OBRIEN JOHN P INVESTMENT MANAGEMENT INC
13F-HR, 2000-10-04
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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>


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