AWAD ASSET MANAGEMENT INC
13F-HR, 2000-08-10
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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 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



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