United States
Securities and Exchange Commission
Washington, D.C. 20549
Form 13F
Form 13F COVER PAGE
Report for calendar quarter ended: September 30, 2000
Check here if amended [ ]; Amendment Number:______________
Name of Institutional Investment Manager Filing this Report:
Name: Johnston-Lemon Group Inc.
Address: 1101 Vermont Avenue, NW
Washington, DC 20005
Form 13F File Number: 28-05217
The institutional investment manager filing this report and the person by whom
it is signed represent hereby 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 and
schedules are considered integral parts of this Form.
Person Siging this Report on Behalf of Reporting Manager:
Name: Kenneth I. Miller
Title: Chief Financial Officer
Phone: (202)842-5618
/s/ Kenneth I. Miller Washington, DC November 9, 2000
______________________ ___________________________ _________________
(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.]
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: _____74_______
Form 13F Information Table Value Total: $_90,763_______
(thousands)
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COUMN 1 & COLUMN 2 COLUMN 3 COLUMN 4 COLUMN 5 COLUMN 6 COLUMN 7 COLUMN 8
NAME OF ISSUER/TITLE OF CLASS CUSIP VALUE SHARES or INVESTMENT OTHER
(X$1000) PRINCIPAL AMOUNT DISCRETION MANGERS SOLE SHARED NONE
AT&T Corp 001957109 527 17946SH SOLE 17946
Abbott Labs 002824100 806 16950SH SOLE 16950
Alltel Corp 020039103 309 5925SH SOLE 5925
America Online Inc DEL 02364J104 880 16200SH SOLE 16200
American Express 025816109 609 10020SH SOLE 10020
American General Corp 026351106 410 5250SH SOLE 5250
American International Group Inc026874107 715 7474SH SOLE 7474
American Tower Corp Cl A 029912201 2342 63500SH SOLE 63500
Amgen Inc 031162100 225 3227SH SOLE 3227
Analog Devices Inc 032654905 277 3350SH SOLE 3350
Automatic Data Processing Inc 053015103 452 6754SH SOLE 6754
Bank of America Corporation 060505104 2688 49950SH SOLE 49950
Becton Dickinson & Co 075887109 455 17200SH SOLE 17200
Bellsouth Corp 079860102 499 12388SH SOLE 12388
Black & Decker Corp 091797900 347 10000SH SOLE 10000
BMC Software Inc 055921100 182 9550SH SOLE 9550
Broadvision Inc 111412102 278 10000SH SOLE 10000
Capital One Finl Corp 14040H905 6675 93450SH SOLE 93450
Chase Manhattan Corp New 16161A108 801 17335SH SOLE 17335
Ciena Corp 171779101 2600 20000SH SOLE 20000
Circuit City Stores Inc Circt Ci172737108 908 40000SH SOLE 40000
Cisco Sys Inc 17275R102 1141 20652SH SOLE 20652
Citigroup Inc 172967101 1358 25111SH SOLE 25111
Corning Inc 219350105 446 1500SH SOLE 1500
Conagra Inc 205887102 321 16000SH SOLE 16000
Corvis Corp 221009103 743 12000SH SOLE 12000
Danaher Corp Del 235851102 2506 50000SH SOLE 50000
Duke Energy Corp 264399106 386 4500SH SOLE 4500
DuPont E I de Nemours & Co 263534109 315 7600SH SOLE 7600
Ecolab Inc 278865100 333 9250SH SOLE 9250
EMC Corp Mass 268648102 1077 10860SH SOLE 10860
Emerson Elec Co 291011104 1260 18800SH SOLE 18800
Enron Corp 293561106 412 4700SH SOLE 4700
Exxon Mobil Corp 30231G102 1491 16732SH SOLE 16732
Federal Home Ln Mtg Corp 313400301 9486 175270SH SOLE 175270
Federal Natl Mtg Assn 313586109 9244 130185SH SOLE 130185
First Un Corp 337358105 2369 72600SH SOLE 72600
Ford Mtr Co Del 345370100 191 7546SH SOLE 7546
Gannett Inc 364730101 370 6980SH SOLE 6980
General Elec Co 369604103 2221 38497SH SOLE 38497
Hewlett Packard Co 428236103 796 8205SH SOLE 8205
Illinois Tool Wks Inc 452308109 553 9900SH SOLE 9900
Intel Corp 458140100 1346 32414SH SOLE 32414
International Business Machs 459200101 434 3855SH SOLE 3855
Johnson & Johnson 478160104 1238 13174SH SOLE 1238
Kaneb Services Inc 484170105 23 5000SH SOLE 5000
Lucent Technologies Inc 549463107 329 10757SH SOLE 10757
MCDonalds Corp 580135101 281 9310SH SOLE 9310
Medtronic Inc 585055106 277 5340SH SOLE 5340
Merck & Co Inc 589331107 940 12621SH SOLE 12621
Microsoft Corp 594918104 744 12330SH SOLE 12330
Morgan Stanley Dean Witter&Co. 617446448 400 4800SH SOLE 4800
Omnicom Group Inc 681919106 589 4700SH SOLE 4700
Oracle Corp 68389X105 600 7624SH SOLE 7624
PE Corp Celera Gen Grp 69332S201 3960 40000SH SOLE 40000
Pfizer Inc 717081903 836 18600SH SOLE 18600
Primus Telecommunications Grp 741929103 393 40000SH SOLE 40000
Provident Bankshares Corp 743859100 987 58506SH SOLE 58506
Qwest Communications Intl Inc 749121109 3358 69966SH SOLE 69966
Reliant Energy 75952J108 451 9700SH SOLE 9700
SBC Communications Inc 78387G103 664 13283SH SOLE 13283
Sun Microsystems Inc 866810104 1680 14279SH SOLE 14279
Suntrust Bks Inc 867914103 3767 74423SH SOLE 74423
Sysco Corp 871829107 324 7000SH SOLE 7000
Target Corp 87612E106 284 11100SH SOLE 11100
Texas Instrs Inc 882508104 219 4639SH SOLE 4639
Tyco Intl Ltd New 902124106 250 4810SH SOLE 4810
United Bankshares Inc West VA 909907107 104 5285SH SOLE 5285
United Technologies Corp 913017109 350 5050SH SOLE 5050
Wal Mart Stores Inc 931142103 227 4722SH SOLE 4722
Washington Post Co 939640108 5193 10000SH SOLE 10000
Wells Fargo & Co New 949746101 233 5063SH SOLE 5063
Worldcom Inc GA new 8157D106 183 6020SH SOLE 6020
Xerox Corp 984121903 95 6300SH SOLE 6300
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