ALBRIOND CAPITAL MANAGEMENT LLC/NY
13F-HR, 1999-08-18
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FORM 13F







Report for the Quarter Ended:		June 30, 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:	$617,340,560



Total Shares:		  36,312



                                    FORM 13F INFORMATION TABLE











TYPE








OF

VALUE
SHARES/
INVSTMT
OTHER

VOTING AUTHORITY
NAME OF ISSUER
CLASS
CUSIP
(X$1000)
PAR VALUE
DSCRETN
MANAGERS
SOLE
SHARED









AT&T CORP.
COM
001957109
891,602
15,975
SOLE

SOLE

ABERCROMBIE & FITCH CO CL-A
COM
002896207
1,444,800
30,100
SOLE

SOLE

AMERICA 0N-LINE INC
COM
02364J104
18,092,470
164,477
SOLE

SOLE

AMERICAN EXPRESS CO
COM
025816109
17,178,452
132,015
SOLE

SOLE

APACHE CORP.
COM
037411105
1,446,900
37,100
SOLE

SOLE

ARCHER DANIELS 6.25% DUE 5/15/2003
DEBT
039483AL6
1,787,688
1,800,000
SOLE

SOLE

BK OF BOSTON 6.625% DUE 2/01/2004
DEBT
060716BR7
496,535
500,000
SOLE

SOLE

BEST BUY CO. INC.
COM
086516101
2,727,000
40,400
SOLE

SOLE

BIOGEN INC.
COM
090597105
19,654,054
305,600
SOLE

SOLE

CBS
COM
12490K107
24,358,469
559,155
SOLE

SOLE

CARNIVAL CORP-CL A
COM
143658102
711,980
14,680
SOLE

SOLE

CHAPMAN CAP MGMT HLD
COM
159508100
2,883,000
372,000
SOLE

SOLE

CHAPMAN HOLDINGS
COM
159516103
1,462,500
234,000
SOLE

SOLE

CHASE MANHATTAN CORP
COM
16161A108
3,360,698
38,852
SOLE

SOLE

CINCINNATI BELL INC
COM
171870108
2,104,767
84,400
SOLE

SOLE

CISCO SYSTEMS
COM
17275R102
29,541,989
458,456
SOLE

SOLE

CINTAS CORP
COM
172908105
1,777,123
26,450
SOLE

SOLE

CITRIX SYSTEMS
COM
177376100
847,500
15,000
SOLE

SOLE

CLEAR CHANNEL COMM
COM
184502102
12,746,637
184,900
SOLE

SOLE

CLOROX CO
COM
189054109
12,969,235
121,420
SOLE

SOLE

COCA COLA COMPANY
COM
191216100
338,830
5,465
SOLE

SOLE

COLGATE PALMOLIVE CO
COM
194162103
551,600
5,600
SOLE

SOLE

COMCAST CORP CL A
COM
200300101
3,674,414
102,600
SOLE

SOLE

COMCAST CORP SPECIAL
COM
200300200
8,644,706
224,900
SOLE

SOLE

COORS ADOLPH CO-CL B
COM
217016104
960,300
19,400
SOLE

SOLE

CORNING INC.
COM
219350105
29,725,286
423,890
SOLE

SOLE

DELL COMPUTER CORP
COM
247025109
2,191,473
59,229
SOLE

SOLE

DIAL CORP ARIZ
COM
25247D101
2,450,689
65,900
SOLE

SOLE

DISNEY WALT CO
COM
254687106
204,906
6,650
SOLE

SOLE

EMC CORP. MASS
COM
268648102
2,094,840
38,088
SOLE

SOLE

E*TRADE GROUP, INC.
COM
269246104
822,723
20,600
SOLE

SOLE

EXPEDITORS INT'L
COM
302130109
1,657,018
60,808
SOLE

SOLE

FAMILY DOLLAR STORES
COM
307000109
1,599,600
66,650
SOLE

SOLE

FED HOME LN BK 5.69%  DUE 6/19/2003
DEBT
3133M4RE5
1,181,628
1,200,000
SOLE

SOLE

FIRST TENN NATL CORP
COM
337162101
1,371,605
35,800
SOLE

SOLE

FISERV, INC.
COM
337738108
2,033,779
64,950
SOLE

SOLE

FRONTIER
COM
35906P105
28,729,181
490,050
SOLE

SOLE

GAP INC DEL
COM
364760108
4,790,738
95,102
SOLE

SOLE

GENERAL ELECTRIC CO
COM
369604103
19,012,137
168,249
SOLE

SOLE

HARLEY DAVIDSON
COM
412822108
1,799,813
33,100
SOLE

SOLE

HOME DEPOT INC
COM
437076102
23,182,152
359,759
SOLE

SOLE

INTL BUS MACHINES
COM
459200101
633,325
4,900
SOLE

SOLE

JONES APPAREL GROUP
COM
480074103
1,393,108
40,600
SOLE

SOLE

KANSAS CITY SOUTHERN
COM
485170107
20,148,955
315,750
SOLE

SOLE

KOHLS
COM
500255104
22,370,625
291,000
SOLE

SOLE

LEXMARK INTL GRP INC. CL-A
COM
529771107
2,082,900
31,800
SOLE

SOLE

LUCENT TECHNOLOGIES
COM
549463107
29,655,997
439,752
SOLE

SOLE

MCI WORLDCOM INC
COM
55268B106
24,861,881
288,880
SOLE

SOLE

MAYTAG CORP
COM
578592107
23,414,583
335,390
SOLE

SOLE

MERCK & CO INC
COM
589331107
4,296,166
58,352
SOLE

SOLE

MICROSOFT CORP
COM
594918104
28,601,773
317,135
SOLE

SOLE

NEW YORK TEL 5.875% DUE 9/01/2003
DEBT
650094BY0
982,790
1,000,000
SOLE

SOLE

NORWEST FINL 6.125% DUE 8/01/2003
DEBT
669383CN9
297,573
300,000
SOLE

SOLE

PACIFIC G&E 6.25% DUE 3/01/2004
DEBT
694308FA0
247,808
250,000
SOLE

SOLE

PFIZER INC
COM
717081103
18,581,338
170,471
SOLE

SOLE

QUALCOM, INC.
COM
747525103
2,367,750
16,500
SOLE

SOLE

SAFEWAY STORES INC
COM
786514208
13,291,443
268,514
SOLE

SOLE

SCHERING PLOUGH CORP
COM
806605101
3,272,325
62,330
SOLE

SOLE

CHARLES SCHWAB CORP.
COM
808513105
22,862,641
209,749
SOLE

SOLE

SOTHEBY'S HOLDINGS
COM
835898107
926,438
24,300
SOLE

SOLE

SUN MICROSYSTEMS
COM
866810104
3,429,975
49,800
SOLE

SOLE

TELLABS
COM
879664100
26,455,781
391,572
SOLE

SOLE

TIFFANY & CO.
COM
886547108
2,547,600
26,400
SOLE

SOLE

TIME WARNER INC
COM
887315109
14,797,344
203,750
SOLE

SOLE

UNION PACIFIC 6.125% DUE 1/15/2004
DEBT
907818AS7
388,236
400,000
SOLE

SOLE

U.S. T-BILL DUE 7/22/1999
DEBT
912795BZ3
1,994,880
2,000,000
SOLE

SOLE

U.S. T-BILL DUE 8/05/1999
DEBT
912795CJ8
248,900
250,000
SOLE

SOLE

U.S. T-BILL DUE 10/28/99
DEBT
912795CT6
1,723,277
1,750,000
SOLE

SOLE

U.S. T-BILL DUE 1/06/2000
DEBT
912795DB4
1,170,120
1,200,000
SOLE

SOLE

U.S. T-BILL DUE 2/03/2000
DEBT
912795DF5
1,215,250
1,250,000
SOLE

SOLE

U.S. T-BILL DUE 4/27/2000
DEBT
912795DT5
1,682,467
1,750,000
SOLE

SOLE

US TSY 7.25% DUE 5/15/2016
DEBT
912810DW5
329,250
300,000
SOLE

SOLE

US TSY 6.00% DUE 2/15/2026
DEBT
912810EW4
972,500
1,000,000
SOLE

SOLE

US TSY 5.50% DUE 8/15/2028
DEBT
912810FE3
684,848
750,000
SOLE

SOLE

US TSY NOTE 6.25% DUE 2/28/2002
DEBT
9128272L5
202,688
200,000
SOLE

SOLE

US TSY NOTE 5.875% DUE 9/30/2002
DEBT
9128273J9
200,813
200,000
SOLE

SOLE

US TSY 5.75% DUE 11/30/2002
DEBT
9128273Q3
700,875
700,000
SOLE

SOLE

US TSY 5.50% DUE 1/31/2003
DEBT
9128273V2
744,848
750,000
SOLE

SOLE

US TSY 5.375% DUE 2/15/2001
DEBT
9128273W0
1,018,093
1,020,000
SOLE

SOLE

US TSY 5.50% DUE 2/15/2008
DEBT
9128273X8
972,500
1,000,000
SOLE

SOLE

US TSY 5.50% DUE 2/29/2000
DEBT
9128273Y6
1,753,833
1,750,000
SOLE

SOLE

US TSY 5.50% DUE 2/28/2003
DEBT
9128273Z3
744,607
750,000
SOLE

SOLE

US TSY 6.625% DUE 5/15/2008
DEBT
9128274F6
1,713,915
1,750,000
SOLE

SOLE

US TSY NOTE 5.00% DUE 4/30/2001
DEBT
9128275E8
1,734,688
1,750,000
SOLE

SOLE

US TSY 7.500% DUE 8/15/2002
DEBT
912827F49
209,688
200,000
SOLE

SOLE

US TSY 6.375% DUE 8/15/2002
DEBT
912827G55
331,194
325,000
SOLE

SOLE

US TSY 6.375% DUE 1/15/2000
DEBT
912827J37
402,500
400,000
SOLE

SOLE

US TSY NOTE 5.75% DUE 8/15/2003
DEBT
912827L83
250,000
250,000
SOLE

SOLE

US TSY NOTE 6.125% DUE 7/31/2000
DEBT
912827U67
201,563
200,000
SOLE

SOLE

US TSY NOTE 5.625% DUE 2/28/2001
DEBT
912827X23
200,563
200,000
SOLE

SOLE

VODAFONE AIRTOUCH
COM
92857T107
18,340,602
93,100
SOLE

SOLE

WAL MART STORES
COM
931142103
3,396,800
70,400
SOLE

SOLE

WILLIAMS COS INC DEL
COM
969457100
10,747,157
252,500
SOLE

SOLE

XILINX INC
COM
983919101
956,075
16,700
SOLE

SOLE

YAHOO
COM
984332106
1,086,898
6,310
SOLE

SOLE

REPORT TOTAL


617,340,560
36,312,724






















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