STIFEL FINANCIAL CORP
13F-HR, 2000-08-04
SECURITY BROKERS, DEALERS & FLOTATION COMPANIES
Previous: AMERICAN GENERAL SERIES PORTFOLIO CO /TX, N-30D, 2000-08-04
Next: ECHO BAY MINES LTD, 10-Q, 2000-08-04



<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:     Stifel, Nicolaus & Company, Incorporated
Address:  One Financial Plaza, 501 North Broadway
          St. Louis, Missouri 63102

13F File Number:  28-6972

The institutional investment manager filing this report & 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:    Thomas Mueth
Title:   VP & Manager of Consulting Services
Phone:   (314)342-2829
Signature, Place, and Date of Signing:

         Thomas Mueth       St. Louis, Missouri       August 4, 2000

Report Type:  (Check Only One):
[X] 13F Holdings Report
[ ] 13F Notice
[ ] 13F Combination Report

List of Other Managers Reporting for this Manager:


I AM SIGNING THIS REPORT AS REQUIRED BY THE SECURITIES EXCHANGE ACT OF 1934
<PAGE>
<TABLE>

                               <C>                                  <C>

RUN DATE: 08/01/00 10:31 A.M.  STIFEL NICOLAUS & CO., INC.
                               FORM 13F INFORMATION TABLE           PAGE 1
                               AS OF DATE: 06/30/00

NAME OF ISSUER    CLASS            VALUE     SHARES/ SH/ INVST VOTE AUTH
                  TITLE CUSIP                PRN AMT PRN DSRTN SOLE SHRD NONE


---------------------- ------   ---------- -------------- ------------ ----- --
---------- ------------
<S>               <C>  <C>        <C>       <C>     <C> <C>   <C>   <C> <C>
A T & T CORP      COM  001957109    244,352   7,681 SH  SOLE   7,031 0     650
ABBOTT LABS       COM  002824100  4,846,224 108,751 SH  SOLE  90,719 0  18,032
ADOBE SYS INC     COM  00724F101    253,500   1,950 SH  SOLE   1,550 0     400
AER ENERGY RES IN COM  000944108     49,400  44,909 SH  SOLE  44,909 0       0
AFLAC INC         COM  001055102    336,217   7,319 SH  SOLE   5,144 0   2,175
AGILENT TECHNOLOG COM  00846U101    483,726   6,559 SH  SOLE   5,709 0     850
AMDOCS LTD ORD    COM  G02602103  1,179,034  15,362 SH  SOLE  10,778 0   4,584
AMERICA ONLINE IN COM  02364J104    667,022  12,675 SH  SOLE  12,075 0     600
AMERICAN EXPRESS  COM  025816109    585,370  11,230 SH  SOLE  10,171 0   1,059
AMERICAN HOME PRO COM  026609107  1,154,555  19,652 SH  SOLE  14,350 0   5,302
AMERICAN INTL GRO COM  026874107  4,049,405  51,695 SH  SOLE  41,496 0  10,199
AMGEN INC         COM  031162100    396,912   5,650 SH  SOLE   5,650 0       0
ANADARKO PETE COR COM  032511107    776,323  15,723 SH  SOLE  10,917 0   4,806
ANHEUSER BUSCH CO COM  035229103    466,898   6,251 SH  SOLE   6,251 0       0
APPLE COMPUTER IN COM  037833100    201,120   3,840 SH  SOLE   3,080 0     760
APPLIED MATLS INC COM  038222105    280,937   3,100 SH  SOLE   3,100 0       0
APT SATELLITE HLD FRGN 00203R105    139,175  29,300 SH  SOLE  29,300 0       0
AT&T CORP LIBERTY COM  001957208    619,881  25,431 SH  SOLE  18,074 0   7,357
AUTOMATIC DATA PR COM  053015103  3,259,278  60,850 SH  SOLE  49,274 0  11,576
BANK AMERICA CORP COM  060505104  1,144,716  26,391 SH  SOLE  21,077 0   5,314
BANK ONE CORP     COM  06423A103    379,419  14,284 SH  SOLE  11,279 0   3,005
BOEING CO         COM  097023105    625,153  14,951 SH  SOLE  13,611 0   1,340
BRISTOL MYERS SQU COM  110122108  1,583,992  27,193 SH  SOLE  26,813 0     380
CABLEVISION SYS C COM  12686C109    662,799   9,765 SH  SOLE   6,891 0   2,874
CALPINE CORP COM  COM  131347106    773,630  11,902 SH  SOLE   8,398 0   3,504
CATERPILLAR INC   COM  149123101    393,899  11,628 SH  SOLE   9,425 0   2,203
CERES GROUP INC C COM  156772105     60,563  10,200 SH  SOLE  10,200 0       0
CHEVRON CORP COM  COM  166751107    278,354   3,277 SH  SOLE   2,908 0     369
CISCO SYS INC     COM  17275R102 27,568,645 433,725 SH  SOLE 366,254 0  67,471
CITIGROUP INC.    COM  172967101  5,291,689  87,556 SH  SOLE  72,196 0  15,360
CLEAR CHANNEL COM COM  184502102    693,675   9,249 SH  SOLE   6,824 0   2,425
COCA COLA CO      COM  191216100    524,441   9,131 SH  SOLE   8,306 0     825
COMVERSE TECHNOLO COM  205862402    657,882   7,074 SH  SOLE   4,990 0   2,084
C-CUBE MICROSYSTE COM  12501N108    353,250  18,000 SH  SOLE  11,020 0   6,980
D & K HEALTHCARE  COM  232861104    344,437  33,000 SH  SOLE  27,000 0   6,000
DELL COMPUTER     COM  247025109  3,226,468  65,429 SH  SOLE  55,558 0   9,871
DEPARTMENT 56 INC COM  249509100    342,100  31,100 SH  SOLE  29,700 0   1,400
DOVER CORP        COM  260003108    296,350   7,306 SH  SOLE   4,976 0   2,330
DU PONT E I DE    COM  263534109    877,323  19,960 SH  SOLE  16,623 0   3,337
E M C CORP MASS   COM  268648102    338,800   4,400 SH  SOLE   3,640 0     760
EL PASO ENERGY CO COM  283905107    753,009  14,783 SH  SOLE  13,771 0   1,012
EMERSON ELEC CO   COM  291011104  2,706,008  44,820 SH  SOLE  36,520 0   8,300
ENRON CORP        COM  293561106    890,165  13,801 SH  SOLE  10,491 0   3,310
EXXON CORPORATION COM  30231G102  1,080,132  13,760 SH  SOLE  12,762 0     998
FED HOME LN MTG   COM  313400301  1,712,705  42,289 SH  SOLE  35,257 0   7,032
FEDERAL NAT MORTG COM  313586109  1,933,919  36,969 SH  SOLE  28,422 0   8,547
FIRST DATA CORP   COM  319963104    626,218  12,619 SH  SOLE   8,900 0   3,719
FIRSTAR CORP NEW  COM  33763V109    223,663  10,619 SH  SOLE  10,619 0       0
FRANKLIN RES INC  COM  354613101    292,815   9,640 SH  SOLE   6,675 0   2,965
GENERAL ELEC CO   COM  369604103  9,753,570 186,226 SH  SOLE 151,388 0  34,838
GENERAL MTRS CORP COM  370442105    284,432   4,904 SH  SOLE   3,934 0     970
GILLETTE CO       COM  375766102  2,332,637  66,766 SH  SOLE  53,619 0  13,147
GOLDMAN GUIDANT   COM  401698105    623,007  12,586 SH  SOLE   8,890 0   3,696
HARMONIC LIGHTWAV COM  413160102    241,535   9,759 SH  SOLE   5,975 0   3,784
HEWLETT PACKARD   COM  428236103  1,792,056  14,351 SH  SOLE  13,497 0     854
HOME DEPOT INC    COM  437076102    860,745  17,236 SH  SOLE  16,166 0   1,070
HONEYWELL INT'L   COM  438516106    584,139  17,340 SH  SOLE  14,482 0   2,858
HOUSEHOLD INTL CO COM  441815107    621,844  14,962 SH  SOLE  10,609 0   4,353
I B M             COM  459200101  5,171,773  47,204 SH  SOLE  38,753 0   8,451
INTEL CORP        COM  458140100  8,540,414 127,767 SH  SOLE 109,917 0  17,850
JOHNSON & JOHNSON COM  478160104  2,938,010  28,839 SH  SOLE  21,426 0   7,413
KEYCORP           COM  493267108    659,527  37,420 SH  SOLE  32,910 0   4,510
KIMBERLY CLARK    COM  494368103    724,474  12,627 SH  SOLE  11,754 0     873
LAKEHEAD PIPE LIN COM  511557100    600,938  15,000 SH  SOLE  12,500 0   2,500
LILLY, ELI AND CO COM  532457108    211,279   2,115 SH  SOLE   1,815 0     300
LINEAR TECHNOLOGY COM  535678106  2,740,809  42,867 SH  SOLE  34,157 0   8,710
LOWES CO          COM  548661107    237,858   5,775 SH  SOLE   5,375 0     400
LUCENT TECHNOLOG  COM  549463107    830,347  14,134 SH  SOLE  12,945 0   1,189
MAXIM INTEGRATED  COM  57772K101  1,663,925  24,492 SH  SOLE  20,275 0   4,217
MBNA CORP         COM  55262L100  3,333,174 122,882 SH  SOLE 102,673 0  20,209
MCDONALDS CORP    COM  580135101    601,312  18,256 SH  SOLE  16,797 0   1,459
MEDTRONIC INC     COM  585055106  3,436,365  68,986 SH  SOLE  56,665 0  12,321
MERCK & CO INC    COM  589331107  8,038,410 104,906 SH  SOLE  86,053 0  18,853
MERRILL LYNCH     COM  590188108  2,977,350  25,890 SH  SOLE  21,646 0   4,244
MICROSOFT CORP    COM  594918104    926,080  11,576 SH  SOLE  10,788 0     788
MINNESOTA MNG & M COM  604059105    607,813   7,351 SH  SOLE   6,657 0     694
MORGAN J.P. & CO  COM  616880100    638,731   5,800 SH  SOLE   5,293 0     507
NEXTEL COMMUN     COM  65332V103    939,106  15,348 SH  SOLE  11,792 0   3,556
NEXTLINK COMMUN   COM  65333H707    642,510  16,936 SH  SOLE  12,052 0   4,884
NOKIA CORP        FRGN 654902204    250,312   5,000 SH  SOLE   5,000 0       0
NORTEL NETWORKS   COM  656568102    226,599   3,290 SH  SOLE   2,690 0     600
NORTHERN TRUST    COM  665859104  3,223,522  49,545 SH  SOLE  41,157 0   8,388
NUVEEN INSD MUN   PRFD 670984509  1,000,000      40 SH  SOLE      30 0      10
NUVEEN MUN MKT    PRFD 67062W400    250,000      10 SH  SOLE      10 0       0
NUVEEN PERFORMANC PRFD 67062P504    500,000      20 SH  SOLE      20 0       0
NUVEEN PERFORMANC PRFD 67062P207    250,000      10 SH  SOLE      10 0       0
NUVEEN PREM INC M PRFD 67062T308    250,000      10 SH  SOLE      10 0       0
NUVEEN QUALITY SE PRFD 670977503    500,000      20 SH  SOLE      20 0       0
ORACLE SYS CORP   COM  68389X105    440,487   5,240 SH  SOLE   4,190 0   1,050
PACIFIC CENTURY   FRGN Y6801N100    108,842  55,250 SH  SOLE  55,250 0       0
PEPSICO INC       COM  713448108  2,640,521  59,421 SH  SOLE  42,979 0  16,442
PFIZER INC        COM  717081103  2,673,734  55,703 SH  SOLE  47,643 0   8,060
PHILIP MORRIS COS COM  718154107  2,508,519  94,438 SH  SOLE  74,935 0  19,503
PILGRIM PRIME RAT COM  72146W103    281,868  31,760 SH  SOLE  31,760 0       0
PRODUCTEXPRESS.CO COM  743052102      2,860  13,000 SH  SOLE       0 0  13,000
RATIONAL SOFTWARE COM  75409P202    700,842   7,541 SH  SOLE   5,367 0   2,174
RPM INC OHIO      COM  749685103    265,275  26,200 SH  SOLE  21,700 0   4,500
SAFEWAY INC       COM  786514208  2,416,263  53,546 SH  SOLE  43,997 0   9,549
SBC COMMUNICATION COM  78387G103  1,071,182  24,767 SH  SOLE  18,689 0   6,078
SCHERING PLOUGH   COM  806605101    318,200   6,301 SH  SOLE   6,301 0       0
SCHLUMBERGER      COM  806857108    685,505   9,186 SH  SOLE   6,811 0   2,375
SCHWAB CHARLES    COM  808513105    735,715  21,880 SH  SOLE  15,513 0   6,367
SEARS ROEBUCK     COM  812387108    354,732  10,873 SH  SOLE   8,305 0   2,568
SIGMA ALDRICH     COM  826552101  1,570,667  53,698 SH  SOLE  47,303 0   6,395
SONOCO PRODUCTS   COM  835495102    281,501  13,690 SH  SOLE  10,720 0   2,970
SPRINT CORP       COM  852061100    411,748   8,073 SH  SOLE   7,291 0     782
SUN MICROSYSTEM   COM  866810104    822,984   9,050 SH  SOLE   8,850 0     200
TERADYNE INC      COM  880770102    854,584  11,627 SH  SOLE   9,429 0   2,198
TEXAS INSTRUMENTS COM  882508104    343,437   5,000 SH  SOLE   4,080 0     920
TYCO INTL LTD NEW COM  902124106    835,505  17,636 SH  SOLE  13,620 0   4,016
UNITED TECHNOLOG  COM  913017109  1,115,078  18,940 SH  SOLE  15,131 0   3,809
VALSPAR CORP COM  COM  920355104    726,671  21,531 SH  SOLE  13,876 0   7,655
VIACOM INC        COM  925524308  5,492,912  80,556 SH  SOLE  66,969 0  13,587
WAL MART STORES   COM  931142103  7,662,788 134,288 SH  SOLE 110,525 0  23,763
WALT DISNEY CO    COM  254687106    718,833  18,521 SH  SOLE  16,126 0   2,395
WELLS FARGO NEW   COM  949746101    297,711   7,585 SH  SOLE   5,197 0   2,388
WILLIAMS CO       COM  969457100    576,121  13,820 SH  SOLE   9,917 0   3,903
ZWEIG FD INC COM  COM  989834106    220,000  22,000 SH  SOLE  22,000 0       0

     TOTAL                                   183,765,240



</TABLE>



© 2022 IncJournal is not affiliated with or endorsed by the U.S. Securities and Exchange Commission