MOWELL FINANCIAL GROUP N A CORP /FL
13F-HR, 1999-07-15
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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:         Mowell Financial Group N.A. Corp.
Address: 407 East Sixth Avenue
         Tallahassee, FL  32303

13F File Number:

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:         Loanva B. Howell
Title:        Secretary/Treasurer
Phone:        850-386-6161
Signature, Place, and Date of Signing:

    Loanva B. Howell         Tallahassee, Florida          July 14, 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.



FORM 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:               3

Form 13F Information Table Entry Total:               123

Form 13F Information Table Value Total:               $96,292



List of Other Included Managers:

No. 13F File Number          Name

01                 Carl G. Monson
02                 John B. Mowell
03                 Don W. Reinhard






<TABLE>            <C>                           <C>
FORM 13F INFORMATION TABLE

NAME OF ISSUER
TITLE OF
CLASS
CUSIP
VALUE
(X$1000)
SHARES/
PRN AMT
SH/
PRN
PUT/
CALL
INVSTMT
DSCRETN
OTHER
MANAGERS

SOLE
VOTING
SHARED

NONE














ABBOTT LABORATORIES
COM
002824100
268
5900
SH

SOLE
01 02


5900

ABC BANCORP
COM
000400101
139
10500
SH

SOLE
02


10500

ACTV INC.
COM
00088E104
326
23500
SH

SOLE
02 03
1000

22500

AFLAC CORP
COM
001055102
1724
36002
SH

SOLE
01 02 03
1002

35000

ALLIANCE CAP MGMT LP
COM
01854810
549
17000
SH

SOLE
01 02


17000

ALLIANCE WORLD DOLLAR GOVT
FOREIGN
01879R106
288
25300
SH

SOLE
01 02


25300

ALLIANCE WRLD DOLLAR GOVT FD
FOREIGN
018796102
566
57700
SH

SOLE
01 02


57700

ALLIED CAPITAL CORP
COM
01903Q108
1058
44100
SH

SOLE
01 02


44100

AMERICA ONLINE
COM
02364J104
1963
17849
SH

SOLE
01 02 03
4599

13250

AMERICAN EXPRESS CO
COM
025816109
781
6002
SH

SOLE
02 03
502

5500

AMERICAN INT'L GROUP
COM
026874107
871
7425
SH

SOLE
02 03


7425

ANIKA THERAPEUTICS
COM
035255108
170
20000
SH

SOLE
01 02


20000

ASIA PACIFIC WIRE & CABLE
FOREIGN
G0535E106
44
10000
SH

SOLE
02


10000

AT&T CO
COM
001957109
2419
43336
SH

SOLE
01 02 03
8260

35076

AT&T LIBERTY MEDIA GRP A
COM
001957208
2523
68648
SH

SOLE
01 02 03
12198

56450

AUSTRALIA & NEW ZEALAND PFD
PFD
052528403
407
14900
SH

SOLE
01 02


14900

AUTO DATA PROCESSING
COM
053015103
383
8715
SH

SOLE
01 02 03
6715

2000

BB&T CORP
COM
054937107
803
21900
SH

SOLE
01 02


21900

BANK OF NEW YORK
COM
06405710
4635
126340
SH

SOLE
01 02 03
11353

114987

BANK OF AMERICA CORP
COM
06605F102
252
3435
SH

SOLE
02


3435

BARNES & NOBLE INC
COM
067774109
205
7500
SH

SOLE
02 03
1000

6500

BERKSHIRE HATHAWAY
COM
08467010
413
6
SH

SOLE
02


6

BERKSHIRE HATHAWAY B
COM
084670207
582
260
SH

SOLE
02


260

BELLSOUTH CORP
COM
07986010
286
6200
SH

SOLE
01 02


6200

BETHLEHEM STEEL CORP
COM
087509105
185
24000
SH

SOLE
01


24000

BMC INDUSTRIES INC
COM
055607105
183
17707
SH

SOLE
01 02
1557

16150

BOTSWANA LTD ADR
FOREIGN
10134920
0
10000
SH

SOLE
02


10000

BRISTOL-MYERS SQUIBB
COM
110122108
3219
45700
SH

SOLE
01 02 03
8476

37224

CAPITAL CITY BANK
COM
139674105
344
13772
SH

SOLE
02
13772



CARPENTER TECHNOLOGY CORP
COM
144285103
343
12000
SH

SOLE
01 02


12000

CHUBB CORP
COM

243
3500
SH

SOLE
02


3500

CISCO SYSTEMS INC
COM
17275R102
3641
56499
SH

SOLE
01 02 03
12684

43815

CITIGROUP INC
COM
172967101
1564
32923
SH

SOLE
01 02 03
8000

24923

CLECO CORP
COM
12561M107
441
14506
SH

SOLE
01 02 03
1006

13500

COCA-COLA CO
COM
19121610
438
7063
SH

SOLE
01 02
450

6613

COMMERCIAL NET LEASE RLTY
COM
202218103
1272
98828
SH

SOLE
01 02 03
1193

97635

COMPAQ COMPUTER CORP
COM
204493100
755
31850
SH

SOLE
01 02 03
1000

30850

COUSINS PROPERTIES INC
COM
222795106
382
11300
SH

SOLE
02


11300

CROWN AMERICAN REALTY TR
COM
228186102
73
10000
SH

SOLE
02


10000

DELL COMPUTER CORP
COM
247025109
366
9890
SH

SOLE
01 02 03
6540

3350

DISNEY WALT CO
COM
254687106
353
11465
SH

SOLE
01 02 03
8345

3120

DUFF & PHELPS UTIL BOND FD
COM
26432K108
1037
71500
SH

SOLE
01 02


71500

DUFF & PHELPS UTIL INCOME
COM
26432410
630
59313
SH

SOLE
01 02


59313

DUFF & PHELPS UTIL TAX-FREE
COM
26432510
905
55039
SH

SOLE
01 02


55039

EL PASO ENERGY CV PFD
CV PFD
283678209
908
18350
SH

SOLE
01 02


18350

EMC CORP
COM
268648102
2294
41717
SH

SOLE
01 02 03
2317

39400

EMS TECHNOLOGIES INC
COM
26873N108
1288
88811
SH

OTHER
01 02


88811

FDX CORP
COM
31304N107
244
4500
SH

SOLE
02


4500

FEDERAL HOME LOAN MTG
COM
313400301
1340
23100
SH

SOLE
02


23100

FEDERAL NAT'L MTG ASSOC
COM
313400301
1383
20268
SH

SOLE
01 02


20268

FEDERAL NAT'L MTG ASSOC
COM
313586109
395
5708
SH

SOLE
03
5708



FERRELLGAS PTNR  LP
UNIT
315293100
1154
68150
SH

SOLE
01 02


68150

FIRST UNION CORP
COM
337358105
542
11493
SH

SOLE
02


11493

FLORIDA ROCK INDS
COM
341140101
1593
35000
SH

SOLE
02


35000

FORD MOTOR CO
COM
345370100
3816
67615
SH

SOLE
01 02 03
1615

66000

FRONTIER CORP
COM
35906P105
226
3850
SH

SOLE
02
5

3850

GENERAL ELECTRIC CO
COM
36960410
1287
11632
SH

SOLE
01 02


11632

GENERAL MOTORS CORP
COM
370442105
284
4300
SH

SOLE
01 02


4300

GENERAL MOTORS CORP H
COM
370442832
253
4500
SH

SOLE
02


4500

GLAXO WELLCOME PLC
FOREIGN
37733W105
614
10850
SH

SOLE
01 02


10850

GLOBALSTAR TELECOMMUNICATN
FOREIGN
G3930H104
352
15200
SH

SOLE
02


15200

GTE CORP
COM
36232010
337
4460
SH

SOLE
01 02


4460

HARLEY DAVIDSON INC
COM
412822108
495
9100
SH

SOLE
02


9100

HECLA MINING CO CM CF PFD
CV PFD
422704205
393
13450
SH

SOLE
01 02


13450

HOLLINGER INT'L INC
COM
435569108
143
12000
SH

SOLE
02


12000

HOME DEPOT INC
COM
437076102
1211
18787
SH

SOLE
02 03
6187

12600

HONG KONG TELECOMM LMT
FOREIGN
438579203
377
14000
SH

SOLE
02


14000

IMAX CORP
COM
45245E109
244
10850
SH

SOLE
02


10850

INTEL CORP
COM
458140100
1616
27160
SH

SOLE
01 02 03
5560

21600

INT'L DATA CASTING
FOREIGN
45937P107
14
50000
SH

SOLE
02


50000

JP MORGAN & CO
COM
616880100
422
3000
SH

SOLE
02


3000

JOHNSON & JOHNSON INC
COM
478160104
407
4158
SH

SOLE
01 02


4158

KOREA EQUITY FUND
FOREIGN
50063B104
58
11000
SH

SOLE
02


11000

LEUCADIA NATIONAL CORP
COM
527288104
472
18600
SH

SOLE
01 02


18600

ELI LILLY & CO
COM
532457108
634
8846
SH

SOLE
01 02 03
5696

3150

LORAL SPACE & COMMUNICATN
COM
G56462107
5716
317582
SH

SOLE
01 02 03
12961

304621

LUCENT TECHNOLOGIES
COM
549463107
1118
16584
SH

SOLE
01 02 03
6523

10061

MAGNUM HUNTER RESOURCES
COM
55972F203
65
17000
SH

SOLE
02


17000

MARINE PETROLEUM TRUST
COM
568423107
211
14500
SH

SOLE
02


14500

MCDONALDS CORP
COM
580135101
289
7020
SH

SOLE
02


7020

MCI WORLDCOM
COM
55268B106
454
5273
SH

SOLE
02 03
4873

400

MEDTRONIC INC
COM
585055106
218
2800
SH

SOLE
02


2800

MERCK & CO INC
COM
589331107
405
5507
SH

SOLE
01 02 03
3305

2202

MESSAGEMEDIA INC
COM
590787107
1319
69420
SH

SOLE
01 02


69420

MICRON ELECTRONICS INC
COM
595100108
252
25000
SH

SOLE
01 02


25000

MICROSOFT CORP
COM
594918104
731
8106
SH

SOLE
01 02 03
4406

3700

MONSANTO CO
COM
611662107
243
6150
SH

SOLE
01 02


6150

MONTANA POWER CO
COM
612085100
1216
17250
SH

SOLE
01 02


17250

NAVISTAR INT'L CORP
COM
63934E108
275
5500
SH

SOLE
01 02


5500

NAT'L ENERGY GROUP
COM
635812100
6
80000
SH

SOLE
01 02


80000

NEVADA POWER CO
COM
641423108
425
17000
SH

SOLE
01 02


17000

OILTEC INC
FOREIGN
677908105
194
262400
SH

SOLE
01 02


262400

PAGING NETWORK INC
COM
695542100
270
56106
SH

SOLE
01 02 03
1206

54900

PARAMETRIC TECHNOLOGY CP
COM
699173100
749
54000
SH

SOLE
01 02


54000

PFIZER INC
COM
717081103
1044
9576
SH

SOLE
01 03
8226

1350

PHILIP MORRIS COS
COM
718154107
330
8213
SH

SOLE
02 03
5038

3175

R&B FALCON CORP
COM
74912E101
111
11826
SH

SOLE
01 02


11826

SAN JUAN BASIN ROYALTY TR
COM
79824110
215
26500
SH

SOLE
02


26500

SCHLUMBERGER LTD
COM
806857108
207
3250
SH

SOLE
01 02


3250

SEALED AIR CORP CF PFD A
CV PFD
81211K209
1213
19400
SH

SOLE
01 02


19400

SHELL TRANSPORT & TRDG
FOREIGN
82270360
918
19800
SH

SOLE
01 02


19800

SOUTHERN CO
COM
842587107
239
9000
SH

SOLE
02


9000

ST JOE CORP
COM
790148100
373
13800
SH

SOLE
01 02


13800

ST LUKES CV PFD
CV PFD

49
57500
SH

SOLE
02


57500

SUBURBAN PROPANE PTNR LP
COM
864482104
484
24800
SH

SOLE
01 02


24800

SUNTRUST BANK INC
COM
86791410
1892
27260
SH

SOLE
01 02


27260

SYNOVUS FINANCIAL
COM
87161C105
392
19737
SH

SOLE
01 02


19737

TCW CV SECURITIES FUND
COM
872340104
368
37300
SH

SOLE
01 02


37300

TIME WARNER INC
COM
887315109
1046
14400
SH

SOLE
02


11400

TYCO INTERNATIONAL LTD
COM
902124106
1682
17750
SH

SOLE
02


19000

UNITED INDUSTRIAL CORP
COM
910671106
120
10900
SH

SOLE
01 02


10900

VODAFONE AIRTOUCH PLC
FOREIGN
92857T107
1919
9742
SH

SOLE
02


9742

WALGREEN CO
COM
93142210
1724
58700
SH

SOLE
01 02


58700

WASTE MANAGEMENT
COM
902917103
300
5582
SH

SOLE
02


5582

WELLS FARGO CO
COM
949746101
467
10920
SH

SOLE
02


10920

WILLIAMS COAL SEAM GAS
COM
969450105
886
84900
SH

SOLE
01 02


84900

XEROX CORP
COM
984121103
514
8700
SH

SOLE
01 02


8700

ZIFF DAVIS INC
COM
989511100
1721
113300
SH

SOLE
01 02 03
1000

112300

ZINDART LTD SPONSORED ADR
FOREIGN
989597109
136
15500
SH

SOLE
02


15500

ACM GOVT INCOME FUND
UT TR
000912105
105
12500
SH

SOLE
02


12500

KEMPER GOVT SECS TR UT
UT TR
488903568
7
23453
SH

SOLE
02


23453

ADAPTIVE BROADBAND 5.25%
CV DB
130442AA4
245
270037
PR AMT

SOLE
02


270037

KERR MCGEE SB CV DB 6.75%
CV DB
492386AL1
604
610500
PR AMT

SOLE
01 02


610500

</TABLE>


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