MOWELL FINANCIAL GROUP N A CORP /FL
13F-HR, 2000-02-14
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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:  December 31, 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          February 10, 2000


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:               2

Form 13F Information Table Entry Total:               122

Form 13F Information Table Value Total:               $91,967



List of Other Included Managers:

No. 13F File Number          Name

01                 Carl G. Monson
02 John B. Mowell







<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












ACTV INC.
COM
00088E104
1069
23400
SH

SOLE
02
2000

21400
AFLAC CORP
COM
001055102
1529
32400
SH

SOLE
01 02
2000

30400
ALLIANCE CAPITAL MGMT HOLDNG
COM
01854810
434
14500
SH

SOLE
01 02


14500
ALLIANCE WORLD DOLLAR GOVT
FOREIGN
01879R106
163
18500
SH

SOLE
02


18500
ALLIANCE WRLD DOLLAR GOVT FD
FOREIGN
018796102
438
52700
SH

SOLE
01 02
2000

50700
ALLIED CAPITAL CORP
COM
01903Q108
932
50900
SH

SOLE
01 02
6000

44900
AMERICA ONLINE
COM
02364J104
1696
22352
SH

SOLE
01 02
4052

18300
AMERICAN EXPRESS CO
COM
025816109
998
6000
SH

SOLE
01 02
500

5500
AMERICAN INT'L GROUP
COM
026874107
638
5905
SH

SOLE
01 02
625

5280
ASIA PACIFIC WIRE & CABLE
FOREIGN
G0535E106
41
10000
SH

SOLE
02
10000


AT&T CO
COM
001957109
1998
39312
SH

SOLE
01 02
4136
35176
36676
AT&T LIBERTY MEDIA GRP A
COM
001957208
3621
63740
SH

SOLE
01 02
5240

58500
AUSTRALIA & NEW ZEALAND PFD
PFD
052528403
212
8500
SH

SOLE
01 02


8500
BB&T CORP
COM
054937107
359
13100
SH

SOLE
01 02


13100
BANK OF NEW YORK
COM
06405710
3632
90808
SH

SOLE
01 02
11008

79800
BERKSHIRE HATHAWAY
COM
08467010
281
5
SH

SOLE
02
2

3
BERKSHIRE HATHAWAY B
COM
084670207
493
269
SH

SOLE
01 02
50

219
BELLSOUTH CORP
COM
07986010
262
5600
SH

SOLE
01 02


5600
BIOCONTROL TECHNOLOGY INC.
COM
090586108
1
10000
SH

SOLE
02


10000
BIOTECH HOLDERS
COM
09067D201
431
3000
SH

SOLE
02
500

2500
BMC INDUSTRIES INC
COM
055607105
60
12209
SH

SOLE
01 02
1559

10650
BOTSWANA LTD ADR
FOREIGN
10134920
0
10000
SH

SOLE
02
10000


BRISTOL-MYERS SQUIBB
COM
110122108
2424
37764
SH

SOLE
01 02
8330

29434
CABLE & WIRELESS HKT LTD
FOREIGN
438579203
393
13502
SH

SOLE
02
2

13500
CAPITAL CITY BANK
COM
139674105
298
13841
SH

SOLE
02
13841


CARPENTER TECHNOLOGY CORP
COM
144285103
261
9500
SH

SOLE
01 02


9500
CISCO SYSTEMS INC
COM
17275R102
5019
46851
SH

SOLE
01 02
5627

41224
CITIGROUP INC
COM
172967101
1191
21385
SH

SOLE
01 02
1785

19600
CLECO CORP
COM
12561M107
385
12000
SH

SOLE
01 02
2000

10000
CMGI INC
COM
125750109
554
2000
SH

SOLE
02


2000
COCA-COLA CO
COM
19121610
437
7510
SH

SOLE
01 02


7510
COMMERCIAL NET LEASE RLTY
COM
202218103
792
79664
SH

SOLE
01 02
7914

71750
COMPAQ COMPUTER CORP
COM
204493100
980
36202
SH

SOLE
01 02
4002

32200
CONCURRENT COMPUTER CORP
COM
206710204
196
10500
SH

SOLE
02
1000

9500
COREL CORP
COM
21868Q109
333
22000
SH

SOLE
02
2000

20000
COUSINS PROPERTIES INC
COM
222795106
383
11300
SH

SOLE
02


11300
COX COMMUNICATIONS
COM
224044107
1578
30650
SH

SOLE
02
1500

29150
CROWN AMERICAN REALTY TR
COM
228186102
55
10000
SH

SOLE
02


10000
DREYFUS STRATEGIC MUNI INC
MF
261932107
150
20000
SH

SOLE
02


20000
DUFF & PHELPS UTIL BOND FD
COM
26432K108
723
62507
SH

SOLE
01 02
16007

46500
DUFF & PHELPS UTIL INCOME
COM
26432410
444
53484
SH

SOLE
01 02
17610

35874
DUFF & PHELPS UTIL TAX-FREE
COM
26432510
765
60897
SH

SOLE
01 02
31056

29841
EL PASO ENERGY CV PFD
CV PFD
283678209
814
16150
SH

SOLE
01 02
500

15650
EGLOBE
COM
282339100
53
12000
SH

SOLE
02


12000
EMC CORP
COM
268648102
3085
28240
SH

SOLE
01 02
2776

25464
FEDERAL HOME LOAN MTG
COM
313400301
1017
21601
SH

SOLE
02
1001

20600
FEDERAL NAT'L MTG ASSOC
COM
313400301
905
14501
SH

SOLE
01 02


14501
FERRELLGAS PTNR  LP
UNIT
315293100
758
60000
SH

SOLE
01 02
6000

54000
FLORIDA ROCK INDS
COM
341140101
1188
34500
SH

SOLE
02
2000

32500
FORD MOTOR CO
COM
345370100
3212
60258
SH

SOLE
01 02
4000

56258
GENERAL ELECTRIC CO
COM
36960410
1798
11041
SH

SOLE
01 02


11041
GENERAL MOTORS CORP
COM
370442105
240
3300
SH

SOLE
01 02


3300
GILLETTE CO
COM
375766102
206
5000
SH

SOLE
02


5000
GLAXO WELLCOME PLC
FOREIGN
37733W105
327
5850
SH

SOLE
01 02


5850
GLOBAL CROSSING LTD
FOREIGN
G3921A100
575
11500
SH

SOLE
02
2000

9500
GLOBALSTAR TELECOMMUNICATN
FOREIGN
G3930H104
268
6100
SH

SOLE
01 02


6100
GTE CORP
COM
36232010
315
4460
SH

SOLE
01 02


4460
HARLEY DAVIDSON INC
COM
412822108
577
9000
SH

SOLE
02


9000
HECLA MINING CO CM CF PFD
CV PFD
422704205
226
9450
SH

SOLE
01 02
500

8950
HERITAGE INTERMED GOV'T FUND
MF

249
27567
SH

SOLE
01 02
7313

20254
HOME DEPOT INC
COM
437076102
1343
19535
SH

SOLE
02
3185

16350
HOST MARRIOTT CORP
COM
44107P104
588
71300
SH

SOLE
01 02
14500

56800
INTEL CORP
COM
458140100
1622
19700
SH

SOLE
01 02
2600

17100
INT'L DATA CASTING
FOREIGN
45937P107
110
52000
SH

SOLE
02
50000

2000
JP MORGAN & CO
COM
616880100
253
2000
SH

SOLE
02


2000
JAVELIN SYSTEMS INC
COM
471896100
101
11000
SH

SOLE
02


11000
JOHNSON & JOHNSON INC
COM
478160104
248
2658
SH

SOLE
01 02
500

2158
KOREA EQUITY FUND
FOREIGN
50063B104
49
10000
SH

SOLE
02


10000
LEUCADIA NATIONAL CORP
COM
527288104
419
18100
SH

SOLE
01 02
2000

16100
LIBERTY COLONIAL TAX-EXEMPT
MF
196095103
133
10575
SH

SOLE
02


10575
LORAL SPACE & COMMUNICATN
COM
G56462107
7540
310124
SH

SOLE
01 02
23999

286125
LUCENT TECHNOLOGIES
COM
549463107
842
11227
SH

SOLE
01 02
1080

10147
MAGNUM HUNTER RESOURCES
COM
55972F203
46
16000
SH

SOLE
02
10000

6000
MAGNUM HUNTER RES WARRANTS
WTS
55972F120
13
70330
SH

SOLE
02
23332

46998
MARINE PETROLEUM TRUST
COM
568423107
349
23200
SH

SOLE
02
8000

15200
MCDONALDS CORP
COM
580135101
242
6000
SH

SOLE
02


6000
MEDITRUST
COM
58501T306
55
10000
SH

SOLE
01 02


10000
MESSAGEMEDIA INC
COM
590787107
813
57820
SH

SOLE
02
5020

52800
MFS MUNICIPAL BOND FUND
MF

120
12103
SH

SOLE
02


12103
MICROSOFT CORP
COM
594918104
330
2830
SH

SOLE
01 02
580

2250
MONTANA POWER CO
COM
612085100
1152
31950
SH

SOLE
01 02
2000

29950
NAT'L ENERGY GROUP
COM
635812100
2
66504
SH

SOLE
01 02
10004

56500
OBJECT DESIGN INC.
COM
 674416102
1718
118500
SH

SOLE
01 02
19000

99500
OILTEC INC
FOREIGN
677908105
150
240400
SH

SOLE
02
66000

174400
ORACLE CORP
COM
 68389X105
291
2600
SH

SOLE
01 02
500

2100
PARAMETRIC TECHNOLOGY CP
COM
699173100
601
22208
SH

SOLE
01 02
1002

21206
QWEST COMMUNICATIONS
COM
749121109
628
14600
SH

SOLE
01 02
2000

12600
RED HAT INC
COM
756577102
697
3300
SH

SOLE
02
600

2700
SAFEGUARD SCIENTIFIC INC
COM
786449108
326
2000
SH

SOLE
02


2000
SAN JUAN BASIN ROYALTY TR
COM
79824110
259
25000
SH

SOLE
02
5000

20000
SEALED AIR CORP CF PFD A
CV PFD
81211K209
828
16400
SH

SOLE
01 02
500

15900
SHELL TRANSPORT & TRDG
FOREIGN
82270360
872
17801
SH

SOLE
01 02
1001
16800
17800
SOUTHERN CO
COM
842587107
212
9000
SH

SOLE
02
2000

7000
ST JOE CORP
COM
790148100
399
16401
SH

SOLE
01 02
1401

15000
ST JUDE MEDICAL INC
COM
790849103
213
6950
SH

SOLE
01 02
100

6850
ST LUKES CV PFD
CV PFD

47
57500
SH

SOLE
02


57500
STANDARD REGISTER
COM
853887107
649
33500
SH

SOLE
01 02
5000

28500
SUBURBAN PROPANE PTNR LP
COM
864482104
405
23300
SH

SOLE
01 02
1000

22300
SUN MICROSYSTEMS INC
COM
866810104
1231
15900
SH

SOLE
01 02
3000

12900
SUNTRUST BANK INC
COM
86791410
1544
           22440
SH

SOLE
01 02


22440
SYNOVUS FINANCIAL
COM
87161C105
329
16550
SH

SOLE
01 02


16550
TCW CV SECURITIES FUND
COM
872340104
325
34000
SH

SOLE
01 02


34000
TECO ENERGY
COM
872375100
204
11000
SH

SOLE
01 02
2000

9000
TELULAR CORP
COM
87970T208
98
10300
SH

SOLE
02
500

9800
TEXAS INSTRUMENTS INC
COM
882508104
271
2800
SH

SOLE
01 02


2800
TIME WARNER INC
COM
887315109
658
9100
SH

SOLE
02
1000

8100
TYCO INTERNATIONAL LTD
COM
902124106
1720
44100
SH

SOLE
01 02
6600

37500
VANGUARD FL INSURED L-T
MF

213
20063
SH

SOLE
02
20063


VODAFONE AIRTOUCH PLC
FOREIGN
92857T107
2750
55562
SH

SOLE
02
4565

50997
WALGREEN CO
COM
93142210
1659
56702
SH

SOLE
01 02
2

56700
WELLS FARGO CO
COM
949746101
393
9721
SH

SOLE
02
1

9720
WILLIAMS COAL SEAM GAS
COM
969450105
554
88700
SH

SOLE
02
13000

75700
ZAMBA CORP
COM
988881108
1225
70500
SH

SOLE
01 02
13500

57000
ZIFF DAVIS INC
COM
989511100
320
20250
SH

SOLE
01 02


20250
ACM MANAGED DOLLAR INC FD
MF
000949107
84
10000
SH

SOLE
02


10000
ACM GOVT INCOME FUND
UT TR
000912105
80
12500
SH

SOLE
02
1508

10992
COLONIAL MUNI INCOME TR
MF

176
32000
SH

SOLE
02
10581

21419
GREENWICH STREET MUNI FD
MF
39701A107
107
11000
SH

SOLE
O2


11000
MUNICIPAL PARTNERS FUND
MF

120
11000
SH

SOLE
02


11000
KEMPER GOVT SECS TR UT
UT TR
488903568
6
23453
SH

SOLE
02


23453
VAN KAMPEN AM CP MUNI INC FD
UT TR
920932100
201
14459
SH

SOLE
01 02
5747

8712
KERR MCGEE SB CV DB 6.75%
CV DB
492386AL1
572
613500
PR
AMT

SOLE
01 02
47000

566500
</TABLE>


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