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: __Catawba Capital Management _____________
Address: __Post Office Box 1180____________________
__Roanoke, VA 24006______________________
__________________________________________
13F File Number: 28-__7742____
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: __R. Jay Irons __________________________
Title: __Vice President ________________________
Phone: __540/342-1212 __________________________
Signature, Place, and Date of Signing:
____R. Jay Irons____________________ _____Roanoke, Virginia______
___5/11/99__
[Electronic Signature] [City, State] [Date]
Report Type (Check only one.):
[x ] 13F HOLDINGS REPORT. (Check here if all holdings of this reporting
manager are reported in this report.)
[ ] 13F NOTICE. (Check here if no holdings reported are in this report,
and
all holdings are reported by other reporting manager(s).)
[ ] 13F COMBINATION REPORT. (Check here if a portion of the holdings for
this reporting manager are reported in this report and a portion are
reported by other reporting manager(s).)
FORM 13F SUMMARY PAGE
Report Summary:
Number of Other Included Managers: _______0_______
Form 13F Information Table Entry Total: ______144______
Form 13F Information Table Value Total: $_____95,082____
(thousands)
List of Other Included Managers: NONE
- 1 -
<TABLE>
FORM 13F
INFORMATION TABLE
VALUE SHARES/ SH/
PUT/ INVSTMT OTHER VOTING AUTHORITY
NAME OF ISSUER TITLE OF CLASS CUSIP (x$1000) PRN AMT PRN
CALL DSCRETN MANAGERS SOLE SHARED NONE
- ------------------------------ ---------------- --------- -------- -------- ---
- ---- ------- ------------ -------- -------- --------
<S> <C> <C> <C> <C> <C>
<C> <C> <C> <C> <C> <C>
Appalachian Pwr Co Jr Sub Ser PFD 037735826 252 10000 SH
SOLE 10000
Pacific Telsis Fing II Torps 8 PFD 694889205 296 11621 SH
SOLE 11621
Public Storage Inc Pfd G 1/100 PFD 74460D885 221 8878 SH
SOLE 8878
AFLAC Inc Com COM 001055102 445 9298 SH
SOLE 9298
AT&T COM 001957109 1946 34870 SH
SOLE 34870
Abbott Labs COM 002824100 368 8100 SH
SOLE 8100
Alcoa Inc COM 022249106 851 13750 SH
SOLE 13750
Allied Signal COM 019512102 261 4150 SH
SOLE 4150
Am. Health Properties COM 026494104 295 14668 SH
SOLE 14668
Am. Home Products COM 026609107 1864 32480 SH
SOLE 32480
Am. Intl Group COM 026874107 2181 18601 SH
SOLE 18601
America Online Inc COM 02364J104 605 5500 SH
SOLE 5500
American Elec Pwr COM 025537101 201 5353 SH
SOLE 5353
Amgen Inc COM 031162100 791 13000 SH
SOLE 13000
Applied Matls Inc COM 038222105 344 4650 SH
SOLE 4650
Associates First Cap Cl A COM 046008108 218 4932 SH
SOLE 4932
Atlantic Richfield COM 048825103 435 5202 SH
SOLE 5202
BB&T Corp Com COM 291 7923 SH
SOLE 7923
BP Amoco PLC Sponsored ADR COM 501 4619 SH
SOLE 4619
Banc One Corp COM 059438101 216 3622 SH
SOLE 3622
Bank New York Inc COM 064057102 291 7928 SH
SOLE 7928
Bank of America Corp COM 066050105 370 5046 SH
SOLE 5046
Bassett Furniture Ind. COM 070203104 660 28872 SH
SOLE 28872
Baxter Intl Inc COM 071813109 844 13925 SH
SOLE 13925
Bell Atlantic Corp COM 077853109 684 10466 SH
SOLE 10466
BellSouth Corp COM 079860102 912 19769 SH
SOLE 19769
Boeing Co COM 097023105 1530 34775 SH
SOLE 34775
Bristol Myers COM 110122108 2404 34136 SH
SOLE 34136
Buckeye Partners LP COM 118230101 324 11791 SH
SOLE 11791
CBRL Group Inc COM 224100107 1108 63970 SH
SOLE 63970
CISCO Sys Inc COM 17275R102 947 14700 SH
SOLE 14700
Caterpillar Inc COM 149123101 288 4800 SH
SOLE 4800
Cedar Fair L P COM 150185106 202 8100 SH
SOLE 8100
Chevron COM 166751107 209 2200 SH
SOLE 2200
Circuit City Group COM 172737108 1796 19311 SH
SOLE 19311
Citigroup Inc Com COM 172967101 456 9595 SH
SOLE 9595
Coca Cola CO COM 191216100 632 10200 SH
SOLE 10200
Columbia Healthcare COM 197677107 494 21645 SH
SOLE 21645
Compaq COM 204493100 623 26290 SH
SOLE 26290
Dayton Hudson Corp COM 239753106 262 4025 SH
SOLE 4025
Deere & Co COM 244199105 245 6240 SH
SOLE 6240
Dell Computer Corp Com COM 247025109 303 8200 SH
SOLE 8200
Disney Walt Co COM 254687106 532 17273 SH
SOLE 17273
Dominion Resources COM 257470104 288 6656 SH
SOLE 6656
Dupont COM 263534109 511 7478 SH
SOLE 7478
E M C Corp COM 268648102 396 7200 SH
SOLE 7200
Edwards AG Inc COM 281760108 231 7165 SH
SOLE 7165
Electronic Data Sys Corp New COM 285661104 612 10801 SH
SOLE 10801
Eli Lilly COM 532457108 637 8900 SH
SOLE 8900
Emerson Electric COM 291011104 495 7870 SH
SOLE 7870
Enron Corp COM 293561106 691 8453 SH
SOLE 8453
Equity Residental Properties COM 29476l107 393 8724 SH
SOLE 8724
Exxon Corp COM 302290101 1399 18138 SH
SOLE 18138
Fannie Mae COM 313586109 1695 24829 SH
SOLE 24829
Federal Realty Invt Trust COM 313747206 201 8777 SH
SOLE 8777
Ferrellgas Partners LP COM 315293100 193 11413 SH
SOLE 11413
First American Corp TN COM 318900107 409 9834 SH
SOLE 9834
First Data Corp COM 319963104 720 14720 SH
SOLE 14720
First Union Corp COM 337358105 1076 22832 SH
SOLE 22832
First VA Banks Inc COM 337477103 520 10587 SH
SOLE 10587
Ford COM 345370100 1473 26106 SH
SOLE 26106
Fortune Brands Inc COM 223 5390 SH
SOLE 5390
GTE Corp COM 362320103 761 10078 SH
SOLE 10078
Gannett COM 364730101 525 7355 SH
SOLE 7355
General Electric COM 369604103 2860 25314 SH
SOLE 25314
Gillette Co COM 375766102 319 7790 SH
SOLE 7790
Halliburton Co COM 406216101 1602 35410 SH
SOLE 35410
Hewlett Packard COM 428236103 2404 23922 SH
SOLE 23922
IBM COM 459200101 4322 33441 SH
SOLE 33441
Imatron Inc COM 452906100 30 21000 SH
SOLE 21000
Insituform Technologies CL A COM 457667103 673 31100 SH
SOLE 31100
Intel COM 458140100 2034 34178 SH
SOLE 34178
JC Penney COM 708160106 339 6972 SH
SOLE 6972
Jager (H) Development Inc. COM 469905103 0 10000 SH
SOLE 10000
Johnson & Johnson COM 478160104 717 7314 SH
SOLE 7314
Kennametal Inc COM 489170100 324 10465 SH
SOLE 10465
Keycorp COM 493267108 573 17824 SH
SOLE 17824
Kimberly Clark COM 494368103 1528 26806 SH
SOLE 26806
LG&E Energy Corp COM 501917108 570 27135 SH
SOLE 27135
Liz Claiborne COM 539320101 515 14111 SH
SOLE 14111
Lockheed Martin Corp COM 539830109 924 24818 SH
SOLE 24818
Lowes Cos Inc COM 548661107 227 4000 SH
SOLE 4000
Lucent Technologies COM 549463107 588 8724 SH
SOLE 8724
Mattel Inc COM 577081102 438 16755 SH
SOLE 16755
McDonalds Corp COM 580135101 205 4988 SH
SOLE 4988
McGraw Hill Inc COM 580645109 232 4300 SH
SOLE 4300
Meditrust Corp-Paired Stock COM 58501T108 137 10481 SH
SOLE 10481
Merck & Co Inc COM 589331107 1932 26237 SH
SOLE 26237
Microsoft Corp COM 594918104 712 7900 SH
SOLE 7900
Mobil COM 607059102 1315 13314 SH
SOLE 13314
Monsanto COM 611662107 298 7540 SH
SOLE 7540
Motorola Inc COM 620076109 800 8440 SH
SOLE 8440
Nike Inc Cl B COM 654106103 281 4437 SH
SOLE 4437
Norfolk Southern Corp COM 655844108 569 18901 SH
SOLE 18901
Olsten Corp COM 681385100 240 38081 SH
SOLE 38081
Oracle Corp COM 68389X105 1263 34025 SH
SOLE 34025
Outback Steakhouse COM 689899102 1549 39409 SH
SOLE 39409
Penn Treaty Amern Corp COM 872 36240 SH
SOLE 36240
PepsiCo Inc COM 713448108 600 15500 SH
SOLE 15500
Pfizer COM 717081103 599 5500 SH
SOLE 5500
Philip Morris COM 718154107 478 11890 SH
SOLE 11890
Potash Corp Sask Inc COM 73755L107 647 12507 SH
SOLE 12507
Procter & Gamble Co COM 742718109 894 10020 SH
SOLE 10020
RADVA Corp COM 750610107 18 26000 SH
SOLE 26000
Roanoke Electric Steel COM 769841107 755 43451 SH
SOLE 43451
Roanoke Gas Co COM 769858101 233 11238 SH
SOLE 11238
Royal Dutch Pete Co NY Shrs COM 780257705 439 7280 SH
SOLE 7280
SBC Comm Inc. COM 78387G103 983 16948 SH
SOLE 16948
Schlumberger COM 806857108 425 6669 SH
SOLE 6669
Service Corp Intl COM 817565104 1912 99347 SH
SOLE 99347
SouthTrust Corp COM 844730101 273 7110 SH
SOLE 7110
Suntrust Bks Inc COM 867914103 1022 14720 SH
SOLE 14720
Texaco Inc Com COM 881694103 1457 23359 SH
SOLE 23359
United Dominion Realty COM 910197102 278 23700 SH
SOLE 23700
V F Corp COM 918204108 274 6420 SH
SOLE 6420
Vulcan Materials Co COM 929160109 355 7359 SH
SOLE 7359
Wal Mart Stores Inc COM 931142103 521 10792 SH
SOLE 10792
Warner Lambert Co COM 934488107 238 3450 SH
SOLE 3450
Waste Mgmt Inc Del Com COM 787 14648 SH
SOLE 14648
Whole Foods Mkt Inc COM 966837106 312 6500 SH
SOLE 6500
Xerox COM 984121103 570 9650 SH
SOLE 9650
Duff&Phelps Utils Income Fd MFUND 264324104 524 49350.592SH
SOLE 49350.592
Europe Fund MFUND 29874M103 179 10400.000SH
SOLE 10400.000
Fidelity Cash Reserves Fund MFUND 316067107 152 152371.470SH
SOLE 152371.470
First Australia Prime Fd MFUND 318653102 831 127823.015SH
SOLE 127823.015
Franklin Custodian Fds Income MFUND 29 12591.683SH
SOLE 12591.683
Govt Secs Income Fd Ut GNMA Se MFUND 383743499 1 15199.000SH
SOLE 15199.000
Greater China Fund MFUND 39167B102 220 22755.000SH
SOLE 22755.000
Income Fd Amer Inc MFUND 453320103 254 14395.081SH
SOLE 14395.081
Investment Co Amer MFUND 461308108 214 6230.065 SH
SOLE 6230.065
Investment Tr Scudder Grw & In MFUND 460965882 299 10255.884SH
SOLE 10255.884
Lord Abbett Affiliated Cl A MFUND 544001100 236 14160.597SH
SOLE 14160.597
MFS Mun Ser Tr Va Mun Bd A MFUND 55273N830 131 11612.475SH
SOLE 11612.475
Pioneer Fund MFUND 723682100 217 4540.403 SH
SOLE 4540.403
Putnam Premier Income Trust MFUND 746853100 77 10000.000SH
SOLE 10000.000
Rowe T Price Equity Inc Sh Ben MFUND 779547108 321 11017.654SH
SOLE 11017.654
Rowe T Price Intl Fds Intl Stk MFUND 77956h203 1924 123200.131SH
SOLE 123200.131
Scudder Growth & Income Fund MFUND 811167105 336 11537.499SH
SOLE 11537.499
Smith Barney Inter Mun MFUND 831802103 99 10400.000SH
SOLE 10400.000
Vanguard Fxd Inc Secs Intr Trm MFUND 106 11243.913SH
SOLE 11243.913
Vanguard Index 500 Fund MFUND 922908108 269 2121.316 SH
SOLE 2121.316
Vanguard Int-Trm U.S. Treasury MFUND 922031802 176 16827.570SH
SOLE 16827.570
Vanguard Wellington Fund MFUND 921935102 254 8199.222 SH
SOLE 8199.222
Windsor II Fund MFUND 922018205 617 18775.659SH
SOLE 18775.659
</TABLE>