Form 13F
Form 13F COVER PAGE
Report for the Calendar Year or Quarter Ended: ____6/30/00_____
Check here if Amendment [ ]; Amendment Number: ____
This Amendment (Check only one.): [ ] is a restatement.
[ ] adds new holdings entries.
Institutional Investment Manager Filing this Report:
Name: __Bowman Financial Management Co., Inc.___
Address: __1013 N. Calvert Street__________________
__Baltimore, MD. 21202____________________
__________________________________________
Form 13F File Number: 28-____________
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: ___Bernard Smith__________________________
Title: __System Administrator___________________
Phone: __410-685-0234___________________________
Signature, Place, and Date of Signing:
_Bernard Smith________Baltimore, Maryland__________08/01/00
[Signature] [City, State] [Date]
Report Type (Check only one.):
[X] 13F HOLDINGS REPORT. (Check here if all holdings of this
reporting manager are reported in this report.)
[ ] 13F NOTICE. (Check here if no holdings reported are in this
report, and all holdings are reported by other reporting
manager(s).)
[ ] 13F COMBINATION REPORT. (Check here if a portion of the
holdings for this reporting manager are reported in this
report and a portion are reported by other reporting
manager(s).)
List of Other Managers Reporting for this Manager:
[If there are no entries in this list, omit this section.]
Form 13F File Number Name
28-____________ _____________________
[Repeat as necessary.]
Form 13F SUMMARY PAGE
Report Summary:
Number of Other Included Managers: ___None______
Form 13F Information Table Entry Total: 89
Form 13F Information Table Value Total: $123,399,977.60
(thousands)
List of Other Included Managers:
Provide a numbered list of the name(s) and Form 13F file
number(s) of all institutional investment managers with respect
to which this report is filed, other than the manager filing this
report.
[If there are no entries in this list, state "NONE" and omit the
column headings and list entries.]
No. Form 13F File Number Name
____ 28-____________ ________
Form 13F INFORMATION TABLE
Name CLASS CUSIP Value AMT Inv.Desc. Other Man. Author.
Noram Energy CV 655419AC 265,350.00 305,000 Y N Sole
Protective Life CP 743674202 640,957.50 14,010 Y N Sole
Infinity Broadcast CS 45662s102 2,153,456.25 59,100 Y N Sole
Circuit City/Carmax CS 172737108 33,750.00 10,000 Y N Sole
CVS Corp. Delaware CS 126650100 216,000.00 5,400 Y N Sole
Dollar General CS 256669102 2,066,903.72 105,995 Y N Sole
Gillette Company CS 375766102 1,043,478.31 29,867 Y N Sole
Home Depot CS 43707610 382,021.87 7,650 Y N Sole
Lowes Companies Inc CS 548661107 827,409.37 20,150 Y N Sole
NCR CS 62886E108 1,086,395.19 27,901 Y N Sole
Proctor & Gamble CS 74271810 1,406,976.00 24,576 Y N Sole
Service Masters Ltd CS 81760N109 817,703.25 71,886 Y N Sole
Sylvan Learning Ctr CS 871399101 316,250.00 23,000 Y N Sole
Wal-Mart Stores Inc CS 93114210 4,569,316.75 79,294 Y N Sole
Walgreen CS 931422109 721,000.00 22,400 Y N Sole
Walt Disney CS 254687106 413,430.75 10,652 Y N Sole
American Tower Corp CS 029912201 1,188,093.75 28,500 Y N Sole
ADP CS 053015103 1,539,386.25 28,740 Y N Sole
Computer Science CS 205363104 3,118,203.12 41,750 Y N Sole
Electronic Data Sys CS 285661104 496,526.25 12,037 Y N Sole
Emerson Electric CS 29101110 3,251,374.87 53,853 Y N Sole
General Electric CS 369604103 5,884,060.00 111,020 Y N Sole
Honeywell Intl. CS 438516106 1,072,172.06 31,827 Y N Sole
Manpower CS 56418h100 701,408.00 21,919 Y N Sole
3M CS 604059105 786,967.50 9,539 Y N Sole
Molex Inc. Class A CS 608554200 784,012.06 22,400 Y N Sole
Robert Half CS 770323103 330,600.00 11,600 Y N Sole
Interpublic Group CS 460690100 1,113,700.00 25,900 Y N Sole
Tyco Intl. LTD CS 902124106 1,956,871.75 41,306 Y N Sole
United Parcel Svc. CS 911312106 1,056,100.00 17,900 Y N Sole
Xerox Corp. CS 98412110 712,015.50 34,314 Y N Sole
Modis Services CS 607830106 619,912.50 81,300 Y N Sole
Abbott Laboratories CS 00282410 3,191,521.69 71,619 Y N Sole
American Home Prod. CS 026609107 219,372.50 3,734 Y N Sole
Amgen CS 031162100 2,971,575.00 42,300 Y N Sole
Bristol Myers CS 110122108 1,294,548.00 22,224 Y N Sole
Cardinal Health CS 14149Y10 3,866,500.00 52,250 Y N Sole
Johnson & Johnson CS 47816010 2,871,143.12 28,183 Y N Sole
Lilly CS 532457108 933,831.25 9,350 Y N Sole
Merck & Co. CS 589331107 885,325.25 11,554 Y N Sole
Pfizer CS 717081103 1,003,824.00 20,913 Y N Sole
Schering Plough CS 806605101 569,640.00 11,280 Y N Sole
Trigon Healthcare CS 89618L100 237,187.50 4,600 Y N Sole
Agilent Tech. CS 00846U101 990,354.82 13,429 Y N Sole
Atmel Corp CS 04951310 394,562.50 10,700 Y N Sole
Cisco Systems CS 17275R102 2,003,998.50 31,528 Y N Sole
Compaq Computers CS 20449310 1,140,777.69 44,627 Y N Sole
Hewlett Packard CS 428236103 3,226,270.50 25,836 Y N Sole
IBM CS 459200101 1,567,578.27 14,308 Y N Sole
Intel Corp. CS 45814010 1,764,675.00 13,200 Y N Sole
Microsoft Corp CS 59491810 1,624,000.00 20,300 Y N Sole
Oracle Systems CS 68389X105 6,568,811.87 78,142 Y N Sole
Solectron CS 834182107 439,687.50 10,500 Y N Sole
McDonald's Corp CS 58013510 209,482.50 6,360 Y N Sole
Pepsi Company CS 713448108 256,404.37 5,770 Y N Sole
Sara Lee Corp CS 803111103 252,549.56 13,077 Y N Sole
Sysco Corp CS 87182910 1,793,682.50 42,580 Y N Sole
AT&T Wireless Group CS 001957406 607,675.00 21,800 Y N Sole
AT&T CS 001957109 912,539.37 28,855 Y N Sole
Bellsouth Corp. CS 079860102 1,099,213.50 25,788 Y N Sole
Comcast corp. CS 200300200 1,958,175.00 48,350 Y N Sole
Lucent Technologies CS 549463107 1,638,914.25 27,661 Y N Sole
Motorola Inc CS 620076109 961,300.31 33,077 Y N Sole
Verizon CS 077853109 1,789,228.10 32,531 Y N Sole
Vodafone Airtouch CS 92857T107 3,089,580.00 74,560 Y N Sole
Worldcom Inc. CS 55268B106 578,025.00 12,600 Y N Sole
Dominion Resources CS 257470104 1,087,584.40 25,366 Y N Sole
Coastal Corp. CS 190441105 304,375.00 5,000 Y N Sole
Exxon/Mobil Corp CS 30229010 2,956,794.50 37,666 Y N Sole
Halliburton Co CS 406216101 2,534,440.62 53,710 Y N Sole
MCN Energy CS 55267J100 651,394.57 30,475 Y N Sole
Royal Dutch CS 780257804 323,941.87 5,262 Y N Sole
Aflac Inc. CS 001055102 1,067,220.00 23,232 Y N Sole
American Intern. CS 02687410 5,074,639.09 43,188 Y N Sole
Bank of America CS 06605F102 1,335,105.23 31,049 Y N Sole
Citigroup CS 17296701 2,412,017.02 40,033 Y N Sole
Fannie Mae CS 31358610 1,866,955.62 35,774 Y N Sole
Federal Home Loan CS 313400301 1,179,117.00 29,114 Y N Sole
First Data Corp CS 319963104 1,284,989.75 25,894 Y N Sole
First Union Corp CS 337358105 538,356.81 21,697 Y N Sole
Firstar Corp CS 33763V109 211,362.19 10,035 Y N Sole
Hibernia Corp Class CS 428656102 515,475.00 47,400 Y N Sole
MBNA Corp CS 55262L100 590,077.25 21,754 Y N Sole
Northern Trust CS 665859104 375,801.00 5,776 Y N Sole
Provident Bank CS 743859100 1,478,630.57 109,528 Y N Sole
Duke-Weeks Realty CS 264411505 1,080,712.50 48,300 Y N Sole
Federal Realty Inv. CS 313747206 510,000.00 25,500 Y N Sole
Simon Property CS 828806109 1,144,875.00 51,600 Y N Sole
Wash. Real Estate CS 939653101 392,356.25 21,950 Y N Sole
Total Value: $123,399,977.60