UNITED STATES
SECURITIES AND
EXCHANGE COMMISSION
Washington, D.C. 20549
FORM 13F
FORM 13F COVER PAGE
Report for the Calendar Year of Quarter Ended: 06/30/00
Institutional Investment Manager Filing this Report:
Name: Awad Asset Management
Address: 250 Park Avenue, 2nd Floor
New York, NY 10177
13F File Number 28-7480
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: Alan Kovit
Title: Compliance Administrator
Phone: 727-573-3800
Report Type (Check only one):
______X______ 13F Holding Report
_____________ 13F Notice
_____________ 13F Combination Report
List of Other Managers Reporting for this Manager: 0
I am signing this report as required by the Securities Exchange
Act of 1934
FORM 13F SUMMARY PAGE
Report Summary:
Number of Other Included Managers: 0
Form 13F Information Table Entry Total: 56
Form 13F Information Table Value Total: $574,773 (in thousands)
List of Other Included Managers: 0
PAGE 1 FORM 13F: INFORMATION TABLE
DATE: 06/30/00
VALUE SHARES/
SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- -x$1000- PRN AMT
PRN CALL DSCRETN -MANAGERS- SOLE SHARED NONE
[C]
[C]
D AFFILIATED COMPUTER SERVICES EQUITIES 008190100 12692 383900 SH
SOLE 318050 0 65850
D AUDIBLE INCORPORATED EQUITIES 05069A104 6204 1492925 SH
SOLE 1167075 0 325850
D ANNUITY AND LIFE RE LTD EQUITIES G03910109 13117 535427 SH
SOLE 423402 0 112025
D ALASKA COMMUNICATIONS SYSTEMS EQUITIES 01167P101 9408 906825 SH
SOLE 695550 0 211275
D AMERICAN RETIREMENT CORPORATIO Convertible Bond 028913AA9 932 1480000
PRN SOLE 1330000 0 150000
D AMERICAN TOWER SYSTEMS EQUITIES 029912201 18805 451100 SH
SOLE 354150 0 96950
D ANCOR COMMUNICATIONS EQUITIES 03332K108 16810 470025 SH
SOLE 372700 0 97325
D ANGEION CORPORATION Convertible Bond 03462HAA5 276 500000
PRN SOLE 500000 0 0
D ASTEC INDUSTRIES INCORPORATED EQUITIES 046224101 6727 265125 SH
SOLE 179750 0 85375
D AVID TECHNOLOGY INCORPORATED EQUITIES 05367P100 9871 822650 SH
SOLE 653550 0 169100
D BARRA INCORPORATED EQUITIES 068313105 12689 256025 SH
SOLE 203275 0 52750
D BRADLEES INCORPORATED EQUITIES 104499207 8098 1439715 SH
SOLE 964900 0 474815
D CAPITAL CROSSING BANK EQUITIES 140071101 7638 745200 SH
SOLE 571450 0 173750
D CONVERGENT COMMUNICATIONS EQUITIES 211914106 430 20000 SH
SOLE 20000 0 0
D CORN PRODUCTS INTERNATIONAL EQUITIES 219023108 13823 521659 SH
SOLE 400507 0 121152
D COMPAQ COMPUTER INC EQUITIES 204493100 293 11500 SH
SOLE 11500 0 0
D COMMSCOPE INCORPORATED EQUITIES 203372107 6578 160450 SH
SOLE 125050 0 35400
D C-CUBE MICROSYSTEMS EQUITIES 12501N108 12113 617250 SH
SOLE 470225 0 147025
D DORAL FINANCIAL CORPORATION EQUITIES 25811P100 15826 1383694 SH
SOLE 1032145 0 351550
D DESCARTES SYSTEMS GROUP EQUITIES 249906108 11201 364275 SH
SOLE 292625 0 71650
D FYI INCORPORATED EQUITIES 302712104 3527 104700 SH
SOLE 101650 0 3050
D GETTY IMAGES INCORPORATED EQUITIES 374276103 444 12000 SH
SOLE 12000 0 0
D QUANTUM CORPORATION EQUITIES 747906303 23306 2106825 SH
SOLE 1600025 0 506800
D HARMONIC LIGHTWAVES EQUITIES 413160102 4026 162699 SH
SOLE 140778 0 21986
D HEALTH MANAGEMENT SYSTEMS EQUITIES 42219M100 5017 1605550 SH
SOLE 1272600 0 332950
D HOUGHTON MIFFLIN CO EQUITIES 441560109 25712 550739 SH
SOLE 409987 0 140750
D INVESTORS FINANCIAL SERVICES EQUITIES 461915100 26699 672750 SH
SOLE 625750 0 47000
D IRON MOUNTAIN INCORPORATED EQUITIES 462846106 13168 387300 SH
SOLE 300900 0 86400
D INVESTMENT TECHNOLOGY GROUP EQUITIES 46145F105 14387 364230 SH
SOLE 294330 0 69900
D WILEY,JOHN & SONS CL A EQUITIES 968223206 25881 1150311 SH
SOLE 917612 0 232700
D KAYDON CORP EQUITIES 486587108 13811 657701 SH
SOLE 501051 0 156650
D KORN FERRY INTERNATIONAL EQUITIES 500643200 22673 715550 SH
SOLE 595200 0 120350
D KRONOS INCORPORATED EQUITIES 501052104 2644 101700 SH
SOLE 94650 0 7050
D LTC PROPERTIES INCORPORATED EQUITIES 502175300 366 27050 SH
SOLE 27050 0 0
D LTC PROP INC CONV Convertible Bond 502175AF9 311 345000
PRN SOLE 335000 0 10000
D LTX CORPORATION EQUITIES 502392103 20783 594875 SH
SOLE 441725 0 153150
D MICROCHIP TECHNOLOGY INC EQUITIES 595017104 728 12500 SH
SOLE 12500 0 0
D MARTIN MARIETTA MATERIALS EQUITIES 573284106 9563 236501 SH
SOLE 180226 0 56275
D MAXTOR CORPORATION EQUITIES 577729205 7333 694250 SH
SOLE 591100 0 103150
D NEW HORIZONS WORLDWIDE EQUITIES 645526104 9939 427811 SH
SOLE 426137 0 1676
D NORTH FORK BANCORPORATION INC EQUITIES 659424105 9333 617092 SH
SOLE 457367 0 159725
D NOVA CORPORATION EQUITIES 669784100 15373 550275 SH
SOLE 429175 0 121100
D NEWELL RUBBERMAID INCORPORATED EQUITIES 651229106 304 11824 SH
SOLE 11824 0 0
D PRESIDENTIAL LIFE CORP EQUITIES 740884101 8618 621160 SH
SOLE 501560 0 119600
D PENTON MEDIA INCORPORATED EQUITIES 709668107 24934 712428 SH
SOLE 552379 0 160050
D POWER INTEGRATIONS EQUITIES 739276103 447 19000 SH
SOLE 19000 0 0
D PRINTRONIX INCORPORATED EQUITIES 742578107 6439 490625 SH
SOLE 433275 0 57350
D RESEARCH IN MOTION LIMITED EQUITIES 760975102 17268 381625 SH
SOLE 288000 0 93625
D S THREE INCORPORATED EQUITIES 784849101 14991 1016400 SH
SOLE 768050 0 248350
D SOUTHTRUST CORP EQUITIES 844730101 290 12851 SH
SOLE 12851 0 0
D STAR TEK EQUITIES 85569C107 15292 303575 SH
SOLE 221775 0 81800
PAGE 2 FORM 13F: INFORMATION TABLE
DATE: 06/30/00
VALUE SHARES/
SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- -x$1000- PRN AMT
PRN CALL DSCRETN -MANAGERS- SOLE SHARED NONE
[C]
[C]
D SILICON STORAGE TECHNOLOGY EQUITIES 827057100 19603 221975 SH
SOLE 165475 0 56500
D TRAVELERS P&C CAPITAL II EQUITIES 89420B209 251 11000 SH
SOLE 10200 0 800
D TELETECH HOLDINGS EQUITIES 879939106 11286 363350 SH
SOLE 263425 0 99925
D VENTIV HEALTH INCORPORATED EQUITIES 922793104 8855 796000 SH
SOLE 636300 0 159700
D ZEBRA TECHNOLOGY CORP CLASS A EQUITIES 989207105 7611 171760 SH
SOLE 121597 0 50163
S REPORT SUMMARY 56 DATA RECORDS 574773
0 OTHER MANAGERS ON WHOSE BEHALF REPORT IS FILED