FORM 13F
FORM 13F COVER PAGE
Report for the Quarter Ended: June 30, 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, September 12, 2000
Report Type: 13F HOLDINGS REPORT
List of Other Managers Reporting for this Manager: No Others
<PAGE>
FORM 13F SUMMARY PAGE
Report Summary:
Number of Other Included Managers: 0
Form 13F Information Table Entry Total: 234
Form 13F Information Table Value Total (x$1000): $306,656
List of Other Included Managers: No Others
<PAGE>
<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 4489 100741 SH SOLE N/A NONE
ACE LTD COM ACL 1522 54353 SH SOLE N/A NONE
AEGON COM AEG 158 4423 SH SOLE N/A NONE
AETNA INC COM AET 589 9184 SH SOLE N/A NONE
AFLAC COM AFL 1388 30215 SH SOLE N/A NONE
AG EDWARDS COM AGE 76 1950 SH SOLE N/A NONE
AGILENT TECHNOLOGIES COM A 1714 23246 SH SOLE N/A NONE
ALBERTSONS COM ABS 171 5147 SH SOLE N/A NONE
ALLIANCE CAPITAL MGMT COM AC 2736 57685 SH SOLE N/A NONE
ALLSTATE COM ALL 287 12900 SH SOLE N/A NONE
ALLTRISTA CORP COM ALC 5 250 SH SOLE N/A NONE
ALUMINUM CO OF AMERICA COM AA 2305 79488 SH SOLE N/A NONE
ALZA COM AZA 1653 27953 SH SOLE N/A NONE
AMEREN CORP COM AEE 42 1258 SH SOLE N/A NONE
AMERICA ONLINE COM AOL 4665 88550 SH SOLE N/A NONE
AMERICAN EXPRESS COM AXP 5067 97207 SH SOLE N/A NONE
AMERICAN GENERAL COM AGC 98 1606 SH SOLE N/A NONE
AMERICAN HOME PRODUCTS COM AHP 1764 30032 SH SOLE N/A NONE
AMERICAN INTL GROUP INC COM AIG 1630 13876 SH SOLE N/A NONE
AMERICAN MGMT SYSTEMS COM AMSY 328 10000 SH SOLE N/A NONE
AMERICAN TEL AND TEL COM T 2431 76858 SH SOLE N/A NONE
AMGEN INC COM AMGN 2922 41600 SH SOLE N/A NONE
AMR CORP COM AMR 502 18980 SH SOLE N/A NONE
ANHEUSER BUSCH COS INC COM BUD 645 8632 SH SOLE N/A NONE
APPLIED MATERIALS COM AMAT 3647 40240 SH SOLE N/A NONE
ASSTS FIRST CAP CORP COM AFS 355 15928 SH SOLE N/A NONE
BANK OF AMERICA COM BAC 4164 96847 SH SOLE N/A NONE
BANK OF NEW YORK COM BK 23 500 SH SOLE N/A NONE
BANKONE CORP COM ONE 1611 60665 SH SOLE N/A NONE
BB AND T CORP COM BBT 29 1214 SH SOLE N/A NONE
BEAR STEARNS COS INC COM BSC 399 9578 SH SOLE N/A NONE
BED BATH AND BEYOND COM BBBY 64 1771 SH SOLE N/A NONE
BELL ATLANTIC COM BEL 484 9532 SH SOLE N/A NONE
BERKSHIRE HATHAWAY COM BRKA 2313 43 SH SOLE N/A NONE
BIOGEN INCORPORATED COM BGEN 26 400 SH SOLE N/A NONE
BLACK AND DECKER COM BDK 39 1000 SH SOLE N/A NONE
BOEING COM BA 2023 48375 SH SOLE N/A NONE
BOSTON SCIENTIFIC COM BSX 527 24000 SH SOLE N/A NONE
BP AMOCO COM BPA 5145 90954 SH SOLE N/A NONE
BRISTOL MEYERS COM BMY 1859 31906 SH SOLE N/A NONE
BROCADE COM BRCD 1101 6000 SH SOLE N/A NONE
BTG INC COM BTGI 22 2700 SH SOLE N/A NONE
CALLAWAY GOLF COM ELY 394 24136 SH SOLE N/A NONE
CANADIAN NATL RAILWAY COM CNI 100 3418 SH SOLE N/A NONE
CAPITAL ONE FINANCIAL COM COF 1251 28031 SH SOLE N/A NONE
CARDINAL HEALTH COM CAH 846 11427 SH SOLE N/A NONE
CARRAMERICA REALTY CORP COM CRE 1666 62881 SH SOLE N/A NONE
CASEYS GEN STORES INC COM CASY 125 12000 SH SOLE N/A NONE
CATERPILLAR COM CAT 750 22130 SH SOLE N/A NONE
CENDANT COM CD 479 34224 SH SOLE N/A NONE
CHASE MANHATTEN BANK COM CMB 3425 74351 SH SOLE N/A NONE
CHEVRON COM CHV 1294 15258 SH SOLE N/A NONE
CHEVY CHASE SVGS BANK COM CHCH 246 10000 SH SOLE N/A NONE
CHOICEPOINT COM CPS 70 1580 SH SOLE N/A NONE
CIRCUIT CITY COM CC 198 5974 SH SOLE N/A NONE
CISCO SYSTEMS COM CSCO 10369 163132 SH SOLE N/A NONE
CITIGROUP COM C 3471 57605 SH SOLE N/A NONE
COASTAL CORP COM CGP 122 2000 SH SOLE N/A NONE
COCA COLA COM KO 3715 64682 SH SOLE N/A NONE
COMERICA COM CMA 166 3703 SH SOLE N/A NONE
COMPAQ COMPUTER COM CPQ 1661 64985 SH SOLE N/A NONE
COMPUTER ASSOCIATES COM CA 532 10385 SH SOLE N/A NONE
CONSECO COM CNC 510 52272 SH SOLE N/A NONE
CONSTELLATION ENERGY COM CEG 31 959 SH SOLE N/A NONE
COUNTRYWIDE CREDIT COM CCR 155 5100 SH SOLE N/A NONE
COVENTRY CORP COM CVTY 133 10000 SH SOLE N/A NONE
CYTYC COM CYTC 1998 37438 SH SOLE N/A NONE
DAIMLERCHRYSLER COM DCX 1292 24816 SH SOLE N/A NONE
DANA CORP COM DCN 30 1400 SH SOLE N/A NONE
DEERE COM DE 701 18946 SH SOLE N/A NONE
DELL COMPUTER COM DELL 4532 91910 SH SOLE N/A NONE
DELPHI AUTOMOTIVE COM DPH 383 26286 SH SOLE N/A NONE
DIONEX CORP COM DNEX 493 18420 SH SOLE N/A NONE
DOMINION RESOURCES COM D 170 3970 SH SOLE N/A NONE
DOVER CORP COM DOV 106 2607 SH SOLE N/A NONE
DOW CHEMICAL COM DOW 12 400 SH SOLE N/A NONE
DUKE ENERGY CORP COM DUK 251 4457 SH SOLE N/A NONE
DUPONT COM DD 989 22612 SH SOLE N/A NONE
EASTMAN KODAK COM EK 657 11045 SH SOLE N/A NONE
EATON CORP COM ETN 37 550 SH SOLE N/A NONE
EMC CORP COM EMC 3194 41512 SH SOLE N/A NONE
EQUIFAX COM EFX 223 8500 SH SOLE N/A NONE
EQUITY RESIDENTIAL PPTY COM EQR 244 5300 SH SOLE N/A NONE
EXXON MOBIL COM XOM 2383 30356 SH SOLE N/A NONE
F & M NATL CORP COM FMN 13 618 SH SOLE N/A NONE
FANNIE MAE COM FNM 5073 97211 SH SOLE N/A NONE
FDX CORP COM FDX 370 9732 SH SOLE N/A NONE
FIRST HEALTH GROUP COM FHCC 131 4000 SH SOLE N/A NONE
FIRST UNION CORP COM FTU 508 20469 SH SOLE N/A NONE
FIRST VIRGINIA BANK COM FVB 1784 51233 SH SOLE N/A NONE
FIRSTAR CORP COM FSR 192 9120 SH SOLE N/A NONE
FLEETBOSTON COM FBF 480 14106 SH SOLE N/A NONE
FORD COM F 1997 46438 SH SOLE N/A NONE
FREDDIE MAC COM FRE 4948 122168 SH SOLE N/A NONE
FURNITURE BRANDS COM FBN 12 800 SH SOLE N/A NONE
G T E CORP COM GTE 635 10202 SH SOLE N/A NONE
GATEWAY COM GTW 2780 48984 SH SOLE N/A NONE
GENERAL DYNAMICS COM GD 11 214 SH SOLE N/A NONE
GENERAL ELECTRIC COM GE 7667 144652 SH SOLE N/A NONE
GENERAL MOTORS COM GM 1656 28521 SH SOLE N/A NONE
GENERAL MOTORS CL H COM GMH 886 10101 SH SOLE N/A NONE
GEORGIA PACIFIC COM GP 420 16000 SH SOLE N/A NONE
GEORGIA PACIFIC-TIMBER COM TGP 173 8000 SH SOLE N/A NONE
GILLETTE COM G 932 26675 SH SOLE N/A NONE
GLAXO HOLDINGS PLC COM GLX 580 10024 SH SOLE N/A NONE
GOODYEAR TIRE COM GT 544 27189 SH SOLE N/A NONE
GUIDANT CORP COM GDT 1814 36656 SH SOLE N/A NONE
HALLIBURTON COM HAL 1191 25235 SH SOLE N/A NONE
HCA HEALTHCARE COM HCA 1410 46428 SH SOLE N/A NONE
HEALTH MANAGEMENT ASSTS COM HMA 1298 99384 SH SOLE N/A NONE
HEALTHCARE PROPERTY COM HCP 300 11000 SH SOLE N/A NONE
HEALTHCARE REALTY TRUST COM HR 689 40368 SH SOLE N/A NONE
HEWLETT PACKARD COM HWP 4767 38177 SH SOLE N/A NONE
HIGHWOOD PROPERTIES COM HIW 22 900 SH SOLE N/A NONE
HOME DEPOT COM HD 1189 23813 SH SOLE N/A NONE
HOMEFED CORP COM HFCP 4 5863 SH SOLE N/A NONE
HONEYWELL INTL COM HON 1229 36489 SH SOLE N/A NONE
HOSPITALITY PROPERTIES COM HPT 23 1000 SH SOLE N/A NONE
HOST MARRIOTT COM HMT 66 7000 SH SOLE N/A NONE
I B P INC COM IBP 28 1800 SH SOLE N/A NONE
IBM COM IBM 6158 56202 SH SOLE N/A NONE
ILLINOIS TOOL WORKS COM ITW 77 1350 SH SOLE N/A NONE
INTEL COM INTC 25128 187962 SH SOLE N/A NONE
INTERNATIONAL PAPER COM IP 713 23900 SH SOLE N/A NONE
JOHNSON AND JOHNSON COM JNJ 2374 23302 SH SOLE N/A NONE
K MART COM KM 46 6740 SH SOLE N/A NONE
KEMPER HIGH INCOME TRUST COM KHI 32 3904 SH SOLE N/A NONE
KEYCORP COM KEY 152 8622 SH SOLE N/A NONE
LANCASTER COLONY COM LANC 70 3601 SH SOLE N/A NONE
LILLY ELI & CO COM LLY 3449 34529 SH SOLE N/A NONE
LINCARE HOLDINGS COM LNCR 54 2200 SH SOLE N/A NONE
LIZ CLAIBORNE COM LIZ 39 1100 SH SOLE N/A NONE
LOCKHEED MARTIN COM LMT 2 93 SH SOLE N/A NONE
LOWES COM LOW 1195 29110 SH SOLE N/A NONE
LUCENT TECHNOLOGIES COM LU 4261 71914 SH SOLE N/A NONE
MANPOWER INC COM MAN 30 950 SH SOLE N/A NONE
MARRIOTT INT COM MAR 39 1082 SH SOLE N/A NONE
MAXIM INTEGRATED PRODUCTS COM MXIM 10399 153066 SH SOLE N/A NONE
MBIA COM MBI 96 2000 SH SOLE N/A NONE
MBNA CORP COM KRB 671 24730 SH SOLE N/A NONE
MCDONALDS COM MCD 1195 36284 SH SOLE N/A NONE
MCI WORLDCOM COM WCOM 931 20300 SH SOLE N/A NONE
MEDIAONE GROUP COM UMG 198 3000 SH SOLE N/A NONE
MEDITRUST COM MT 2 655 SH SOLE N/A NONE
MEDTRONIC COM MDT 3899 78283 SH SOLE N/A NONE
MERCK AND COMPANY COM MRK 4997 65209 SH SOLE N/A NONE
MERRILL LYNCH & CO INC COM MER 4331 37659 SH SOLE N/A NONE
MGIC INVESTMENT CORP COM MTG 93 2050 SH SOLE N/A NONE
MICRON TECHNOLOGY COM MU 176 2000 SH SOLE N/A NONE
MICROSOFT COM MSFT 8605 107564 SH SOLE N/A NONE
MICROSTRATEGY COM MSTR 206 6875 SH SOLE N/A NONE
MID ATLANTIC MEDICAL COM MME 936 69300 SH SOLE N/A NONE
MINN MINING MFG COM MMM 104 1253 SH SOLE N/A NONE
MORGAN J P COM JPM 328 2975 SH SOLE N/A NONE
MOTOROLA COM MOT 1909 65698 SH SOLE N/A NONE
NATIONAL CITY CORP COM NCC 308 18032 SH SOLE N/A NONE
NATURAL MICROSYSTEMS COM NMSS 1124 10000 SH SOLE N/A NONE
NEW CENTUTY ENERGIES COM NCE 38 1266 SH SOLE N/A NONE
NEXTEL COM NXTL 1530 25000 SH SOLE N/A NONE
NIKE COM NKE 209 5241 SH SOLE N/A NONE
NUCOR COM NUE 192 5780 SH SOLE N/A NONE
OCCIDENTAL PETROLEUM COM OXY 10 487 SH SOLE N/A NONE
OLD KENT FINANCIAL CORP DEL COM OK 61 2273 SH SOLE N/A NONE
ORACLE COM ORCL 6394 76058 SH SOLE N/A NONE
OXFORD HEALTH PLAN COM OXHP 476 20000 SH SOLE N/A NONE
PACIFICARE HEALTH SYS COM PHSY 137 2277 SH SOLE N/A NONE
PAINE WEBBER GROUP INC COM PWJ 461 10125 SH SOLE N/A NONE
PEPSICO COM PEP 1260 28348 SH SOLE N/A NONE
PFIZER COM PFE 4569 95184 SH SOLE N/A NONE
PG AND E CORP COM PCG 272 11061 SH SOLE N/A NONE
PHILIP MORRIS CO INC COM MO 117 4404 SH SOLE N/A NONE
POTOMAC ELECTRIC POWER COM POM 347 13873 SH SOLE N/A NONE
PRICE T ROWE COM TROW 111 2600 SH SOLE N/A NONE
PRIMUS TELECOMMUNICATIONS COM PRTL 22 900 SH SOLE N/A NONE
PROCTOR AND GAMBLE COM PG 2525 SH SOLE N/A NONE
PROVIDIAN CORP COM PVN 343 3810 SH SOLE N/A NONE
QWEST COMMUNICATIONS COM Q 994 20000 SH SOLE N/A NONE
RAYTHEON A COM RTN.A 43 2226 SH SOLE N/A NONE
REUTERS HOLD ADR COM RTRSY 22 217 SH SOLE N/A NONE
ROYAL DUTCH COM RD 2080 33780 SH SOLE N/A NONE
SABRE HOLDINGS COM TSG 391 13712 SH SOLE N/A NONE
SAFEWAY COM SWY 253 5611 SH SOLE N/A NONE
SARA LEE COM SLE 55 2858 SH SOLE N/A NONE
SBC COMMUNICATIONS COM SBC 974 22524 SH SOLE N/A NONE
SCHERING PLOUGH COM SGP 1592 31529 SH SOLE N/A NONE
SCHLUMBERGER COM SLB 1823 24424 SH SOLE N/A NONE
SEAGATE TECHNOLOGY COM SEG 2647 48129 SH SOLE N/A NONE
SEARS COM S 211 6460 SH SOLE N/A NONE
SLM HOLDINGS COM SLM 132 3527 SH SOLE N/A NONE
SMITH RESIDENTIAL REALTY COM SRW 294 7727 SH SOLE N/A NONE
SOUTHTRUST CORP COM SOTR 792 34987 SH SOLE N/A NONE
STARBUCKS COM SBUX 67 1750 SH SOLE N/A NONE
SUN MICROSYSTEMS COM SUNW 5820 64000 SH SOLE N/A NONE
SUNTRUST BANKS COM STI 30 648 SH SOLE N/A NONE
SYNOPSYS COM SNPS 45 1304 SH SOLE N/A NONE
SYNOVUS FINANCIAL CORP COM SNV 178 10125 SH SOLE N/A NONE
TELLABS COM TLAB 1081 15800 SH SOLE N/A NONE
TELMEX COM TMX 731 12800 SH SOLE N/A NONE
TEXACO COM TX 1566 29402 SH SOLE N/A NONE
TEXAS INSTRUMENTS COM TXN 9412 137025 SH SOLE N/A NONE
THREECOM COM COMS 12 200 SH SOLE N/A NONE
TIME WARNER COM TWX 912 12000 SH SOLE N/A NONE
TRANSACTION SYSTEMS COM TSAI 343 20000 SH SOLE N/A NONE
TRANSOCEAN SEDCO FOREX COM RIG 252 4721 SH SOLE N/A NONE
TRICON GLOBAL RESTAURANTS COM YUM 80 2834 SH SOLE N/A NONE
TRIGON HEALTHCARE COM TGH 1120 21725 SH SOLE N/A NONE
U S AIRWAYS COM U 545 13980 SH SOLE N/A NONE
U S BANCORP COM USB 529 27459 SH SOLE N/A NONE
U S WEST COM USW 264 3081 SH SOLE N/A NONE
UNISYS COM UIS 12 812 SH SOLE N/A NONE
UNITED BANKSHARES COM UBSI 1039 57127 SH SOLE N/A NONE
UNITED HEALTHCARE COM UNH 1785 20820 SH SOLE N/A NONE
UNITED TECHNOLOGIES COM UTX 745 12660 SH SOLE N/A NONE
UNUM CORP COM UNM 43 2132 SH SOLE N/A NONE
USX-MARATHON COM MRO 326 13000 SH SOLE N/A NONE
VARIAN INC COM VARI 39 850 SH SOLE N/A NONE
VARIAN MEDICAL SYSTEMS COM VAR 33 850 SH SOLE N/A NONE
VARIAN SEMICONDUCTOR COM VSEA 53 850 SH SOLE N/A NONE
VESTEON COM VC 0 2 SH SOLE N/A NONE
VF CORP COM VFC 28 1223 SH SOLE N/A NONE
VIACOM INC CL B COM VIA.B 320 4692 SH SOLE N/A NONE
VISTEON CORP COM VC 67 5550 SH SOLE N/A NONE
WACHOVIA CORPORATION COM WB 98 1809 SH SOLE N/A NONE
WALMART COM WMT 1304 22634 SH SOLE N/A NONE
WALT DISNEY COM DIS 1233 31755 SH SOLE N/A NONE
WASHINGTON GAS LT CO COM WGL 200 8303 SH SOLE N/A NONE
WASHINGTON POST COM WPO 574 1200 SH SOLE N/A NONE
WELLS FARGO COM WFC 1218 31430 SH SOLE N/A NONE
WENDY INTERNATIONAL COM WEN 534 30000 SH SOLE N/A NONE
WEYERHAUSER CO COM WY 570 13263 SH SOLE N/A NONE
WHITMAN CORP COM WH 74 6000 SH SOLE N/A NONE
WILMINGTON TRUST COM WL 35 827 SH SOLE N/A NONE
XEROX COM XRX 366 17628 SH SOLE N/A NONE
XL CAPITAL COM XL 1027 18980 SH SOLE N/A NONE
</TABLE>