UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
WASHINGTON, D.C. 20549
FORM 13F
FORM 13F COVER PAGE
Report for the Calendar Year or Quarter Ended:6/30/99
Check here if Amendment [x]; Amendment Number: 1
This Amendment (Check only one.) [X] is a restatement.
[ ] adds a new holdings entries.
Institutional Investment Manager Filing this Report:
Name: Engebretson Capital Management
Address: 620 Newport Center Dr., Suite 750
Newport Beach, CA 92660
13F File Number: 28-4965
The institutional investment manager filing this report and the
Person by whom it is signed hereby represents 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: Daniel M. Harkins
Title: COO
Phone: 949-759-9684
Signature, Place, and Date of Signing:
Daniel M. Harkins Newport Beach, CA October 4, 1999
[x] 13F HOLDING REPORT.
[ ] 13F NOTICE.
[ ] 13F COMBINATION REPORT.
List of Other Managers Reporting for this Manager: None
I AM SIGNING THIS REPORT AS REQUIRED BY THE SECURITIES
EXCHANGE ACT OF 1934.
<PAGE>
FORM 13F SUMMARY PAGE
Report Summary:
Number of Other Included Managers: None
Form 13F Information Table Entry Total: 86
Form 13F Information Table Value Total: $353529
List of Other Included Managers: None
<PAGE>
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FORM 13F INFORMATION TABLE
Name of Issuer Item 2 Cusip #
Fair Market Shares
or Investment Mgrs Voting
Title Of Value Prn.
Amt. Discretion (N/A) Auth.
Class (x$1000)
(a)Sole (a)Sole
A T & T CORP. Common 001957109 7904 141621
141621 141621
ALLSTATE CORP. Common 020002101 1087 30295
30295 30295
AMERICA ONLINE Common 02364j104 4142 37655
37655 37655
AMERICAN INTL GP Common 026874107 218 1857
1857 1857
AUTO DATA PROCESSING Common 053015103 211 4800
4800 4800
BANKAMERICA CORP Common 066050105 18018 245769
245769 245769
BARNES & NOBLE INC Common 067774109 3889 142075
142075 142075
BERKSHIRE HATHAWAY INC Common 084670108 345 5
5 5
BEST BUY CO. INC. Common 086516101 23885 353858
353858 353858
CABLETRON SYSTEMS Common 126920107 130 10000
10000 10000
CHARLES SCHWAB Common 808513105 132 1210
1210 1210
CHASE MANHATTAN BANK Common 16161a108 17291 199892
199892 199892
CHEVRON OIL Common 166751107 2020 21250
21250 21250
CIRCUIT CITY STORES Common 172737108 1072 11530
11530 11530
CISCO SYSTEMS (Spl6/22) Common 17275r102 16757 260054
260054 260054
CITIGROUP Common 172967101 17998 378899
378899 378899
COMDISCO Common 200336105 1276 49794
49794 49794
CONSECO, INC. Common 208464107 2675 87876
87876 87876
DAIMLER CHRYSLER Common 171196108 13900 156177
156177 156177
DAYTON HUDSON Common 239753106 637 9800
9800 9800
DEAN WTR SEL EQTY TRUS Common 24241x346 30 13140
13140 13140
DEERE COMPANY Common 244199105 977 24935
24935 24935
DELL COMPUTER (SP2:1) Common 247025109 10696 289069
289069 289069
DELPHI AUTOMOTIVE Common 247126105 1489 80511
80511 80511
DIAMONDS TRUST DOW Common 252787106 164 1500
1500 1500
EMC ELECTRONICS Common 292845104 2016 36650
36650 36650
FINISH LINE INC Common 317923100 151 13400
13400 13400
FORD MOTOR COMPANY Common 345370100 4216 74703
74703 74703
FRANKLIN RESOURCES Common 354613101 599 14750
14750 14750
GATEWAY INC Common 367626108 2058 34850
34850 34850
GENERAL ELECTRIC Common 369604103 209 1847
1847 1847
GENERAL MOTORS Common 370442105 16849 255285
255285 255285
HEWLETT-PACKARD Common 428236103 1794 17854
17854 17854
INTEL CORP. Common 458140100 8914 149810
149810 149810
INT'L BUSINESS MACHINES Common 459200101 13489 104366
104366 104366
IRVINE SENSOR CORP Common 463664102 29 16000
16000 16000
LUCENT TECH. Common 549463107 21241 314976
314976 314976
MAIL WELL INC. Common 560321200 6060 374381
374381 374381
MCI WORLDCOM INC Common 98155k102 129 1500
1500 1500
MEADE INSTRUMENTS Common 583062104 640 37110
37110 37110
MEDTRONIC INC. Common 585055106 5550 71273
71273 71273
MERCK & CO. INC. Common 589331107 8378 113790
113790 113790
MERRILL LYNCH INC Common 590188108 6849 86150
86150 86150
MICROSOFT CORP Common 594918104 19246 213400
213400 213400
MORGAN DEAN WITTER Common 617446448 4392 42795
42795 42795
NASDAQ 100 STOCK FUND Common 631100104 214 1860
1860 1860
PFIZER-INC. Common 717081103 13581 124595
124595 124595
RAINFOREST CAFES Common 75086k104 178 35225
35225 35225
RITE AID INC Common 767754104 3962 160900
160900 160900
RSI SYSTEMS Common 749927109 21 12500
12500 12500
SEARS ROEBUCK CO. Common 812387108 915 20540
20540 20540
SUMMIT BANCSHARES CA. Common 866010101 158 3425
3425 3425
SUN MICROSYSTEMS Common 866810104 21721 315370
315370 315370
T-ROWE PRICE Common 741477103 2134 55610
55610 55610
U.S. BANKCORP Common 319279105 2407 72125
72125 72125
US CRUDE LTD Common 90330v103 88 176000
176000 176000
WALGREEN CO Common 931422109 12306 418936
418936 418936
WASHINGTON MUTUAL Common 939322103 14596 410425
410425 410425
TOTAL COMMON 342034 6335973
6335973 6335973
ABN AMRO CAP PFD 7.125% Preferred 00371t206 250 10000
10000 10000
AGRIUM INC 8% NOTES Preferred 008916207 150 6000
6000 6000
ALABAMA PWR 7% SR NOTES Preferred 010392629 200 8000
8000 8000
ANZ EXCH PFD TR 8% Preferred 001823202 100 4000
4000 4000
BANK OF NY 7.25% Preferred 05563w206 200 8000
8000 8000
BANKAMERICA CAP PFD 7% Preferred 066044207 225 9000
9000 9000
BERGEN CAP TST PFD 7.8% Preferred 083748202 250 10000
10000 10000
CHASE CAPITAL PFD 7.5% Preferred 16147m200 250 10000
10000 10000
CITIGROUP CAP PFD 7% Preferred 17305l208 500 20000
20000 20000
CITIGROUP CAP PFD 7% Preferred 17306k209 200 8000
8000 8000
CONSECO FINANCIAL 8.70% Preferred 20847d205 2945 117500
117500 117500
DUKE REALTY 8.25% Preferred 264411844 250 10000
10000 10000
ENTERPRISE CAP 7.44% Preferred 293701207 500 20000
20000 20000
EQUITABLE CO 7.35% Preferred 294550207 250 10000
10000 10000
FPC CAPITAL PFD 7.1% Preferred 302552203 125 5000
5000 5000
HARRIS PFD CAP 7.5% Preferred 414567206 100 4000
4000 4000
HOUSEHOLD FINL 7.25% Preferred 44180r209 638 25500
25500 25500
ING CAP FNDING TST 7.7% Preferred 44978d107 250 10000
10000 10000
LEHMN BROS HLD7.875% PF Preferred 52518g209 300 12000
12000 12000
MERRILL LYNCH 7.28% PFD Preferred 59021k205 550 22000
22000 22000
MORGAN STANLEY 7.1% PFD Preferred 553538208 1050 42000
42000 42000
OCCIDNTAL CAP PFD 8.16% Preferred 692070204 400 16000
16000 16000
REI TRUST 7.2% PFD Preferred 749490207 438 17500
17500 17500
ROYAL BANK OF SCOT7.25% Preferred 780097879 250 10000
10000 10000
SEAGRAM & CO 8% PFD Preferred 811845205 251 10000
10000 10000
SEARS ROEBUCK 7% PFD Preferred 812404200 475 19000
19000 19000
SMITH BARNEY CAP 7.2% Preferred 784646200 100 4000
4000 4000
USB CAP TR 7.20% PFD Preferred 90332m200 300 12000
12000 12000
TOTAL PREFERRED 11496 459500
459500 459500
TOTALS Q299- 353529 6795473
6795473 6795473
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