BOTTI BROWN ASSET MANAGEMENT LLC
13F-HR, 2000-05-11
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						UNITED STATES
				SECURITIES AND EXCHANGE COMMISSION
					Washington, D.C.  20549

						   FORM 13F

					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:	Botti Brown Asset Management, LLC
Address:	One Montgomery Street, Suite 3300
		San Francisco, CA  94104

Form 13F File Number:	28-05327

The institutional investment manager filing this report and the person by
whom it is signed hereby represent 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:	Donald S. Brown
Title:	Manager
Phone:	415-263-1890

Signature, Place and Date of Signing:

	/s/ Donald S. Brown			San Francisco, CA		May 10, 2000
	Donald S. Brown				[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:

None

<PAGE>

					Form 13F SUMMARY PAGE


Report Summary:

Number of Other Included Managers:			______0____

Form 13F Information Table Entry Total:		____80_____

Form 13F Information Table Value Total:		__156,027__


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.

None

<Page

<TABLE>

          NAME OF ISSUER           TITLE OF    CUSIP VALUE SHARES         INV.         OTHER  AUTH
                                    CLASS            X1000                DISC          MGR   SOLE SHR NONE
<C>		<C>		<C>
ACTRADE INTERNATIONAL LTD          COMMON     4931101   358  22217        SOLE                22217
ACXIOM CORP                        COMMON     5125109  1164  35000        SOLE                35000
ADVANTA CORP-CL B NON-VTG          COMMON     7942204   290  20000        SOLE                20000
AMES DEPARTMENT STORES INC NEW     COMMON    30789507   499  20300        SOLE                20300
AMFM INC                           COMMON     1693100   466   7500        SOLE                 7500
ANAREN MICROWAVE INC               COMMON    32744104  3662  38200        SOLE                38200
ASTROPOWER INC                     COMMON   04644A101   388  12000        SOLE                12000
BARRA INC                          COMMON    68313105 10366 306000        SOLE               306000
BELL & HOWELL HOLDINGS CO          COMMON    77852101   991  31700        SOLE                31700
BELL INDS INC                      COMMON    78107109   387 121300        SOLE               121300
CALDERA SYS INC                    COMMON   128780103   611  26000        SOLE                26000
CISCO SYSTEMS INC.                 COMMON   17275R102  2768  35800        SOLE                35800
CITRIX SYS INC                     COMMON   177376100  1193  18000        SOLE                18000
CLAIRES STORES INC                 COMMON   179584107  5967 297400        SOLE               297400
COMFORCE CORP                      COMMON   20038K109    67  31400        SOLE                31400
COVENANT TRANSPORT INC-CLA         COMMON   22284P105   476  30000        SOLE                30000
DOLLAR GENERAL CORP                COMMON   256669102   466  17335        SOLE                17335
FINISH LINE INC-CL A               COMMON   317923100  7600 779500        SOLE               779500
FIRST HEALTH GROUP CORP            COMMON   320960107  6521 206200        SOLE               206200
FLEETBOSTON FINL CORP              COMMON   339030108  1095  30000        SOLE                30000
FLEMING COS INC W/RTS TO PUR       COMMON   339130106  1128  74900        SOLE                74900
4 KIDS ENTMT INC                   COMMON   350865101  1063  45000        SOLE                45000
GENELABS TECHNOLOGIES INC          COMMON   368706107   316  51000        SOLE                51000
GILLETTE CO                        COMMON   375766102   264   7000        SOLE                 7000
HILB ROGAL & HAMILTON CO           COMMON   431294107  1224  44800        SOLE                44800
HOOPER HOLMES INC                  COMMON   439104100 12586 366800        SOLE               366800
HOT TOPIC INC                      COMMON   441339108 11165 319000        SOLE               319000
INAMED CORP                        COMMON   453235103  4381  88500        SOLE                88500
INGRAM MICRO INC CL A              COMMON   457153104   154  10000        SOLE                10000
INSURANCE AUTO AUCTIONS INC        COMMON   457875102  2428 143900        SOLE               143900
INTEL CORP                         COMMON   458140100  2507  19000        SOLE                19000
INTERNATIONAL AIRCRAFT INVS        COMMON   458860103   810 127000        SOLE               127000
INTERNATIONAL FIBERCOM INC         COMMON   45950T101   238  10000        SOLE                10000
INTERTAN INC                       COMMON   461120107  1110  80750        SOLE                80750
INVIVO CORP                        COMMON   461858102  3704 308650        SOLE               308650
KAISER VENTURES INC                COMMON   483100103  2990 212600        SOLE               212600
LANDSTAR SYSTEMS INC               COMMON   515098101  5393  98500        SOLE                98500
LINDSAY MANUFACTURING CO           COMMON   535555106  1805 105400        SOLE               105400
M & F WORLDWIDE CORP               COMMON   552541104  1910 436600        SOLE               436600
M S CARRIERS INC                   COMMON   553533100   705  30000        SOLE                30000
MEDICAL ASSET MANAGEMENT INC       COMMON   58449R107     1  50000        SOLE                50000
MERISEL INC                        COMMON   589849108   208 123000        SOLE               123000
MICRO LINEAR CORP                  COMMON   594850109  2823 332100        SOLE               332100
MICROSOFT CORP                     COMMON   594918104  3528  33200        SOLE                33200
MIIX GROUP INC                     COMMON   59862V104  3858 276800        SOLE               276800
NAUTICA ENTERPRISES INC            COMMON   639089101  6562 558500        SOLE               558500
NYMAGIC INC                        COMMON   629484106  1689 123400        SOLE               123400
OFFICE DEPOT INC                   COMMON   676220106   867  75000        SOLE                75000
ONVIA.COM INC                      COMMON   68338T106   423  20000        SOLE                20000
OSICOM TECHNOLOGIES INC NEW        COMMON   688271501  1433  12766        SOLE                12766
***PARTNERRE LTD                   COMMON   G6852T105  1473  40000        SOLE                40000
PEGASYSTEMS INC COM                COMMON   705573103   270  22500        SOLE                22500
PHARMCHEM LABORATORIES INC         COMMON   717133102  2146 553850        SOLE               553850
PMI GROUP INC                      COMMON   69344M101   949  20000        SOLE                20000
PRINTRONIX INC                     COMMON   742578107   199  10000        SOLE                10000
PROSPERITY BANCSHARES INC          COMMON   743606105   221  15000        SOLE                15000
***RENAISSANCERE HOLDINGS LTD      COMMON   G7496G103   208   5100        SOLE                 5100
RIGHT MANAGEMENT CONSULTANTS       COMMON   766573109  2423 215000        SOLE               215000
ROSS STORES INC                    COMMON   778296103  2166  90000        SOLE                90000
SAFESCIENCE INC                    COMMON   786452102   323  25000        SOLE                25000
SBS TECHNOLOGIES INC               COMMON   78387P103  1915  66600        SOLE                66600
SCHERING PLOUGH CORP               COMMON   806605101   356   9600        SOLE                 9600
SCOTTS CO                          COMMON   810186106  1075  25600        SOLE                25600
SDL INC                            COMMON   784076101  2980  14000        SOLE                14000
SOLA INTERNATIONAL INC             COMMON   834092108  1112 181600        SOLE               181600
SPECTRUM CONTROL INC               COMMON   847615101  2552 221900        SOLE               221900
STARWOOD LODGING TR-COMBINED       COMMON   85590A203  1286  49936        SOLE                49936
TACO CABANA INC                    COMMON   873425102   866 145900        SOLE               145900
TELAXIS COMMUNICATIONS CORP        COMMON   TELXSS100  1249 321353        SOLE               321353
TELAXIS COMMUNICATIONS CORP        COMMON   TLAXISS29   827 183779        SOLE               183779
TELAXIS COMMUNICATIONS CORP        COMMON   TTLLEXIS    399 100453        SOLE               100453
TELAXIS COMMUNICATIONS CORP        COMMON   879202109   721  12000        SOLE                12000
TRANSACTION SYSTEMS ARCHITECTS     COMMON   893416107  1548  53600        SOLE                53600
U S XPRESS ENTERPRISES INC         COMMON   90338N103   683  77500        SOLE                77500
UNIONBANCORP INC                   COMMON   908908106   270  23000        SOLE                23000
UNITED INVESTORS REALTY TRUST      COMMON   910741107   161  32200        SOLE                32200
UPGRADE INTL CORP                  COMMON   915301204   503  21000        SOLE                21000
VENTANA MEDICAL SYSTEMS INC        COMMON   92276H106  3995  92500        SOLE                92500
VIVUS INC                          COMMON   928551100   318  38450        SOLE                38450
PUT SANMINA CORP APR 65            COMMON   8009070PM   231    660   PUT  SOLE                  660


</TABLE>


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