UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, DC 20549
FORM 13F
FORM 13F COVER PAGE
Report for the 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: Estabrook Capital Management LLC
Address: 430 Park Avenue, Suite 1800
New York, NY 10022
13F File Number: 028-03595
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: Roy Y. Williamson
Title: Director
Phone: 212 310-1133
Signature, Place, and Date of Signing:
Roy Y. Williamson New York, NY April 25, 2000
Report Type (Check only one.):
[X] 13F HOLDINGS REPORT
[ ] 13F NOTICE
[ ] 13F COMBINATION REPORT
List of Other Managers Reporting for this Manager: None
I AM SIGNING THIS REPORT AS REQUIRED BY THE SECURITIES
EXCHANGE ACT OF 1934.
<PAGE>
FORM 13F SUMMARY PAGE
Report Summary:
Number of Other Included Managers: None
Form 13F Information Table Entry Total: 198
Form 13F Information Table Value Total: $2,045,901
List of Other Included Managers: N/A
<PAGE>
<TABLE> <C> <C>
<C> <C> <C> <C> <C> <C>
<C> <C>
FORM 13F INFORMATION TABLE
<CAPTION>
Titl Cusip Value Share Sh Put Inves Oth Votin
e of s/ / / tmt er g
Autho
rity
(Shar
es)
Name of Issuer Clas (x$100 Prin Pr Cal Dscre Mgr Mgr Sole Shared None
s 0) Amt in l tn s
<S> <C> <C> <C> <C> <C> <C> <C>
D ABBOTT LABS COM 0028241 4885 13883 SH Sole 01 14500 0 124334
00 4
D AFLAC INC COM 0010551 257 5650 SH Sole 01 800 0 4850
02
D AIR PRODS & CHEMS COM 0091581 254 8928 SH Sole 01 0 0 8928
INC 06
D ALCOA INC COM 0138171 359 5108 SH Sole 01 78 0 5030
01
D ALLSTATE CORP COM 0200021 3840 16125 SH Sole 01 15474 0 145785
01 9
D ALZA CORP COM 0226151 4279 11391 SH Sole 01 14500 0 99417
08 7
D AMERICA ONLINE INC COM 02364J1 2063 30594 SH Sole 01 21500 0 9094
04
D AMERICAN EXPRESS CO COM 0258161 1294 8685 SH Sole 01 1350 0 7335
09
D AMERICAN HOME PRODS COM 0266091 47126 87676 SH Sole 01 13433 0 742433
C 07 7 4
D AMERICAN INTL GROUP COM 0268741 9453 86329 SH Sole 01 5610 0 80719
I 07
D AMGEN INC COM 0311621 568 9250 SH Sole 01 2200 0 7050
00
D ANADARKO PETE CORP COM 0325111 565 14600 SH Sole 01 0 0 14600
07
D APCO ARGENTINA INC COM 0374891 1268 39000 SH Sole 01 10400 0 28600
01
D ASCENT ASSURN INC COM 04362N1 35 14724 SH Sole 01 0 0 14724
03
D AT & T CORP. COM 0019571 51429 91327 SH Sole 01 11595 500 796824
09 4 0
D ATLANTIC RICHFIELD COM 0488251 323 3797 SH Sole 01 200 0 3597
CO 03
D AUTOMATIC DATA COM 0530151 3191 66125 SH Sole 01 4975 0 61150
PROCES 03
D AVON PRODUCTS INC COM 0543031 1788 61124 SH Sole 01 2424 0 58700
02
D BAIRNCO CORP COM 0570971 235 33850 SH Sole 01 0 0 33850
07
D BAKER HUGHES INC COM 0572241 399 13182 SH Sole 01 0 0 13182
07
D BANK NEW YORK INC COM 0640571 8980 21606 SH Sole 01 21820 0 194245
02 5
D BANK OF AMERICA COM 0605051 32837 62620 SH Sole 01 13199 0 494211
04 7 6
D BANK ONE CORP COM 06423A1 366 10652 SH Sole 01 0 0 10652
03
D BANKATLANTIC BNC CV CNV 065908A 132 20900 SH Sole 01 0 0 209000
5 C9 0
D BANKNORTH GROUP INC COM 06646L1 312 11634 SH Sole 01 0 0 11634
D 00
D BAXTER INTL INC COM 0718131 202 3222 SH Sole 01 37 0 3185
09
D BB&T CORPORATION COM 0549371 261 9300 SH Sole 01 1300 0 8000
07
D BELL ATLANTIC CORP COM 0778531 4335 70924 SH Sole 01 480 0 70444
09
D BELLSOUTH CORP COM 0798601 2573 54893 SH Sole 01 4080 0 50813
02
D BELO A H CORP COM 0805551 994 55618 SH Sole 01 0 0 55618
05
D BERKSHIRE HATHAWAY COM 0846702 439 241 SH Sole 01 31 0 210
IN 07
D BJS WHSL CLUB INC COM 05548J1 1343 35000 SH Sole 01 0 0 35000
06
D BOEING CO COM 0970231 1543 40804 SH Sole 01 0 0 40804
05
D BOWATER INC COM 1021831 288 5400 SH Sole 01 0 0 5400
00
D BP AMOCO ADS COM 0556221 2425 45546 SH Sole 01 0 0 45546
04
D BRISTOL MYERS SQUIBB COM 1101221 39164 67524 SH Sole 01 16893 0 506307
08 2 5
D BURLINGTON NORTHN COM 12189T1 8545 37562 SH Sole 01 84900 0 290721
SAN 04 1
D BURLINGTON RESOURCES COM 1220141 4138 11184 SH Sole 01 35202 0 76644
03 6
D CARDINAL HEALTH INC. COM 14149Y1 6087 13268 SH Sole 01 750 0 131931
08 1
D CHASE MANHATTAN COM 16161A1 4662 53472 SH Sole 01 681 0 52791
CORPO 08
D CHEVRON CORP COM 1667511 38133 41252 SH Sole 01 51996 0 360527
07 3
D CHITTENDEN CORP COM 1702281 17059 57462 SH Sole 01 11874 0 455885
00 9 4
D CINTAS CORP COM 1729081 6210 15846 SH Sole 01 0 0 158463
05 3
D CISCO SYS INC COM 17275R1 54680 70726 SH Sole 01 35098 700 671466
02 4
D CITIGROUP INC. COM 1729671 69633 11629 SH Sole 01 15231 600 101006
01 80 8 2
D CLOROX CO COM 1890541 284 8615 SH Sole 01 483 0 8132
09
D COCA COLA CO COM 1912161 4261 90780 SH Sole 01 12750 0 78030
00
D COLGATE PALMOLIVE CO COM 1941621 1147 20340 SH Sole 01 9090 0 11250
03
D COMMUNITY SVGS COM 2040371 801 79157 SH Sole 01 0 0 79157
BNKSHS 05
D COMPAQ COMPUTER CORP COM 2044931 788 29470 SH Sole 01 1900 0 27570
00
D CORNING INC COM 2193501 3675 18945 SH Sole 01 1700 0 17245
05
D CSX CORP COM 1264081 356 15155 SH Sole 01 0 0 15155
03
D CT HLDGS INC COM COM 12643Y1 57 11000 SH Sole 01 0 0 11000
03
D DELL COMPUTER CORP COM 2470251 594 11020 SH Sole 01 0 0 11020
09
D DEVRY INC COM 2518931 427 14000 SH Sole 01 0 0 14000
03
D DISNEY (WALT) COM 2546871 538 13036 SH Sole 01 6400 0 6636
PRODUCT 06
D DOVER CORP COM 2600031 20155 42099 SH Sole 01 75740 0 345258
08 8
D DOW CHEMICAL CORP COM 2605431 518 4545 SH Sole 01 1165 0 3380
03
D DU PONT E I DE COM 2635341 1144 21613 SH Sole 01 2751 0 18862
NEMOUR 09
D DUKE ENERGY CORP COM 2643991 946 18021 SH Sole 01 1500 0 16521
06
D DUN & BRADSTREET COM 26483B1 2419 84500 SH Sole 01 5200 0 79300
CORP 06
D E M C CORP MASS COM 2686481 35736 28361 SH Sole 01 2600 400 280617
02 7
D EASTMAN KODAK COM 2774611 6734 12399 SH Sole 01 27900 0 96094
09 4
D EL PASO ENERGY CORP COM 2839051 370 9169 SH Sole 01 107 0 9062
D 07
D EMERSON ELEC CO COM 2910111 2517 47385 SH Sole 01 1811 0 45574
04
D ENRON CORP COM 2935611 1722 22997 SH Sole 01 1200 0 21797
06
D ERICSSON L M TEL CO COM 2948214 572 6100 SH Sole 01 600 0 5500
A 00
D EXXON MOBIL COM 30231G1 33003 42345 SH Sole 01 59915 0 363537
CORPORATI 02 2
D FEDEX CORP COM 31428X1 6259 16126 SH Sole 01 0 0 161260
06 0
D FIRST ALBANY COS INC COM 3184651 368 10802 SH Sole 01 0 0 10802
01
D FIRST UNION CORP COM 3373581 2126 57085 SH Sole 01 8772 0 48313
05
D FLEETBOSTON COM 3390301 650 17795 SH Sole 01 2620 0 15175
FINANCIAL 08
D FLORIDA ROCK INDS COM 3411401 22270 79535 SH Sole 01 16457 0 630778
INC 01 4 6
D FORD MOTOR COM 3453701 1256 27352 SH Sole 01 2510 0 24842
00
D GANNETT INC DEL COM 3647301 734 10435 SH Sole 01 635 0 9800
01
D GENERAL ELECTRIC COM 3696041 97432 62607 SH Sole 01 94669 200 531201
COMP 03 0
D GENERAL MOTORS CLASS COM 3704428 1695 13614 SH Sole 01 0 0 13614
32
D GENERAL MTRS CORP COM 3704421 493 5957 SH Sole 01 100 0 5857
05
D GENLYTE GROUP INC COM 3723021 4281 21955 SH Sole 01 49500 0 170050
09 0
D GEORGIA PAC CORP COM 3732981 3367 85103 SH Sole 01 0 0 85103
08
D GILLETTE CO COM 3757661 574 15230 SH Sole 01 1140 0 14090
02
D GLAXO PLC COM 37733W1 814 14200 SH Sole 01 700 0 13500
05
D GRAINGER W W INC COM 3848021 418 7708 SH Sole 01 1108 0 6600
04
D GTE CORP COM 3623201 1692 23827 SH Sole 01 275 0 23552
03
D GUIDANT CORP COM 4016981 1203 20438 SH Sole 01 4688 0 15750
05
D GULFMARK OFFSHORE COM 4026291 29842 14425 SH Sole 01 32949 0 111304
INC 09 31 0 1
D HALLIBURTON CO COM 4062161 385 9357 SH Sole 01 760 0 8597
01
D HARMAN INTL INDS INC COM 4130861 600 10000 SH Sole 01 0 0 10000
09
D HEINZ H J CO COM 4230741 2057 58987 SH Sole 01 3695 0 55292
03
D HEWLETT PACKARD CO COM 4282361 107023 80734 SH Sole 01 13310 200 674036
03 1 5
D HOLLINGER INTL INC COM 4355691 108 10000 SH Sole 01 0 0 10000
CL 08
D HOME DEPOT INC COM 4370761 2699 41838 SH Sole 01 19575 0 22263
02
D HONEYWELL COM 4385161 58256 11056 SH Sole 01 21180 200 893674
INTERNATION 06 80 6
D HUDSON UTD BANCORP COM 4441651 350 16149 SH Sole 01 0 0 16149
04
D IMS HEALTH INC COM 4499341 3076 18159 SH Sole 01 14660 0 166930
08 0
D INGERSOLL RAND CO COM 4568661 332 7500 SH Sole 01 0 0 7500
02
D INTEL CORP COM 4581401 116008 87926 SH Sole 01 12145 300 757510
00 1 1
D INTERNATIONAL COM 4592001 12310 10432 SH Sole 01 12087 0 92239
BUSINES 01 6
D INTERNATIONAL PAPER COM 4601461 500 11688 SH Sole 01 90 0 11598
C 03
D JOHNSON & JOHNSON COM 4781601 31524 44873 SH Sole 01 79115 0 369620
04 5
D KAYDON CORP COM 4865871 13288 48651 SH Sole 01 92020 0 394493
08 3
D KEYSPAN CORP COM 49337W1 885 32052 SH Sole 01 9000 0 23052
00
D KIMBERLY CLARK CORP COM 4943681 492 8777 SH Sole 01 550 0 8227
03
D KONINKLIJKE PHILIPS COM 5004722 208 4856 SH Sole 01 0 0 4856
E 04
D LEHMAN BROS HLDGS COM 5249081 305 3145 SH Sole 01 500 0 2645
INC 00
D LILLY ELI & CO COM 5324571 27910 44566 SH Sole 01 11344 0 332219
08 7 8
D LOCKHEED MARTIN CORP COM 5398301 258 12612 SH Sole 01 0 0 12612
09
D LUCENT TECHNOLOGIES COM 5494631 41323 66650 SH Sole 01 10341 300 562790
I 07 6 6
D MARCONI PLC COM 5663061 179 15000 SH Sole 01 0 0 15000
06
D MARKEL CORP COM 5705351 307 2108 SH Sole 01 0 0 2108
04
D MARSH MCLENNAN COM 5717481 2601 23575 SH Sole 01 1025 0 22550
02
D MASCO CORP COM 5745991 750 36600 SH Sole 01 0 0 36600
06
D MCGRAW HILL INC COM 5806451 1241 27279 SH Sole 01 9939 0 17340
09
D MCI WORLDCOM COM 55268B1 11700 25820 SH Sole 01 9821 0 248382
06 3
D MEAD CORP COM 5828341 259 7400 SH Sole 01 0 0 7400
07
D MEDIAONE GROUP INC COM 58440J1 1613 19918 SH Sole 01 0 0 19918
04
D MEDTRONIC INC COM 5850551 2166 42106 SH Sole 01 6768 0 35338
06
D MELLON FINL CORP COM 58551A1 1342 45120 SH Sole 01 125 0 44995
08
D MERCK & CO COM 5893311 36713 59094 SH Sole 01 12895 0 461989
07 6 7
D MERIT MED SYS INC COM 5898891 423 42824 SH Sole 01 0 0 42824
04
D MESABI TR CTF BEN COM 5906721 37 13000 SH Sole 01 13000 0 0
INT 01
D MICROSOFT CORP COM 5949181 4472 42092 SH Sole 01 5382 0 36710
04
D MILLENNIUM CHEMICALS COM 5999031 340 17000 SH Sole 01 0 0 17000
01
D MINNESOTA MNG & MFG COM 6040591 2685 30314 SH Sole 01 1641 0 28673
C 05
D MONSANTO CO COM 6116621 247 4800 SH Sole 01 0 0 4800
07
D MORGAN J.P. & CO INC COM 6168801 14898 11307 SH Sole 01 10265 0 102809
00 4
D MORGAN STANLEY DEAN COM 6174464 23153 27936 SH Sole 01 24735 0 254634
W 48 9
D MOTOROLA INC COM 6200761 22354 15311 SH Sole 01 25700 0 127410
09 0
D NEWELL RUBBERMAID COM 6512291 218 8770 SH Sole 01 0 0 8770
INC 06
D NOBLE DRILLING CORP COM 6550421 277 6700 SH Sole 01 0 0 6700
09
D NOKIA CORP SPONSORED COM 6549022 113140 20385 SH Sole 01 32320 0 171536
04 64 0 4
D NORTEL NETWORKS CORP COM 6565691 6689 53085 SH Sole 01 11380 0 41705
00
D NORTH FORK BANCORP COM 6594241 469 26250 SH Sole 01 0 0 26250
IN 05
D NORTHROP GRUMMAN COM 6668071 419 7920 SH Sole 01 0 0 7920
CORP 02
D OMNICOM GROUP COM 6819191 1124 12000 SH Sole 01 0 0 12000
06
D ORACLE SYS CORP COM 68389X1 756 9680 SH Sole 01 1250 0 8430
05
D PAMRAPO BANCORP INC COM 6977381 239 12000 SH Sole 01 0 0 12000
02
D PATRIOT TRANSN HLDG COM 70337B1 5697 26808 SH Sole 01 85000 0 183085
I 02 5
D PAYCHEX INC COM 7043261 719 13720 SH Sole 01 2020 0 11700
07
D PENN TREATY AMERICAN CNV 707874A 250 25000 SH Sole 01 0 0 250000
B9 0
D PEPSI BOTTLING GROUP COM 7134091 400 20000 SH Sole 01 0 0 20000
00
D PEPSICO INC COM 7134481 1013 29047 SH Sole 01 3443 0 25604
08
D PFIZER INC COM 7170811 25239 69028 SH Sole 01 18880 900 670508
03 8
D PHARMACIA & UPJOHN, COM 7169411 945 15880 SH Sole 01 0 0 15880
I 09
D PHILLIPS PETE CO COM 7185071 20247 43776 SH Sole 01 10884 0 328920
06 8 8
D PITNEY BOWES INC COM 7244791 7826 17511 SH Sole 01 24546 0 150573
00 9
D PNC BANK CORP COM 6934751 37449 83105 SH Sole 01 19730 0 633753
05 7 4
D PPG INDS INC COM 6935061 617 11800 SH Sole 01 0 0 11800
07
D PRAXAIR INC COM 74005P1 1888 45350 SH Sole 01 6500 0 38850
04
D PROCTER & GAMBLE CO COM 7427181 1848 32715 SH Sole 01 1095 0 31620
09
D QUALCOMM INC COM 7475251 926 6200 SH Sole 01 600 0 5600
03
D QWEST COMMUNICATIONS COM 7491211 369 7692 SH Sole 01 0 0 7692
09
D R & B FALCON CORP COM 74912E1 4518 22946 SH Sole 01 64000 0 165465
01 5
D REGIONS FINL CORP COM 7589401 568 24882 SH Sole 01 0 0 24882
00
D RENAISSANCERE HLDGS COM G7496G1 5148 12594 SH Sole 01 17540 0 108405
L 03 5
D ROHM & HAAS CO COM 7753711 356 7979 SH Sole 01 0 0 7979
07
D ROYAL DUTCH PETRO-NY COM 7802578 35267 61002 SH Sole 01 72906 400 536723
04 9
D SBC COMMUNICATIONS, COM 78387G1 4082 96894 SH Sole 01 4100 0 92794
I 03
D SCHERING PLOUGH CORP COM 8066051 6443 17355 SH Sole 01 45036 0 128520
01 6
D SCHLUMBERGER COM 8068571 51014 66685 SH Sole 01 74073 350 592429
08 2
D SEARS ROEBUCK & CO COM 8123871 6595 21534 SH Sole 01 48900 0 166440
08 0
D SONOCO PRODUCTS COM 8354951 10466 45505 SH Sole 01 93037 0 362013
02 0
D SOUTHTRUST CORP COM 8447301 200 7875 SH Sole 01 0 0 7875
01
D SPRINT CORP COM 8520611 438 6960 SH Sole 01 600 0 6360
00
D SPX CORP COM 7846351 592 5193 SH Sole 01 0 0 5193
04
D STAPLES INC COM 8550301 279 13961 SH Sole 01 1500 0 12461
02
D STATE STREET CORP COM 8574771 594 6133 SH Sole 01 0 0 6133
03
D STRYKER CORP COM 8636671 1235 17710 SH Sole 01 760 0 16950
01
D SUN MICROSYSTEM INC COM 8668101 119332 12735 SH Sole 01 16322 600 110968
04 15 8 7
D SYSCO CORP COM 8718291 2205 61044 SH Sole 01 19925 0 41119
07
D TANDY CORP COM 8753821 667 13150 SH Sole 01 0 0 13150
03
D TARGET CORP COM 87612E1 351 4700 SH Sole 01 1400 0 3300
06
D TELEFONICA DE ESPANA COM 8793822 15455 20780 SH Sole 01 235 510 207058
08 3
D TEMPLE INLAND INC COM 8798681 638 12800 SH Sole 01 200 0 12600
07
D TERADYNE INC COM 8807701 1050 12800 SH Sole 01 0 0 12800
02
D TEXACO INC COM 8816941 7563 14071 SH Sole 01 20200 0 120515
03 5
D TEXAS INSTRUMENTS COM 8825081 1707 10666 SH Sole 01 0 0 10666
INC 04
D TIDEWATER INC COM 8864231 579 18200 SH Sole 01 200 0 18000
02
D TIME WARNER INC COM 8873151 410 4100 SH Sole 01 0 0 4100
09
D TOSCO CORP NEW COM 8914903 14057 45900 SH Sole 01 81200 0 377800
02 0
D TRANSOCEAN SEDCO COM G900781 1997 38916 SH Sole 01 3641 0 35275
FORE 09
D TRW INC COM 8726491 32687 55874 SH Sole 01 12379 0 434954
08 5 1
D TYCO INTL LTD NEW COM 9021241 3253 64898 SH Sole 01 0 0 64898
06
D UCAR INTL INC COM 90262K1 407 30900 SH Sole 01 4800 0 26100
09
D UNION PAC CORP COM 9078181 14326 36615 SH Sole 01 56700 0 309458
08 8
D UNION PAC RES GROUP COM 9078341 722 49795 SH Sole 01 0 0 49795
I 05
D UNITED TECHNOLOGIES COM 9130171 34660 54851 SH Sole 01 10906 0 439450
C 09 9 9
D UNOCAL CORP COM 9152891 1523 51186 SH Sole 01 446 0 50740
02
D WAL MART STORES INC COM 9311421 1631 28860 SH Sole 01 960 0 27900
03
D WALGREEN CO COM 9314221 783 30400 SH Sole 01 19200 0 11200
09
D WARNER LAMBERT CO COM 9344881 1695 17354 SH Sole 01 2980 0 14374
07
D WEATHERFORD COM 9470741 68315 11677 SH Sole 01 25106 0 916721
INTERNATI 00 81 0
D WELLS FARGO NEW COM 9497461 1406 34511 SH Sole 01 220 0 34291
01
D WENDYS INTERNATIONAL COM 9505901 17719 87772 SH Sole 01 19881 0 678913
09 3 0
D WEYERHAEUSER CO COM 9621661 394 6919 SH Sole 01 0 0 6919
04
D WRIGLEY WM JR CO COM 9825261 1133 14745 SH Sole 01 675 0 14070
05
D XEROX CORP COM 9841211 61692 23727 SH Sole 01 27852 0 209422
03 50 5 5
D XL CAPITAL LTD. COM G982551 418 7556 SH Sole 01 2041 0 5515
05
TOTAL 204590
1
</TABLE>