DOWDLE JEFFREY A
13F-HR, 1999-08-13
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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 of Quarter Ended:  06/30/99

Institutional Investment Manager Filing this Report:

Name:                  Raymond James & Associates
Address                880 Carillon Parkway (33716)
                       P.O. Box 14508
                       St. Petersburg.  FL  33733-4508

13F File Number:               28-7340

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:                  Jeffrey A. Dowdle
Title:                 Vice President
Phone:                 727-573-3800



Report Type (Check only one.):

_____     13F HOLDING REPORT.

_____     13F NOTICE.

__X___   13F COMBINATION REPORT.


List of Other Managers Reporting for this Manager:

     801-55776      Awad Asset Management, Inc.
     801-40598      Berkeley Capital Management
     801-24896      Brandes Investment Partners, L.P.
     801-11586      Engemann Roger & Associates, Inc.
     801-55094      Harris,Bretall, Sullivan & Smith L.L.C.
     801-36615      Invesco Capital Management, Inc.
     801-19723      Jurika & Voyles, LP
     801-43315      Mastrapasqua & Associates, Inc.
     801-9840       Madison Investment Advisors, Inc.
     801-55893      Osprey Partners Investment Management, LLC
     801-47993      Provident Investment Counsel



                              FORM 13F COVER PAGE (cont.)

     801-32361      Regent Investor Services
     801-18394      Rittenhouse Financial Services, Inc.
     801-55521      Roxbury Capital Management, LLC
     801-15798      J. & W. Seligman & Company Incorporated
     801-20028      Sovereign Advisers, Inc.
     801-48908      Systematic Financial Management, LP.
     801-46131      Wentworth, Hauser and Violich
     801-43699      Whitman M.J. Advisers
     801-40215      Wilson/Bennett Capital Management, Inc.



I am signing this report as required by the Securities Exchange Act of 1934

<PAGE>



















                                           FORM 13F SUMMARY PAGE


Report Summary:


Number of Other Included Managers:                    7

Form 13F Information Table Entry Total:             132

Form 13F Information Table Value Total:        $258,418  (in thousands)



List of Other Included Managers:

01              801-48185                  Blairlogie CapitalManagement Ltd.
02              801-54089                  Cummer/Moyers Capital Advisors, Inc.
03              801-27781                  Equity Investment Corporation
04              801-46755                  J.M. Hartwell Limited Partnership
05              801-56376                  NewBridge Partners,LLC
06              801-5995                   Phoenix Investment Counsel
07              801-55404                  VMF Capital, LLC
<PAGE>




<TABLE>

                                   <C>                                             <C>

PAGE 1                                FORM 13F: INFORMATION TABLE                                   DATE: 06/30/99

                                                           VALUE  SHARES/SH PUT INVSTMT            VOTING AUTHORITY
  NAME OF ISSUER               TITLE OF CLASS-  -CUSIP--  -x$1000 PRNAMT PRN CALL DSCRETN MANAGERS-SOLE SHARED NONE


D ABBOTT LABS                    EQUITIES         002824100   589  12986   SH   OTHER      7      12870   0     116
D SAGA SYSTEMS INCORPORATED      EQUITIES         786610105   713  55945   SH   OTHER      4      55945   0       0
D AMERICAN HOME PROD             EQUITIES         026609107   628  10953   SH   SOLE                100   0   10853
D AMER INTL GROUP                EQUITIES         026874107  7325  62477   SH   OTHER     567     62314   0     168
D ANSWERTHINK CONSULTING GROUP   EQUITIES         036916104   536  21260   SH   OTHER     4 4     21160   0     100
D AMERICA ONLINE INCORPORATED    EQUITIES         02364J104 14285 129868   SH   OTHER      5      82116   0   47752
D APOLLO GROUP INCORPORATED      EQUITIES         037604105   337  12690   SH   OTHER       7     11605   0    1085
D ALLTEL CORP                    EQUITIES         020039103  1103  15436   SH   SOLE                  0   0   15436
D ALLIED WASTE INDUSTRIES        EQUITIES         019589308   226  11450   SH   SOLE              11450   0       0
D BOEING COMPANY                 EQUITIES         097023105   942    21425 SH   OTHER    2          400   0   21025
D BANK OF AMERICA CORPORATION    EQUITIES         060505104   955    13036 SH   OTHER     67       5639   0    7397
D BB&T CORPORATION               EQUITIES         054937107   682    18610 SH   OTHER      7      17040   0    1570
D BRANDYWINE REALTY TRUST        EQUITIES         105368203   264    13325 SH   SOLE                425   0   12900
D BMC SOFTWARE INC               EQUITIES         055921100  4422    81901 SH   OTHER     5       81901   0       0
D BLACKROCK N.AMER GOVT INC      EQUITIES         092475102   599    59904 SH   OTHER    2        59644   0     260
D CITIGROUP INCORPORATED         EQUITIES         172967101  8521   179410 SH   OTHER    567     171080   0    8355
D CAPSTAR HOTEL CORPORATION      Convertible Bond 140918AC7   428   559000 PRN  OTHER    2       550000   0    9000
D CASEY'S GENERAL STORES INC     EQUITIES         147528103   638    42575 SH   OTHER      7      39030  0     3545
D CATERPILLAR INC                EQUITIES         149123101  1081    18033 SH   OTHER      6       4680  0    13353
D CLEAR CHANNEL COMM             EQUITIES         184502102  3727    54065 SH   OTHER       5     54065  0        0
D C D W COMPUTER CENTERS         EQUITIES         125129106   736    16740 SH   OTHER      4      16740  0        0
D CONCORD EFS INCORPORATED       EQUITIES         206197105   800    18910 SH   OTHER      4      18910  0        0
D CONSOLIDATED GRAPHICS INC      EQUITIES         209341106  1002    20050 SH   OTHER      4      20050  0        0
D CLEARNET COMMUNICATIONS INC    EQUITIES         184902104   785    56390 SH   OTHER      4      56390  0        0
D COMAIR HOLDINGS INCORPORATED   EQUITIES         199789108   628    30197 SH   OTHER     7       27431  0     2803
D COMPAQ COMPUTER INC            EQUITIES         204493100   805    34008 SH   SOLE               4000  0    30008
D COMPUTER SCIENCES              EQUITIES         205363104   895    12945 SH   OTHER     7       11915  0     1030
D CISCO SYSTEMS INC              EQUITIES         17275R102 10709   166194 SH   OTHER    56      142649  0    23546
D DELL COMPUTER CORPORATION      EQUITIES         247025109  7916   213946 SH   OTHER     5      198496  0    15450
D DIAGEO PLC  (U K)              EQUITIES         25243Q205  1134    26386 SH   OTHER   1          3825  0    22561
D DII GROUP INCORPORATED         EQUITIES         232949107   729    19550 SH   OTHER    4 6      19550  0        0
D DISNEY WALT CO                 EQUITIES         254687106  1024    33262 SH   OTHER   6          7568  0    25694
D DIAMOND OFFSHORE DRILLING      EQUITIES         25271C102   375    13225 SH   SOLE                  0  0    13225
D DURA PHARMACEUTICALS           Convertible Bond 26632SAA7   262   347000 PRN  OTHER    2       340000  0     7000
D ELAN CORP (IRELAND)            EQUITIES         284131208   837    30180 SH   OTHER   7         27690  0     2490
D E M C CORP                     EQUITIES         268648102  7668   139430 SH   OTHER     5      134340  0     5090
D ERICSSON TEL (SWEDEN)          EQUITIES         294821400  2253    68410 SH   OTHER   1    6     9930  0    58480
D ETEC SYSTEMS INCORPORATED      EQUITIES         26922C103   731    22010 SH   OTHER    4        22010  0        0
D EVERGREEN RESOURCES INC NEW    EQUITIES         299900308   704    27985 SH   OTHER     4       27985  0        0
D FIRST COMMONWEALTH FND         EQUITIES         31983F102   481    45590 SH   OTHER    2        45190  0      400
D NUVEEN/FLAGSHIP INTERMEDIATE   MUTUAL FDS       67065Q814   307    28881 SH   SOLE                 0  0     28881
D FRANKLIN ADJUSTABLE US GOVT    MUTUAL FDS       353612302   200    21565 SH   SOLE                 0  0     21566
D NUVEEN/FLAGSHIP LIMITED TERM   MUTUAL FDS       67065Q848   536    50328 SH   SOLE                 0  0     50328
D FUNDTECH LIMITED               EQUITIES         M47095100   520    20055 SH   OTHER    2 4      20055  0        0
D FED NATL MTG ASSN              EQUITIES         313586109  5350    78393 SH   OTHER    2  567   77627  0      766
D FRANKLIN FL TAX FREE INCOME    MUTUAL FDS       354723850   512    44428 SH   SOLE                  0  0    44429
D FRONTIER CORPORATION           EQUITIES         35906P105   743    12690 SH   OTHER    7        12690  0        0
D FRANKLIN SMALL CAP GROWTH FUND MUTUAL FDS       354713109  9476   356249 SH   SOLE                  0  0   356251
D FIRSTAR CORPORATION            EQUITIES         33763V109   705    25200 SH   OTHER    7        23040  0     2160
D GILLETTE CO                    EQUITIES         375766102  3901    95147 SH   OTHER    2  5     93747  0     1400
D GENERAL ELEC CO                EQUITIES         369604103  2630    23278 SH   OTHER    7        10517  0    12761
D GERMANY FUND INC               EQUITIES         374143105   462    32773 SH   SOLE                  0  0    32773
D GLOBAL HIGH INC DOLLAR         EQUITIES         37933G108   511    44495 SH   OTHER    2        41656  0     2840
D HOME DEPOT INC                 EQUITIES         437076102  7782   120783 SH   OTHER     5      114423  0     6360
D HARLEY DAVIDSON INC            EQUITIES         412822108  2525    46450 SH   OTHER     5       46450  0        0
D HARTFORD LIFE INCORPORATED     EQUITIES         416592103   623    11855 SH   OTHER    7        10710  0     1145
D HENRY SCHEIN INCORPORATED      EQUITIES         806407102   737    23270 SH   OTHER    2 4      23270  0        0
D HYPERION TOTAL RETURN & INCOME EQUITIES         449145101   226    27260 SH   OTHER    2        27260  0        0
D HEWLETT PACKARD CO             EQUITIES         428236103  2814    28006 SH   OTHER     7        6090  0    21916
D IBM CORP                       EQUITIES         459200101  1337    10352 SH   SOLE               6820  0     3532
D ICN PHARMACEUTICALS INC        EQUITIES         448924100   408    12695 SH   OTHER    7        11505  0     1190
D INGLES MARKETS INC CL A        EQUITIES         457030104   228    15000 SH   SOLE                  0  0    15000
D INTEL CORPORATION              EQUITIES         458140100  8467   142305 SH   OTHER     56     115757  0    26548
D JABIL CIRCUIT INCORPORATED     EQUITIES         466313103   699    15510 SH   OTHER    7        14165  0     1345
D JONES PHARMACEUTICAL           EQUITIES         480236108   752    19105 SH   OTHER     4       19105  0        0
D JOHNSON & JOHNSON              EQUITIES         478160104  1422    14516 SH   OTHER    7        10685  0     3831
D COCA COLA CO                   EQUITIES         191216100  4619    74500 SH   OTHER     5       71550  0     2951
D KROGER COMPANY                 EQUITIES         501044101   281    10075 SH   SOLE               9575  0      500
D LORD ABBETT TAX FREE INCOME    MUTUAL FDS       543902100   466    41631 SH   SOLE                  0  0    41631
D LERNOUT & HAUSPIE SPEECH       EQUITIES         B5628B104   453    12800 SH   SOLE                  0  0    12800
D AT&T CORPORATION               EQUITIES         001957208  2480    67505 SH   OTHER    5        67505  0        0
D LOWES COMPANIES INC            EQUITIES         548661107  1394    24607 SH   OTHER     7       22332  0     2275
D LUCENT TECHNOLOGIES            EQUITIES         549463107   784    11637 SH   SOLE               8322  0     3315
D SOUTHWEST AIRLINES             EQUITIES         844741108   638    20530 SH   OTHER    7        18850  0     1680
D GROUP MAINTENANCE AMERICA      EQUITIES         39943E107   572    44240 SH   OTHER     4       44240  0        0
D BANK OF TOKYO MITSUBISHI       EQUITIES         065379109   237    16275 SH   OTHER   1         15360  0      915
D MEMBERWORKS INCORPORATED       EQUITIES         586002107   725    25015 SH   OTHER    4        25015  0        0
D MCDONALDS CORP                 EQUITIES         580135101   905    22012 SH   OTHER   6          5385  0    16627
D MAINSTAY EQUITY INDEX FUND M/F MUTUAL FDS       56062F848   519    11765 SH   SOLE                  0  0    11765
D MEDTRONIC INC                  EQUITIES         585055106  6605    84819 SH   OTHER    5        84819  0        0
D MERRILL LYNCH & CO             EQUITIES         590188108  6050    76105 SH   OTHER    23 56    75605  0      500
D MILLICOM INTL CELLULAR SA      EQUITIES         L6388F102   755    23980 SH   OTHER   4         23980  0        0
D MARTIN MARIETTA MATERIALS      EQUITIES         573284106   800    13565 SH   OTHER    7        12430  0     1135
D MUNDER NET NET FUND CLASS A    MUTUAL FDS       626124648  1928    43466 SH   SOLE                  0  0    43463
D MERCK & COMPANY INC            EQUITIES         589331107  1664    22602 SH   SOLE               8075  0    14527
D MEDICIS PHARMACEUTICAL         EQUITIES         584690309   715    28210 SH   OTHER   4         28210  0        0
D MICROSOFT CORP                 EQUITIES         594918104  9913   109920 SH   OTHER    3 5      89239  0    20681
D NATIONAL CASH REGISTER         EQUITIES         62886E108   489    10018 SH   OTHER   7          9063  0      955
D KNIGHT/TRIMARK GROUP           EQUITIES         499067106  1021    16740 SH   OTHER    7        15320  0     1420
D NIELSON MEDIA RESEARCH         EQUITIES         653929307   892    30510 SH   OTHER   4         30510  0        0
D NOKIA CORP (FINLAND)           EQUITIES         654902204  5858    63983 SH   OTHER   1   5     49890  0    14093
D NESTLE (SWITZ)                 EQUITIES         641069406   946    10504 SH   OTHER   1           610  0     9894
D PEGASUS SYSTEMS INCORPORATED   EQUITIES         705906105   775    20705 SH   OTHER    4        20705  0        0
D PEPSICO INC                    EQUITIES         713448108   556    14374 SH   OTHER   7         13670  0      704
D PFIZER INC                     EQUITIES         717081103  6380    58540 SH   OTHER    5        53435  0     5105
D PETROLEUM GEO-SERVICES A/S     EQUITIES         716597109   666    44775 SH   OTHER   1  4      44730  0       45
D PHARMACEUTICAL PRODUCT         EQUITIES         717124101   771    28175 SH   OTHER    4        28175  0        0
D PROFIT RECOVERY GROUP          EQUITIES         743168106   792    16745 SH   OTHER   4         16745  0        0
D QUINTILES TRANSNATIONAL CORP   EQUITIES         748767100  2508    59728 SH   OTHER    5        59728  0        0
D ROYAL DUTCH PETROLEUM COMPANY  EQUITIES         780257804  1151    19111 SH   OTHER   1    6     4500  0    14611
D REPTRON ELECTRONICS INC        Convertible Bond 76026WAA7   221   561000 PRN  OTHER    2       552000  0     9000
D RESMED INCORPORATED            EQUITIES         761152107   768    23165 SH   OTHER   4         23165  0        0
D REPUBLIC SERVICES              EQUITIES         760759100   704    28455 SH   OTHER    7        25975  0     2480
D SANMINA CORPORATION            EQUITIES         800907107  1449    19100 SH   OTHER   7         17480  0     1620
D SCHWAB CHARLES CORP NEW        EQUITIES         808513105  9533    87461 SH   OTHER    5        87441  0       30
D SUNGARD DATA SYSTEMS           EQUITIES         867363103   991    28740 SH   OTHER   7         26400  0     2340
D STRATEGIC GLBL INC CEF         EQUITIES         862719101   570    50975 SH   OTHER    2        48175  0     2800
D S3 INCORPORATED                Convertible Bond 784849AC5   649   772000 PRN  OTHER    2       762000  0    10000
D SHOLODGE 7.50% 5/1/04          Convertible Bond 825034AA9  1282  2188000 PRN  OTHER    2      2163000  0    25000
D SCHLUMBERGER (NTHRLNDS)        EQUITIES         806857108   648    10180 SH   SOLE                650  0     9530
D STUDENT LOAN MARKETING         EQUITIES         78442A109   813    17765 SH   OTHER   67        16515  0     1250
D SELIGMAN COMM & INFO FUND M/F  MUTUAL FDS       816333108  2694    75803 SH   SOLE                  0  0    75803
D SOLECTRON CORP                 EQUITIES         834182107  1113    16695 SH   OTHER    7        15345  0     1350
D SPORTSLINE USA INCORPORATED    EQUITIES         848934105   705    19660 SH   OTHER    2 4      19660  0        0
D STERLING SOFTWARE INCORPORATED EQUITIES         859547101   739    27975 SH   OTHER   4         27975  0        0
D STIMSONITE CORPORATION         EQUITIES         860832104   254    17400 SH   OTHER    4        17400  0        0
D SUN MICROSYSTEMS INC           EQUITIES         866810104  1919    27863 SH   OTHER   67        19263  0     8600
D SOUTHWEST BANCORPORATION       EQUITIES         84476R109   283    15748 SH   SOLE                  0  0    15748
D AT&T CORPORATION               EQUITIES         001957109  1587    28452 SH   OTHER    67       23154  0     5301
D TEMPLETON DEVELOPING MARKETS   MUTUAL FDS       88018W104  2840   202172 SH   SOLE                  0  0   202171
D TEMPLETON FOREIGN FUND M/F     MUTUAL FDS       880196209  2785   270448 SH   SOLE                  0  0   270451
D TELLABS INCORPORATED           EQUITIES         879664100  6179    91470 SH   OTHER    5        91230  0      240
D VKM FLORIDA INSURED TAX FREE   MUTUAL FDS       920940608   459    30420 SH   OTHER   7             0  0    30420
D VAN KAMPEN AMERICAN CAPITAL    EQUITIES         920961109  2621   275899 SH   SOLE               1035  0   274864
D WATERS CORPORATION             EQUITIES         941848103   946    17820 SH   OTHER   7         16310  0     1510
D MCI WORLDCOM INCORPORATED      EQUITIES         55268B106  1433    16655 SH   OTHER    56       14140  0     2515
D WELLS FARGO COMPANY            EQUITIES         949746101   569    13315 SH   OTHER   67        10315  0     3000
D WASHINGTON MUTUAL INCORPORATED EQUITIES         939322103  1015    28545 SH   OTHER    67       26994  0     1559
D WASTE MANAGEMENT               EQUITIES         94106L109   589    10960 SH   OTHER   67        10960  0        0
D WAL MART STORES INC            EQUITIES         931142103  1655    34315 SH   OTHER    7        29385  0     4930
D EXXON CORP                     EQUITIES         302290101   873    11324 SH   OTHER   6          5426  0     5898
D YAHOO INCORPORATED             EQUITIES         984332106  1815    10540 SH   SOLE                340  0    10200

S REPORT SUMMARY                132 DATA RECORDS              258418



7 OTHER MANAGERS ON WHOSE BEHALF REPORT IS FILED


IAS1           AWAD ASSET MANAGEMENT, INC.      AWAD
IAS1           BERKELEY CAPITAL MANAGEMENT      BER
IAS1           BRANDES INVESTMENT PARTNERS      BII
IAS1           HARRIS BRETALL                   HAR
IAS1           INVESCO CAPITAL MANAGEMENT       INV
IAS1           J & W SELIGMAN & CO. INC         JWS
IAS1           JURIKA & VOYLES                  JUR
IAS1           M.J. WHITMAN ADVISERS            MJW
IAS1           MADISON INVESTMENT ADVISORS      MAD
IAS1           MASTRAPASQUA & ASSOCIATES        MAS
IAS1           OSPREY PARTNERS                  OSP
IAS1           OSPREY PARTNERS - FIXED          OSPF
IAS1           PROVIDENT INVESTMENT COUNSEL     PIC
IAS1           REGENT INVESTOR SERVICES         REG
IAS1           RITTENHOUSE FINANCIAL SERVICES   RFS
IAS1           ROGER ENGEMANN & ASSOCIATES      ENG
IAS1           ROXBURY CAPITAL MANAGEMENT LLC   RCM
IAS1           SOVEREIGN ADVISERS, INC          SOVM
IAS1           SOVEREIGN ADVISERS, INC.         SOV
IAS1           SYSTEMATIC FINANCIAL MGMT        SYS
IAS1           WENTWORTH HAUSER & VIOLICH       WEN
IAS1           WILSON BENNETT                   WB
IAS201         BLAIRLOGIE                       BLE
IAS202         CUMMER/MOYERS CAPITAL ADVISERS   CM
IAS203         EQUITY INVESTMENT CORP           EIC
IAS204         J.M. HARTWELL                    JMH
IAS205         NewBridge Partners, LLC          NB
IAS206         HOLLISTER                        HOL
IAS207         VMF CAPITAL                      VMF

NOTE:  MIPP AND PASS ACCOUNTS THAT ARE DISCRETIONARY
AND WITHIN RAYMOND JAMES BRANCHES ARE INCLUDED IN THE 'RJA' ACCOUNTS

</TABLE>


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