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>