BOTTI BROWN ASSET MANAGEMENT LLC
13F-HR, 2000-11-03
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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:	September 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:	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:

	____________________			San Francisco, CA		11/3/00
	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:		____81_____
Form 13F Information Table Value Total:		__189,698__
__
__
__


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                         CLASS     CUSIP        VALUE      SHARES       SH/  PUT/   INV.    VOTING
                                                              X1000                   PRN  CALL   DISC.   SOLE    SHARED
NONE
<C>                              <C>
ACTRADE INTERNATIONAL LTD               COMM  00507P102          668     22,217        SH         SOLE     22,217
ACXIOM CORP                             COMM     5125109        1111     35,000        SH         SOLE     35,000
FEDERAL AGRICULTURAL MORTGAGE           COMM   313148306        1763    100,000        SH         SOLE    100,000
ADVANCED MICRO DEVICES INC              COMM     7903107         827     35,000        SH         SOLE     35,000
ANAREN MICROWAVE INC                    COMM    32744104        3052     22,500        SH         SOLE     22,500
ANSYS INC                               COMM  03662Q105         1722    143,500        SH         SOLE    143,500
AON CORP                                COMM    37389103        4906    125,000        SH         SOLE    125,000
ASTROPOWER INC                          COMM  04644A101         2358     59,500        SH         SOLE     59,500
AT ROAD INC                             COMM  04648K105          216     30,000        SH         SOLE     30,000
BARRA INC                               COMM    68313105       10004    161,200        SH         SOLE    161,200
BELL INDS INC                           COMM    78107109         355    153,300        SH         SOLE    153,300
CLEAR CHANNEL COMMUN INC                COMM   184502102         398      7,050        SH         SOLE      7,050
COMFORCE CORP                           COMM  20038K109           55     31,400        SH         SOLE     31,400
CLAIRES STORES INC                      COMM   179584107        5256    292,000        SH         SOLE    292,000
CRAIG CORP-CL A PREF                    PREF   224174201         136     45,250        SH         SOLE     45,250
CISCO SYSTEMS INC.                      COMM  17275R102         1978     35,800        SH         SOLE     35,800
CITRIX SYS INC                          COMM   177376100         361     18,000        SH         SOLE     18,000
CVS CORP                                COMM   126650100        1853     40,000        SH         SOLE     40,000
DRESS BARN INC                          COMM   261570105        5103    243,000        SH         SOLE    243,000
DEB SHOPS INC                           COMM   242728103        3932    331,100        SH         SOLE    331,100
DOLLAR GENERAL CORP                     COMM   256669102         363     21,668        SH         SOLE     21,668
EFFICIENT NETWORKS INC                  COMM   282056100         373     10,000        SH         SOLE     10,000
***L M ERICSSON TELEPHONE CO            PREF   294821400         148     10,000        SH         SOLE     10,000
4FRONT SOFTWARE INTL INC                COMM   351042106         909     50,000        SH         SOLE     50,000
FINISH LINE INC-CL A                    COMM   317923100        7933  1,084,800        SH         SOLE  1,084,800
GILLETTE CO                             COMM   375766102         216      7,000        SH         SOLE      7,000
HOOPER HOLMES INC                       COMM   439104100        6945    730,300        SH         SOLE    730,300
HIBERNIA CORP-CL A                      COMM   428656102         257     21,000        SH         SOLE     21,000
STARWOOD LODGING TR-COMBINED            COMM  85590A203         1561     49,936        SH         SOLE     49,936
HOT TOPIC INC                           COMM   441339108         240      8,000        SH         SOLE      8,000
HILB ROGAL & HAMILTON CO                COMM   431294107        2026     48,600        SH         SOLE     48,600
HERLEY INDUSTRIES INC                   COMM   427398102        5581    246,000        SH         SOLE    246,000
HYPERCOM CORP                           COMM  44913M105          519     50,000        SH         SOLE     50,000
INTEL CORP                              COMM   458140100        1579     38,000        SH         SOLE     38,000
INSITE VISION INC                       COMM   457660108         843    110,500        SH         SOLE    110,500
INTERWOVEN INC                          COMM  46114T102          497      4,400        SH         SOLE      4,400
4 KIDS ENTMT INC                        COMM   350865101         506     30,000        SH         SOLE     30,000
KAISER VENTURES INC                     COMM   483100103        2445    212,600        SH         SOLE    212,600
LINDSAY MANUFACTURING CO                COMM   535555106        4803    257,900        SH         SOLE    257,900
LEVEL 8 SYS INC                         COMM  52729M102          294     16,000        SH         SOLE     16,000
MEDICAL ASSET MANAGEMENT INC            COMM  58449R107            1     50,000        SH         SOLE     50,000
M & F WORLDWIDE CORP                    COMM   552541104        2538    436,600        SH         SOLE    436,600
MICRO LINEAR CORP                       COMM   594850109        1743    382,100        SH         SOLE    382,100
***MUTUAL RISK MANAGEMENT LTD           COMM   628351108        5046    230,000        SH         SOLE    230,000
MICROSOFT CORP                          COMM   594918104        2002     33,200        SH         SOLE     33,200
MAXTOR CORP                             COMM   577729205         247     23,500        SH         SOLE     23,500
NATURES SUNSHINE PRODS INC              COMM   639027101        1247    167,700        SH         SOLE    167,700
NAUTICA ENTERPRISES INC                 COMM   639089101       11435    883,900        SH         SOLE    883,900
NEXMED INC                              COMM   652903105        2345    119,500        SH         SOLE    119,500
NYMAGIC INC                             COMM   629484106        4977    331,800        SH         SOLE    331,800
OFFICE DEPOT INC                        COMM   676220106        1758    225,000        SH         SOLE    225,000
PHARMCHEM LABORATORIES INC              COMM   717133102        1938    553,850        SH         SOLE    553,850
PARADYNE NETWORKS INC                   COMM  69911G107          541    100,000        SH         SOLE    100,000
***PARTNERRE LTD                        COMM  G6852T105         1898     40,000        SH         SOLE     40,000
PITTSTON BRINKS GROUP                   COMM   725701106        6549    422,500        SH         SOLE    422,500
QUIDEL CORP                             COMM  74838J101          998    231,500        SH         SOLE    231,500
RIGHT MANAGEMENT CONSULTANTS            COMM   766573109        3901    339,200        SH         SOLE    339,200
ROSS STORES INC                         COMM   778296103        5534    385,000        SH         SOLE    385,000
REPEATER TECHNOLOIES, INC.              COMM   885673499        1068    181,818        SH         SOLE    181,818
INVIVO CORP                             COMM   461858102        3279    308,650        SH         SOLE    308,650
SDL INC                                 COMM   784076101        3093     10,000        SH         SOLE     10,000
SCHERING PLOUGH CORP                    COMM   806605101         446      9,600        SH         SOLE      9,600
SUNRISE TECHNOLOGIES INC                COMM  86769L103         1258    175,000        SH         SOLE    175,000
SOURCE INFORMATION MANAGEMENT           COMM   836151209         443     65,000        SH         SOLE     65,000
SPECTRUM CONTROL INC                    COMM   847615101        2120    132,000        SH         SOLE    132,000
SIGNAL TECHNOLOGY CORP                  COMM   826675100        3560    226,000        SH         SOLE    226,000
TELAXIS COMMUNICATIONS CORP             COMM  TELXSS100         1249    321,353        SH         SOLE    321,353
TELAXIS COMMUNICATIONS CORP             COMM  TLAXISS29          827    183,779        SH         SOLE    183,779
TELAXIS COMMUNICATIONS CORP             COMM   TTLLEXIS          399    100,453        SH         SOLE    100,453
TELAXIS COMMUNICATIONS CORP             COMM   879202109          45      7,400        SH         SOLE      7,400
TEXAS REGL BANCSHARES INC               COMM   882673106         993     35,000        SH         SOLE     35,000
TITAN CORP                              COMM   888266103        2558    155,000        SH         SOLE    155,000
VENTANA MEDICAL SYSTEMS INC             COMM  92276H106         1649     65,000        SH         SOLE     65,000
VORNADO REALTY TRUST                    COMM   929042109        9151    246,500        SH         SOLE    246,500
VERIZON COMMUNICATIONS                  COMM  92343V104          314      6,477        SH         SOLE      6,477
TETRA TECH INC NEW                      COMM  88162G103         1214     42,500        SH         SOLE     42,500
WACHOVIA CORP NEW                       COMM   929771103        2834     50,000        SH         SOLE     50,000
MCI WORLDCOM INC.                       COMM  98157D106          823     27,100        SH         SOLE     27,100
WILSONS THE LEATHER EXPERTS             COMM   972463103        8410    465,600        SH         SOLE    465,600
YORK INTERNATIONAL CORP NEW             COMM   986670107        4975    200,000        SH         SOLE    200,000
CALL EFFICIENT NETWORKS OCT 40          COMM  2820560JH          200        500        SH CALL    SOLE        500


</TABLE>

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