ASSET MANAGEMENT INC /MD
13F-HR, 2000-04-25
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	                      		FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: March 31, 2000

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:		Asset Management, Inc.
Address: 	5530 Wisconsin Avenue
         		Suite 700
         		Chevy Chase, MD 20815

13F File Number:  28-99999

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:  	Arthur A. Adler, Jr.
Title:    	President
Phone:    	301 656-2060
Signature, Place, and Date of Signing:

    Arthur A. Adler, Jr.             Chevy Chase, MD  April 25, 2000

Report Type (Check only one.):

[ X]        13F HOLDINGS REPORT.

[  ]        13F NOTICE.

[  ]        13F COMBINATION REPORT.

List of Other Managers Reporting for this Manager:

<PAGE>

FORM 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:   	0

Form 13F Information Table Entry Total:   	127

Form 13F Information Table Value Total:   	$182,155



List of Other Included Managers:

 No.  13F File Number     Name


<PAGE>
<TABLE>
                                                                  FORM 13F
INFORMATION TABLE
                                                           VALUE   SHARES/  SH/
PUT/ INVSTMT    OTHER          VOTING AUTHORITY
        NAME OF ISSUER          TITLE OF CLASS    CUSIP   (x$1000) PRN AMT  PRN
CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- ------------------------------ ---------------- --------- -------- -------- ---
- ---- ------- ------------ -------- -------- --------
<S>                            <C>              <C>       <C>      <C>      <C>
<C>  <C>     <C>          <C>      <C>      <C>
Dodge & Cox Stock Fund         MUT FD           256219106      395 4139.088 SH
SOLE                 4139.088
First Eagle Trust Fd of Amer C MUT FD           32007T102      248 12434.234SH
SOLE                12434.234
J Hancock Regional Bk Fd Cl B  MUT FD           409905205      219 5995.476 SH
SOLE                 5995.476
Longleaf Partnrs Small Cap Val MUT FD           543069207     1743 90779.381SH
SOLE                90779.381
Mass Invest Growth Stock Fund  MUT FD           575719109      376 16913.500SH
SOLE                16913.500
New Perspective Fund Inc       MUT FD           648018109      367 11689.674SH
SOLE                11689.674
Select 10 Dow 99-C 1999 Ser Qt MUT FD           294711759       10 11382.000SH
SOLE                11382.000
T Rowe Price Growth Stk Fd     MUT FD           741479109      254 7030.729 SH
SOLE                 7030.729
Turner Small Cap Equity Growth MUT FD           900297300     3223 66780.955SH
SOLE                66780.955
Vanguard Equity Income Fd      MUT FD           921921102      797 35139.086SH
SOLE                35139.086
Vanguard Horizon Aggres Growth MUT FD           922038104      177 10343.049SH
SOLE                10343.049
Vanguard Index Trust 500       MUT FD           922908108     1996 14451.875SH
SOLE                14451.875
Vanguard Intl Growth Fund      MUT FD           921910204      270 11339.932SH
SOLE                11339.932
Vanguard Total Stock Mkt Fd    MUT FD           922908306      406 11809.341SH
SOLE                11809.341
Vanguard US Growth Fund        MUT FD           921910105      745 16281.649SH
SOLE                16281.649
ADC Telecommunications         COM              000886101      697    12930 SH
SOLE                    12930
AMEX Basic Indus Sel Sector In COM              81369Y100     1728    74980 SH
SOLE                    74980
AMEX Consum Staples Sel Index  COM              81369Y308     3201   150835 SH
SOLE                   150835
AMEX Cycl/Transp Sel Sect Inde COM              81369Y407     1027    35100 SH
SOLE                    35100
AMEX Energy Select Index SPDR  COM              81369Y506     2916    99475 SH
SOLE                    99475
AMEX Financial Select Index SP COM              81369Y605      400    16470 SH
SOLE                    16470
AMEX Tech Select Index SPDR    COM              81369Y803     3181    52520 SH
SOLE                    52520
AT&T                           COM              001957109     2609    46326 SH
SOLE                    46326
AT&T Corp-Liberty Media Cl A   COM              001957208     2151    36270 SH
SOLE                    36270
Abbott Labs                    COM              002824100      486    13800 SH
SOLE                    13800
America Online Inc             COM              02364J104      468     6940 SH
SOLE                     6940
American Express Co            COM              025816109     2214    14868 SH
SOLE                    14868
American International Group   COM              026874107      237     2169 SH
SOLE                     2169
American Power Conversion      COM              029066107      605    14100 SH
SOLE                    14100
American Tower Corp            COM              029912201      366     7416 SH
SOLE                     7416
Amgen Inc                      COM              031162100      333     5420 SH
SOLE                     5420
Analog Devices Inc             COM              032654105      434     5395 SH
SOLE                     5395
Anderson Computers/Tidalwave C COM              033614108       31   183750 SH
SOLE                   183750
Anheuser Busch Cos Inc         COM              035229103     1293    20775 SH
SOLE                    20775
BB&T Corp                      COM              054937107      534    19035 SH
SOLE                    19035
BP Amoco PLC                   COM              055622104      447     8390 SH
SOLE                     8390
Bank of America Corp           COM              060505104     4038    76997 SH
SOLE                    76997
Baxter International Inc       COM              071813109     1309    20876 SH
SOLE                    20876
Bell Atlantic Corp             COM              077853109      375     6133 SH
SOLE                     6133
Berkshire Hathaway B           COM              084670207     1862     1023 SH
SOLE                     1023
Bristol Myers Squibb Co        COM              110122108     1682    29000 SH
SOLE                    29000
C E Smith Realty               COM              832197107      275     7600 SH
SOLE                     7600
CBS Corporation                COM              12490K107     3205    56602 SH
SOLE                    56602
CVS Corporation                COM              126650100      649    17275 SH
SOLE                    17275
Carrollton Bancorp             COM              145282109      261    19002 SH
SOLE                    19002
Chancellor Media Corp Cl A     COM              001693100    10676   171847 SH
SOLE                   171847
Chase Manhattan Corp           COM              16161A108      390     4470 SH
SOLE                     4470
Choice Hotels Intl Inc         COM              169905106      690    47780 SH
SOLE                    47780
Cisco Systems Inc              COM              17275R102     2044    26440 SH
SOLE                    26440
Citigroup Inc                  COM              172967101     3160    52775 SH
SOLE                    52775
Coca-Cola                      COM              191216100      612    13046 SH
SOLE                    13046
Columbia/HCA Health Care       COM              197677107      630    24900 SH
SOLE                    24900
Comcast Cl A Spl               COM              200300200     2797    64487 SH
SOLE                    64487
Convergys Corp                 COM              212485106     1725    44595 SH
SOLE                    44595
Cosmetic Center Cl C           COM              221234305        1   113475 SH
SOLE                   113475
Criimi Mae Inc                 COM              226603108       45    27773 SH
SOLE                    27773
Diamonds Trust                 COM              252787106      582     5315 SH
SOLE                     5315
E Trade Group                  COM              269246104      288     9547 SH
SOLE                     9547
EMC Corp                       COM              268648102     2475    19645 SH
SOLE                    19645
Eli Lilly & Co                 COM              532457108      295     4714 SH
SOLE                     4714
Enron Corp                     COM              293561106      292     3900 SH
SOLE                     3900
Equity Residential Prop Tr     COM              29476L107     1163    28940 SH
SOLE                    28940
Exxon Mobil Corp               COM              30231G102     2300    29513 SH
SOLE                    29513
Fannie Mae                     COM              313586109     1637    28939 SH
SOLE                    28939
FedEx                          COM              31428x106      276     7100 SH
SOLE                     7100
Federal Home Loan Mtg          COM              313400301      393     8885 SH
SOLE                     8885
First Data Corporation         COM              319963104      517    11650 SH
SOLE                    11650
First Union Corp               COM              337358105     1762    47296 SH
SOLE                    47296
Ford Motor Co                  COM              345370100      945    20580 SH
SOLE                    20580
Friedman, Billings, Ramsey Grp COM              358433100      723    66445 SH
SOLE                    66445
Gap Inc                        COM              364760108     1708    34297 SH
SOLE                    34297
General Electric Co            COM              369604103    11405    73283 SH
SOLE                    73283
General Motors Class "H"       COM              370442832     3062    24595 SH
SOLE                    24595
Gillette Co                    COM              375766102     1604    42563 SH
SOLE                    42563
HCR Manor Care Inc             COM              564055101      660    48919 SH
SOLE                    48919
Hewlett-Packard Co             COM              428236103      232     1745 SH
SOLE                     1745
Home Depot Inc                 COM              437076102      576     8924 SH
SOLE                     8924
I B M Corporation              COM              459200101     6708    56847 SH
SOLE                    56847
Intel Corp                     COM              458140100     1247     9455 SH
SOLE                     9455
Jacobson Resonan               COM              469830103       36    20000 SH
SOLE                    20000
Johnson & Johnson              COM              478160104     1182    16831 SH
SOLE                    16831
Kimberly-Clark Corp            COM              494368103      398     7100 SH
SOLE                     7100
L M Ericsson Tele Co ADR       COM              294821400      327     3490 SH
SOLE                     3490
Lucent Technologies Co         COM              549463107      976    15942 SH
SOLE                    15942
MCI Worldcom Inc               COM              55268B106      278     6135 SH
SOLE                     6135
ML Pharmaceutical HOLDRS       COM              71712A206      256     3000 SH
SOLE                     3000
Marriott Intl Inc New Cl A     COM              571903202      471    14952 SH
SOLE                    14952
McDonalds Corp                 COM              580135101      346     9264 SH
SOLE                     9264
Medquist Inc                   COM              584949101      542    19934 SH
SOLE                    19934
Mehl/Biophile International Co COM              585179104        1    15000 SH
SOLE                    15000
Mercantile Bankshares          COM              587405101      237     7750 SH
SOLE                     7750
Merck & Co                     COM              589331107     2532    40749 SH
SOLE                    40749
Merit Acquisition Corp         COM                              25    41666 SH
SOLE                    41666
Merrill Lynch                  COM              590188108     2342    22301 SH
SOLE                    22301
Microsoft Corporation          COM              594918104     1967    18510 SH
SOLE                    18510
Mills Corp                     COM              601148109      445    24700 SH
SOLE                    24700
Minnesota Minning & Mfg        COM              604059105      411     4644 SH
SOLE                     4644
Motorola Inc                   COM              620076109     2518    17244 SH
SOLE                    17244
Nextel Communications          COM              65332V103     1316     8875 SH
SOLE                     8875
Nortel Networks Corp           COM              656569100     1177     9335 SH
SOLE                     9335
Oracle Systems                 COM              68389X105     3567    45700 SH
SOLE                    45700
PepsiCo Inc                    COM              713448108      294     8425 SH
SOLE                     8425
Pfizer Inc                     COM              717081103     6414   175415 SH
SOLE                   175415
Potomac Elec Power Co          COM              737679100      209     9244 SH
SOLE                     9244
Prin Preser PSE Tech 100 Indx  COM              74252B873    12255   277632 SH
SOLE                   277632
Providian Financial Corp       COM              74406A102      260     3000 SH
SOLE                     3000
QWest Communications           COM              749121109      607    12648 SH
SOLE                    12648
S&P's Depositary Receipts      COM              78462F103     6919    46009 SH
SOLE                    46009
Smithkline Beecham PLC ADR     COM              832378301      363     5500 SH
SOLE                     5500
Southern Financial Bank Corp   COM              842870107      142    10000 SH
SOLE                    10000
Sprint Corp Fon Group          COM              852061100      817    12920 SH
SOLE                    12920
Sprint Corp PCS Group          COM              852061506      462     7050 SH
SOLE                     7050
Sun Microsystems               COM              866810104      587     6260 SH
SOLE                     6260
SunTrust Banks Inc             COM              867914103     1322    22886 SH
SOLE                    22886
Sunburst Hospitality Corp      COM              866948102       79    15926 SH
SOLE                    15926
TRW Incorporated               COM              872649108     1532    26195 SH
SOLE                    26195
Tandy Corp                     COM              875382103     1851    36465 SH
SOLE                    36465
Texas Instruments              COM              882508104     1000     6250 SH
SOLE                     6250
Time Warner Inc                COM              887315109     1012    10115 SH
SOLE                    10115
US Technologies                COM              91272D309       27    10000 SH
SOLE                    10000
Vanguard Special Energy Port   COM              921908109     1890    76985 SH
SOLE                    76985
Vodafone Group PLC             COM              92857T107      884    15905 SH
SOLE                    15905
Wal-Mart Stores Inc            COM              931142103     2450    43360 SH
SOLE                    43360
Walt Disney Co                 COM              254687106     2613    63337 SH
SOLE                    63337
Warner Lambert Co              COM              934488107      657     6722 SH
SOLE                     6722
Waters Corp                    COM              941848103     1479    15525 SH
SOLE                    15525
Wells Fargo & Co               COM              949746101      826    20280 SH
SOLE                    20280
</TABLE>


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