DOWDLE JEFFREY A
13F-HR, 2000-02-08
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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:  12/31//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
801-24241                                   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.

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









































                                                    FORM 13F SUMMARY PAGE


Report Summary:


Number of Other Included Managers:                 8

Form 13F Information Table Entry Total:            172

Form 13F Information Table Value Total:            $534,914  (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: 12/31/99

                                                             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 APPLE COMPUTER INC             EQUITIES         037833100     2653    25805 SH       OTHER    2            25805        0        0
D ADTRAN INC                     EQUITIES         00738A106      565    11000 SH       SOLE                      0        0    11000
D ALLIANCE MUNICIPAL INCOME II   MUTUAL FDS       01864E102      309    32563 SH       SOLE                      0        0    32562
D SAGA SYSTEMS INCORPORATED      EQUITIES         786610105     2093   105015 SH       OTHER       5        104400        0      615
D AMER INTL GROUP                EQUITIES         026874107    12614   116662 SH       OTHER        678     116498        0      211
D NEW PERSPECTIVE FUND INC M/F   MUTUAL FDS       648018109      328    11174 SH       SOLE                      0        0    11174
D AMERICA ONLINE INCORPORATED    EQUITIES         02364J104    23537   310217 SH       OTHER        6       217329        0    92888
D APOLLO GROUP INCORPORATED      EQUITIES         037604105      440    21960 SH       OTHER          8      20340        0     1620
D AC NIELSEN CORP                EQUITIES         004833109     1918    77905 SH       OTHER       5         77475        0      430
D ALLTEL CORP                    EQUITIES         020039103     1193    14436 SH       SOLE                      0        0    14436
D ALLEGHENY TECHNOLOGIES         EQUITIES         01741R102      313    13975 SH       OTHER    2            13990        0        0
D BOEING COMPANY                 EQUITIES         097023105     1074    25925 SH       OTHER     3            1000        0    24925
D BANK OF AMERICA CORPORATION    EQUITIES         060505104      685    13652 SH       OTHER    2     8      13552        0      100
D BB&T CORPORATION               EQUITIES         054937107      408    14934 SH       OTHER          8      13725        0     1209
D BELL ATLANTIC CORP             EQUITIES         077853109      983    15977 SH       OTHER    2            15577        0      400
D BMC SOFTWARE INC               EQUITIES         055921100    10409   130224 SH       OTHER        6       130054        0      170
D BRISTOL MYERS SQUIBB           EQUITIES         110122108     1378    21475 SH       OTHER    2            21025        0      450
D BP AMOCO PLC                   EQUITIES         055622104     1136    19165 SH       OTHER          8        330        0    18835
D B P PRUDHOE BAY ROYALTY        EQUITIES         055630107      597    65950 SH       SOLE                  43750        0    22200
D BROADCOM CORPORATION           EQUITIES         111320107     8755    32146 SH       OTHER       56        32006        0      140
D CITIGROUP INCORPORATED         EQUITIES         172967101    14753   264931 SH       OTHER        678     253159        0    11797
D CAPSTAR HOTEL CORPORATION      Convertible Bond 140918AC7      378   487000 PRN      OTHER     3          478000        0     9000
D CASEY'S GENERAL STORES INC     EQUITIES         147528103      351    33670 SH       OTHER          8      30805        0     2865
D CATERPILLAR INC                EQUITIES         149123101     1995    42398 SH       OTHER         7       26510        0    15888
D CIRCUIT CITY STORES            EQUITIES         172737108      645    14330 SH       OTHER    2            14330        0        0
D CLEAR CHANNEL COMM             EQUITIES         184502102    10786   120855 SH       OTHER        6       120710        0      145
D C D W COMPUTER CENTERS         EQUITIES         125129106     2417    30750 SH       OTHER       5         30570        0      180
D CONCORD EFS INCORPORATED       EQUITIES         206197105     1705    66251 SH       OTHER      45         65729        0      525
D CONSOLIDATED GRAPHICS INC      EQUITIES         209341106      376    25230 SH       OTHER       5         25230        0        0
D CHEVRON CORP                   EQUITIES         166751107     1358    15679 SH       OTHER    2            14685        0      995
D CLEARNET COMMUNICATIONS INC    EQUITIES         184902104     3053    88835 SH       OTHER       5         88200        0      635
D COMCAST CL A SPECIAL           EQUITIES         200300200     2237    44260 SH       OTHER    2            42560        0     1700
D CMG INFORMATION SERVICES INC   EQUITIES         125750109    12379    44712 SH       OTHER        6        41727        0     2985
D CLAYTON HOMES INCORPORATED     EQUITIES         184190106      207    22590 SH       OTHER      4          22590        0        0
D COMAIR HOLDINGS INCORPORATED   EQUITIES         199789108      579    24799 SH       OTHER          8      22722        0     2106
D COMPAQ COMPUTER INC            EQUITIES         204493100     1240    45853 SH       SOLE                   5700        0    40153
D COMPUTER SCIENCES              EQUITIES         205363104     1001    10588 SH       OTHER          8       9830        0      758
D CISCO SYSTEMS INC              EQUITIES         17275R102    22975   214473 SH       OTHER    2   6       188298        0    26176
D DUPONT, E.I. & CO              EQUITIES         263534109     1743    26473 SH       OTHER          8      24489        0     1984
D DELL COMPUTER CORPORATION      EQUITIES         247025109    15290   299816 SH       OTHER        6       277696        0    22120
D DIAGEO PLC  (U K)              EQUITIES         25243Q205      913    28541 SH       OTHER   1              5570        0    22971
D DII GROUP INCORPORATED         EQUITIES         232949107     2638    37185 SH       OTHER       5         36990        0      195
D DISNEY WALT CO                 EQUITIES         254687106     1492    51029 SH       SOLE                   4725        0    46304
D DIAMOND OFFSHORE DRILLING      EQUITIES         25271C102      451    14760 SH       SOLE                      0        0    14760
D DELPHI AUTOMOTIVE SYSTEMS      EQUITIES         247126105      475    30174 SH       OTHER    2    7       29257        0      917
D DURA PHARMACEUTICALS           Convertible Bond 26632SAA7      380   468000 PRN      OTHER     3          461000        0     7000
D EASTMAN KODAK CO               EQUITIES         277461109     1131    17086 SH       SOLE                  16916        0      170
D ELAN CORP (IRELAND)            EQUITIES         284131208      850    28820 SH       OTHER          8      23360        0     5460
D E M C CORP                     EQUITIES         268648102    23166   212054 SH       OTHER    2   6       204445        0     7612
D ERICSSON TEL (SWEDEN)          EQUITIES         294821400     4392    66875 SH       OTHER   1     7        9695        0    57180
D ESC MEDICAL SYSTEMS            Convertible Bond 269025AB8      404   557000 PRN      OTHER     3          552000        0     5000


 PAGE    2                                        FORM 13F: INFORMATION TABLE                                         DATE: 12/31/99

                                                             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 ETEC SYSTEMS INCORPORATED      EQUITIES         26922C103     1946    43385 SH       OTHER       5         43115        0      270
D EVERGREEN RESOURCES INC NEW    EQUITIES         299900308     1549    78440 SH       OTHER       5         78040        0      400
D EATON VANCE MARATHON FLORIDA   MUTUAL FDS       27826H636      527    54931 SH       SOLE                      0        0    54931
D FORD MOTOR CO                  EQUITIES         345370100      735    13793 SH       OTHER    2            13593        0      200
D FURNITURE BRANDS INTERNATIONAL EQUITIES         360921100      388    17665 SH       OTHER          8      16605        0     1060
D FIRST COMMONWEALTH FND         EQUITIES         31983F102      314    34180 SH       OTHER     3           33780        0      400
D FAIRCHILD SEMICONDUCTOR        EQUITIES         303726103     1366    45930 SH       OTHER       5         45625        0      305
D FIRST DATA CORPORATION         EQUITIES         319963104      551    11175 SH       OTHER         7       11175        0        0
D FRANKLIN INSURED FLORIDA TAX   MUTUAL FDS       354723694      237    24663 SH       SOLE                      0        0    24662
D FRANKLIN ADJUSTABLE US GOVT    MUTUAL FDS       353612302     1388   149785 SH       SOLE                      0        0   149787
D FRANKLIN CALIFORNIA 250 GROWTH MUTUAL FDS       35251D103     8434   178320 SH       SOLE                      0        0   178319
D FED NATL MTG ASSN              EQUITIES         313586109     7599   121710 SH       OTHER     3  678     120785        0      925
D FRANKLIN SHORT TERM INTER-     MUTUAL FDS       353612203      264    26478 SH       SOLE                      0        0    26478
D FRANKLIN SMALL CAP GROWTH FUND MUTUAL FDS       354713109    29254   662924 SH       SOLE                      0        0   662922
D FIRSTAR CORPORATION            EQUITIES         33763V109      485    22970 SH       OTHER          8      18530        0     4440
D GENERAL ELEC CO                EQUITIES         369604103     5061    32708 SH       OTHER    2     8      18274        0    14434
D GERMANY FUND INC               EQUITIES         374143105      569    37667 SH       SOLE                      0        0    37667
D GLOBAL HIGH INC DOLLAR         EQUITIES         37933G108      402    35545 SH       OTHER     3           33706        0     1840
D GEN MTRS CORP                  EQUITIES         370442105     2219    30531 SH       OTHER    2            30046        0      485
D GEORGIA PACIFIC CORP           EQUITIES         373298108      940    18535 SH       OTHER     3    8      17890        0      645
D GOODYEAR TIRE & RUB            EQUITIES         382550101      622    22198 SH       SOLE                  20158        0     2040
D HOME DEPOT INC                 EQUITIES         437076102    16824   244719 SH       OTHER        6       241998        0     3031
D HARLEY DAVIDSON INC            EQUITIES         412822108     4689    73205 SH       OTHER        6        72610        0      595
D HARRAHS ENTERTAINMENT          EQUITIES         413619107      492    18615 SH       OTHER    2            18615        0        0
D HON INDUSTRIES INCORPORATED    EQUITIES         438092108      220    10040 SH       OTHER      4          10040        0        0
D H J HEINZ                      EQUITIES         423074103      410    10315 SH       OTHER    2            10315        0        0
D HEWLETT PACKARD CO             EQUITIES         428236103     3558    31281 SH       OTHER          8       8505        0    22776
D IBM CORP                       EQUITIES         459200101     2670    24756 SH       OTHER    2     8      21546        0     3210
D INTEL CORPORATION              EQUITIES         458140100    16261   197564 SH       OTHER        67      169533        0    28031
D INTEGRART PROCESS EQUIPMENT    Convertible Bond 45812KAD0      232   324000 PRN      OTHER     3          324000        0        0
D INTL PAPER CORP                EQUITIES         460146103     1393    24693 SH       SOLE                  23963        0      730
D JABIL CIRCUIT INCORPORATED     EQUITIES         466313103      928    12720 SH       OTHER          8      11805        0      915
D JDS UNIPHASE CORPORATION       EQUITIES         46612J101     9226    57199 SH       OTHER       56        56649        0      550
D JONES PHARMACEUTICAL           EQUITIES         480236108     2462    56688 SH       OTHER       5         56314        0      375
D JOHNSON & JOHNSON              EQUITIES         478160104     1498    16070 SH       OTHER          8      12089        0     3981
D J P MORGAN & CO INC            EQUITIES         616880100     1560    12323 SH       SOLE                   7110        0     5213
D AT&T CORPORATION               EQUITIES         001957208     6007   105735 SH       OTHER        67      105595        0      140
D LORAL SPACE & COMMUNICATIONS   EQUITIES         G56462107      408    16801 SH       OTHER         7       12035        0     4766
D LOWES COMPANIES INC            EQUITIES         548661107     1221    20437 SH       OTHER          8      18797        0     1640
D L S I LOGIC CORP               EQUITIES         502161102     2057    30475 SH       OTHER    2            30475        0        0
D LUCENT TECHNOLOGIES            EQUITIES         549463107     3208    42782 SH       OTHER    2            36484        0     6298
D SOUTHWEST AIRLINES             EQUITIES         844741108      423    26286 SH       OTHER          8      23969        0     2317
D MFS FLORIDA MUNICIPAL BOND     MUTUAL FDS       55273N764      211    22658 SH       SOLE                      0        0    22658
D BANK OF TOKYO MITSUBISHI       EQUITIES         065379109      286    20535 SH       OTHER   1             19455        0     1080
D MEMBERWORKS INCORPORATED       EQUITIES         586002107     1754    52875 SH       OTHER       5         52610        0      265
D MCDONALDS CORP                 EQUITIES         580135101      844    20951 SH       SOLE                   3790        0    17161
D MEDTRONIC INC                  EQUITIES         585055106     9795   268832 SH       OTHER        6       268512        0      320
D MERRILL LYNCH & CO             EQUITIES         590188108    10017   120240 SH       OTHER     3  6       119580        0      660
D MFS EMERGING GROWTH FUND       MUTUAL FDS       552985103     4163    62519 SH       SOLE                      0        0    62519
D MFS FLORIDA MUNICIPAL BOND     MUTUAL FDS       55273N509      528    56618 SH       SOLE                      0        0    56619
D MILLICOM INTL CELLULAR SA      EQUITIES         L6388F102     2971    47645 SH       OTHER       5         47245        0      400


 PAGE    3                                        FORM 13F: INFORMATION TABLE                                         DATE: 12/31/99

                                                             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 MARTIN MARIETTA MATERIALS      EQUITIES         573284106      433    10565 SH       OTHER          8       9655        0      910
D MINNESOTA MNG & MFG            EQUITIES         604059105     1585    16197 SH       OTHER    2    7       16197        0        0
D PHILIP MORRIS CO               EQUITIES         718154107      480    20873 SH       SOLE                  19963        0      910
D MERCK & COMPANY INC            EQUITIES         589331107     2224    33107 SH       SOLE                  11520        0    21587
D MEDICIS PHARMACEUTICAL         EQUITIES         584690309     2202    51741 SH       OTHER       5         51286        0      455
D MICROSOFT CORP                 EQUITIES         594918104    18191   155819 SH       OTHER        6       133783        0    22036
D NETWORK ACCESS SOLUTIONS       EQUITIES         64120S109      332    10080 SH       OTHER         7       10080        0        0
D NOKIA CORP (FINLAND)           EQUITIES         654902204    19577   102468 SH       OTHER   1    6        86835        0    15633
D NOVELL INC                     EQUITIES         670006105      644    16150 SH       SOLE                      0        0    16150
D NORFOLK SOUTHERN COMPANY       EQUITIES         655844108      383    18700 SH       OTHER    2            18700        0        0
D NATL SEMICONDUCTOR CORP        EQUITIES         637640103     3511    82015 SH       OTHER    2            82015        0        0
D NORTEL NETWORKS CORPORATION    EQUITIES         656569100     1890    18715 SH       OTHER    2            17375        0     1340
D NET.B@NK INC                   Convertible Bond 64107JAA4      365   465000 PRN      OTHER     3          465000        0        0
D NEXTEL COMMUNICATIONS          EQUITIES         65332V103     2141    20770 SH       OTHER    2            20770        0        0
D BANC ONE CORPORATION           EQUITIES         06423A103      541    16925 SH       OTHER    2            16650        0      275
D ORACLE SYS CORP                EQUITIES         68389X105     3077    27464 SH       OTHER    2            25864        0     1600
D PEGASUS SYSTEMS INCORPORATED   EQUITIES         705906105     1508    25010 SH       OTHER       5         24875        0      135
D PFIZER INC                     EQUITIES         717081103     8417   259509 SH       OTHER        6       236979        0    22530
D PETROLEUM GEO-SERVICES A/S     EQUITIES         716597109     1043    58575 SH       OTHER   1   5         57985        0      590
D YROBUSINESS SERVICES           EQUITIES         742674104     1752    48675 SH       OTHER       5         48415        0      260
D PROFIT RECOVERY GROUP          EQUITIES         743168106     1093    41172 SH       OTHER       5         40932        0      240
D PREMIER TECHNOLOGIES           Convertible Bond 74058FAC6     1036  1815000 PRN      OTHER     3         1801000        0    14000
D PUTNAM FL TAX EXEMPT FUND      MUTUAL FDS       746752104      551    63414 SH       SOLE                      0        0    63413
D QUALCOMM INCORPORATED          EQUITIES         747525103     6796    38591 SH       OTHER    2   6        33411        0     5180
D RENAL CARE GROUP INCORPORATED  EQUITIES         759930100     1613    69040 SH       OTHER       5         68595        0      445
D ROYAL DUTCH PETROLEUM COMPANY  EQUITIES         780257804     1062    17546 SH       OTHER   1              2310        0    15236
D REPTRON ELECTRONICS INC        Convertible Bond 76026WAA7      268   512000 PRN      OTHER     3          503000        0     9000
D RESMED INCORPORATED            EQUITIES         761152107     2421    58000 SH       OTHER       5         57635        0      365
D RAINBOW TECHNOLOGIES INC       EQUITIES         750862104     1239    53330 SH       SOLE                  52030        0     1300
D RSL COMMUNICATIONS             EQUITIES         G7702U102     1488    86930 SH       OTHER       5         86080        0      850
D SEARS ROEBUCK & CO             EQUITIES         812387108      777    25610 SH       OTHER     3           25340        0      270
D SAFECO CORPORATION             EQUITIES         786429100      274    11050 SH       SOLE                      0        0    11050
D SAP AKRIENGESELLSCHAFT         EQUITIES         803054204     1282    24635 SH       OTHER         7        4925        0    19710
D SMITHKLINE BEECHAM (UK)        EQUITIES         832378301      733    11440 SH       SOLE                      0        0    11440
D SCHWAB CHARLES CORP NEW        EQUITIES         808513105    10469   273706 SH       OTHER        6       272242        0     1464
D SUNGARD DATA SYSTEMS           EQUITIES         867363103      708    29825 SH       OTHER      4   8      28105        0     1720
D STERLING COMMERCE INCORPORATED EQUITIES         859205106     1738    51125 SH       OTHER       5         50800        0      325
D SELIGMAN TAX EXEMPT SERIES TR  MUTUAL FDS       816351506      637    88893 SH       SOLE                      0        0    88894
D SELIGMAN HIGH-YIELD BOND FUND  MUTUAL FDS       816336309     1520   242871 SH       SOLE                      0        0   242871
D SHOLODGE 7.50% 5/1/04          Convertible Bond 825034AA9     1379  2211000 PRN      OTHER     3         2186000        0    25000
D SARA LEE                       EQUITIES         803111103      378    17135 SH       OTHER          8      17135        0        0
D SOLECTRON CORP                 EQUITIES         834182107     1281    13475 SH       OTHER        678      12635        0      840
D ST PAUL COMPANIES INC          EQUITIES         792860108      402    11946 SH       OTHER          8      11712        0      234
D SPORTSLINE USA INCORPORATED    EQUITIES         848934105     1955    39010 SH       OTHER     3 5         38770        0      240
D STERLING SOFTWARE INCORPORATED EQUITIES         859547101     2053    65205 SH       OTHER       5         64705        0      500
D STUDENT ADVANTAGE              EQUITIES         86386Q105     2044    92135 SH       OTHER       5         91655        0      480
D STAMPS.COM INCORPORATED        EQUITIES         852857101     1220    29320 SH       OTHER       5         29165        0      155
D SUN MICROSYSTEMS INC           EQUITIES         866810104     4404    56878 SH       OTHER        6 8      38228        0    18650
D SOUTHWEST BANCORPORATION       EQUITIES         84476R109      312    15748 SH       SOLE                      0        0    15748
D SOUTHWEST SECURITIES GROUP INC EQUITIES         845224104      303    11177 SH       SOLE                    247        0    10930
D AT&T CORPORATION               EQUITIES         001957109     2339    46045 SH       OTHER         78      24649        0    21399


 PAGE    4                                        FORM 13F: INFORMATION TABLE                                         DATE: 12/31/99

                                                             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 TANDY CORP                     EQUITIES         875382103      888    18055 SH       OTHER    2            18055        0        0
D THORNBURG FLORIDA INTERMEDIATE MUTUAL FDS       885215707      526    45260 SH       SOLE                      0        0    45262
D TELLABS INCORPORATED           EQUITIES         879664100     8794   137013 SH       OTHER        6       136633        0      380
D TITAN CORP                     EQUITIES         888266103      487    10300 SH       SOLE                  10300        0        0
D TUT SYSTEMS INCORPORATED       EQUITIES         901103101     1168    21790 SH       OTHER       5         21660        0      130
D TEXAS INSTRUMENTS              EQUITIES         882508104     1813    18765 SH       OTHER    2   6        13185        0     5580
D TYCO INTERNATIONAL LIMITED     EQUITIES         902124106      668    17140 SH       OTHER         78      15940        0     1200
D UNISYS CORP                    EQUITIES         909214108     1136    35595 SH       OTHER    2            35295        0      300
D UNION CARBIDE CORP             EQUITIES         905581104     1201    18005 SH       SOLE                  18005        0        0
D ACTION PERFORMANCE COS         Convertible Bond 004933AB3      551  1035000 PRN      OTHER     3         1027000        0     8000
D VODAFONE GROUP PLC ADR         EQUITIES         92857T107     1040    21030 SH       SOLE                   1500        0    19530
D VAN KAMPEN AMERICAN CAPITAL    EQUITIES         920961109     2147   264296 SH       SOLE                   1900        0   262396
D WALGREEN CO                    EQUITIES         931422109      296    10122 SH       SOLE                  10122        0        0
D WATERS CORPORATION             EQUITIES         941848103      742    14005 SH       OTHER          8      12875        0     1130
D MCI WORLDCOM INCORPORATED      EQUITIES         55268B106     2884    54353 SH       OTHER        67       23946        0    30439
D WILLIAMS COMPANIES             EQUITIES         969457100      508    16633 SH       SOLE                    800        0    15833
D WAL MART STORES INC            EQUITIES         931142103     3797    54935 SH       OTHER    2     8      49305        0     5630
D EXXON CORPORATION              EQUITIES         30231G102     3146    39057 SH       OTHER    2     8      29243        0     9814
D YAHOO INCORPORATED             EQUITIES         984332106     4651    10750 SH       SOLE                    275        0    10475
S REPORT SUMMARY                172 DATA RECORDS              534914            8 OTHER MANAGERS ON WHOSE BEHALF REPORT IS FILED




 PAGE    5                                        FORM 13F: INFORMATION TABLE                                         DATE: 12/31/99

                                                             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           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
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

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