13F-NT 1 deczero.txt 13F FOR THE PERIOD ENDING 12/31/00 ON BEHALF OF THE COMPANY CONDOR CAPITAL MANAGEMENT, INC. 1973 WASHINGTON VALLEY ROAD, MARTINSVILLE, NJ 08836 KENNETH P. SCHAPIRO, PRESIDENT 732 356 7323. THIS IS THE 13F REQUIRED FILING. KENNETH P. SCHAPIRO, MARTINSVILLE, NJ February 13, 2001. I AM SIGNING THIS REPORT AS REQUIRED BY THE SECURITIES EXCHANGE ACT OF 1934. FORM 13F INFORMATION TABLE VALUE SHARES/ SH/ PUT/ INVSTMT OTHER VOTING AUTHORITY NAME OF ISSUER TITLE OF CLASS CUSIP (x$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE ------------------------------ ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- -------- 1st Miracle Group Inc. COM 0 10000 SH SOLE 10000 AES Corporation COM 00130H105 5922 106950 SH SOLE 106950 AOL Time Warner Inc. COM 00184a105 621 17859 SH SOLE 17859 Advent Software Inc. COM 007974108 1170 29200 SH SOLE 29200 Agilent Technologies Inc. COM 00846u101 649 11860 SH SOLE 11860 Alliance Capital Management Ho COM 018548107 210 4150 SH SOLE 4150 American Express Co. COM 025816109 1015 18483 SH SOLE 18483 American International Group I COM 026874107 277 2814 SH SOLE 2814 American Power Conversion Corp COM 029066107 236 19050 SH SOLE 19050 Amgen Inc. COM 031162100 262 4091 SH SOLE 4091 Amvescap PLC COM 03235E100 2137 49125 SH SOLE 49125 Applied Materials Inc. COM 038222105 2155 56445 SH SOLE 56445 At Home Corporation COM 045919107 74 13296 SH SOLE 13296 Automatic Data Processing Inc. COM 053015103 228 3600 SH SOLE 3600 Avaya Inc. COM 118 11423 SH SOLE 11423 BP Amoco Plc COM 055622104 1644 34347 SH SOLE 34347 Bank of America Corp. COM 060505104 1526 33261 SH SOLE 33261 Bed Bath & Beyond Inc. COM 075896100 486 21740 SH SOLE 21740 BellSouth Corp. COM 079860102 2489 60789 SH SOLE 60789 Biotech HOLDRs Trust COM 09067D201 528 3100 SH SOLE 3100 Bristol Myers-Squibb Co. COM 110122108 3211 43428 SH SOLE 43428 Canada Wood Holdings Inc. COM 0 26945 SH SOLE 26945 Caremark Rx Inc. COM 141705103 145 10700 SH SOLE 10700 Charles Schwab Corp. COM 808513105 5450 192085 SH SOLE 192085 Chase Manhattan Corp. COM 16161A108 2996 65928 SH SOLE 65928 Cisco Systems Inc. COM 17275R102 6803 177862 SH SOLE 177862 Citigroup Inc. COM 172967101 7623 149291 SH SOLE 149291 Citizens Communications Co. COM 17453B101 231 17566 SH SOLE 17566 Coca Cola Company COM 191216100 1465 24044 SH SOLE 24044 Colgate Palmolive Co. COM 194162103 2119 32830 SH SOLE 32830 Comcast Corp. Special Class A COM 200300200 4394 105250 SH SOLE 105250 Compaq Computer Corp. COM 204493100 783 52017 SH SOLE 52017 EMC Corp Mass COM 268648102 6726 101144 SH SOLE 101144 Engelhard Corp. COM 292845104 265 13000 SH SOLE 13000 Enron Corp. COM 293561106 759 9135 SH SOLE 9135 Europe Fund Inc. COM 29874M103 358 23850 SH SOLE 23850 Exxon Mobil Corp. COM 30231G102 5177 59552 SH SOLE 59552 FedEx Corp. COM 31428x106 1141 28550 SH SOLE 28550 Federated Department Stores In COM 31410H101 324 9265 SH SOLE 9265 First Sentinel Bancorp Inc. COM 33640T103 1076 93567 SH SOLE 93567 FleetBoston Financial Corp. COM 339030108 285 7591 SH SOLE 7591 Flextronics Intl. Ltd. COM Y2573F102 554 19450 SH SOLE 19450 Ford Motor Co. COM 345370860 590 25179 SH SOLE 25179 Gap Inc. COM 364760108 673 26392 SH SOLE 26392 Gateway Inc. COM 367626108 357 19850 SH SOLE 19850 General Electric COM 369604103 11298 235675 SH SOLE 235675 Geotek Communications Inc. COM 373654102 0 10000 SH SOLE 10000 Goldman Sachs Group Inc. COM 38141G104 2235 20900 SH SOLE 20900 Grainger W W Inc COM 384802104 409 11200 SH SOLE 11200 Hewlett Packard Co. COM 428236103 2905 92055 SH SOLE 92055 Home Depot Inc. COM 437076102 8475 185489 SH SOLE 185489 Homebase Inc COM 30 30000 SH SOLE 30000 Illinois Tool Works Inc. COM 452308109 214 3600 SH SOLE 3600 Intel Corp. COM 458140100 9312 309748 SH SOLE 309748 International Business Machine COM 459200101 7064 83106 SH SOLE 83106 Jefferson Pilot Corp. COM 475070108 1399 18720 SH SOLE 18720 Johnson & Johnson COM 478160104 10784 102644 SH SOLE 102644 Kansas City Southern Industrie COM 485170104 189 18637 SH SOLE 18637 Kimberly Clark Corp. COM 494368103 3742 52938 SH SOLE 52938 Koninklijke Ahold NV ADR COM 500467303 865 26605 SH SOLE 26605 LabOne Inc. COM 50540L105 435 75712 SH SOLE 75712 Lucent Technologies Inc. COM 549463107 1619 119960 SH SOLE 119960 Marshall & Ilsley Corporation COM 940 18486 SH SOLE 18486 McDonalds Corp. COM 580135101 3161 92977 SH SOLE 92977 Merck & Co. COM 589331107 3823 40834 SH SOLE 40834 Microsoft Corp. COM 594918104 5601 129126 SH SOLE 129126 Morgan Stanley Dean Witter COM 617446448 2646 33392 SH SOLE 33392 NEWSGRADE.COM INC COM 0 10000 SH SOLE 10000 Nasdaq-100 Shares COM 631100104 3261 55862 SH SOLE 55862 National Health & Safety Corpo COM 1 10000 SH SOLE 10000 Nokia Corp. ADR COM 654902204 4444 102167 SH SOLE 102167 Nortel Networks Corp. COM 656568102 888 27688 SH SOLE 27688 Oracle Corp. COM 68389X105 7698 264880 SH SOLE 264880 PNC Financial Services Group COM 693475105 392 5368 SH SOLE 5368 Pacific Century Cyberworks COM 7 11000 SH SOLE 11000 Pfizer Inc. COM 717081103 12361 268713 SH SOLE 268713 Plantronics Inc. COM 727493108 1941 41300 SH SOLE 41300 Precept Business Services Inc. COM 0 37921 SH SOLE 37921 Proctor and Gamble COM 742718109 2692 34315 SH SOLE 34315 Qualcomm Inc. COM 747525103 9622 117072 SH SOLE 117072 Quest Products Corporation COM 0 10000 SH SOLE 10000 Qwest Communications Internati COM 749121109 3068 75051 SH SOLE 75051 Reebok International Ltd. COM 758110100 388 14206 SH SOLE 14206 SBC Communications Inc. COM 78387G103 2394 50127 SH SOLE 50127 SPDR Unit Trust COM 78462F103 4094 31204 SH SOLE 31204 Safeway Inc. COM 786514208 2141 34250 SH SOLE 34250 SanDisk Corporation COM 80004C101 1825 65775 SH SOLE 65775 Sara Lee Corp. COM 803111103 1175 47825 SH SOLE 47825 Solectron Corporation COM 834182107 3653 107769 SH SOLE 107769 Starbucks Corp Com COM 855244109 1977 44670 SH SOLE 44670 Stilwell Financial Inc. COM 860831106 3054 77450 SH SOLE 77450 Summit Bancorp COM 866005101 726 19014 SH SOLE 19014 Sun Microsystems Inc. COM 866810104 3021 108380 SH SOLE 108380 TD Waterhouse Group Inc. COM 872362108 972 73350 SH SOLE 73350 Target Corp. COM 87612e106 3233 100250 SH SOLE 100250 Teradyne Inc. COM 880770102 335 9000 SH SOLE 9000 Texas Instruments Inc. COM 882508104 2088 44066 SH SOLE 44066 The Internet HOLDRs Trust COM 46059W102 205 5300 SH SOLE 5300 The Walt Disney Co. COM 254687106 2649 91541 SH SOLE 91541 Thermo Tech Technologies COM 0 10000 SH SOLE 10000 Time Warner Inc. COM 887315109 3208 61405 SH SOLE 61405 Tyco International Ltd. COM 902124106 5979 107735 SH SOLE 107735 United Energy Corporation COM 910900208 11 10000 SH SOLE 10000 United Parcel Service Inc. Cl COM 656 11159 SH SOLE 11159 Valley National Bank COM 919794107 203 6106 SH SOLE 6106 Veritas Software Corporation COM 923436109 1212 13846 SH SOLE 13846 Verizon Communications COM 92343v104 1170 23346 SH SOLE 23346 Vivendi SA COM 1223 18720 SH SOLE 18720 Vodafone Group PLC COM 92857w100 1918 53551 SH SOLE 53551 Wal-Mart Stores Inc. COM 931142103 3992 75143 SH SOLE 75143 Wells Fargo Corp. COM 949746101 5063 90925 SH SOLE 90925 WorldCom Inc. COM 98157D106 1176 83653 SH SOLE 83653 iShares MSCI Japan Index COM 464286848 938 84750 SH SOLE 84750 Alliance Growth & Income Fund MUF 2024 532617.878SH SOLE 532617.878 American Century Intl. Discove MUF 316 24145.785SH SOLE 24145.785 American Century Intl. Growth MUF 349 31918.457SH SOLE 31918.457 American Century Ultra Fund MUF 3683 113772.283SH SOLE 113772.283 Artisan International Fund MUF 3435 156830.738SH SOLE 156830.738 Baron Asset Fund MUF 1350 24822.291SH SOLE 24822.291 Davis New York Venture Fund B MUF 285 10216.656SH SOLE 10216.656 Deutsche International Equity MUF 986 38963.268SH SOLE 38963.268 Dreyfus Appreciation Fund MUF 230 5360.718 SH SOLE 5360.718 Evergreen Foundation Fund MUF 864 46904.258SH SOLE 46904.258 Fidelity Blue Chip Growth Fund MUF 255 4946.013 SH SOLE 4946.013 Fidelity Contrafund MUF 287 5829.563 SH SOLE 5829.563 Fidelity Diversified Internati MUF 343 15618.807SH SOLE 15618.807 Fidelity Growth & Income Fund MUF 222 5268.095 SH SOLE 5268.095 Fidelity Growth Co. Fund MUF 241 3371.767 SH SOLE 3371.767 Fidelity Magellan Fund MUF 1005 8425.594 SH SOLE 8425.594 Fidelity Spartan Market Index MUF 573 6309.470 SH SOLE 6309.470 Fidelity Spartan U.S. Equity I MUF 308 6584.306 SH SOLE 6584.306 Gabelli Asset Fund MUF 1865 55002.580SH SOLE 55002.580 Gabelli Growth Fund MUF 203 5359.944 SH SOLE 5359.944 Invesco European Fund MUF 199 11178.551SH SOLE 11178.551 Invesco Technology II MUF 1874 31357.795SH SOLE 31357.795 Janus Fund MUF 626 18803.849SH SOLE 18803.849 Janus Mercury Fund MUF 1753 59071.604SH SOLE 59071.604 Janus Overseas Fund MUF 7649 288200.052SH SOLE 288200.052 Janus Twenty Fund MUF 457 8331.607 SH SOLE 8331.607 Janus Worldwide Fund MUF 654 11497.208SH SOLE 11497.208 Kaufmann Fund MUF 218 49314.536SH SOLE 49314.536 Kemper New Europe Fund A MUF 610 48125.977SH SOLE 48125.977 Neuberger & Berman Millennium MUF 360 19933.340SH SOLE 19933.340 Reserve Strategic Growth Fund MUF 512 49361.524SH SOLE 49361.524 Reserve Strategic Growth Fund MUF 4469 430559.861SH SOLE 430559.861 Safeco Growth Fund MUF 295 13236.073SH SOLE 13236.073 Schwab 1000 Fund Select Shares MUF 2182 59458.782SH SOLE 59458.782 Schwab S&P 500 Fund Investor S MUF 2764 135943.881SH SOLE 135943.881 Schwab S&P 500 Fund Select Sha MUF 5650 277378.211SH SOLE 277378.211 Schwab S&P 500 Fund Select Sha MUF 718 35249.795SH SOLE 35249.795 Value Line Special Situations MUF 1195 50726.113SH SOLE 50726.113 Vanguard Balanced Index Fund MUF 1665 87280.658SH SOLE 87280.658 Vanguard Specialized Health Ca MUF 265 1998.175 SH SOLE 1998.175 Warburg Pincus Global Telecomm MUF 973 23067.956SH SOLE 23067.956