LEHRER MANAGEMENT CO INC
13F-HR, 2000-08-09
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                                                   Lehrer Management Company, Inc.
                                                              FORM 13F
                                                            June 30, 2000

                                                                                                              Voting Authority
                                                                                                         --------------------------
                                                           Value   Shares/  Sh/ Put/ Invstmt    Other
        Name of Issuer          Title of class    CUSIP   (x$1000) Prn Amt  Prn Call Dscretn   Managers     Sole    Shared   None
------------------------------ ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- --------
<S>		               <C>
A T & T CORP.                  COM              001957109     1693 53533.9997SH      Sole                                 53533.9997
A X A FINANCIAL INC            COM              002451102      898 26400.0000SH      Sole                                 26400.0000
ABBOTT LABORATORIES            COM              002824100      236 5300.0000SH       Sole                                  5300.0000
ADAPTEC                        COM              00651F108      690 30350.0000SH      Sole                                 30350.0000
ADVANTA A                      COM              007942105      321 26300.0000SH      Sole                                 26300.0000
ALLSTATE INSURANCE             COM              020002101      521 23429.0000SH      Sole                                 23429.0000
AMBAC INC.                     COM              023139108      742 13535.0000SH      Sole                                 13535.0000
AMERICA ONLINE INC. DEL        COM              02364J104     3474 65853.0000SH      Sole                                 65853.0000
AMERICAN ELECTRIC POWER        COM              025537101      515 17377.0000SH      Sole                                 17377.0000
AMERICAN GEN CORP              COM              026351106      309 5063.0000SH       Sole                                  5063.0000
AMERICAN HOME PRODUCTS         COM              026609107      289 4916.0000SH       Sole                                  4916.0000
ANALOG DEVICES, INC.           COM              032654105      456 6000.0000SH       Sole                                  6000.0000
APPLIED MATERIALS              COM              038222105      281 3100.0000SH       Sole                                  3100.0000
ARIBA INC                      COM              04033v104      831 8480.0000SH       Sole                                  8480.0000
ATMEL CORP.                    COM              049513104     4934 133800.0000SH     Sole                                133800.0000
BAKER HUGHES INC.              COM              057224107      374 11700.0000SH      Sole                                 11700.0000
BANC ONE CORP.                 COM              06423a103      925 34837.0000SH      Sole                                 34837.0000
BANK OF NEW YORK               COM              064057102     1186 25503.7697SH      Sole                                 25503.7697
BANKAMERICA CORP.              COM              060505104      905 21054.0007SH      Sole                                 21054.0007
BELL ATLANTIC                  COM              077853109      982 19328.0000SH      Sole                                 19328.0000
BELLSOUTH                      COM              079860102     1299 30476.0000SH      Sole                                 30476.0000
BP AMOCO                       COM              055622104     3233 57163.0000SH      Sole                                 57163.0000
CABLETRON SYS INC              COM              126920107      595 23550.0000SH      Sole                                 23550.0000
CALLAWAY GOLF                  COM              131193104      529 32400.0000SH      Sole                                 32400.0000
CAROLINA POWER & LIGHT         COM              12614c106      284 8900.0000SH       Sole                                  8900.0000
CHARLES SCHWAB                 COM              808513105      892 26541.5269SH      Sole                                 26541.5269
CHASE MANHATTAN CORP.          COM              16161A108     1806 39198.0000SH      Sole                                 39198.0000
CHEVRON CORP.                  COM              166751107      367 4329.0009SH       Sole                                  4329.0009
CIENA CORP.                    COM              171779101     3896 23375.0000SH      Sole                                 23375.0000
CIGNA CORP.                    COM              125509109      482 5156.0007SH       Sole                                  5156.0007
CISCO SYSTEMS                  COM              17275R102     2128 33484.0000SH      Sole                                 33484.0000
CITIGROUP INC./C               COM              172967101     3238 53750.0000SH      Sole                                 53750.0000
COMERICA INC.                  COM              200340107      435 9691.0000SH       Sole                                  9691.0000
COMMUNITY BANK SYSTEMS         COM              203607106      209 9400.0000SH       Sole                                  9400.0000
COMPAQ COMPUTER                COM              204493100      745 29130.0000SH      Sole                                 29130.0000
CONEXANT SYSTEMS INC           COM              207142100     1357 27905.0000SH      Sole                                 27905.0000
CORSAIR COMMUNICATIONS         COM              220406102      722 25100.0000SH      Sole                                 25100.0000
DANA CORPORATION               COM              235811106      284 13400.0000SH      Sole                                 13400.0000
DIME BANCORP INC.              COM              25429Q102      638 40500.0000SH      Sole                                 40500.0000
DOMINION RESOURCES VA          COM              25746u109     1365 31846.0000SH      Sole                                 31846.0000
ELANTEC SEMICONDUCTOR, INC.    COM              284155108      209 3000.0000SH       Sole                                  3000.0000
ELECTRONICS FOR IMAGING        COM              286082102      585 23100.0000SH      Sole                                 23100.0000
EMC                            COM              268648102      369 4800.0000SH       Sole                                  4800.0000
EXTREME NETWORKS               COM              30226D106      920 8720.0000SH       Sole                                  8720.0000
FAIRCHILD SEMICONDUCTOR        COM              303726103     1158 28600.0000SH      Sole                                 28600.0000
FEDERAL NATIONAL MORTGAGE      COM              313586109      760 14567.0000SH      Sole                                 14567.0000
FEDERATED DEPARTMENT STORES    COM              31410h101      370 10950.0000SH      Sole                                 10950.0000
FIRST SECURITY CORP.           COM              336294104      231 17067.0000SH      Sole                                 17067.0000
FIRST UNION CO.                COM              337358105      886 35700.0000SH      Sole                                 35700.0000
FLEETBOSTON FINANCIAL CORP.    COM              339030108      407 11977.0000SH      Sole                                 11977.0000
FORD MOTOR CORP.               COM              345370100      462 10745.0000SH      Sole                                 10745.0000
FOUNDRY NETWORKS, INC          COM              35063r100      220 2000.0000SH       Sole                                  2000.0000
FRIEDE GOLDMAN HALTER          COM              358430106      390 43600.0000SH      Sole                                 43600.0000
GBC BANCORP.                   COM              361475106      257 8786.0000SH       Sole                                  8786.0000
GENERAL ELECTRIC               COM              369604103     1565 29530.0000SH      Sole                                 29530.0000
GENZYME                        COM              372917104     2901 48800.0000SH      Sole                                 48800.0000
GLOBAL CROSSING LIMITED        COM              G3921A100      320 12160.0000SH      Sole                                 12160.0000
GLOBAL MARINE                  COM              379352404     1336 47400.0000SH      Sole                                 47400.0000
GREATER BAY BANCORP            COM              391648102      447 9552.0000SH       Sole                                  9552.0000
GTE CORP.                      COM              362320103     1846 29660.0000SH      Sole                                 29660.0000
HEWLETT-PACKARD CO.            COM              428236103      251 2010.0000SH       Sole                                  2010.0000
HOUSEHOLD INTERNATIONAL        COM              441815107      399 9600.0000SH       Sole                                  9600.0000
HUDSON UNITED BANCORP          COM              444165104      466 20773.0000SH      Sole                                 20773.0000
IMPERIAL BANCORP               COM              452556103     2115 135899.0000SH     Sole                                135899.0000
INFORMIX                       COM              456779107     1631 219250.0000SH     Sole                                219250.0000
INTEL CORP.                    COM              458140100     1395 10437.0005SH      Sole                                 10437.0005
INTERNATIONAL BUSINESS MACHINE COM              459200101      769 7020.0697SH       Sole                                  7020.0697
INTERSIL HOLDING CORPORATION   COM              46069s109     1475 27275.0000SH      Sole                                 27275.0000
IVAX CORP                      COM              465823102      290 7000.0000SH       Sole                                  7000.0000
JDS UNIPHASE CORPORATION       COM              46612J101     1328 11075.0000SH      Sole                                 11075.0000
JUNIPER NETWORKS, INC          COM              48203r104      291 2000.0000SH       Sole                                  2000.0000
KLA INSTRUMENTS                COM              482480100      328 5600.0000SH       Sole                                  5600.0000
LEGATO SYSTEM INC              COM              524651106      603 39850.0000SH      Sole                                 39850.0000
LIGHTPATH TECHNOLOGIES INC     COM              532257102      460 11550.0000SH      Sole                                 11550.0000
LINCOLN NATIONAL CORP.         COM              534187109      484 13400.0000SH      Sole                                 13400.0000
LUCENT TECHNOLOGIES            COM              549463107     1416 23896.0000SH      Sole                                 23896.0000
MARCHFIRST, INC                COM              566244109      277 15202.0000SH      Sole                                 15202.0000
MBIA INC.                      COM              55262c100      463 9600.0000SH       Sole                                  9600.0000
MBNA                           COM              55262L100     1648 60750.0000SH      Sole                                 60750.0000
MCKESSON CORP                  COM              58155q103     1026 49000.0000SH      Sole                                 49000.0000
MEDIAONE GROUP                 COM              58440j104      943 13999.0000SH      Sole                                 13999.0000
MERCK & CO.                    COM              589331107      833 10870.0000SH      Sole                                 10870.0000
MGIC INVESTMENT                COM              552848103      491 10800.0000SH      Sole                                 10800.0000
MICROSOFT CORP.                COM              594918104      213 2667.0000SH       Sole                                  2667.0000
MIPS TECHNOLOGIES              COM              604567206      442 11472.0000SH      Sole                                 11472.0000
NEIMAN MARCUS GROUP            COM              640204202     1339 45300.0000SH      Sole                                 45300.0000
NEVADA FIRST BANK              COM                             120 10000.0000SH      Sole                                 10000.0000
NORTEL NETWORKS CORP           COM              656568102     2793 40930.0000SH      Sole                                 40930.0000
NSTAR                          COM              67019E107      356 8750.0000SH       Sole                                  8750.0000
OCCIDENTAL PETROLEUM           COM              674599105      376 17842.0000SH      Sole                                 17842.0000
OFFICEMAX                      COM              67622m108      198 39600.0000SH      Sole                                 39600.0000
ONI SYSTEMS CORP               COM              68273f103     1383 11800.0000SH      Sole                                 11800.0000
ORACLE CORP.                   COM              68389x105     2230 26524.0000SH      Sole                                 26524.0000
PARAMETRIC TECHNOLOGIES        COM              699173100      278 25315.0000SH      Sole                                 25315.0000
PENNEY JC CO INC               COM              708160106      372 20200.0000SH      Sole                                 20200.0000
PFIZER INC.                    COM              717081103      846 17615.0000SH      Sole                                 17615.0000
PMC-SIERRA                     COM              69344F106     3940 22172.0000SH      Sole                                 22172.0000
PNC FINANCIAL SERVICES GROUP   COM              693475105     2107 44953.0000SH      Sole                                 44953.0000
POLYCOM INC                    COM              73172K104      406 4320.0000SH       Sole                                  4320.0000
PRE-PAID LEGAL SERVICES        COM              740065107      762 25500.0000SH      Sole                                 25500.0000
PROCTER & GAMBLE               COM              742718109      213 3714.0009SH       Sole                                  3714.0009
QUALCOMM INC                   COM              747525103      543 9045.0000SH       Sole                                  9045.0000
RELIANT ENERGIES               COM              75952J108     1049 35500.0000SH      Sole                                 35500.0000
RIGGS NATIONAL CORP.           COM              766570105      173 13700.0000SH      Sole                                 13700.0000
SAN JOSE NATIONAL BANK         COM              784273104      489 17300.0000SH      Sole                                 17300.0000
SBC COMMUNICATIONS             COM              78387G103     2436 56335.0000SH      Sole                                 56335.0000
SCHERING PLOUGH CORP.          COM              806605101      414 8200.0000SH       Sole                                  8200.0000
SCOTTISH POWER ADS             COM              81013T705      247 7391.0000SH       Sole                                  7391.0000
SEARS ROEBUCK & CO.            COM              812387108      367 11239.0000SH      Sole                                 11239.0000
SILICON GRAPHICS               COM              827056102      347 92600.0000SH      Sole                                 92600.0000
SILICON VALLEY BANK            COM              827064106     4338 101760.0000SH     Sole                                101760.0000
SOUTHERN CO./SO                COM              842587107      420 18000.0000SH      Sole                                 18000.0000
SYCAMORE NETWORKS INC          COM              871206108     1300 11775.0000SH      Sole                                 11775.0000
SYMANTEC CORP                  COM              871503108     1637 30350.0000SH      Sole                                 30350.0000
T C F FINANCIAL CORP           COM              872275102      889 34600.0000SH      Sole                                 34600.0000
TELEGLOBE INC./TGO             COM              87941v100      301 14281.0000SH      Sole                                 14281.0000
TEXAS INSTRUMENTS              COM              882508104      247 3600.0000SH       Sole                                  3600.0000
TEXAS UTILITIES                COM              873168108      677 22950.0000SH      Sole                                 22950.0000
THREE COM                      COM              885535104      229 3970.0000SH       Sole                                  3970.0000
TIDEWATER INC.                 COM              886423102      893 24800.0000SH      Sole                                 24800.0000
U.S. WEST INC NEW              COM              91273h101     2155 25128.0000SH      Sole                                 25128.0000
UNUM CORP                      COM              91529y106      221 11000.0000SH      Sole                                 11000.0000
WELLPOINT HEALTH NETWORKS      COM              94973H108      201 2773.0000SH       Sole                                  2773.0000
WILMINGTON TRUST CORP.         COM              971807102      274 6400.0000SH       Sole                                  6400.0000
KRISTON MEDICAL INC.                                            25    25000 SH       Sole                                      25000
AMCAD FUND AMERICAN FUNDS                                      235 12447.022SH       Sole                                  12447.022
DFA INTERNATIONAL VALUE III                                    166 11850.131SH       Sole                                  11850.131
DFA US LARGE CAP VALUE III                                     153 10357.231SH       Sole                                  10357.231
PUTNAM INVESTORS A                              746809102      275 14719.756SH       Sole                                  14719.756
SCHWAB 1000 FUND SELECT SHARES                                1137 28311.912SH       Sole                                  28311.912
SCHWAB CA MUNI MONEY FD ADVANT                                  63 63054.840SH       Sole                                  63054.840
SCHWAB VALUE ADVANTAGE MONEY F                  808515605     3099 3098994.140SH     Sole                                3098994.140
VANGUARD 500 FUND                                              246 1831.627 SH       Sole                                   1831.627
REPORT SUMMARY                133 DATA RECORDS              123704            0 OTHER MANAGERS ON WHOSE BEHALF REPORT IS FILED



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