KRAMER CAPITAL MANAGEMNT INC
13F-HR, 2000-08-14
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<PAGE>


                          UNITED STATES
               SECURITIES AND EXCHANGE COMMISSION
                     WASHINGTON, D.C.  20549

                            Form 13F

                       Form 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: June 30, 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:    Kramer Capital Management, Inc.
Address: 767 Third Avenue
         5th Floor
         New York, New York 10017


Form 13F File Number: 28-

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:    Andrew B. Kramer
Title:   Managing Member
Phone:   (212) 906-1198

Signature, Place, and Date of Signing:

  /s/ Andrew B. Kramer         New York, New York   8/14/2000
  _________________________  ____________________  _______________
    [Signature]                 [City, State]        [Date]




<PAGE>

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 manger(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.]

         Form 13F File Number     Name

         28-

































                                2



<PAGE>

                      Form 13F SUMMARY PAGE

Report Summary:


Number of Other Included Managers:          0

Form 13F Information Table Entry Total:     196

Form 13F Information Table Value Total:     $220,041,000



List of Other Included Managers:


Provide a numbered list of the name(s) and Form 13F file
number(s) of all institutional investment managers with respect
to which this report is filed, other than the manager filing this
report.

[If there are no entries in this list, state "NONE" and omit the
column headings and list entries.]

         No.       Form 13F File Number     Name




























                                3



<PAGE>

<TABLE>
                                                              FORM 13F
                                                   Karmer Capital Management, Inc.
<CAPTION>
   COLUMN 1           COLUMN 2       COLUMN 3        COLUMN 4       COLUMN 5       COLUMN 6  COLUMN 7      COLUMN 8
----------------      ---------      --------        --------      -----------     --------  --------     -----------
                      TITLE OF                                                               OTHER       VOTING AUTHORITY
NAME OF ISSUER        CLASS            CUSIP         VALUE(K)   SH/P AMT  S/P P/C  INV DSC  MANAGERS  SOLE   SHARED  NONE
----------------      --------       ---------       --------   --------  -------- -------- --------  -----  ------  -----
 <S>                 <C>            <C>            <C>         <C>        <C>      <C>      <C>       <C>    <C>     <C>
3COM CORP            Common Stock   885535104000          58       1,000  n/a      Yes       None      Yes    No      No
AGILENT TECHNOLOGIES
 INC                 Common Stock   00846U101000         281       3,814  n/a      Yes       None      Yes    No      No
ALTRIS SOFTWARE INC  Common Stock    22091102000           2       1,000  n/a      Yes       None      Yes    No      No
AMERICA ONLINE
 INC-DEL             Common Stock   02364J104000         317       6,000  n/a      Yes       None      Yes    No      No
AMERICAN ELECTRIC
 POWER CO INC        Common Stock    25537101000           6         200  n/a      Yes       None      Yes    No      No
AMERICAN EXPRESS
 COMPANY             Common Stock    25816109000         172       3,300  n/a      Yes       None      Yes    No      No
AMERICAN INTERNATIONAL
 GROUP               Common Stock    26874107000       4,450      37,875  n/a      Yes       None      Yes    No      No
AMGEN INC            Common Stock    31162100000      11,704     166,600  n/a      Yes       None      Yes    No      No
AT HOME CORP-SER A   Common Stock    45919107000          52       2,500  n/a      Yes       None      Yes    No      No
AT&T CORP LIBERTY
 MEDIA GROUP         Common Stock     1957208000          87       3,600  n/a      Yes       None      Yes    No      No
AUSTRALIA & N Z BKG
 GROUP               Common Stock    52528403000          10         400  n/a      Yes       None      Yes    No      No
BERNALILLO CNTY N
 MEX GROSS           Bond           08527NBM7060          25      25,000  n/a      Yes       None      n/a    No      No
BIOSHIELD
 TECHNOLOGIES INC    Common Stock   09068A107000          36       3,000  n/a      Yes       None      Yes    No      No
BOEING CO            Common Stock    97023105000          34         810  n/a      Yes       None      Yes    No      No
BP AMOCO P L C       Common Stock    55622104000          48         856  n/a      Yes       None      Yes    No      No
BURLINGTON RESOURCES
 INC                 Common Stock   122014103000           6         152  n/a      Yes       None      Yes    No      No
CALL 3COM CORP
 JAN 040 PSE         Equity Option  88553N9A5088       1,070         400  Call     Yes       None      n/a    No      No
CALL ABBOTT LABS
 JAN 025 PBW         Equity Option  0028289A1058       1,063         500  Call     Yes       None      n/a    No      No
CALL AMER INTL GP
 JAN 056 CBOE        Equity Option  0G599W9A1138         703         112  Call     Yes       None      n/a    No      No
CALL AMER INTL GP
 JAN 064 CBOE        Equity Option     0G599W9A1         446          80  Call     Yes       None      n/a    No      No
CALL AMER INTL GP
 JAN 080 CBOE        Equity Option  0269249A0168         792         160  Call     Yes       None      n/a    No      No
CALL AMER ONLINE
 JAN 040 ****        Equity Option  08999W9A5088       3,045       1,400  Call     Yes       None      n/a    No      No





                                4



<PAGE>

CALL AMER ONLINE
 JAN 045 ****        Equity Option  08999W9A5098       3,800       2,000  Call     Yes       None      n/a    No      No
CALL AMER ONLINE
 JAN 050 ****        Equity Option  02364K9A1108       1,347         810  Call     Yes       None      n/a    No      No
CALL AMER ONLINE
 JAN 050 ****        Equity Option  0239309A0108         850         400  Call     Yes       None      n/a    No      No
CALL AMER ONLINE
 JAN 060 ****        Equity Option  02364K9A1128          74          60  Call     Yes       None      n/a    No      No
CALL AMER ONLINE
 JAN 070 ****        Equity Option  02364K9A1148          95         100  Call     Yes       None      n/a    No      No
CALL AMERN EXPRE
 JAN26.625****       Equity Option  02581G9A7018       1,718         600  Call     Yes       None      n/a    No      No
CALL AMGEN INC
 JAN 015 ****        Equity Option  0311629A0038       1,105         200  Call     Yes       None      n/a    No      No
CALL AMGEN INC
 JAN 025 AMEX        Equity Option  03116U9A8058       2,101         440  Call     Yes       None      n/a    No      No
CALL AMGEN INC
 JAN 040 AMEX        Equity Option  03116U9A8088       2,220         600  Call     Yes       None      n/a    No      No
CALL AT HOME CORP
 JAN 015 ****        Equity Option  27999W9A5038          52          50  Call     Yes       None      n/a    No      No
CALL CENDANT CORP
 JAN 010 ****        Equity Option  1513139A3028          54         100  Call     Yes       None      n/a    No      No
CALL CENDANT CORP
 JAN 015 ****        Equity Option  9029639A7038         285         600  Call     Yes       None      n/a    No      No
CALL CENDANT CORP
 JAN 015 ****        Equity Option  1513139A3038          26         100  Call     Yes       None      n/a    No      No
CALL CENDENT CORP
 JAN 010 ****        Equity Option  9029639A7028         175         250  Call     Yes       None      n/a    No      No
CALL CHASE MNHATN
 JAN 033 ****        Equity Option  16161K9A6288         925         355  Call     Yes       None      n/a    No      No
CALL CHASE MNHATN
 JAN 040 ****        Equity Option     1J299W9A7         200         200  Call     Yes       None      n/a    No      No
CALL CHASE MNHATN
 JAN26.625****       Equity Option  1J299W9A7188       1,823         600  Call     Yes       None      n/a    No      No
CALL CISCO SYS
 JAN 030 ****        Equity Option     17275V9A3       5,122       1,348  Call     Yes       None      n/a    No      No
CALL CISCO SYS
 JAN 045 ****        Equity Option  33299W9A0098         844         300  Call     Yes       None      n/a    No      No
CALL CISCO SYS
 JAN 060 ****        Equity Option  33299W9A0128       2,025       1,000  Call     Yes       None      n/a    No      No
CALL CITIGROUP
 JAN 020 ****        Equity Option  8939269A5298       2,050         500  Call     Yes       None      n/a    No      No
CALL CITIGROUP IN
 JAN 030 ****        Equity Option  1729689A9068         176          52  Call     Yes       None      n/a    No      No
CALL CITIGROUP IN
 JAN 040 ****        Equity Option  1729689A9088         906         350  Call     Yes       None      n/a    No      No
CALL CITIGROUP IN
 JAN 040 ****        Equity Option  8939269A5338         448         200  Call     Yes       None      n/a    No      No





                                5



<PAGE>

CALL CITIGROUP IN
 JAN 050 ****        Equity Option  1729689A9108       4,214       2,175  Call     Yes       None      n/a    No      No
CALL CITIGROUP
 JAN 100 ****        Equity Option     1729309A9       1,638         125  Call     Yes       None      n/a    No      No
CALL CITIGROUP
 JAN 33.375 ****     Equity Option     8939269A5         848         200  Call     Yes       None      n/a    No      No
CALL COLUMBIA EN
 JAN 050 ****        Equity Option     1976489A8         259         150  Call     Yes       None      n/a    No      No
CALL COMPAQ COMP
 JAN 015 ****        Equity Option  2044939A0038       1,575       1,400  Call     Yes       None      n/a    No      No
CALL COMPAQ COMP
 JAN 015 PSE         Equity Option  20449V9A8038         822         620  Call     Yes       None      n/a    No      No
CALL ELI LILLY
 JAN 055 ****        Equity Option  5324579A8118         646         140  Call     Yes       None      n/a    No      No
CALL EMC CORP
 JAN 025 ****        Equity Option  2689259A4058       2,415         440  Call     Yes       None      n/a    No      No
CALL ENRON CORP
 JAN 020 ****        Equity Option  2935619A6048       1,116         240  Call     Yes       None      n/a    No      No
CALL ENRON CORP
 JAN 025 ****        Equity Option  2935619A6058         664         160  Call     Yes       None      n/a    No      No
CALL ENRON CORP
 JAN 030 CBOE        Equity Option     2939109A5          98          25  Call     Yes       None      n/a    No      No
CALL ENRON CORP
 JAN 040 CBOE        Equity Option  2939109A5088         830         270  Call     Yes       None      n/a    No      No
CALL ENRON CORP
 JAN 050 ****        Equity Option  2935619A6108         194         100  Call     Yes       None      n/a    No      No
CALL ENRON CORP
 JAN 050 ****        Equity Option        QVENAJ          73          25  Call     Yes       None      n/a    No      No
CALL ENRON CORP
 JAN 050 CBOE        Equity Option  2939109A5108         493         200  Call     Yes       None      n/a    No      No
CALL FED NATL MTG
 JAN 040 PBW         Equity Option  31358W9A2088         497         290  Call     Yes       None      n/a    No      No
CALL FED NATL MTG
 JAN 050 PBW         Equity Option  31358W9A2108         124         100  Call     Yes       None      n/a    No      No
CALL FREDDIE MAC
 JAN 035 ****        Equity Option  3134009A3078         131         150  Call     Yes       None      n/a    No      No
CALL FREDDIE MAC
 JAN 040 ****        Equity Option  3129209A1088         500         500  Call     Yes       None      n/a    No      No
CALL FREDDIE MAC
 JAN 050 AMEX        Equity Option  3129209A1108          25          40  Call     Yes       None      n/a    No      No
CALL HEWLETT PACK
 JAN 045 ****        Equity Option  4G099W9A2218         435          40  Call     Yes       None      n/a    No      No
CALL HEWLETT PACK
 JAN 075 ****        Equity Option  4G299W9A0158       1,780         200  Call     Yes       None      n/a    No      No
CALL HOME DEPOT
 JAN 040 ****        Equity Option  4369309A1088         403         230  Call     Yes       None      n/a    No      No
CALL HOME DEPOT
 JAN 050 ****        Equity Option  4369309A1108         245         200  Call     Yes       None      n/a    No      No





                                6



<PAGE>

CALL HOME DEPOT
 JAN 33.37 ****      Equity Option     58499W9A5         962         300  Call     Yes       None      n/a    No      No
CALL INTEL CORP
 JAN 030 AMEX        Equity Option  29799W9A3068       6,938         660  Call     Yes       None      n/a    No      No
CALL INTEL CORP
 JAN 040 AMEX        Equity Option  45814G9A5088         394          40  Call     Yes       None      n/a    No      No
CALL INTEL CORP
 JAN 060 AMEX        Equity Option  65248L9A8128      12,025       1,480  Call     Yes       None      n/a    No      No
CALL INTEL CORP
 JAN 070 AMEX        Equity Option  65248L9A8148       5,860         800  Call     Yes       None      n/a    No      No
CALL M.S.D.W.&CO
 JAN 020 ****        Equity Option  6174469A9048       1,586         245  Call     Yes       None      n/a    No      No
CALL M.S.D.W.&CO
 JAN 040 ****        Equity Option  2419379A1088       1,669         355  Call     Yes       None      n/a    No      No
CALL M.S.D.W.&CO
 JAN 050 ****        Equity Option  2419379A1108         403         100  Call     Yes       None      n/a    No      No
CALL MICROSOFT
 JAN 060 PSE         Equity Option  5949369A6128       1,185         400  Call     Yes       None      n/a    No      No
CALL MOTOROLA INC
 JAN 025 ****        Equity Option  62008C9A5058         904         795  Call     Yes       None      n/a    No      No
CALL NEXTEL COMMU
 JAN 015 ****        Equity Option  6529019A9038       4,596         960  Call     Yes       None      n/a    No      No
CALL NOVELL INC
 JAN 015 ****        Equity Option  6700069A5038          11         100  Call     Yes       None      n/a    No      No
CALL ORBITAL SCI
 JAN 020 ****        Equity Option  6859419A6048          32         400  Call     Yes       None      n/a    No      No
CALL PFIZER INC
 JAN 030 AMEX        Equity Option  7170859A4068       5,322       2,490  Call     Yes       None      n/a    No      No
CALL PFIZER INC
 JAN 030 AMEX        Equity Option  7170849A7068         373         200  Call     Yes       None      n/a    No      No
CALL PFIZER INC
 JAN23.37AMEX        Equity Option  7170849A7228       5,598       2,285  Call     Yes       None      n/a    No      No
CALL PFIZER INC
 JAN 26.62 AMEX      Equity Option     7170849A7       2,213       1,000  Call     Yes       None      n/a    No      No
CALL PRICELINE.CO
 JAN 030 ****        Equity Option     74150N9A2          74          40  Call     Yes       None      n/a    No      No
CALL PRICELINE.CO
 JAN 040 ****        Equity Option       QVZJA40         119          80  Call     Yes       None      n/a    No      No
CALL RADIOSHACK
 JAN 030 ****        Equity Option  8749229A7068         675         300  Call     Yes       None      n/a    No      No
CALL RADIOSHACK
 JAN 035 ****        Equity Option     8749229A7          60          30  Call     Yes       None      n/a    No      No
CALL SAFEWAY INC
 JAN 040 ****        Equity Option     7865029A4         273         200  Call     Yes       None      n/a    No      No
CALL SCHLUMBERGER
 JAN 060 ****        Equity Option  8069049A8298         336         100  Call     Yes       None      n/a    No      No
CALL SEAGATE TECH
 JAN 050 AMEX        Equity Option     8119099A0         225         100  Call     Yes       None      n/a    No      No





                                7



<PAGE>

CALL SHERING PLGH
 JAN 035 PSE         Equity Option     8066099A3         593         300  Call     Yes       None      n/a    No      No
CALL SOLECTRON CP
 JAN 025 ****        Equity Option  8341829A7058         216         120  Call     Yes       None      n/a    No      No
CALL SOLECTRON CP
 JAN 025 CBOE        Equity Option     83490E9A2         148          70  Call     Yes       None      n/a    No      No
CALL SOLECTRON CP
 JAN 030 CBOE        Equity Option  83490E9A2068       1,058         600  Call     Yes       None      n/a    No      No
CALL SUN MICRO
 JAN 020 PSE         Equity Option  86681D9A6048       1,455         200  Call     Yes       None      n/a    No      No
CALL SUN MICRO
 JAN 030 PSE         Equity Option     86681D9A6       1,305         200  Call     Yes       None      n/a    No      No
CALL SUN MICRO
 JAN 050 PSE         Equity Option  86681D9A6108       1,985         400  Call     Yes       None      n/a    No      No
CALL TELLABS INC
 JAN 040 PBW         Equity Option  8799569A0088         732         210  Call     Yes       None      n/a    No      No
CALL TELLABS INC
 JAN 045 PBW         Equity Option     8799569A0         132          40  Call     Yes       None      n/a    No      No
CALL TEXAS INSTRS
 JAN 050 ****        Equity Option  88251J9A9108         123          40  Call     Yes       None      n/a    No      No
CALL TEXAS INSTRS
 JAN 055 ****        Equity Option  88251J9A9118         558         200  Call     Yes       None      n/a    No      No
CALL TIME WARNER
 JAN 040 PBW         Equity Option  88731N9A0088         193          50  Call     Yes       None      n/a    No      No
CALL TIME WARNER
 JAN 070 PBW         Equity Option  88731P9A5148         251         100  Call     Yes       None      n/a    No      No
CALL TIME WARNER
 JAN 080 PBW         Equity Option  88731P9A5168         199         100  Call     Yes       None      n/a    No      No
CALL TIME WARNER
 JAN 055 PBW         Equity Option     88731P9A5          97          30  Call     Yes       None      n/a    No      No
CALL TYCO INTL
 JAN 030 ****        Equity Option  9019179A4068       1,018         450  Call     Yes       None      n/a    No      No
CALL VIACOM CL B
 JAN 050 CBOE        Equity Option  92552N9A8108       1,035         400  Call     Yes       None      n/a    No      No
CALL VIACOM-CL B
 JAN 045 ****        Equity Option     12490N9A1         173          50  Call     Yes       None      n/a    No      No
CALL WAL-MART STR
 JAN 030 CBOE        Equity Option  9311459A6068       2,170         700  Call     Yes       None      n/a    No      No
CALL WAL-MART STR
 JAN 040 CBOE        Equity Option     9311459A6         945         400  Call     Yes       None      n/a    No      No
CALL WAL-MART STR
 JAN 050 CBOE        Equity Option  9311459A6108         355         200  Call     Yes       None      n/a    No      No
CALL WORLDCOM IN
 JAN 035 ****        Equity Option     9819159A1          72          40  Call     Yes       None      n/a    No      No
CALL WORLDCOM INC
 JAN 030 ****        Equity Option  9819159A1068       1,365         650  Call     Yes       None      n/a    No      No
CAMDEN CNTY N J
 PLLTN CTL FING      Bond           132814AV6060          14      15,000  n/a      Yes       None      n/a    No      No
CENDANT CORP         Common Stock   151313103000         294      21,000  n/a      Yes       None      Yes    No      No




                                8



<PAGE>

CENDANT CORP-INCOME
 PRIDES              Common Stock   151313301000          44       2,000  n/a      Yes       None      Yes    No      No
CHARTER COMMUNICATIONS
 INC DEL             Common Stock   16117M107000          33       2,000  n/a      Yes       None      Yes    No      No
CHASE MANHATTAN CORP
 NEW                 Common Stock   16161A108000          83       1,800  n/a      Yes       None      Yes    No      No
CISCO SYSTEMS INC    Common Stock   17275R102000      22,501     354,000  n/a      Yes       None      Yes    No      No
CITIGROUP INC        Common Stock   172967101000       5,287      87,750  n/a      Yes       None      Yes    No      No
COMPAQ COMPUTER CORP Common Stock   204493100000         112       4,400  n/a      Yes       None      Yes    No      No
CSX CORP             Common Stock   126408103000          13         616  n/a      Yes       None      Yes    No      No
DAIMLERCHRYSLER A.G. Common Stock   D1668R123000           4          68  n/a      Yes       None      Yes    No      No
DANIELSON HOLDING
 CORP                Common Stock      236274106          50      10,287  n/a      Yes       None      Yes    No      No
DELPHI AUTOMOTIVE
 SYS CORP            Common Stock   247126105000           2         139  n/a      Yes       None      Yes    No      No
ENRON CORP           Common Stock   293561106000         455       7,050  n/a      Yes       None      Yes    No      No
ESC MEDICAL SYSTEMS
 LTD-ORD             Common Stock   M40868107000           2         150  n/a      Yes       None      Yes    No      No
EXXON MOBIL CORP     Common Stock   30231G102000          63         800  n/a      Yes       None      Yes    No      No
FANNIE MAE           Common Stock   313586109000       3,199      61,300  n/a      Yes       None      Yes    No      No
FIRST DATA CORP      Common Stock   319963104000          25         500  n/a      Yes       None      Yes    No      No
FORD MOTOR CO        Common Stock   345370100000         108       2,500  n/a      Yes       None      Yes    No      No
FREDDIE MAC-VOTING
 COMMON              Common Stock   313400301000       4,694     115,900  n/a      Yes       None      Yes    No      No
GENERAL ELEC CAP
 CORP-SUB NTS        Bond           369622DG7060          36      35,000  n/a      Yes       None      n/a    No      No
GENERAL ELECTRIC CO  Common Stock   369604103000         207       3,900  n/a      Yes       None      Yes    No      No
GENERAL MOTORS CORP  Common Stock   370442105000          12         200  n/a      Yes       None      Yes    No      No
GTE CORP             Common Stock   362320103000          19         300  n/a      Yes       None      Yes    No      No
HANDLEMAN CO         Common Stock   410252100000           3         200  n/a      Yes       None      Yes    No      No
HEWLETT PACKARD CO   Common Stock   428236103000       1,249      10,000  n/a      Yes       None      Yes    No      No
HILTON HOTELS CORP   Common Stock   432848109000          87       9,325  n/a      Yes       None      Yes    No      No
HOME DEPOT INC       Common Stock   437076102000       1,348      27,000  n/a      Yes       None      Yes    No      No
HOMELAND STORES INC  Bond           437394AD1060          14      20,000  n/a      Yes       None      n/a    No      No
HONEYWELL INTL INC   Common Stock   438516106000          21         612  n/a      Yes       None      Yes    No      No
IMMUNEX CORP NEW     Common Stock   452528102000         208       4,200  n/a      Yes       None      Yes    No      No
INDIANA TRANSN FIN
 AUTH ARPT           Bond           455135BN2060          25      25,000  n/a      Yes       None      n/a    No      No
INTEL CORP           Common Stock   458140100000       6,831      51,100  n/a      Yes       None      Yes    No      No
ITT CORP             Common Stock   450679AP0020       4,544      45,000  n/a      Yes       None      Yes    No      No
JOHNSON & JOHNSON    Common Stock   478160104000          51         500  n/a      Yes       None      Yes    No      No
KEYSPAN CORP         Common Stock   49337W100000          34       1,103  n/a      Yes       None      Yes    No      No
LAS VEGAS RESORTS
 CORP                Common Stock   517831103000         -        19,704  n/a      Yes       None      Yes    No      No
LIZ CLAIBORNE INC    Common Stock   539320101000           4         100  n/a      Yes       None      Yes    No      No
LL & E ROYALTY TRUST
 UBI                 Common Stock   502003106000           0          50  n/a      Yes       None      Yes    No      No
LYKES CORP SUB DEB   Bond           550890AB3020         -        26,000  n/a      Yes       None      n/a    No      No
MERCK & CO INC       Common Stock   589331107000          77       1,000  n/a      Yes       None      Yes    No      No




                                9



<PAGE>

METROMEDIA FIBER
 NETWORK INC         Common Stock   591689104000          79       2,000  n/a      Yes       None      Yes    No      No
MICROSOFT CORP       Common Stock   594918104000         156       1,950  n/a      Yes       None      Yes    No      No
MOTOROLA INC         Common Stock   620076109000          87       3,000  n/a      Yes       None      Yes    No      No
NEW YORK ST MTG AGY
 REV                 Bond           649886AM0060           5       5,000  n/a      Yes       None      n/a    No      No
NEW YORK ST MTG AGY
 REV SER 34          Bond           649885G95060          10      10,000  n/a      Yes       None      n/a    No      No
NEXTEL COMMUNICATIONS
 INC-CL A            Common Stock   65332V103000         245       4,000  n/a      Yes       None      Yes    No      No
NORFOLK SOUTHERN
 CORP                Common Stock   655844108000          20       1,350  n/a      Yes       None      Yes    No      No
NTL INC              Common Stock   629407107000          37         625  n/a      Yes       None      Yes    No      No
PFIZER INC           Common Stock   717081103000       1,315      27,400  n/a      Yes       None      Yes    No      No
PHILIP MORRIS
 COMPANIES INC       Common Stock   718154107000          80       3,000  n/a      Yes       None      Yes    No      No
PMC-SIERRA INC       Common Stock   69344F106000          89         500  n/a      Yes       None      Yes    No      No
PRICELINE.COM INC    Common Stock   741503106000          61       1,600  n/a      Yes       None      Yes    No      No
RADIOSHACK CORP      Common Stock   750438103000         114       2,400  n/a      Yes       None      Yes    No      No
RESERVE FUND PRIMARY Common Stock      761056100         239     238,638  n/a      Yes       None      Yes    No      No
SCHLUMBERGER LTD     Common Stock   806857108000          37         500  n/a      Yes       None      Yes    No      No
SOLECTRON CORP       Common Stock   834182107000         168       4,000  n/a      Yes       None      Yes    No      No
SUN MICROSYSTEMS INC Common Stock   866810104000       5,456      60,000  n/a      Yes       None      Yes    No      No
TELLABS INC          Common Stock   879664100000         192       2,800  n/a      Yes       None      Yes    No      No
TEXACO INC           Common Stock   881694103000          21         400  n/a      Yes       None      Yes    No      No
TEXAS INSTRUMENTS
 INC                 Common Stock   882508104000       5,550      80,800  n/a      Yes       None      Yes    No      No
THIRD AVENUE
 SMALL-CAP VALUE     Common Stock   884116203000          22       1,691  n/a      Yes       None      Yes    No      No
THIRD AVENUE VALUE
 FUND INC            Common Stock   884116104000          24         658  n/a      Yes       None      Yes    No      No
TIME WARNER INC      Common Stock   887315109000       4,841      63,700  n/a      Yes       None      Yes    No      No
TRADITIONAL INDS
 INC SUB DEB         Bond           892682AA3020         -     1,100,000  n/a      Yes       None      n/a    No      No
UNITED STATES TREAS
 SEC STRIPS          Bond           912833FM7060          14      14,000  n/a      Yes       None      n/a    No      No
UNITED STATES
 TREASURY BONDS      Bond           912810EL8060          72      60,000  n/a      Yes       None      n/a    No      No
UNITED STATES
 TREASURY NOTES      Bond           912827Z62060          51      50,000  n/a      Yes       None      n/a    No      No
UNITED STATES
 TREASURY NOTES      Bond           912827W24060          50      50,000  n/a      Yes       None      n/a    No      No
UNIVERSITY
 CINCINNATI OHIO     Bond           914116BU1060          25      25,000  n/a      Yes       None      n/a    No      No
USX-MARATHON GROUP   Common Stock   902905827000           2          75  n/a      Yes       None      Yes    No      No
USX-U S STEEL GROUP  Common Stock   90337T101000           0          15  n/a      Yes       None      Yes    No      No
UTS HSBC BK
 PLC-SPONSORED       Common Stock   44328M302000          23       1,000  n/a      Yes       None      Yes    No      No
VIACOM INC-CL B      Common Stock   925524308000       1,438      21,085  n/a      Yes       None      Yes    No      No
VISTEON CORP         Common Stock   92839U107000           4         326  n/a      Yes       None      Yes    No      No



                               10



<PAGE>

VODAFONE AIRTOUCH
 PLC                 Common Stock   92857T107000          52       1,250  n/a      Yes       None      Yes    No      No
WAL-MART STORES NTS  Common Stock   931142AV5020       5,088      50,000  n/a      Yes       None      Yes    No      No
WALT DISNEY CO
 HOLDING CO          Common Stock   254687106000          23         600  n/a      Yes       None      Yes    No      No
WILLIAMS COMPANIES
 INC                 Common Stock   969457100000          28         666  n/a      Yes       None      Yes    No      No
WORLDCOM INC GA NEW  Common Stock   98157D106000       1,720      37,500  n/a      Yes       None      Yes    No      No
                     Total:                          220,041
</TABLE>











































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