CATAWBA CAPITAL MANAGEMENT /VA
13F-HR, 1999-11-04
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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:  ______September 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:      ______128______

Form 13F Information Table Value Total:     $_____84,653____
                                      (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      280    11500 SH
     SOLE                    11500
Pacific Telsis Fing II Torps 8 PFD              694889205      302    12021 SH
     SOLE                    12021
Public Storage Inc Pfd G 1/100 PFD              74460D885      225     9683 SH
     SOLE                     9683
AFLAC Inc Com                  COM              001055102      347     8298 SH
     SOLE                     8298
AT&T                           COM              001957109     1578    36270 SH
     SOLE                    36270
Abbott Labs                    COM              002824100      297     8100 SH
     SOLE                     8100
Alcoa Inc                      COM              022249106      793    12777 SH
     SOLE                    12777
Allied Signal                  COM              019512102      249     4150 SH
     SOLE                     4150
Am. Health Properties          COM              026494104      293    14568 SH
     SOLE                    14568
Am. Home Products              COM              026609107     1339    32275 SH
     SOLE                    32275
Am. Intl Group                 COM              026874107     1896    21805 SH
     SOLE                    21805
America Online Inc             COM              02364J104      645     6200 SH
     SOLE                     6200
Amgen Inc                      COM              031162100     1027    12600 SH
     SOLE                    12600
Applied Matls Inc              COM              038222105      260     3350 SH
     SOLE                     3350
Atlantic Richfield             COM              048825103      434     4902 SH
     SOLE                     4902
BB&T Corp Com                  COM                             236     7284 SH
     SOLE                     7284
BP Amoco PLC Sponsored ADR     COM                             508     4583 SH
     SOLE                     4583
Bank New York Inc              COM              064057102      264     7910 SH
     SOLE                     7910
Bank of America Corp           COM              066050105      259     4646 SH
     SOLE                     4646
Bassett Furniture Ind.         COM              070203104      501    26372 SH
     SOLE                    26372
Baxter Intl Inc                COM              071813109      821    13626 SH
     SOLE                    13626
Bell Atlantic Corp             COM              077853109      731    10866 SH
     SOLE                    10866
BellSouth Corp                 COM              079860102      876    19469 SH
     SOLE                    19469
Boeing Co                      COM              097023105     1481    34747 SH
     SOLE                    34747
Bristol Myers                  COM              110122108     2252    33361 SH
     SOLE                    33361
Buckeye Partners LP            COM              118230101      318    11791 SH
     SOLE                    11791
CBRL Group Inc                 COM              224100107      937    60440 SH
     SOLE                    60440
CISCO Sys Inc                  COM              17275R102     1001    14600 SH
     SOLE                    14600
Caterpillar Inc                COM              149123101      263     4800 SH
     SOLE                     4800
Circuit City Group             COM              172737108     1409    33392 SH
     SOLE                    33392
Citigroup Inc Com              COM              172967101      422     9595 SH
     SOLE                     9595
Coca Cola CO                   COM              191216100      439     9100 SH
     SOLE                     9100
Columbia Healthcare            COM              197677107      427    20140 SH
     SOLE                    20140
Compaq                         COM              204493100      603    26341 SH
     SOLE                    26341
Dayton Hudson Corp             COM              239753106      242     4025 SH
     SOLE                     4025
Dell Computer Corp Com         COM              247025109      326     7800 SH
     SOLE                     7800
Disney Walt Co                 COM              254687106      457    17583 SH
     SOLE                    17583
Dominion Resources             COM              257470104      300     6659 SH
     SOLE                     6659
Dupont                         COM              263534109      457     7550 SH
     SOLE                     7550
E M C Corp                     COM              268648102      471     6600 SH
     SOLE                     6600
Electronic Data Sys Corp New   COM              285661104      545    10302 SH
     SOLE                    10302
Eli Lilly                      COM              532457108      568     8850 SH
     SOLE                     8850
Emerson Electric               COM              291011104      490     7750 SH
     SOLE                     7750
Enron Corp                     COM              293561106      662    16131 SH
     SOLE                    16131
Equity Residental Properties   COM              29476l107      370     8724 SH
     SOLE                     8724
Exxon Corp                     COM              302290101     1385    18223 SH
     SOLE                    18223
Fannie Mae                     COM              313586109     1491    23777 SH
     SOLE                    23777
First American Corp TN         COM              318900107      207     4756 SH
     SOLE                     4756
First Data Corp                COM              319963104      637    14520 SH
     SOLE                    14520
First Union Corp               COM              337358105     1074    30161 SH
     SOLE                    30161
First VA Banks Inc             COM              337477103      430     9865 SH
     SOLE                     9865
Ford                           COM              345370100     1261    25088 SH
     SOLE                    25088
GTE Corp                       COM              362320103      775    10075 SH
     SOLE                    10075
Gannett                        COM              364730101      498     7205 SH
     SOLE                     7205
General Electric               COM              369604103     2832    23889 SH
     SOLE                    23889
Gillette Co                    COM              375766102      264     7790 SH
     SOLE                     7790
Halliburton Co                 COM              406216101     1390    33900 SH
     SOLE                    33900
Hewlett Packard                COM              428236103     1971    21719 SH
     SOLE                    21719
IBM                            COM              459200101     3936    32531 SH
     SOLE                    32531
Imatron Inc                    COM              452906100       24    20000 SH
     SOLE                    20000
Insituform Technologies CL A   COM              457667103      699    27975 SH
     SOLE                    27975
Intel                          COM              458140100     2360    31754 SH
     SOLE                    31754
Jager (H) Development Inc.     COM              469905103        0    10000 SH
     SOLE                    10000
Johnson & Johnson              COM              478160104      650     7076 SH
     SOLE                     7076
Kennametal Inc                 COM              489170100      258     9965 SH
     SOLE                     9965
Keycorp                        COM              493267108      444    17220 SH
     SOLE                    17220
Kimberly Clark                 COM              494368103     1361    25809 SH
     SOLE                    25809
LG&E Energy Corp               COM              501917108      407    19135 SH
     SOLE                    19135
Liz Claiborne                  COM              539320101      425    13711 SH
     SOLE                    13711
Lockheed Martin Corp           COM              539830109      723    22118 SH
     SOLE                    22118
Lucent Technologies            COM              549463107      532     8200 SH
     SOLE                     8200
Mattel Inc                     COM              577081102      333    17520 SH
     SOLE                    17520
McDonalds Corp                 COM              580135101      216     4988 SH
     SOLE                     4988
McGraw Hill Inc                COM              580645109      208     4300 SH
     SOLE                     4300
McKesson HBOC Inc Com          COM                             878    30260 SH
     SOLE                    30260
Merck & Co Inc                 COM              589331107     1638    25277 SH
     SOLE                    25277
Microsoft Corp                 COM              594918104      670     7400 SH
     SOLE                     7400
Mobil                          COM              607059102     1286    12769 SH
     SOLE                    12769
Monsanto                       COM              611662107      269     7540 SH
     SOLE                     7540
Motorola Inc                   COM              620076109      699     7940 SH
     SOLE                     7940
Nike Inc Cl B                  COM              654106103      229     4022 SH
     SOLE                     4022
Norfolk Southern Corp          COM              655844108      414    16901 SH
     SOLE                    16901
Oracle Corp                    COM              68389X105     1409    30975 SH
     SOLE                    30975
Outback Steakhouse             COM              689899102      948    37237 SH
     SOLE                    37237
Penn Treaty Amern Corp         COM                             760    36420 SH
     SOLE                    36420
PepsiCo Inc                    COM              713448108      469    15373 SH
     SOLE                    15373
Pfizer                         COM              717081103      581    16200 SH
     SOLE                    16200
Philip Morris                  COM              718154107      388    11339 SH
     SOLE                    11339
Potash Corp Sask Inc           COM              73755L107      595    11525 SH
     SOLE                    11525
Procter & Gamble Co            COM              742718109      939    10020 SH
     SOLE                    10020
RADVA Corp                     COM              750610107       12    26000 SH
     SOLE                    26000
RGC Resources Inc              COM              74955l103      222    11238 SH
     SOLE                    11238
Roanoke Electric Steel         COM              769841107      760    43451 SH
     SOLE                    43451
Royal Dutch Pete Co NY Shrs    COM              780257705      489     8280 SH
     SOLE                     8280
SBC Comm Inc.                  COM              78387G103      852    16688 SH
     SOLE                    16688
Sara Lee Corp                  COM              803111103      202     8645 SH
     SOLE                     8645
Schlumberger                   COM              806857108      409     6569 SH
     SOLE                     6569
Service Corp Intl              COM              817565104     1115   105518 SH
     SOLE                   105518
SouthTrust Corp                COM              844730101      243     6767 SH
     SOLE                     6767
Suntrust Bks Inc               COM              867914103      830    12616 SH
     SOLE                    12616
Texaco Inc Com                 COM              881694103     1455    23045 SH
     SOLE                    23045
United Dominion Realty         COM              910197102      265    23700 SH
     SOLE                    23700
Unumprovident Corp             COM                            1027    34870 SH
     SOLE                    34870
Vulcan Materials Co            COM              929160109      352     9607 SH
     SOLE                     9607
Wal Mart Stores Inc            COM              931142103      504    10592 SH
     SOLE                    10592
Warner Lambert Co              COM              934488107      229     3450 SH
     SOLE                     3450
Waste Mgmt Inc Del Com         COM                             983    51074 SH
     SOLE                    51074
Xerox                          COM              984121103      531    12665 SH
     SOLE                    12665
Duff&Phelps Utils Income Fd    MFUND            264324104      497 51350.592SH
     SOLE                51350.592
Europe Fund                    MFUND            29874M103      168 10100.000SH
     SOLE                10100.000
Fidelity Cash Reserves Fund    MFUND            316067107       92 92047.960SH
     SOLE                92047.960
First Australia Prime Fd       MFUND            318653102      819 133756.015SH
     SOLE               133756.015
Franklin Custodian Fds Income  MFUND                            28 12719.943SH
     SOLE                12719.943
Govt Secs Income Fd Ut GNMA Se MFUND            383743499        1 15199.000SH
     SOLE                15199.000
Income Fd Amer Inc             MFUND            453320103      240 14401.662SH
     SOLE                14401.662
Investment Tr Scudder Grw & In MFUND            460965882      266 10307.883SH
     SOLE                10307.883
Lord Abbett Affiliated Cl A    MFUND            544001100      220 14212.657SH
     SOLE                14212.657
MFS Mun Ser Tr Va Mun Bd A     MFUND            55273N830      128 11612.475SH
     SOLE                11612.475
Pioneer Fund                   MFUND            723682100      204 4540.403 SH
     SOLE                 4540.403
Putnam Premier Income Trust    MFUND            746853100       69 10000.000SH
     SOLE                10000.000
Rowe T Price Equity Inc Sh Ben MFUND            779547108      293 11066.740SH
     SOLE                11066.740
Scudder Growth & Income Fund   MFUND            811167105      298 11576.575SH
     SOLE                11576.575
Smith Barney Inter Mun         MFUND            831802103       97 10400.000SH
     SOLE                10400.000
T. Rowe Price Intl Stock Fd    MFUND            77956h203     2018 124691.741SH
     SOLE               124691.741
Vanguard Index 500 Fund        MFUND            922908108      248 2095.197 SH
     SOLE                 2095.197
Vanguard Int-Trm U.S. Treasury MFUND            922031802      113 10847.684SH
     SOLE                10847.684
Vanguard Wellington Fund       MFUND            921935102      241 8263.945 SH
     SOLE                 8263.945
Windsor II Fund                MFUND            922018205      565 19905.652SH
     SOLE                19905.652
</TABLE>


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