DOWDLE JEFFREY A
13F-HR, 2000-11-15
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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:  09/30/00

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.
     801-31648
Davis Selected Advisers
     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
     801-24241
Kayne Anderson Investment Management
     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.
     801-56110
Rorer Asset Management
     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.
               801-46248
Wood Asset Management


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


          JEFFREY A. DOWDLE






































                                                    FORM
13F SUMMARY PAGE


Report Summary:


Number of Other Included Managers:
            8

Form 13F Information Table Entry Total:
224

Form 13F Information Table Value Total:
$852,691 (in thousands)



List of Other Included Managers:

01                         801-48185
Blairlogie Capital Management Ltd.
02                         801-26539
Cambridge Financial Group
03                         801-54089
Cummer/Moyers Capital Advisors, Inc.
04                         801-27781
Equity Investment Corporation
05                         801-46755
J.M. Hartwell Limited Partnership
06                         801-56376
NewBridge Partners, LLC
07                         801-5995
Phoenix Investment Counsel
08                         801-55404
VMF Capital, LLC














<TABLE>

 PAGE    1                                        FORM 13F: INFORMATION TABLE
DATE: 09/30/00

                                                             VALUE    SHARES/
SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 -TITLE OF CLASS- --CUSIP-- -x$1000-  PRN AMT
PRN CALL DSCRETN -MANAGERS-     SOLE   SHARED     NONE
                                 <C>
<C>
D AGILENT TECHNOLOGIES           EQUITIES         00846U101     1570    32090 SH
OTHER     3   78      23822        0     8269
D APPLE COMPUTER INC             EQUITIES         037833100     1112    43215 SH
OTHER    2            43215        0        0
D ABBOTT LABS                    EQUITIES         002824100      505    10635 SH
OTHER          8       9535        0     1100
D ADAPTEC INCORPORATED           Convertible Bond 00651FAC2      319   379000
PRN      OTHER     3          379000        0        0
D ADAMS EXPRESS COMPANY          EQUITIES         006212104      832    21562 SH
SOLE                  21024        0      538
D AETHER SYSTEMS INC             Convertible Bond 00808VAA3      307   402000
PRN      OTHER     3          402000        0        0
D ASSOCIATES FIRST CAPITAL       EQUITIES         046008108      491    12940 SH
OTHER    2            12939        0        0
D SAGA SYSTEMS INCORPORATED      EQUITIES         786610105     2657   253083 SH
OTHER       5        252468        0      615
D AMER INTL GROUP                EQUITIES         026874107    30631   320123 SH
OTHER        678     319404        0      869
D ALCATEL ALSTHOM (FRANCE)       EQUITIES         013904305      904    14390 SH
OTHER         7       14390        0        0
D APPLIED MICRO CIRCUITS         EQUITIES         03822W109     2328    11245 SH
OTHER        6        11245        0        0
D ADVANCED MICRO DEVICES INC     EQUITIES         007903107     1265    53585 SH
OTHER    2            53385        0      200
D AMGEN INC                      EQUITIES         031162100     1075    15396 SH
SOLE                   8484        0     6912
D NEW PERSPECTIVE FUND INC M/F   MUTUAL FDS       648018109      340    11887 SH
SOLE                      0        0    11886
D AMERICA ONLINE INCORPORATED    EQUITIES         02364J104    27739   516079 SH
OTHER        6       424106        0    91973
D ARIBA INCORPORATED             EQUITIES         04033V104     1956    13659 SH
OTHER       56        13459        0      200
D AC NIELSEN CORP                EQUITIES         004833109     5789   243115 SH
OTHER       5        242385        0      730
D ALLTEL CORP                    EQUITIES         020039103     1250    23960 SH
OTHER         7        9610        0    14350
D ALLEGHENY TECHNOLOGIES         EQUITIES         01741R102     1128    62251 SH
OTHER    2            62266        0        0
D APT SATELLITE HOLDINGS LIMITED EQUITIES         00203R105      361    89000 SH
SOLE                  51000        0    38000
D AVOCENT CORPORATION            EQUITIES         053893103      722    13100 SH
SOLE                  13100        0        0
D BED BATH & BEYOND INCORPORTED  EQUITIES         075896100      314    12900 SH
SOLE                  12900        0        0
D BOISE CASCADE CORP             EQUITIES         097383103      985    37115 SH
OTHER    2            37115        0        0
D BENCHMARK ELECTRONICS          EQUITIES         08160H101     3924    75475 SH
OTHER       5         75290        0      185
D BAKER HUGHES                   EQUITIES         057224107     2675    72075 SH
OTHER    2    7       67775        0     4300
D BANK OF NEW YORK INC           EQUITIES         064057102     1622    28944 SH
OTHER         7       27144        0     1800
D BURLINGTON NORTHERN SANTA FE   EQUITIES         12189T104     1075    49879 SH
OTHER    2            49879        0        0
D BP AMOCO PLC (UNITED KINGDOM)  EQUITIES         055622104     1943    36673 SH
OTHER          8       6577        0    30096
D B P PRUDHOE BAY ROYALTY        EQUITIES         055630107      396    28600 SH
SOLE                  17000        0    11600
D BROCADE COMMUNICATIONS SYSTEMS EQUITIES         111621108     2996    12699 SH
OTHER        6 8      12579        0      120
D BROADCOM CORPORATION           EQUITIES         111320107    28302   116112 SH
OTHER        6       116032        0       80
D AMER STRTGC II INCOME          EQUITIES         030099105      899    78196 SH
SOLE                  78196        0        0
D PROFUNDS BIOTECHNOLOGY ULTRA   MUTUAL FDS       743185472     1242    56278 SH
SOLE                      0        0    56279
D ANHEUSER BUSCH                 EQUITIES         035229103     1401    33120 SH
OTHER         7       33120        0        0
D BROADVISION INCORPORATED       EQUITIES         111412102      846    32945 SH
OTHER        6        32945        0        0
D CITIGROUP INCORPORATED         EQUITIES         172967101    31459   581903 SH
OTHER        678     556095        0    25802
D CONAGRA FOODS INCORPORATED     EQUITIES         205887102      279    13915 SH
OTHER      4          13915        0        0
D CAPSTAR HOTEL CORPORATION      Convertible Bond 140918AC7      343   441000
PRN      OTHER     3          432000        0     9000
D CATERPILLAR INC                EQUITIES         149123101     1509    44737 SH
SOLE                  22924        0    21813
D CLEAR CHANNEL COMM             EQUITIES         184502102    14536   257289 SH
OTHER        6       257094        0      195
D C D W COMPUTER CENTERS         EQUITIES         125129106     5298    76795 SH
OTHER       5         76665        0      130
D CENTRAL EUROPE EQTY            EQUITIES         153436100      311    24435 SH
SOLE                  23911        0      524
D CONCORD EFS INCORPORATED       EQUITIES         206197105     7282   205040 SH
OTHER       5        204518        0      525
D CENTRAL SECURITY CORPORATION   EQUITIES         155123102      462    12854 SH
SOLE                  12329        0      525
D CIRCLE INCOME SHARES INC       EQUITIES         172572109      263    26985 SH
SOLE                  26009        0      976
D CLEARNET COMMUNICATIONS INC    EQUITIES         184902104     5431   122565 SH
OTHER       5        122225        0      340
D CLARENT CORPORATION            EQUITIES         180461105     4210   106940 SH
OTHER       5        106645        0      295
D CHASE MANHATTAN CORP           EQUITIES         16161A108     1517    32847 SH
OTHER         7       31336        0     1525
D COMCAST CORP CL A              EQUITIES         200300101      471    11600 SH
SOLE                      0        0    11600
D CMG INFORMATION SERVICES INC   EQUITIES         125750109      325    11650 SH
OTHER        6          250        0    11400
D CONOCO INCORPORATED            EQUITIES         208251405      315    11720 SH
OTHER      4          11526        0      194


 PAGE    2                                        FORM 13F: INFORMATION TABLE
DATE: 09/30/00

                                                             VALUE    SHARES/
SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 -TITLE OF CLASS- --CUSIP-- -x$1000-  PRN AMT
PRN CALL DSCRETN -MANAGERS-     SOLE   SHARED     NONE
                                 <C>
<C>
D CALPINE CORPORATION            EQUITIES         131347106     1744    16710 SH
OTHER         7       16710        0        0
D COMPAQ COMPUTER INC            EQUITIES         204493100      496    18000 SH
OTHER       5         14500        0     3500
D COMSTOCK RESOURCES INC         EQUITIES         205768203     1330   117000 SH
SOLE                  55000        0    62000
D CHARLES RIVER LABORATORIES     EQUITIES         159864107      737    21680 SH
OTHER         7       21680        0        0
D CIRRUS LOGIC INCORPORATED      EQUITIES         172755100     4190   103940 SH
OTHER       5        103170        0      770
D CABLETRON SYSTEMS              EQUITIES         126920107     1315    44775 SH
OTHER         7       44775        0        0
D CISCO SYSTEMS INC              EQUITIES         17275R102    34101   617217 SH
OTHER    2   6       566165        0    51052
D T C W CONV SECS FD INC         EQUITIES         872340104      284    23586 SH
SOLE                  23584        0        0
D DUPONT, E.I. & CO              EQUITIES         263534109     1005    24259 SH
OTHER          8      23115        0     1144
D DELL COMPUTER CORPORATION      EQUITIES         247025109    17929   581901 SH
OTHER       56       558971        0    22930
D DIAGEO PLC  (U K)              EQUITIES         25243Q205      939    26605 SH
OTHER   1              4228        0    22381
D DISNEY WALT CO                 EQUITIES         254687106     1763    46115 SH
OTHER     3            1400        0    44715
D GENENTECH INCORPORATED         EQUITIES         368710406    11002    59255 SH
OTHER        6        59195        0       60
D DIAMOND OFFSHORE DRILLING      EQUITIES         25271C102      548    13385 SH
SOLE                      0        0    13385
D DOLE FOOD COMPANY INCORPORATED EQUITIES         256605106      321    21400 SH
SOLE                  21400        0        0
D DELPHI AUTOMOTIVE SYSTEMS      EQUITIES         247126105     1169    77316 SH
OTHER         7       74416        0     2900
D DREYFUS PREMIER NEXTECH FUND   MUTUAL FDS       26202L104     3398   223115 SH
SOLE                      0        0   223115
D DRS TECHNOLOGIES INCORPORATED  EQUITIES         23330X100     1415    87100 SH
SOLE                  46900        0    40200
D EASTMAN KODAK CO               EQUITIES         277461109      649    15880 SH
SOLE                  15880        0        0
D ELAN CORP (IRELAND)            EQUITIES         284131208      689    12590 SH
OTHER          8      11180        0     1410
D E M C CORP                     EQUITIES         268648102    52305   527676 SH
OTHER    2   6       510356        0    17320
D ERICSSON TEL (SWEDEN)          EQUITIES         294821400     2403   162245 SH
OTHER   1              5550        0   156695
D EVERGREEN RESOURCES INC NEW    EQUITIES         299900308     6904   198695 SH
OTHER       5        198295        0      400
D EXODUS COMMUNICATIONS          EQUITIES         302088109     2301    46605 SH
OTHER        6        44505        0     2100
D FORD MTR COMPANY DELAWARE COM  EQUITIES         345370860      582    23008 SH
OTHER    2            21658        0     1350
D FAIRCHILD SEMICONDUCTOR        EQUITIES         303726103     3258   115870 SH
OTHER       5        115565        0      305
D FIRST DATA CORPORATION         EQUITIES         319963104     1183    30298 SH
OTHER         7       30298        0        0
D FIDELITY DISCIPLINED EQUITY    MUTUAL FDS       316066208      396    12547 SH
SOLE                      0        0    12548
D FRANKLIN INSURED FLORIDA TAX   MUTUAL FDS       354723694      248    25016 SH
SOLE                      0        0    25014
D FIRSTAR CORPORATION            EQUITIES         33763V109      273    12224 SH
OTHER          8      10996        0     1230
D FOREST OIL CORPORATION         EQUITIES         346091606      471    29100 SH
SOLE                  29100        0        0
D GENERAL AMERICAN INVS INC      EQUITIES         368802104      693    16584 SH
SOLE                  16009        0      575
D GLOBAL CROSSING LIMITED        EQUITIES         G3921A100     1465    47275 SH
OTHER        67       46675        0      600
D GENERAL ELEC CO                EQUITIES         369604103     4837    83849 SH
OTHER    2     8      52670        0    31178
D GERMANY FUND INC               EQUITIES         374143105      545    42997 SH
SOLE                   5052        0    37945
D INVESCO GLOBAL HEALTH SCIENCES EQUITIES         46128N109      568    27900 SH
SOLE                  27900        0        0
D GLBL INCOME, TEMPLETON         EQUITIES         880198106      204    34098 SH
SOLE                  33071        0     1027
D GEN MILLS INC                  EQUITIES         370334104     1041    29340 SH
SOLE                    100        0    29240
D GEN MTRS CORP                  EQUITIES         370442105     1306    20102 SH
OTHER    2            20002        0      100
D GENERAL MOTORS CORPORATION     EQUITIES         370442832     1474    39661 SH
OTHER        6        36011        0     3650
D GRAND PRIX FUND M/F            MUTUAL FDS       386178107     2049    47227 SH
OTHER     3               0        0    47227
D GP STRATEGIES CORPORATION      EQUITIES         36225V104      354    56100 SH
SOLE                  26000        0    30100
D GOLDMAN SACHS GROUP            EQUITIES         38141G104     1521    13350 SH
OTHER         7       13350        0        0
D GOODYEAR TIRE & RUB            EQUITIES         382550101      334    18573 SH
SOLE                  18273        0      300
D MORGAN STANLEY DEAN WITTER     EQUITIES         61745P106      937   113631 SH
SOLE                 113626        0        0
D HATTERAS INCOME SECURITIES INC EQUITIES         419025101      301    23054 SH
SOLE                  22590        0      464
D MANOR CARE INCORPORATED        EQUITIES         564055101      322    20565 SH
OTHER          8      18620        0     1945
D HOME DEPOT INC                 EQUITIES         437076102    22716   428101 SH
OTHER        6       421969        0     6185
D HARLEY DAVIDSON INC            EQUITIES         412822108    11752   245477 SH
OTHER        6       245287        0      190
D SALOMON BROTHERS HI INCOME     MUTUAL FDS       794907105      955    78015 SH
SOLE                  72515        0     5500
D HEWLETT PACKARD CO             EQUITIES         428236103     2545    26238 SH
OTHER          8       3367        0    22871


 PAGE    3                                        FORM 13F: INFORMATION TABLE
DATE: 09/30/00

                                                             VALUE    SHARES/
SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 -TITLE OF CLASS- --CUSIP-- -x$1000-  PRN AMT
PRN CALL DSCRETN -MANAGERS-     SOLE   SHARED     NONE
                                 <C>
<C>
D IBM CORP                       EQUITIES         459200101     3983    35405 SH
OTHER    2     8      22653        0    12752
D INKTOMI CORPORATION            EQUITIES         457277101     2134    18725 SH
OTHER        6        18725        0        0
D INTEL CORPORATION              EQUITIES         458140100    24701   594326 SH
OTHER    2   6       537214        0    57112
D INTL PAPER CORP                EQUITIES         460146103      670    23383 SH
SOLE                  23383        0        0
D JDS UNIPHASE CORPORATION       EQUITIES         46612J101    21589   228012 SH
OTHER        6       222410        0     5602
D JOHN HANCOCK FINANCIAL         EQUITIES         41014S106      350    13047 SH
OTHER          8      12077        0      970
D HANCOCK JOHN INCOME SECURITIES EQUITIES         410123103      297    21760 SH
SOLE                  20274        0     1486
D JUNIPER NETWORKS INCORPORATED  EQUITIES         48203R104    13360    61025 SH
OTHER        6        60985        0       40
D J P MORGAN & CO INC            EQUITIES         616880100     1678    10273 SH
OTHER          8       3000        0     7273
D KING PHARMACEUTICALS           EQUITIES         495582108     5688   170117 SH
OTHER       5        169506        0      632
D KROGER COMPANY                 EQUITIES         501044101      322    14310 SH
OTHER          8      14310        0        0
D KEYSPAN ENERGY                 EQUITIES         49337W100      444    11069 SH
OTHER          8       9966        0     1105
D LITHIA MOTORS INCORPORATED     EQUITIES         536797103      242    20000 SH
SOLE                  20000        0        0
D LITTON INDUST INC              EQUITIES         538021106      945    21155 SH
OTHER         7       21155        0        0
D AT&T LIBERTY MEDIA GROUP       EQUITIES         001957208     8427   468201 SH
OTHER        6       467821        0      380
D LOCKHEED MARTIN CORPORATION    EQUITIES         539830109      537    16300 SH
SOLE                  16300        0        0
D L S I LOGIC CORP               EQUITIES         502161102     1074    36745 SH
OTHER    2            36545        0      200
D LUCENT TECHNOLOGIES            EQUITIES         549463107      512    16762 SH
SOLE                   9825        0     6937
D SOUTHWEST AIRLINES             EQUITIES         844741108      601    24802 SH
OTHER          8      21320        0     3482
D LEAP WIRELESS INTERNATIONAL    EQUITIES         521863100     4583    73270 SH
OTHER       5         73105        0      165
D BANK OF TOKYO MITSUBISHI       EQUITIES         065379109      365    31285 SH
OTHER   1             29874        0     1415
D MEMBERWORKS INCORPORATED       EQUITIES         586002107     4134   125760 SH
OTHER       5        125495        0      265
D MCDONALDS CORP                 EQUITIES         580135101      896    29706 SH
SOLE                   1020        0    28686
D MEDTRONIC INC                  EQUITIES         585055106    24129   465704 SH
OTHER        6       465284        0      420
D MERRILL LYNCH & CO             EQUITIES         590188108    25053   379593 SH
OTHER        6       378273        0     1320
D MFS FLORIDA MUNICIPAL BOND     MUTUAL FDS       55273N509      390    40798 SH
SOLE                      0        0    40799
D MILLICOM INTL CELLULAR SA      EQUITIES         L6388F102     4037   113530 SH
OTHER       5        113130        0      400
D MINNESOTA MNG & MFG            EQUITIES         604059105     1116    12253 SH
OTHER         7       12253        0        0
D PHILIP MORRIS CO               EQUITIES         718154107      785    26693 SH
OTHER         7       23893        0     2800
D MOTOROLA INC                   EQUITIES         620076109     1606    56859 SH
OTHER         7       45372        0    11487
D MERCK & COMPANY INC            EQUITIES         589331107     2620    35203 SH
OTHER          8      14828        0    20375
D MEDICIS PHARMACEUTICAL         EQUITIES         584690309     6269   101950 SH
OTHER     3 5        101495        0      455
D MICROSOFT CORP                 EQUITIES         594918104    17692   293348 SH
OTHER      4 6       268536        0    24812
D MICRON TECHNOLOGY INC          EQUITIES         595112103     1227    26685 SH
OTHER    2            26585        0      100
D NUVEEN MUNICIPAL BOND FUND     MUTUAL FDS       67065Q202      454    50017 SH
SOLE                      0        0    50015
D NUVEEN INSURED MUNICIPAL BOND  MUTUAL FDS       67065Q509      462    43988 SH
SOLE                      0        0    43989
D NOKIA CORP (FINLAND)           EQUITIES         654902204    26203   658183 SH
OTHER   1    6       592420        0    65763
D NORFOLK SOUTHERN COMPANY       EQUITIES         655844108     1102    75390 SH
OTHER    2            75390        0        0
D NATL SEMICONDUCTOR CORP        EQUITIES         637640103     2838    70515 SH
OTHER    2            70515        0        0
D NORTEL NETWORKS CORPORATION    EQUITIES         656568102     1671    28058 SH
OTHER    2            23058        0     5000
D NET.B@NK INC                   Convertible Bond 64107JAA4      867  1142000
PRN      OTHER     3         1131000        0    11000
D NETRATINGS INCORPORATED        EQUITIES         64116M108     2080   110945 SH
OTHER       5        110700        0      245
D NEXTEL COMMUNICATIONS          EQUITIES         65332V103     1692    36200 SH
OTHER    2            36200        0        0
D BANC ONE CORPORATION           EQUITIES         06423A103     1627    42125 SH
OTHER    23           39925        0     2200
D ORACLE SYS CORP                EQUITIES         68389X105     4161    52841 SH
OTHER    2            50191        0     2650
D O'REILLY AUTOMOTIVE            EQUITIES         686091109      222    15200 SH
SOLE                  15200        0        0
D PALM INCORPORATED              EQUITIES         696642107      581    10986 SH
SOLE                  10786        0      200
D PEGASUS SYSTEMS INCORPORATED   EQUITIES         705906105     4101   209662 SH
OTHER       5        209094        0      579
D PUTNAM GLOBAL GROWTH FUND      MUTUAL FDS       746772102      265    16853 SH
SOLE                      0        0    16853
D PFIZER INC                     EQUITIES         717081103    22053   490767 SH
OTHER        6       458116        0    32655
D PROCTER AND GAMBLE             EQUITIES         742718109      755    11278 SH
SOLE                  10118        0     1161


 PAGE    4                                        FORM 13F: INFORMATION TABLE
DATE: 09/30/00

                                                             VALUE    SHARES/
SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 -TITLE OF CLASS- --CUSIP-- -x$1000-  PRN AMT
PRN CALL DSCRETN -MANAGERS-     SOLE   SHARED     NONE
                                 <C>
<C>
D PHONE.COM INCORPORATED         EQUITIES         71920Q100     1677    14765 SH
OTHER        6        14765        0        0
D PIONEER MID-CAP FUND CLASS A   MUTUAL FDS       723751103     5956   257293 SH
SOLE                      0        0   257289
D PMC SIERRA INCORPORATED        EQUITIES         69344F106    15075    70039 SH
OTHER        6        69944        0       95
D PROBUSINESS SERVICES           EQUITIES         742674104     6041   199730 SH
OTHER       5        199120        0      610
D PUTNAM DIVERSIFIED INCOME      MUTUAL FDS       746704204      331    32843 SH
SOLE                      0        0    32839
D PREMIER TECHNOLOGIES           Convertible Bond 74058FAC6     1303  2036000
PRN      OTHER     3         2022000        0    14000
D PUTNAM FL TAX EXEMPT FUND      MUTUAL FDS       746752104      469    52655 SH
SOLE                      0        0    52654
D QUALCOMM INCORPORATED          EQUITIES         747525103    10909   153122 SH
OTHER        6       144142        0     8980
D QUANTUM CORPORATION CONVERTIBL Convertible Bond 747906AC9      718   900000
PRN      OTHER     3          894000        0     6000
D QUICKLOGIC CORPORATION         EQUITIES         74837P108     2396   145270 SH
OTHER       5        144930        0      340
D RALSTON PURINA GROUP           EQUITIES         751277302      265    11200 SH
SOLE                      0        0    11200
D REDBACK NETWORKS INCORPORATED  EQUITIES         757209101     2175    13263 SH
OTHER        6        13263        0        0
D ROYAL DUTCH PETROLEUM COMPANY  EQUITIES         780257804     1343    22411 SH
OTHER   1     7        2335        0    20076
D RELIANT ENERGY INCORPORATED    EQUITIES         75952J108     1635    35165 SH
OTHER         7       35165        0        0
D RESMED INCORPORATED            EQUITIES         761152107     3941   126137 SH
OTHER       5        125847        0      290
D REMEDY CORPORATION             EQUITIES         759548100     1967   104240 SH
OTHER       5        103940        0      300
D RAINBOW TECHNOLOGIES INC       EQUITIES         750862104      700    19815 SH
SOLE                  19815        0        0
D MORGAN STANLEY DEAN WITTER     EQUITIES         616988101      250    15100 SH
SOLE                  15100        0        0
D RSL COMMUNICATIONS             EQUITIES         G7702U102      779   389965 SH
OTHER       5        389045        0      920
D SEARS ROEBUCK & CO             EQUITIES         812387108     1172    36160 SH
OTHER    2            36160        0        0
D SAP AKRIENGESELLSCHAFT         EQUITIES         803054204     1486    24175 SH
SOLE                      0        0    24175
D SBC COMMUNICATIONS INCORPORATE EQUITIES         78387G103     1581    31620 SH
OTHER      4          28855        0     2765
D SMITHKLINE BEECHAM (UK)        EQUITIES         832378301      987    14396 SH
SOLE                     41        0    14355
D SCHWAB CHARLES CORP NEW        EQUITIES         808513105    26423   744321 SH
OTHER        6       742746        0     1627
D SYCAMORE NETWORKS              EQUITIES         871206108     1497    13869 SH
OTHER       56        11419        0     2450
D SIEBEL SYSTEMS INCORPORATED    EQUITIES         826170102     5029    45186 SH
OTHER    2   6 8      44376        0      810
D SELIGMAN TAX EXEMPT SERIES TR  MUTUAL FDS       816351506      401    53623 SH
SOLE                      0        0    53624
D SHAW GROUP INCORPORATED (THE)  EQUITIES         820280105      897    12730 SH
OTHER         7       12730        0        0
D SHOLODGE 7.50% 5/1/04          Convertible Bond 825034AA9     1144  1858000
PRN      OTHER     3         1833000        0    25000
D USA EDUCATION INCORPORATED     EQUITIES         90390U102      799    16590 SH
OTHER         7       15340        0     1250
D SOLECTRON CORP                 EQUITIES         834182107     1121    24313 SH
SOLE                  22213        0     2100
D SONY CORP (JAPAN)              EQUITIES         835699307     1827    18110 SH
SOLE                     80        0    18030
D SOUTHERN CO\THE                EQUITIES         842587107      375    11575 SH
OTHER         7       10675        0      900
D SPORTSLINE USA INCORPORATED    EQUITIES         848934105     2310   167301 SH
OTHER     3 5        166856        0      445
D STUDENT ADVANTAGE              EQUITIES         86386Q105     1998   270980 SH
OTHER       5        270500        0      480
D SUN MICROSYSTEMS INC           EQUITIES         866810104     7245    62064 SH
OTHER        6 8      52654        0     9410
D SOUTHWEST BANCORPORATION       EQUITIES         84476R109      514    15748 SH
SOLE                      0        0    15748
D SOUTHWEST SECURITIES GROUP INC EQUITIES         845224104      345    11825 SH
SOLE                    166        0    11660
D STRYKER CORPORATION            EQUITIES         863667101      435    10150 SH
OTHER     3           10150        0        0
D AT&T CORPORATION               EQUITIES         001957109     1271    43273 SH
SOLE                  34036        0     9237
D TCI INTERNATIONAL INC          EQUITIES         872293105      326    36800 SH
SOLE                  36800        0        0
D TELEDYNE TECHNOLOGIES          EQUITIES         879360105      375    12900 SH
SOLE                  12900        0        0
D TEKTRONIX INCORPORATED         EQUITIES         879131100     1141    14860 SH
OTHER    2            14860        0        0
D MORGAN STANLEY DEAN WITTER     EQUITIES         61745P486      372    40301 SH
SOLE                  36601        0     3700
D TTM TECHNOLOGIES  INCORPORATED EQUITIES         87305R109     3300   140450 SH
OTHER       5        140080        0      370
D TITAN CORP                     EQUITIES         888266103      204    12400 SH
SOLE                   4000        0     8400
D CROWN CASTLE INTERNATIONAL     EQUITIES         228227104     1202    38700 SH
OTHER         7       38200        0      500
D TIME WARNER INC                EQUITIES         887315109      854    10915 SH
OTHER        6         9785        0     1130
D TEXACO INC                     EQUITIES         881694103      718    13679 SH
OTHER      4           7279        0     6400
D TEXAS INSTRUMENTS              EQUITIES         882508104     3364    71310 SH
OTHER    2   6        61800        0     9510
D TRI CONTL CORP                 EQUITIES         895436103      463    17745 SH
SOLE                  16451        0     1294


 PAGE    5                                        FORM 13F: INFORMATION TABLE
DATE: 09/30/00

                                                             VALUE    SHARES/
SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 -TITLE OF CLASS- --CUSIP-- -x$1000-  PRN AMT
PRN CALL DSCRETN -MANAGERS-     SOLE   SHARED     NONE
                                 <C>
<C>
D TYCO INTERNATIONAL LIMITED     EQUITIES         902124106     1790    34520 SH
OTHER         78      34220        0      300
D PROFUNDS ULTRA SMALL-CAP FUND  MUTUAL FDS       743185670     4558   175195 SH
SOLE                      0        0   175196
D UNOCAL                         EQUITIES         915289102      632    17854 SH
OTHER         7       17850        0        4
D PROFUNDS ULTRA OTC FUND        MUTUAL FDS       743185506     8428   124794 SH
OTHER    2     8          0        0   124795
D ACTION PERFORMANCE COS         Convertible Bond 004933AB3      506  1763000
PRN      OTHER     3         1755000        0     8000
D UNITED TECHNOLOGIES            EQUITIES         913017109     1477    21335 SH
OTHER    2 4  78      20735        0      600
D VIGNETTE CORPORATION           EQUITIES         926734104      979    32803 SH
OTHER        6        32178        0      625
D VAN KAMPEN AMERICAN CAPITAL    EQUITIES         920957107      244    37318 SH
SOLE                  34018        0     3300
D VODAFONE GROUP PLC ADR         EQUITIES         92857W100     1640    44347 SH
OTHER   1      8      14460        0    29887
D VERISIGN INCORPORATED          EQUITIES         92343E102     4686    23137 SH
OTHER        6 8      22282        0      855
D VERITAS SOFTWARE COMPANY       EQUITIES         923436109     2851    20082 SH
OTHER        6 8      18153        0     1935
D VARIAN SEMICONDUCTOR           EQUITIES         922207105     3846   102740 SH
OTHER       5        102455        0      285
D VAN KAMPEN AMERICAN CAPITAL    EQUITIES         920961109     1870   213797 SH
SOLE                   3100        0   210697
D VERIZON COMMUNICATIONS         EQUITIES         92343V104     1403    28980 SH
OTHER      4  7       25418        0     3563
D WORLDCOM INCORPORATED          EQUITIES         98157D106     2922    96201 SH
OTHER        67       58623        0    37587
D WAL MART STORES INC            EQUITIES         931142103     3008    62506 SH
OTHER    2     8      46051        0    16455
D EXXON CORPORATION              EQUITIES         30231G102     3439    38590 SH
OTHER    2     8      24203        0    14387
D XEROX CORP                     EQUITIES         984121103      923    61310 SH
OTHER    2            50060        0    11250
D YAHOO INCORPORATED             EQUITIES         984332106     1830    20119 SH
OTHER        6        11104        0     9015
D ZEBRA TECHNOLOGY CORP CLASS A  EQUITIES         989207105     5668   117934 SH
OTHER       5        117599        0      335
S REPORT SUMMARY                224 DATA RECORDS              852691
8 OTHER MANAGERS ON WHOSE BEHALF REPORT IS FILED




 PAGE    6                                        FORM 13F: INFORMATION TABLE
DATE: 09/30/00

                                                             VALUE    SHARES/
SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 -TITLE OF CLASS- --CUSIP-- -x$1000-  PRN AMT
PRN CALL DSCRETN -MANAGERS-     SOLE   SHARED     NONE
                                 <C>
<C>
IAS1           Awad Asset Mgt.                  AWAD
IAS1           Berkeley Capital Mgt.            BER
IAS1           Brandes Investment Partners      BII
IAS1           Davis Selected Advisers          DAV
IAS1           Harris Bretall Sullivan Smith    HAR
IAS1           INVESCO                          INV
IAS1           J & W Seligman & Co.             JWS
IAS1           Jurika & Voyles                  JUR
IAS1           Kayne Anderson Investment Mgt.   KAY
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           Rorer Asset Mgt.                 ROR
IAS1           Roxbury Capital Mgt.             RCM
IAS1           Sovereign Advisers               SOV
IAS1           Sovereign Advisers - Fixed       SOVM
IAS1           Systematic Financial Mgt.        SYS
IAS1           Wentworth Hauser & Violich       WEN
IAS1           Wilson/Bennett Capital Mgt.      WB
IAS1           Wood Asset Management            WOOD
IAS201         Blairlogie Capital Mgt.          BLE
IAS202         Cambridge Financial Group        CFG
IAS203         Cummer/Moyers Capital Advisors   CM
IAS204         Equity Investment Corp.          EIC
IAS205         J.M. Hartwell                    JMH
IAS206         NewBridge Partners               NB
IAS207         Hollister                        HOL
IAS208         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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