United States
Securities and Exchange Commission
Washington, D.C. 20549
Form 13F
Form 13F COVER PAGE
Report for calendar quarter ended: March 31, 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 May 8, 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: _____76_______
Form 13F Information Table Value Total: $_107,576_______
(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 1156 20503SH SOLE 20503
Abbott Labs 002824100 605 17200SH SOLE 17200
Albertsons Inc 013104104 251 8100SH SOLE 8100
Alltel Corp 020039103 362 5727SH SOLE 5727
America Online Inc DEL 02364J104 1102 16380SH SOLE 16380
American Express 025816109 512 3440SH SOLE 3440
American General Corp 026351106 274 4890SH SOLE 4890
American International Group Inc 026874107 592 5414SH SOLE 5414
American Mgmt Sys Inc 027352103 1939 44250SH SOLE 44250
American Tower Corp Cl A 029912201 3135 63500SH SOLE 63500
Automatic Data Processing Inc 053015103 318 6585SH SOLE 6585
Bank of America Corporation 060505104 2822 44400SH SOLE 44400
Becton Dickinson & Co 075887109 494 18770SH SOLE 18770
Bell Atlantic Corp 077853109 3797 62126SH SOLE 62126
Bellsouth Corp 079860102 546 11644SH SOLE 11644
Black and Decker Corp 091797100 376 10000SH SOLE 10000
BMC Software Inc 055921100 298 6050SH SOLE 6050
Capital One Finl Corp 14040H905 4458 93000SH SOLE 93000
Carnival Corp 143658102 247 9950SH SOLE 9950
Chase Manhattan Corp New 16161A108 689 8030SH SOLE 8030
Circuit City Stores Inc Circt Cit 172737108 4261 70000SH SOLE 70000
Cisco Sys Inc 17275R102 2785 36026SH SOLE 36026
Citigroup Inc 172967101 1106 18474SH SOLE 18474
Compaq Computer Corp 204493100 250 9264SH SOLE 9264
Computer Associates Intl Inc 204912109 592 10000SH SOLE 10000
Conagra Inc 205887102 317 17500S SOLE 17500
Danaher Corp Del 235851102 2550 50000SH SOLE 50000
DuPont E I de Nemours & Co 263534109 733 13850SH SOLE 13850
Ecolab Inc 278865100 380 10350SH SOLE 10350
EMC Corp Mass 268648102 504 4000SH SOLE 4000
Emerson Elec Co 291011104 805 15150SH SOLE 15150
Exxon Corp 302290101 1333 17097SH SOLE 17087
Federal Home Ln Mtg Corp 313400301 7743 175230SH SOLE 175230
Federal Natl Mtg Assn 313586109 7621 135020SH SOLE 135020
First Un Corp 337358105 2704 72600SH SOLE 72600
Ford Mtr Co Del 345370100 271 5889SH SOLE 5889
Gannett Inc 364730101 586 8330SH SOLE 8330
General Elec Co 369604103 1325 8512SH SOLE 8512
General Mtrs Corp 370442105 325 3923SH SOLE 3923
Halliburton Co 406216101 385 9350SH SOLE 9350
Hewlett Packard Co 428236103 1156 8703SH SOLE 8703
Illinois Tool Wks Inc 452308109 517 9350SH SOLE 9350
Intel Corp 458140100 2326 17648SH SOLE 17648
International Business Machs 459200101 465 3938SH SOLE 3938
Johnson & Johnson 478160104 862 12274SH SOLE 12274
Kimberly Clark Corp 494368103 353 6300SH SOLE 6300
Leggett & Platt Inc 524660107 300 13970SH SOLE 139700
LCC International Inc. 501810105 396 10000SH SOLE 10000
Lucent Technologies Inc 549463107 1003 16371SH SOLE 16371
Mattell Inc 577081102 128 12200SH SOLE 12200
MCDonalds Corp 580135101 382 10210SH SOLE 10210
MCI Worldcom Inc 55268B106 1833 40435SH SOLE 40435
Medtronic Inc 585055106 289 5620SH SOLE 5620
Merck & Co Inc 589331107 714 11497SH SOLE 11497
Miami Computer Supply Corp 593261100 314 10000SH SOLE 10000
Microsoft Corp 594918104 1804 16341SH SOLE 16341
Micros Sys Inc 594901100 1951 31000SH SOLE 31000
Network Access Solutions Corp 64120S109 220 10000SH SOLE 10000
Omnicom Group Inc 681919106 510 4755SH SOLE 4755
Oracle Corp 68389X105 677 5764SH SOLE 5764
PE Corp Celera Gen Grp 69332S201 3663 40000SH SOLE 40000
Pepsico Inc 713448108 408 11576SH SOLE 11576
Potomac Elec Pwr Co 737679100 339 15000SH SOLE 15000
Price T. Rowe & Associates 741477103 206 5600SH SOLE 5600
Primus Telecommunications Grp 741929103 2584 50000SH SOLE 50000
Provident Bankshares Corp 743859100 1012 56785SH SOLE 56785
Qwest Communications Intl Inc 749121109 3393 69966SH SOLE 69966
SBC Communications Inc 78387G103 509 11011SH SOLE 11011
Sun Microsystems Inc 866810104 1335 17375SH SOLE 17375
Suntrust Bks Inc 867914103 9972 154483SH SOLE 154483
Sysco Corp 871829107 317 8000SH SOLE 8000
United Technologies Corp 913017109 266 4100SH SOLE 4100
Virginia Comm Bk VA 927785105 185 13963SH SOLE 13963
Wal Mart Stores Inc 931142103 328 4750SH SOLE 4750
Winstar Communications 975515107 900 15000SH SOLE 15000
Washington Post Co 939640108 5410 10000SH SOLE 10000
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