OAKWOOD CAPITAL MANAGEMENT LLC/CA
13F-HR, 1999-08-03
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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 holdings entries.

Institutional Investment Manager Filing this Report:
Name:    Oakwood Capital Management LLC
Address: 1901 Avenue of the Stars, Suite 390
         Los Angeles, CA  90067-6005



13F File Number: 28-7440

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:    Nicanor M. Mamaril
Title:   Executive Vice President, CFO & COO
Phone:   310-772-2600_
Signature, Place, and Date of Signing:

Nicanor M. Mamaril   Los Angeles, California  June 21, 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 SUMMARY PAGE


Report Summary:

Number of Other Included Managers:
Form 13F Information Table Entry Total:      82
Form 13F Information Table Value Total:       $143,826


List of Other Included Managers:

No.   13F File Number        Name





<PAGE>
<TABLE>                        <C>              <C>       <C>      <C>               <C>     <C>
                                                          FORM 13F INFORMATION TABLE
                                                           VALUE   SHARES/  SH/ PUT/ INVSTMT    OTHER          VOTING AUTORITY
NAME OF ISSUER                 TITLE OF CLASS   CUSIP NO  (x$1000) PRN AMT  PRN CALL DSCRETN  MANAGERS      SOLE    SHARED   NONE
- ------------------------------ ---------------- --------- -------- -------- --- ---- ------- -----------  -------- -------- --------

AES CORP CONV SUB DEB             4.500% 08-15-200130HAN5      249   200000 SH       DEFINED                     0        0   200000
AT&T CORP                      COM              001957109      553     9910 SH       DEFINED                   739        0     9171
ABERCROMBIE & FITCH CO. CL A   COM              002896207      881    18360 SH       DEFINED                   200        0    18160
AIRTOUCH COMM 4.25% PFD C      CV PRF STK       00949T308      820     5550 SH       DEFINED                   450        0     5100
ALZA CVT SUB DEB                  5.000% 05-01-2022615AD0      332   240000 SH       DEFINED                 20000        0   220000
AMERICAN HOME PRODUCTS CORP    COM              026609107     1868    32555 SH       DEFINED                  1400        0    31155
APPLIED MATERIALS INC          COM              038222105     2803    37944 SH       DEFINED                  1530        0    36414
ATLANTIC RICHFIELD CO          COM              048825103      893    10688 SH       DEFINED                   144        0    10544
AVON PRODS INC                 COM              054303102     4040    72792 SH       DEFINED                  3100        0    69692
BP AMOCO PLC ADRS              COM              055622104     2438    22466 SH       DEFINED                   928        0    21538
BANK NEW YORK COMPANY          COM              064057102     3503    95495 SH       DEFINED                  4550        0    90945
BANK ONE CORP (NEW)            COM              06423A103     3082    51737 SH       DEFINED                  2174        0    49563
BELLSOUTH CORP                 COM              079860102     1647    35701 SH       DEFINED                  1495        0    34206
BEST BUY COMPANY INC           COM              086516101     2990    44295 SH       DEFINED                  1735        0    42560
BEST FOODS                     COM              08658U101     2221    44865 SH       DEFINED                  2019        0    42846
BOSTON SCIENTIFIC              COM              101137107      440    10025 SH       DEFINED                   200        0     9825
CNF TRUST I 5% SER A CVT PFD   CV PRF STK       12612V205      326     5700 SH       DEFINED                     0        0     5700
CARNIVAL CORP CLASS A          COM              143658102     3734    76994 SH       DEFINED                  3050        0    73944
CHASE MANHATTAN CORP           COM              16161A108     4147    47941 SH       DEFINED                  2075        0    45866
CHEVRON CORP                   COM              166751107     2318    24386 SH       DEFINED                  1290        0    23096
CHIQUITA BRAND $2.875 CV PFD A CV PRF STK       170032403      221     6400 SH       DEFINED                   500        0     5900
CISCO SYSTEMS INC              COM              17275R102     3096    48045 SH       DEFINED                  2224        0    45821
CITIGROUP INC                  COM              172967101     1997    42034 SH       DEFINED                  1753        0    40281
CLEAR CHANNEL COMM.  CVT          2.625% 04-01-2184502AB8      247   195000 SH       DEFINED                 25000        0   170000
COMPUWARE CORP                 COM              205638109     2182    68605 SH       DEFINED                  2400        0    66205
CONSECO INC                    COM              208464107      787    25870 SH       DEFINED                   300        0    25570
CROWN LABORATORIES INC         COM              228392304       21  1396571 SH       DEFINED                     0        0  1396571
DELL COMPUTER CORP.            COM              247025109     2354    63634 SH       DEFINED                  2550        0    61084
DISNEY WALT CO (HOLDING CO)    COM              254687106     2764    89719 SH       DEFINED                  4275        0    85444
DOW CHEMICAL CO                COM              260543103     1619    12760 SH       DEFINED                   700        0    12060
EQUITY RESIDENTIAL 7.25% CV    PFD G            29476L859      288    12100 SH       DEFINED                   700        0    11400
GTE CORP                       COM              362320103     2717    35981 SH       DEFINED                  2085        0    33896
GAP INC.                       COM              364760108     2355    46745 SH       DEFINED                  2185        0    44560
GATEWAY INC (NEW)              COM              367626108     2291    38791 SH       DEFINED                  1675        0    37116
GENERAL ELECTRIC CO            COM              369604103     3027    26784 SH       DEFINED                  1205        0    25579
HILTON HOTELS CORP CVT            5.000% 05-15-2432848AL3      234   255000 SH       DEFINED                 20000        0   235000
HOME DEPOT INC                 COM              437076102     2684    41660 SH       DEFINED                  1640        0    40020
INTEL CORP                     COM              458140100     2645    44456 SH       DEFINED                  1850        0    42606
INTERNATIONAL BUSINESS MACHINE COM              459200101     4982    38546 SH       DEFINED                  1550        0    36996
JOHNSON & JOHNSON              COM              478160104     3325    33931 SH       DEFINED                  1825        0    32106
JONES APPAREL GROUP INC        COM              480074103      471    13725 SH       DEFINED                   350        0    13375
KANSAS CITY SOUTHERN INDS      COM              485170104     2674    41900 SH       DEFINED                  1705        0    40195
K-MART 7.75%/$3.875 CV PFD     CV PRF STK       498778208      410     7000 SH       DEFINED                   400        0     6600
100000THS KRUPP GOVT II        FUND             501150RDT        0    62856 SH       DEFINED                     0        0    62856
LEVEL ONE COMMUNICATIONS INC   COM              527295109      341     6960 SH       DEFINED                   300        0     6660
LILLY ELI & COMPANY            COM              532457108     2102    29345 SH       DEFINED                   600        0    28745
LUCENT TECHNOLOGIES            COM              549463107     2811    41686 SH       DEFINED                  1605        0    40081
MBNA CORP                      COM              55262L100      813    26547 SH       DEFINED                   400        0    26147
MCI WORLDCOM INC               COM              55268B106     3287    38191 SH       DEFINED                  1195        0    36996
MARSH & MCLENNAN COS INC       COM              571748102     3009    39761 SH       DEFINED                  1720        0    38041
MATTEL INC                     COM              577081102     1836    70287 SH       DEFINED                  3020        0    67267
MEDIAONE GROUP INC.            COM              58440J104     4239    56990 SH       DEFINED                  2280        0    54710
MEDNET MPC CORP                COM              58501B107        0    16000 SH       DEFINED                     0        0    16000
MICROSOFT CORP                 COM              594918104      383     4250 SH       DEFINED                     0        0     4250
MOBIL CORP                     COM              607059102     2514    25456 SH       DEFINED                   975        0    24481
NATIONAL DATA CORP CVT SUB NTS    5.000% 11-01-2635621AA3      327   316000 SH       DEFINED                 25000        0   291000
NOVELLUS SYSTEMS INC.          COM              670008101      392     5740 SH       DEFINED                   100        0     5640
ORACLE CORPORATION             COM              68389X105     2874    77412 SH       DEFINED                  2887        0    74525
PFIZER INC                     COM              717081103     3732    34239 SH       DEFINED                  1625        0    32614
PROCTER AND GAMBLE COMPANY     COM              742718109     2459    27548 SH       DEFINED                   955        0    26593
PROVIDIAN FIN'L CORP           COM              74406A102      670     7180 SH       DEFINED                   100        0     7080
QWEST COMMUNICATIONS INTL      COM              749121109      953    28825 SH       DEFINED                   250        0    28575
SCHERING PLOUGH CORP           COM              806605101     4181    79634 SH       DEFINED                  4010        0    75624
SCHLUMBERGER LTD.              COM              806857108     1457    22880 SH       DEFINED                   575        0    22305
SCHWAB (CHARLES) CORP          COM              808513105     1790    16420 SH       DEFINED                   100        0    16320
SEALED AIR CORP $2.00 CV PFD A CV PRF STK       81211K209      275     4400 SH       DEFINED                   300        0     4100
SOUTHDOWN, INC.                COM              841297104      979    15244 SH       DEFINED                   200        0    15044
STARBUCKS CORP                 COM              855244109      470    12505 SH       DEFINED                   200        0    12305
STARWOOD HOTELS & RES WRLDWIDE COM              85590A203     1086    35545 SH       DEFINED                   300        0    35245
SUN MICROSYSTEMS INC           COM              866810104     3826    55550 SH       DEFINED                  2725        0    52825
TJX COMPANIES INC              COM              872540109     1471    44150 SH       DEFINED                  1890        0    42260
TXI CAP TRUST I CV PFD         CV PRF STK       873119200      234     5900 SH       DEFINED                     0        0     5900
THERMO INSTRUMENT CV              4.000% 01-15-2883559AE6      225   275000 SH       DEFINED                     0        0   275000
TRIBUNE/LEARNING CO. 6.25%     CV PFD           896047206      318    11300 SH       DEFINED                   800        0    10500
TYCO INTL LTD (NEW)            COM              902124106     4789    50545 SH       DEFINED                  1825        0    48720
UNOCAL CORP                    COM              915289102      539    13595 SH       DEFINED                   250        0    13345
WASHINGTON MUTUAL INC          COM              939322103      330     9284 SH       DEFINED                   500        0     8784
WASTE MANAGEMENT INC           COM              94106L109     1797    33430 SH       DEFINED                   653        0    32777
WELLS FARGO & CO (NEW)         COM              949746101     3171    74178 SH       DEFINED                  3950        0    70228
WENDY'S FINANCING I TECONS 5%  CV PRF STK       950588202      339     5600 SH       DEFINED                   400        0     5200
CLAYTON WILLIAMS ENERGY INC    COM              969490101      451    75906 SH       DEFINED                     0        0    75906
ROYAL CARIBBEAN 7.25% CV PFD   CV PRF STK       V7780T111      680     5000 SH       DEFINED                   400        0     4600
</TABLE>


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