FORM 13F
FORM 13F COVER PAGE
Report for the Quarter Ended: March 31, 2000
Institutional Manager Filing this Report:
Name: John P. O'Brien Investment Management, Inc.
Address: 5705 Old Chester Road
Bethesda, MD 20817
13F File Number: 28-7814
The institutional investment manager filing this reprt 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: John P. O'Brien
Title: President
Phone: 703-289-2046
Signature, Place and Date of Signing:
/JOHN P. O'BRIEN, Bethesda, MD, June 12, 2000
Report Type: 13F HOLDINGS REPORT
List of Other Managers Reporting for this Manager: No Others
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FORM 13F SUMMARY PAGE
Report Summary:
Number of Other Included Managers: 0
Form 13F Information Table Entry Total: 243
Form 13F Information Table Value Total (x$1000): $333,431
List of Other Included Managers: No Others
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<TABLE> <C> <C>
FORM 13F INFORMATION TABLE
VALUE SHARES/ INVEST OTHER VOTING
NAME CLASS SYM (x$1000)PRN AMT DSCRET MGRS AUTH
ABBOTT LAB COM ABT 3568 101414 SH SOLE N/A NONE
ACE LTD COM ACL 1251 54709 SH SOLE N/A NONE
AEGON COM AEG 181 2254 SH SOLE N/A NONE
AETNA INC COM AET 519 9368 SH SOLE N/A NONE
AFLAC COM AFL 1376 30215 SH SOLE N/A NONE
AG EDWARDS COM AGE 78 1950 SH SOLE N/A NONE
AGILENT TECHNOLOGIES COM A 1040 10000 SH SOLE N/A NONE
ALBERTSONS COM ABS 164 5315 SH SOLE N/A NONE
ALLIANCE CAPITAL MGMT COM AC 2770 66870 SH SOLE N/A NONE
ALLSTATE COM ALL 307 12900 SH SOLE N/A NONE
ALLTRISTA CORP COM ALC 5 250 SH SOLE N/A NONE
ALUMINUM CO OF AMERICA COM AA 3001 42720 SH SOLE N/A NONE
ALZA COM AZA 1059 28200 SH SOLE N/A NONE
AMEREN CORP COM AEE 49 1605 SH SOLE N/A NONE
AMERICA ONLINE COM AOL 6047 89674 SH SOLE N/A NONE
AMERICAN EXPRESS COM AXP 4850 32570 SH SOLE N/A NONE
AMERICAN GENERAL COM AGC 89 1602 SH SOLE N/A NONE
AMERICAN HOME PRODUCTS COM AHP 1660 30901 SH SOLE N/A NONE
AMERICAN INTL GROUP INC COM AIG 1536 14031 SH SOLE N/A NONE
AMERICAN MGMT SYSTEMS COM AMSY 438 10000 SH SOLE N/A NONE
AMERICAN TEL AND TEL COM T 4373 77670 SH SOLE N/A NONE
AMGEN INC COM AMGN 2553 41600 SH SOLE N/A NONE
AMR CORP COM AMR 610 19149 SH SOLE N/A NONE
ANHEUSER BUSCH COS INC COM BUD 537 8630 SH SOLE N/A NONE
APPLIED MATERIALS COM AMAT 3792 40240 SH SOLE N/A NONE
ASSTS FIRST CAP CORP COM AFS 341 15983 SH SOLE N/A NONE
ATLANTIC RICHFIELD COM ARC 1132 13318 SH SOLE N/A NONE
BANK OF AMERICA COM BAC 5114 97539 SH SOLE N/A NONE
BANK OF NEW YORK COM BK 20 500 SH SOLE N/A NONE
BANKONE CORP COM ONE 2092 60645 SH SOLE N/A NONE
BB AND T CORP COM BBT 34 1214 SH SOLE N/A NONE
BEAR STEARNS COS INC COM BSC 454 9963 SH SOLE N/A NONE
BED BATH AND BEYOND COM BBBY 69 1771 SH SOLE N/A NONE
BELL ATLANTIC COM BEL 582 9530 SH SOLE N/A NONE
BERKSHIRE HATHAWAY COM BRKA 2631 46 SH SOLE N/A NONE
BIOGEN INCORPORATED COM BGEN 27 400 SH SOLE N/A NONE
BLACK AND DECKER COM BDK 37 1000 SH SOLE N/A NONE
BOEING COM BA 1829 48375 SH SOLE N/A NONE
BOSTON SCIENTIFIC COM BSX 511 24000 SH SOLE N/A NONE
BP AMOCO COM BPA 3695 69407 SH SOLE N/A NONE
BRISTOL MEYERS COM BMY 1883 32479 SH SOLE N/A NONE
BROCADE COM BRCD 1075 6000 SH SOLE N/A NONE
BTG INC COM BTGI 25 2700 SH SOLE N/A NONE
CALLAWAY GOLF COM ELY 374 24135 SH SOLE N/A NONE
CANADIAN NATL RAILWAY COM CNI 91 3418 SH SOLE N/A NONE
CAPITAL ONE FINANCIAL COM COF 1453 30327 SH SOLE N/A NONE
CARDINAL HEALTH COM CAH 524 11427 SH SOLE N/A NONE
CARRAMERICA REALTY CORP COM CRE 1381 64999 SH SOLE N/A NONE
CASEYS GEN STORES INC COM CASY 130 12000 SH SOLE N/A NONE
CATERPILLAR COM CAT 872 22130 SH SOLE N/A NONE
CBS COM CBS 244 4325 SH SOLE N/A NONE
CENDANT COM CD 633 34224 SH SOLE N/A NONE
CHASE MANHATTEN BANK COM CMB 4324 49602 SH SOLE N/A NONE
CHEVRON COM CHV 1424 15407 SH SOLE N/A NONE
CHOICEPOINT COM CPS 59 1580 SH SOLE N/A NONE
CIRCLE.COM COM CIRC 0 8 SH SOLE N/A NONE
CIRCUIT CITY COM CC 363 5974 SH SOLE N/A NONE
CISCO SYSTEMS COM CSCO 12715 164464 SH SOLE N/A NONE
CITIGROUP COM C 3448 57592 SH SOLE N/A NONE
COASTAL CORP COM CGP 92 2000 SH SOLE N/A NONE
COCA COLA COM KO 3047 64933 SH SOLE N/A NONE
COLUMBIA HEALTHCARE/HCA COM COL 1192 47091 SH SOLE N/A NONE
COMERICA COM CMA 164 3923 SH SOLE N/A NONE
COMPAQ COM CPQ 18 700 SH SOLE N/A NONE
COMPAQ COMPUTER COM CPQ 1735 64284 SH SOLE N/A NONE
COMPUTER ASSOCIATES INT'L COM CA 39 675 SH SOLE N/A NONE
CONSECO COM CNC 601 52546 SH SOLE N/A NONE
CONSTELLATION ENERGY COM CEG 30 959 SH SOLE N/A NONE
COUNTRYWIDE CREDIT COM CCR 138 5100 SH SOLE N/A NONE
COVENTRY CORP COM CVTY 85 10000 SH SOLE N/A NONE
CYTYC COM CYTC 1830 37938 SH SOLE N/A NONE
DAIMLERCHRYSLER COM DCX 1685 25759 SH SOLE N/A NONE
DANA CORP COM DCN 39 1400 SH SOLE N/A NONE
DEERE COM DE 726 19115 SH SOLE N/A NONE
DELL COMPUTER COM DELL 4985 92428 SH SOLE N/A NONE
DELPHI AUTOMOTIVE COM DPH 429 26823 SH SOLE N/A NONE
DIONEX CORP COM DNEX 606 18420 SH SOLE N/A NONE
DOMINION RESOURCES COM D 162 4228 SH SOLE N/A NONE
DOVER CORP COM DOV 124 2606 SH SOLE N/A NONE
DOW CHEMICAL COM DOW 45 400 SH SOLE N/A NONE
DUKE ENERGY CORP COM DUK 239 4571 SH SOLE N/A NONE
DUPONT COM DD 1196 22609 SH SOLE N/A NONE
EASTMAN KODAK COM EK 599 11045 SH SOLE N/A NONE
EATON CORP COM ETN 42 550 SH SOLE N/A NONE
EMC CORP COM EMC 2615 20756 SH SOLE N/A NONE
EQUIFAX COM EFX 214 8500 SH SOLE N/A NONE
EQUITY RESIDENTIAL PPTY COM EQR 212 5300 SH SOLE N/A NONE
EXXON MOBIL COM XOM 2381 30556 SH SOLE N/A NONE
F & M NATL CORP COM FMN 13 618 SH SOLE N/A NONE
FANNIE MAE COM FNM 5517 97538 SH SOLE N/A NONE
FDX CORP COM FDX 390 10070 SH SOLE N/A NONE
FIRST HEALTH GROUP COM FHCC 126 4000 SH SOLE N/A NONE
FIRST UNION CORP COM FTU 793 21307 SH SOLE N/A NONE
FIRST VIRGINIA BANK COM FVB 1954 52031 SH SOLE N/A NONE
FIRSTAR CORP COM FSR 209 9120 SH SOLE N/A NONE
FLEETBOSTON COM FBF 514 14106 SH SOLE N/A NONE
FORD COM F 2137 46527 SH SOLE N/A NONE
FREDDIE MAC COM FRE 5423 122745 SH SOLE N/A NONE
FURNITURE BRANDS COM FBN 15 800 SH SOLE N/A NONE
G T E CORP COM GTE 724 10202 SH SOLE N/A NONE
GATEWAY COM GTW 2721 51298 SH SOLE N/A NONE
GENERAL DYNAMICS COM GD 10 214 SH SOLE N/A NONE
GENERAL ELECTRIC COM GE 7723 49626 SH SOLE N/A NONE
GENERAL MOTORS COM GM 3211 38779 SH SOLE N/A NONE
GEORGIA PACIFIC COM GP 633 16000 SH SOLE N/A NONE
GEORGIA PACIFIC-TIMBER COM TGP 205 8000 SH SOLE N/A NONE
GILLETTE COM G 1042 27663 SH SOLE N/A NONE
GLAXO HOLDINGS PLC COM GLX 630 10993 SH SOLE N/A NONE
GOODYEAR TIRE COM GT 646 27728 SH SOLE N/A NONE
GUIDANT CORP COM GDT 2158 36656 SH SOLE N/A NONE
HALLIBURTON COM HAL 1088 26476 SH SOLE N/A NONE
HEALTH MANAGEMENT ASSTS COM HMA 1675 117571 SH SOLE N/A NONE
HEALTHCARE PROPERTY COM HCP 279 11000 SH SOLE N/A NONE
HEALTHCARE REALTY TRUST COM HR 680 40656 SH SOLE N/A NONE
HEWLETT PACKARD COM HWP 5072 38177 SH SOLE N/A NONE
HIGHWOOD PROPERTIES COM HIW 19 900 SH SOLE N/A NONE
HOME DEPOT COM HD 1535 23813 SH SOLE N/A NONE
HOMEFED CORP COM HFCP 3 5863 SH SOLE N/A NONE
HONEYWELL INTL COM HON 1931 36657 SH SOLE N/A NONE
HOSPITALITY PROPERTIES COM HPT 20 1000 SH SOLE N/A NONE
HOST MARRIOTT COM HMT 62 7000 SH SOLE N/A NONE
HUSSMAN INTL COM HSM 38 3000 SH SOLE N/A NONE
I B P INC COM IBP 28 1800 SH SOLE N/A NONE
IBM COM IBM 6740 57120 SH SOLE N/A NONE
ILLINOIS TOOL WORKS COM ITW 74 1350 SH SOLE N/A NONE
INTEL COM INTC 35954 272512 SH SOLE N/A NONE
INTERNATIONAL PAPER COM IP 1021 23900 SH SOLE N/A NONE
JOHNSON AND JOHNSON COM JNJ 1660 23641 SH SOLE N/A NONE
K MART COM KM 81 8400 SH SOLE N/A NONE
KEMPER HIGH INCOME TRUST SHARES BENEFICIAL INTEREST COM KHI 30 3781 SH SOLE N/A NONE
KEYCORP COM KEY 163 8622 SH SOLE N/A NONE
LANCASTER COLONY COM LANC 110 3601 SH SOLE N/A NONE
LILLY ELI & CO COM LLY 2189 34965 SH SOLE N/A NONE
LINCARE HOLDINGS COM LNCR 62 2200 SH SOLE N/A NONE
LIZ CLAIBORNE COM LIZ 50 1100 SH SOLE N/A NONE
LOCKHEED MARTIN COM LMT 3 182 SH SOLE N/A NONE
LOWES COM LOW 1702 29170 SH SOLE N/A NONE
LUCENT TECHNOLOGIES COM LU 4437 72441 SH SOLE N/A NONE
MANPOWER INC COM MAN 33 950 SH SOLE N/A NONE
MARRIOTT INT COM MAR 34 1081 SH SOLE N/A NONE
MAXIM INTEGRATED PRODUCTS COM MXIM 13352 187898 SH SOLE N/A NONE
MBIA COM MBI 104 2000 SH SOLE N/A NONE
MBNA CORP COM KRB 634 24899 SH SOLE N/A NONE
MCDONALDS COM MCD 1356 36284 SH SOLE N/A NONE
MCI WORLDCOM COM WCOM 919 20300 SH SOLE N/A NONE
MEDIAONE GROUP COM UMG 243 3000 SH SOLE N/A NONE
MEDITRUST COM MT 1 1029 SH SOLE N/A NONE
MEDTRONIC COM MDT 4067 79073 SH SOLE N/A NONE
MERCK AND COMPANY COM MRK 4216 67865 SH SOLE N/A NONE
MERRILL LYNCH & CO INC COM MER 4099 39043 SH SOLE N/A NONE
MGIC INVESTMENT CORP COM MTG 89 2050 SH SOLE N/A NONE
MICRON TECHNOLOGY COM MU 126 1000 SH SOLE N/A NONE
MICROSOFT COM MSFT 7789 73309 SH SOLE N/A NONE
MICROSTRATEGY COM MSTR 608 6985 SH SOLE N/A NONE
MID ATLANTIC MEDICAL COM MME 641 69300 SH SOLE N/A NONE
MINN MINING MFG COM MMM 110 1253 SH SOLE N/A NONE
MORGAN J P COM JPM 391 2975 SH SOLE N/A NONE
MOTOROLA COM MOT 3237 22177 SH SOLE N/A NONE
NATIONAL CAPITAL BANK COM NCB 81 200 SH SOLE N/A NONE
NATIONAL CITY CORP COM NCC 371 18032 SH SOLE N/A NONE
NATURAL MICROSYSTEMS COM MMSS 857 10000 SH SOLE N/A NONE
NEW CENTUTY ENERGIES COM NCE 37 1263 SH SOLE N/A NONE
NEXTEL COM NXTL 2223 15000 SH SOLE N/A NONE
NIKE COM NKE 207 5241 SH SOLE N/A NONE
NUCOR COM NUE 288 5779 SH SOLE N/A NONE
OCCIDENTAL PETROLEUM COM OXY 10 487 SH SOLE N/A NONE
OLD KENT FINANCIAL CORP DEL COM OK 69 2165 SH SOLE N/A NONE
ORCLE COM ORCL 6630 84941 SH SOLE N/A NONE
OXFORD HEALTH PLAN COM OXHP 305 20000 SH SOLE N/A NONE
PACIFICARE HEALTH SYS COM PHSY 118 2383 SH SOLE N/A NONE
PAINE WEBBER GROUP INC COM PWJ 445 10125 SH SOLE N/A NONE
PEPSICO COM PEP 988 28348 SH SOLE N/A NONE
PFIZER COM PFE 4999 136732 SH SOLE N/A NONE
PG AND E CORP COM PCG 232 11061 SH SOLE N/A NONE
PHILIP MORRIS CO INC COM MO 92 4366 SH SOLE N/A NONE
PIMCO ADVISORS COM PA 252 6600 SH SOLE N/A NONE
POTOMAC ELECTRIC POWER COM POM 315 13956 SH SOLE N/A NONE
PRICE T ROWE COM TROW 102 2600 SH SOLE N/A NONE
PRIMUS TELECOMMUNICATIONS COM PRTL 15 300 SH SOLE N/A NONE
PROBUSINESS COM PRBZ 60 2361 SH SOLE N/A NONE
PROCTOR AND GAMBLE COM PG 2492 44110 SH SOLE N/A NONE
PROVIDIAN CORP COM PVN 330 3810 SH SOLE N/A NONE
QWEST COMMUNICATIONS COM Q 960 20000 SH SOLE N/A NONE
RAYTHEON A COM RTN.A 41 2226 SH SOLE N/A NONE
REUTERS HOLD ADR COM RTRSY 31 260 SH SOLE N/A NONE
REYNOLDS METALS COM RLM 48 725 SH SOLE N/A NONE
ROYAL DUTCH COM RD 1952 33775 SH SOLE N/A NONE
SABRE HOLDINGS COM TSG 504 13834 SH SOLE N/A NONE
SAFEWAY COM SWY 253 5613 SH SOLE N/A NONE
SARA LEE COM SLE 51 2858 SH SOLE N/A NONE
SBC COMMUNICATIONS COM SBC 948 22524 SH SOLE N/A NONE
SCHERING PLOUGH COM SGP 1182 31865 SH SOLE N/A NONE
SCHLUMBERGER COM SLB 1925 25166 SH SOLE N/A NONE
SEAGATE TECHNOLOGY COM SEG 2987 48376 SH SOLE N/A NONE
SEARS COM S 197 6460 SH SOLE N/A NONE
SLM HOLDINGS COM SLM 120 3612 SH SOLE N/A NONE
SMITH RESIDENTIAL REALTY COM SRW 278 7697 SH SOLE N/A NONE
SNYDER COMMUNICATIONS COM SNC 0 35 SH SOLE N/A NONE
SOUTHTRUST CORP COM SOTR 0 0 SH SOLE N/A NONE
STARBUCKS COM SBUX 78 1750 SH SOLE N/A NONE
STERLING SOFTWARE COM SSW 564 17236 SH SOLE N/A NONE
SUN MICROSYSTEMS COM SUNW 5996 64000 SH SOLE N/A NONE
SUNTRUST BANKS COM STI 42 736 SH SOLE N/A NONE
SYNOPSYS COM SNPS 63 1304 SH SOLE N/A NONE
SYNOVUS FINANCIAL CORP COM SNV 191 10125 SH SOLE N/A NONE
TELLABS COM TLAB 995 15800 SH SOLE N/A NONE
TELMEX COM TMX 852 12800 SH SOLE N/A NONE
TEXACO COM TX 1618 30118 SH SOLE N/A NONE
TEXAS INSTRUMENTS COM TXN 11281 70512 SH SOLE N/A NONE
THREECOM COM COMS 11 200 SH SOLE N/A NONE
TIME WARNER COM TWX 1200 12000 SH SOLE N/A NONE
TRANSACTION SYSTEMS COM TSAI 577 20000 SH SOLE N/A NONE
TRANSOCEAN SEDCO FOREX COM RIG 249 4865 SH SOLE N/A NONE
TRICON GLOBAL RESTAURANTS COM YUM 88 2834 SH SOLE N/A NONE
TRIGON HEALTHCARE COM TGH 776 21725 SH SOLE N/A NONE
U S AIRWAYS COM U 393 14149 SH SOLE N/A NONE
U S BANCORP COM USB 600 27459 SH SOLE N/A NONE
U S WEST COM USW 223 3081 SH SOLE N/A NONE
UNION CARBIDE COM ORCL 14 190 SH SOLE N/A NONE
UNISYS COM UIS 27 1077 SH SOLE N/A NONE
UNITED BANKSHARES COM UBSI 1542 70114 SH SOLE N/A NONE
UNITED HEALTHCARE COM UNH 1260 21141 SH SOLE N/A NONE
UNITED TECHNOLOGIES COM UTX 799 12660 SH SOLE N/A NONE
UNUM CORP COM UNM 36 2132 SH SOLE N/A NONE
USX-MARATHON COM MRO 338 13000 SH SOLE N/A NONE
VARIAN INC COM VARI 32 850 SH SOLE N/A NONE
VARIAN MEDICAL SYSTEMS COM VAR 38 850 SH SOLE N/A NONE
VARIAN SEMICONDUCTOR COM VSEA 54 850 SH SOLE N/A NONE
VENTIVE HEALTH COM VTIV 0 11 SH SOLE N/A NONE
VF CORP COM VFC 29 1206 SH SOLE N/A NONE
WACHOVIA CORPORATION COM WB 122 1807 SH SOLE N/A NONE
WALMART COM WMT 1284 22739 SH SOLE N/A NONE
WALT DISNEY COM DIS 1361 32998 SH SOLE N/A NONE
WARNER LAMBERT COMPANY COM WLA 118 1217 SH SOLE N/A NONE
WASHINGTON GAS LT CO COM WGL 272 10031 SH SOLE N/A NONE
WASHINGTON POST COM WPO 649 1200 SH SOLE N/A NONE
WELLS FARGO COM WFC 1294 31776 SH SOLE N/A NONE
WENDY INTERNATIONAL COM WEN 605 30000 SH SOLE N/A NONE
WEYERHAUSER CO COM WY 755 13260 SH SOLE N/A NONE
WHITMAN CORP COM WH 83 6000 SH SOLE N/A NONE
WILMINGTON TRUST COM WL 39 822 SH SOLE N/A NONE
XEROX COM XRX 458 17626 SH SOLE N/A NONE
XL CAPITAL COM XL 1050 18978 SH SOLE N/A NONE
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