUST CORP PFD A DEP 1/10     PRD                          393     25536  SH       SOLE                 25536
NEWS CORP LTD SP ADR PFD          PRD                         7176    153080  SH       SOLE                153080
NIAGARA MOHAWK PWR CP PFD 4.10    PRD                          562      9944  SH       SOLE                  9944
</TABLE>

                          M&R Capital Managment, Inc.
                        40 Fulton Street, 8th Floor
                            New York, NY  10038



                                                       November 13, 2000


Securities and Exchange Commission
Washington, D.C.   20549

Gentlemen:

Pursuant to the requirements of the Securities Exchange Act of
1934, we are transmitting herewith the attached Form 13-F.


Sincerely,

M&R Capital Management, L.L.C.


Richard Diver

Richard Diver, Senior Vice President



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