FORM 13F
Report for the Quarter Ended: March 31, 1999
Albriond Capital Management, LLC
Name of Institutional Investment Manager
55 East 59th Street, New York, NY
Business Address: (Street) (City) (State)
(Zip)
Alan B. Bond, (212-752-0900), President & Chief Investment
Officer
Name, Phone No. and Title of Person Duly Authorized to Submit
this Report
(Name of Institutional Investment Manager
(Manual Signature of Person Duly Authorized to
Submit This Report)
Other Included Managers: 0
Total Market Value: $626,622
Total Shares: 32,464
FORM 13F INFORMATION TABLE
TYPE
OF VALUE SHARES/ INVSTMT
OTHER VOTING AUTHORITY
NAME OF ISSUER CLASS CUSIP (X$1000) PAR
VALUDSCRETNMANAGERSSOLESHARED NONE
AT&T CORP. COM 00195710 20,463,919 256,398 SOLE
SOLE
ABERCROMBIE & FITCH CO CL-A COM 00289620 2,011,050 21,800 SOLE
SOLE
AIRTOUCH COMM COM 00949T10 17,527,775 181,400 SOLE
SOLE
ALTERA CORP. COM 02144110 2,252,075 37,850 SOLE
SOLE
AMAZON.COM, INC. COM 02313510 1,489,426 8,650 SOLE
SOLE
AMERICA 0N-LINE INC COM 02364J10 29,472,030 200,490 SOLE
SOLE
AMERICAN EXPRESS CO COM 02581610 15,232,729 129,365 SOLE
SOLE
APPLIED MATERIALS COM 03822210 15,193,754 246,300 SOLE
SOLE
ARCHER DANIELS 6.25% DUE 5/15/DEBT 039483AL 1,822,2121,800,00 SOLE
SOLE
AT HOME CORP. COM 04591910 1,134,000 7,200 SOLE
SOLE
BK OF BOSTON 6.625% DUE 2/01/2DEBT 060716BR 511,265 500,000 SOLE
SOLE
BEST BUY CO. INC. COM 08651610 1,341,600 25,800 SOLE
SOLE
BIOGEN INC. COM 09059710 18,815,920 164,600 SOLE
SOLE
BROADCAST.COM COM 11131010 590,940 5,000 SOLE
SOLE
CVS CORP. COM 12665010 14,005,375 294,850 SOLE
SOLE
CARNIVAL CORP-CL A COM 14365810 18,032,899 371,330 SOLE
SOLE
CENTURY TELEPHONE COM 15668610 15,237,225 216,900 SOLE
SOLE
CHAPMAN CAP MGMT HLD COM 15950810 2,743,500 372,000 SOLE
SOLE
CHAPMAN HOLDINGS COM 15951610 1,553,500 239,000 SOLE
SOLE
CHASE MANHATTAN CORP COM 16161A10 16,820,213 206,700 SOLE
SOLE
CISCO SYSTEMS COM 17275R10 21,526,371 196,475 SOLE
SOLE
CINTAS CORP COM 17290810 1,153,869 17,650 SOLE
SOLE
CLOROX CO COM 18905410 13,866,856 118,300 SOLE
SOLE
COCA COLA COMPANY COM 19121610 373,467 6,085 SOLE
SOLE
COLGATE PALMOLIVE CO COM 19416210 257,600 2,800 SOLE
SOLE
COMCAST CORP CL A COM 20030010 3,154,950 51,300 SOLE
SOLE
COMPAQ COMPUTER CORP COM 20449310 627,422 19,800 SOLE
SOLE
COORS ADOLPH CO-CL B COM 21701610 1,620,000 30,000 SOLE
SOLE
CORNING INC. COM 21935010 17,484,000 291,400 SOLE
SOLE
DELL COMPUTER CORP COM 24702510 12,985,170 317,680 SOLE
SOLE
DIAL CORP ARIZ COM 25247D10 897,188 26,100 SOLE
SOLE
DISNEY WALT CO COM 25468710 421,744 13,550 SOLE
SOLE
EMC CORP. MASS COM 26864810 12,915,525 101,100 SOLE
SOLE
E*TRADE GROUP, INC. COM 26924610 1,580,282 27,100 SOLE
SOLE
FAMILY DOLLAR STORES COM 30700010 2,439,150 106,050 SOLE
SOLE
FED HOME LN BK 5.69% DUE 6/19DEBT 3133M4RE 1,205,2561,200,00 SOLE
SOLE
FED HOME LOAN MTG CO COM 31340030 8,795,253 153,460 SOLE
SOLE
FISERV, INC. COM 33773810 2,220,075 41,400 SOLE
SOLE
GAP INC DEL COM 36476010 19,920,741 266,230 SOLE
SOLE
GENERAL ELECTRIC CO COM 36960410 18,122,366 163,818 SOLE
SOLE
GILLETTE CO COM 37576610 582,790 9,805 SOLE
SOLE
GUIDANT CORP COM 40169810 16,189,800 267,600 SOLE
SOLE
HARLEY DAVIDSON COM 41282210 1,635,187 28,500 SOLE
SOLE
HOME DEPOT INC COM 43707610 17,328,844 278,375 SOLE
SOLE
INTEL CORP COM 45814010 11,460,739 96,410 SOLE
SOLE
INTL BUS MACHINES COM 45920010 490,983 2,770 SOLE
SOLE
KANSAS CITY SOUTHERN COM 48517010 2,288,550 40,150 SOLE
SOLE
LEXMARK INTL GRP INC. CL-A COM 52977110 2,231,906 19,950 SOLE
SOLE
LOWES COS INC COM 54866110 2,153,800 35,600 SOLE
SOLE
LUCENT TECHNOLOGIES COM 54946310 13,223,088 122,436 SOLE
SOLE
MCI WORLDCOM INC COM 55268B10 23,221,220 262,200 SOLE
SOLE
MAYTAG CORP COM 57859210 19,175,100 317,600 SOLE
SOLE
MERCK & CO INC COM 58933110 20,615,201 257,288 SOLE
SOLE
MICROSOFT CORP COM 59891810 16,747,507 186,862 SOLE
SOLE
NEW YORK TEL 5.875% DUE 9/01/2DEBT 650094BY 1,007,4501,000,00 SOLE
SOLE
NORWEST FINL 6.125% DUE 8/01/2DEBT 669383CN 303,171 300,000 SOLE
SOLE
OFFICE DEPOT COM 67622010 2,216,330 59,200 SOLE
SOLE
PACIFIC G&E 6.25% DUE 3/01/200DEBT 694308FA 254,417 250,000 SOLE
SOLE
PFIZER INC COM 71708110 24,765,210 178,488 SOLE
SOLE
PROVIDIAN FINANCIAL COM 74406A10 8,646,000 78,600 SOLE
SOLE
SAFEWAY STORES INC COM 78651420 13,713,296 267,248 SOLE
SOLE
SCHERING PLOUGH CORP COM 80660510 19,280,040 348,960 SOLE
SOLE
SIEBEL SYSTEMS INC. COM 82617010 883,500 18,600 SOLE
SOLE
STANDARD CC MASTR TR DEBT 85333JBA 245,051 245,000 SOLE
SOLE
ABS SER 93-3 CL A 5.50% DUE 2/07/2000
SOLE
TCA CABLE TV INC. COM 87224110 809,100 18,600 SOLE
SOLE
TELLABS COM 87966410 22,700,972 232,235 SOLE
SOLE
TYCO LABS COM 90212410 2,245,775 31,300 SOLE
SOLE
UNION PACIFIC 6.125% DUE 1/15/DEBT 907818AS 396,948 400,000 SOLE
SOLE
U.S. T-BILL DUE 6/24/1999 DEBT 912795BY 1,682,4561,700,00 SOLE
SOLE
U.S. T-BILL DUE 7/22/1999 DEBT 912795BZ 1,972,4002,000,00 SOLE
SOLE
U.S. T-BILL DUE 8/05/1999 DEBT 912795CJ 246,100 250,000 SOLE
SOLE
U.S. T-BILL DUE 1/06/2000 DEBT 912795DB 1,158,3601,200,00 SOLE
SOLE
U.S. T-BILL DUE 2/03/2000 DEBT 912795DF 1,202,1251,250,00 SOLE
SOLE
US TSY 7.25% DUE 5/15/2016 DEBT 912810DW 344,250 300,000 SOLE
SOLE
US TSY 6.00% DUE 2/15/2026 DEBT 912810EW 1,017,5001,000,00 SOLE
SOLE
US TSY 5.50% DUE 8/15/2028 DEBT 912810FE 717,893 750,000 SOLE
SOLE
US TSY NOTE 6.25% DUE 2/28/200DEBT 9128272L 205,938 200,000 SOLE
SOLE
US TSY NOTE 5.875% DUE 9/30/20DEBT 9128273J 204,438 200,000 SOLE
SOLE
US TSY 5.75% DUE 11/30/2002 DEBT 9128273Q 712,907 700,000 SOLE
SOLE
US TSY 5.50% DUE 1/31/2003 DEBT 9128273V 757,969 750,000 SOLE
SOLE
US TSY 5.375% DUE 2/15/2001 DEBT 9128273W 1,026,7011,020,00 SOLE
SOLE
US TSY 5.50% DUE 2/15/2008 DEBT 9128273X 1,010,3101,000,00 SOLE
SOLE
US TSY 5.50% DUE 2/29/2000 DEBT 9128273Y 1,759,8441,750,00 SOLE
SOLE
US TSY 5.50% DUE 2/28/2003 DEBT 9128273Z 757,732 750,000 SOLE
SOLE
US TSY 6.625% DUE 5/15/2008 DEBT 9128274F 1,780,6251,750,00 SOLE
SOLE
US TSY 7.500% DUE 8/15/2002 DEBT 912827F4 213,312 200,000 SOLE
SOLE
US TSY 6.375% DUE 8/15/2002 DEBT 912827G5 336,781 325,000 SOLE
SOLE
US TSY 6.375% DUE 1/15/2000 DEBT 912827J3 404,500 400,000 SOLE
SOLE
US TSY NOTE 5.75% DUE 8/15/200DEBT 912827L8 255,000 250,000 SOLE
SOLE
US TSY NOTE 6.125% DUE 7/31/20DEBT 912827U6 202,938 200,000 SOLE
SOLE
US TSY NOTE 5.625% DUE 2/28/20DEBT 912827X2 202,188 200,000 SOLE
SOLE
WAL MART STORES COM 93114210 22,401,685 243,000 SOLE
SOLE
WAL MART 5.875% DUE 10/15/2005DEBT 931142AT 200,688 200,000 SOLE
SOLE
WATSON PHARMACY COM 94268310 1,103,125 25,000 SOLE
SOLE
XEROX CORP COM 98412110 2,157,975 41,400 SOLE
SOLE
YAHOO COM 98433210 1,057,395 6,280 SOLE
SOLE
ZION BANCORP COM 98970110 897,750 13,500 SOLE
SOLE
REPORT TOTAL 626,621,57532,463,918