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:
Newell Associates
525 University Avenue
Suite 620
Palo Alto, CA 94301
13F File Number: 801-86949
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:
Jennifer C. Newell, CFA
President
(650) 327-2332
Palo Alto, California
June 30, 2000
Report Type:
[ 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.
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FORM 13F SUMMARY PAGE
Report Summary:
Number of Other Included Managers: 0
Form 13F Information Table Entry Total: 137
Form 13F Information Table Value Total: $1,645,959.00
List of Other Included Managers: 0
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<TABLE>
NEWELL ASSOCIATES
FORM 13F
June 30, 2000
Voting Authority
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Value Shares/ Sh/PutInvsOther
Name of Issuer TitCUSIP (x$1000)Prn Amt PrnCalDscrManSole Shared
None
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<C> <C><C> <C> <C> <C><C><C> <C><C> <C>
<C>
AT&T Corp. COM001957109 33172 1048902SH Sole 38050 1010852
Abbott Laboratories COM002824100 12651 283900SH Sole 8400 275500
Advanced Micro Devices COM007903107 232 3000SH Sole 3000
Albertson's Inc COM013104104 8791 264400SH Sole 8800 255600
Alcoa Inc. COM013817101 383 13200SH Sole 13200
Allstate Corp. COM020002101 329 14800SH Sole 14800
American Electric PowerCOM025537101 4275 144300SH Sole 5460 138840
American General Corp. COM026351106 13145 215500SH Sole 7700 207800
American Home Products COM026609107 44121 751000SH Sole 32300 718700
American International COM026874107 740 6300SH Sole 6300
Anheuser-Busch Cos. IncCOM035229103 16618 222500SH Sole 9500 213000
Apple Computer Inc. COM037833100 304 5800SH Sole 5800
Associates First CapitaCOM046008108 261 11700SH Sole 11700
Avon Products, Inc. COM054303102 10271 230800SH Sole 8300 222500
BP Amoco PLC - ADR COM055622104 73620 1301566SH Sole 50974 1250592
Baker Hughes Inc. COM057224107 8214 256700SH Sole 8900 247800
Bank One Corp. COM06423A103 17459 657297SH Sole 23665 633632
Bank of America Corp. COM060505104 33300 774421SH Sole 25586 748835
Bank of New York Co IncCOM064057102 307 6600SH Sole 6600
Baxter International COM071813109 11838 168359SH Sole 6600 161759
Bell Atlantic Corp. COM077853109 45165 888850SH Sole 34260 854590
BellSouth Corp. COM079860102 23879 560204SH Sole 18200 542004
Bestfoods COM08658U101 9300 134301SH Sole 4900 129401
Boeing Co. COM097023105 7183 171800SH Sole 5600 166200
Bristol-Myers Squibb CoCOM110122108 61413 1054300SH Sole 37800 1016500
CIGNA Corp. COM125509109 430 4600SH Sole 4600
CSX Corporation COM126408103 4589 216600SH Sole 6300 210300
Campbell Soup Co. COM134429109 5726 196600SH Sole 6400 190200
Caterpillar Inc COM149123101 8190 241764SH Sole 7900 233864
Chase Manhattan Corp. COM16161A108 10967 238086SH Sole 8400 229686
Chevron Corp. COM166751107 31410 370346SH Sole 15900 354446
Chubb Corp. COM171232101 7263 118101SH Sole 4200 113901
Citigroup COM172967101 1530 25400SH Sole 25400
Clorox Company COM189054109 8743 195100SH Sole 6600 188500
Coca-Cola Co. COM191216100 14761 257000SH Sole 8100 248900
Compaq Computer Corp. COM204493100 330 12900SH Sole 12900
ConAgra Inc. COM205887102 4998 262200SH Sole 8100 254100
Deere & Co. COM244199105 5015 135546SH Sole 4400 131146
Dominion Resources, IncCOM25746U109 10439 243474SH Sole 9379 234095
Dow Chemical Co. COM260543103 24590 814587SH Sole 28500 786087
Du Pont (E. I.) de NemoCOM263534109 13774 314830SH Sole 11322 303508
Duke Energy Corp. COM264399106 12332 218752SH Sole 8600 210152
Eastman Kodak Co. COM277461109 10313 173324SH Sole 6200 167124
Edison International COM281020107 10728 523340SH Sole 18100 505240
Electronic Data SystemsCOM285661104 210 5100SH Sole 5100
Emerson Electric Co. COM291011104 11245 186259SH Sole 6800 179459
Energizer Holdings Inc.COM29266R108 658 36033SH Sole 1033 35000
Exxon Mobil Corp. COM30231G102 89131 1135432SH Sole 44298 1091134
FPL Group, Inc. COM302571104 5749 116135SH Sole 4300 111835
Fannie Mae COM313586109 7734 148200SH Sole 4800 143400
Federal Home Loan MortgCOM313400301 267 6600SH Sole 6600
First Data Corp. COM319963104 323 6500SH Sole 6500
First Union Corp. COM337358105 14679 591586SH Sole 23014 568572
Fleet Boston Financial COM339030108 11240 330599SH Sole 12800 317799
Ford Motor Company COM345370100 15609 362991SH Sole 12400 350591
Fortune Brands Inc. COM349631101 4482 194331SH Sole 6900 187431
GTE Corp. COM362320103 31036 498573SH Sole 20400 478173
Gannett Co. COM364730101 389 6500SH Sole 6500
General Electric Co. COM369604103 34296 647100SH Sole 21300 625800
General Mills, Inc. COM370334104 9046 236500SH Sole 11200 225300
General Motors Corp. COM370442105 325 5600SH Sole 5600
Genuine Parts Co. COM372460105 6355 317746SH Sole 11650 306096
Gillette Co. COM375766102 14097 403500SH Sole 13700 389800
Glaxo Wellcome PLC - ADCOM37733W105 28710 496600SH Sole 16800 479800
Goodyear Tire & Rubber COM382550101 3972 198600SH Sole 6700 191900
Heinz (H.J.) Co. COM423074103 10701 244590SH Sole 9200 235390
Hershey Foods Corp. COM427866108 5039 103900SH Sole 3800 100100
Hewlett-Packard Corp COM428236103 362 2900SH Sole 2900
Honeywell Inc. COM438516106 7733 229537SH Sole 8162 221375
Household InternationalCOM441815107 328 7900SH Sole 7900
International Business COM459200101 427 3900SH Sole 3900
International Flavors &COM459506101 4003 132600SH Sole 4300 128300
International Paper Co.COM460146103 12523 420073SH Sole 13131 406942
Johnson & Johnson COM478160104 9923 97400SH Sole 3200 94200
Kellogg Co. COM487836108 8616 289600SH Sole 10000 279600
KeyCorp COM493267108 6663 378070SH Sole 11900 366170
Kimberly-Clark CorporatCOM494368103 13648 237875SH Sole 7000 230875
Lilly, Eli & Co. COM532457108 17987 180100SH Sole 6700 173400
Lincoln National Corp. COM534187109 14566 403200SH Sole 13900 389300
Lockheed Martin Corp. COM539830109 6287 253400SH Sole 7100 246300
Marsh & McLennan CompanCOM571748102 20313 194500SH Sole 8100 186400
May Department Stores CCOM577778103 13596 566504SH Sole 19700 546804
McDonalds Corp COM580135101 303 9200SH Sole 9200
McGraw-Hill Cos. COM580645109 9293 172100SH Sole 6600 165500
Mellon Financial Corp. COM58551A108 12837 352300SH Sole 13100 339200
Merck & Co., Inc. COM589331107 44389 579300SH Sole 17900 561400
Merrill Lynch & Co. COM590188108 13020 113216SH Sole 3900 109316
Minnesota Mining & ManuCOM604059105 20824 252407SH Sole 9900 242507
Morgan (J.P.) & Co. COM616880100 16287 147900SH Sole 5600 142300
Morgan Stanley Dean WitCOM617446448 874 10500SH Sole 10500
Motorola Inc. COM620076109 741 25500SH Sole 25500
National Semiconductor COM637640103 261 4600SH Sole 4600
Newell Rubbermaid Inc. COM651229106 4607 178900SH Sole 6100 172800
Norfolk Southern CorporCOM655844108 5280 354958SH Sole 11000 343958
Northern States Power CCOM665772109 4251 210600SH Sole 7500 203100
PNC Bank Corp. COM693475105 11690 249394SH Sole 9700 239694
Penney (J.C.) Company, COM708160106 7812 423680SH Sole 15100 408580
PepsiCo Inc. COM713448108 17446 392600SH Sole 13400 379200
Pharmacia Corp. COM71713U102 38835 751339SH Sole 28140 723199
Philip Morris CompaniesCOM718154107 25306 952700SH Sole 35000 917700
Phillips Petroleum Co. COM718507106 8277 163300SH Sole 6900 156400
Pitney Bowes Inc. COM724479100 8208 205200SH Sole 7300 197900
Procter & Gamble Co. COM742718109 19946 348400SH Sole 12400 336000
Quaker Oats Co. COM747402105 9901 131800SH Sole 6400 125400
Ralston Purina COM751277302 2155 108100SH Sole 3100 105000
Royal Dutch Petroleum CCOM780257804 32425 526700SH Sole 16800 509900
SAFECO Corp. COM786429100 4599 231400SH Sole 9200 222200
SBC Communications Inc.COM78387G103 54662 1263872SH Sole 48165 1215707
Sara Lee Corp. COM803111103 10091 522500SH Sole 17100 505400
Schering-Plough COM806605101 7363 145800SH Sole 4600 141200
Schlumberger Ltd COM806857108 8649 115900SH Sole 3800 112100
Scottish Power PLC - ADCOM81013T705 8573 256398SH Sole 10658 245740
Sears, Roebuck & Co. COM812387108 6141 188229SH Sole 6600 181629
Sempra Energy Inc. COM816851109 174 10226SH Sole 3361 6865
SmithKline Beecham PLC COM832378301 10410 159700SH Sole 4600 155100
Southern Co. COM842587107 11055 474210SH Sole 17500 456710
Sprint Fon Group COM852061100 342 6700SH Sole 6700
St. Paul Cos. COM792860108 9781 286633SH Sole 10400 276233
Suntrust Banks Inc. COM867914103 320 7000SH Sole 7000
TECO Energy, Inc. COM872375100 2143 106800SH Sole 7200 99600
TXU Corp. COM873168108 6385 216434SH Sole 8123 208311
Texaco Inc. COM881694103 21630 406200SH Sole 17500 388700
Thomas & Betts Corp. COM884315102 346 18100SH Sole 5000 13100
U S West Inc. COM91273H101 29877 348417SH Sole 12117 336300
U.S. Bancorp COM902973106 8423 437537SH Sole 14315 423222
UST Inc. COM902911106 2680 182500SH Sole 8100 174400
USX-Marathon Group COM902905827 5025 200500SH Sole 8400 192100
Union Pacific Corp. COM907818108 6303 169500SH Sole 6400 163100
Unocal Corp. COM915289102 2090 63100SH Sole 1700 61400
Visteon Corp. COM92839U107 595 49092.8SH Sole 3189 45904
Wachovia Corporation COM929771103 8671 159835SH Sole 5500 154335
Walt Disney Company COM254687106 497 12800SH Sole 12800
Washington Mutual, Inc.COM939322103 12076 418215SH Sole 14815 403400
Wells Fargo & Company COM949746101 6513 168065SH Sole 5100 162965
Weyerhaeuser Company COM962166104 9894 230100SH Sole 7200 222900
Whirlpool Corporation COM963320106 3735 80100SH Sole 2800 77300
Xerox Corp. COM984121103 6576 316900SH Sole 11000 305900
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