UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
WASHINGTON, D.C. 20549
FORM 13F
FORM 13F COVER PAGE
Report for the Calendar Year or Quarter Ended: 03/31/2000
Check here if Amendment []; Amendment Number:
This Amendment (Check only one.) [] is a restatement.
[] adds a new holdings entries.
Institutional Investment Manager Filling 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 April 7, 2000
[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: 107
Form 13F Information Table Value Total: $459407
List of Other Included Managers: None
<PAGE>
<TABLE> <C> <C>
Name of Issuer Title Cusip # Value Shares/ Invest Mgrs Voting
or (x$1000) Prn Amt Disc N/A Authority
Class Sole
3-COM SYSTEMS Com 885535104 645 11600 Sole 11600
AGILENT TECHNOLOGY Com 00846U101 14430 138753 Sole 138753
AMAZON.COM Com 023135106 224 3350 Sole 3350
AMERICA ONLINE Com 02364j104 15551 230600 Sole 230600
AMERICAN EXPRESS Com 025816109 1117 7500 Sole 7500
AMERICAN INTL GROUP Com 026874107 248 2263 Sole 2263
AMGEN Com 031162100 106 1735 Sole 1735
ASSOCIATES FIRST CA Com 046008108 568 26554 Sole 26554
AUTOMATIC DATA PROC Com 053015103 247 5120 Sole 5120
B2B INTERNET HOLDRS Com 056033103 8357 122900 Sole 122900
BANKAMERICA CORP Com 060505104 10735 204726 Sole 204726
BE,INC OPERATING SYS Com 073309106 577 38300 Sole 38300
BERKSHIRE HATHAWAY Com 084670108 286 5 Sole 5
BEST BUY CO. INC. Com 086516101 19540 227215 Sole 227215
BIOGEN INC Com 090597105 769 11000 Sole 11000
BMC SOFTWARE Com 055921100 5376 108885 Sole 108885
CHASE MANHATTAN BNK Com 16161a108 13179 151153 Sole 151153
CIENA CORPORATION Com 171779101 687 5450 Sole 5450
CIRCUIT CITY STORES Com 172737108 5171 84950 Sole 84950
CISCO SYSTEMS Com 17275r102 41694 539293 Sole 539293
CITIGROUP Com 172967101 27389 457435 Sole 457435
COMDISCO Com 200336105 706 15994 Sole 15994
CONEXANT SYSTEMS Com 207142100 3515 49500 Sole 49500
COSTCO COMPANIES Com 22160q102 216 4100 Sole 4100
DAIMLER CHRYSLER Com 171196108 294 4487 Sole 4487
DELL COMPUTER Com 247025109 147 2719 Sole 2719
DELPHI AUTOMOTIVE Com 247126105 418 26101 Sole 26101
DIAMONDS TRUST DOW Com 252787106 301 2750 Sole 2750
DOUBLECLICK INC Com 258609304 187 2000 Sole 2000
EMC ELECTRONICS Com 268648102 2444 19400 Sole 19400
ERICSSON TELEPHONE Com 294821400 1106 12150 Sole 12150
FEDERATED DEPT STRS Com 31410h101 349 8250 Sole 8250
GATEWAY INC Com 367626108 2644 49850 Sole 49850
GENERAL ELECTRIC Com 369604103 6246 40137 Sole 40137
GENERAL MOTORS Com 370442105 16429 198382 Sole 198382
HARLEY DAVIDSON Com 412822108 109 1375 Sole 1375
HEWLETT-PACKARD Com 428236103 25692 193354 Sole 193354
HOME DEPOT Com 437076102 313 4850 Sole 4850
IMPERIAL BANCORP Com 452556103 158 5094 Sole 5094
INTEL CORP. Com 458140100 38777 293908 Sole 293908
INTERNET HOLDERS TRT Com 46059w102 2387 14350 Sole 14350
INT'L BUSINESS M Com 459200101 28987 245651 Sole 245651
LEVEL THREE COMM Com 52729N100 264 2500 Sole 2500
LSI LOGIC Com 501907109 3381 46550 Sole 46550
LUCENT TECH. Com 549463107 14983 244626 Sole 244626
MAIL WELL INC. Com 560321200 1022 117594 Sole 117594
MCI WORLDCOM INC Com 55268b106 199 4387 Sole 4387
MEADE INSTRUMENT Com 583062104 1674 24260 Sole 24260
MEDTRONIC INC. Com 585055106 2566 49886 Sole 49886
MERCK & CO. INC. Com 589331107 13272 213633 Sole 213633
MERRILL LYNCH Com 590188108 4300 40954 Sole 40954
MICROSEMI CORP Com 595137100 1286 37550 Sole 37550
MICROSOFT CORP Com 594918104 18110 170449 Sole 170449
MORGAN DEAN WITTER Com 617446448 5741 69276 Sole 69276
NASDAQ 100 STOCK FND Com 631100104 1391 12700 Sole 12700
NETWORK PERIPHERALS Com 64121r100 694 19550 Sole 19550
NEXT LEVEL COM Com 65333U104 207 1900 Sole 1900
NOKIA CORP ADR Com 654902204 2180 9820 Sole 9820
ORACLE SYSTEMS Com 68389x105 101 1300 Sole 1300
PALM INC Com 696642107 287 6400 Sole 6400
PFIZER-INC. Com 717081103 11803 322822 Sole 322822
PMC SIERRA INC Com 69344f106 682 3350 Sole 3350
PROCTOR & GAMBLE Com 742718109 1260 22300 Sole 22300
QUALCOMM INC Com 747525103 500 3350 Sole 3350
RF MICRO-DEVICES Com 749941100 188 1400 Sole 1400
SAFEWAY INC Com 786514208 195 4320 Sole 4320
SCHERING PLOUGH Com 806605101 876 23600 Sole 23600
SONIC FOUNDRY INC Com 83545r108 804 8250 Sole 8250
SUMMIT BANCSHARES CA Com 866010101 122 3425 Sole 3425
SUN MICROSYSTEMS Com 866810104 40089 427832 Sole 427832
TARGET STORES Com 87612e106 2109 28220 Sole 28220
UNITED PARCEL SER Com 911312106 3830 60800 Sole 60800
VIACOM CLASS B Com 925524308 198 3600 Sole 3600
WALGREEN CO Com 931422109 12113 470398 Sole 470398
WAL-MART STORES INC Com 931142103 10275 181860 Sole 181860
YAHOO INC Com 984332106 137 800 Sole 800
Total Common 424343 6212851 6212851
ABN AMRO PFD7.125% Pfd 00371t206 40 2000 Sole 2000
AMERICAN ANNUITY GRP Pfd 023833205 11 500 Sole 500
BANK OF NY 7.05% Pfd 05563w206 84 4000 Sole 4000
BANKAMERI CAP PFD7% Pfd 066044207 21 1000 Sole 1000
BERGEN CAP PFD 7.8% Pfd 083748202 45 4000 Sole 4000
CADBURY SCH 8.625% Pfd 127207207 5 200 Sole 200
CITIGROUPPFD 6.875% Pfd 17305l208 26 1250 Sole 1250
CONSECO FIN 8.70% Pfd 20847d205 1180 71500 Sole 71500
DUKE REALTY 8.25% Pfd 264411844 209 10000 Sole 10000
ENTERPRISE CAP 7.44% Pfd 293701207 285 15000 Sole 15000
EQUITY INNS INC Pfd 294703202 16 1000 Sole 1000
FPC CAPITAL PFD 7.1% Pfd 302552203 41 2000 Sole 2000
GENERAL AMERN INVS Pfd 368802302 22 1000 Sole 1000
GULF POWER 7% PFD Pfd 402476204 16 800 Sole 800
HARRIS CAP 7.375% Pfd 414567206 82 4000 Sole 4000
HOUSEHOLD FINL 7.25% Pfd 44180r209 99 5000 Sole 5000
ING CAP FUNDING TRT Pfd 44978d107 217 10000 Sole 10000
KENTUCKY POWER CO Pfd 491386108 9 400 Sole 400
MERRILL LYNCH 7.28% Pfd 59021k205 160 7500 Sole 7500
MERRILL LYNCH PFD 8% Pfd 59021c203 24 1000 Sole 1000
MORGAN STANLEY 7.1% Pfd 553538208 506 24000 Sole 24000
NEW PLAN EXCEL RE TR Pfd 648053502 20 1000 Sole 1000
OCCIDENTAL CAP 8.16% Pfd 692070204 328 16000 Sole 16000
PSCO CAPITAL TRUST Pfd 69360r208 21 1000 Sole 1000
REALTY INCOME CORP Pfd 756109203 23 1000 Sole 1000
REI TRUST 7.2% PFD Pfd 749490207 339 17500 Sole 17500
SEAGRAM & CO 8% PFD Pfd 811845205 218 10000 Sole 10000
SEARS ROEBUCK 7% Pfd 812404200 131 6500 Sole 6500
SUNSOURCE CAP TR Pfd 867949208 6 380 Sole 380
USB CAPITAL TR 7.20% Pfd 90332m200 61 3000 Sole 3000
Total Preferred 4244 222530 222530
</TABLE>