SHAPIRO ROBERT N
13F-HR, 2000-08-28
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<PAGE>

                                   FORM 13F

               INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT
             MANAGERS PURSUANT TO SECTION 13(f) OF THE SECURITIES
                   EXCHANGE ACT OF 1934 AND RULES THEREUNDER

                      Securities and Exchange Commission
                            Washington, D.C. 20549

                Report for the Calendar Quarter Ended  6/30/2000
                                                      -----------

                      If amended report check here: [_]

Name of Institutional Manager:

     Robert N. Shapiro
--------------------------------------------------------------------------------
Business Address:
One International Place        Boston         Mass.          02110
-----------------------        ------         -----          -----
Street                         City           State          Zip

Name, Phone No. and Title of Person Duly Authorized to Submit Report:

 Robert N. Shapiro (617) 951-7217
--------------------------------------------------------------------------------

     The institutional investment manager submitting this Form and its
attachments and the person by whom it is signed represent hereby that all the
information contained therein is true, correct and complete. It is understood
that all the required items, statements and schedules are considered integral
parts of this Form and that the submission of any amendment represents that all
unamended items, statements and schedules remain true, correct and complete as
previously submitted.

     Pursuant to the requirements of Securities Exchange Act of 1934, the
undersigned institutional investment manager has caused this report to be signed
on his behalf in the City of Boston and State of Massachusetts on the 24 day of
August, 2000


                                                       Robert N. Shapiro
                                                    -------------------------

Name and 13F file numbers of all Institutional Investment Managers with respect
to which this schedule is filed (other than the one filing this report).

1.   Francis L. Coolidge      28-3602
2.   Edward P. Lawrence       28-4738
3.   Edward J.Joyce           28-6740
4.   Susan R. Shapiro         28-5292

<PAGE>

<TABLE>
<CAPTION>
REPORT RUN: 08/24/2000 at 09:04 AM             13-F EQUITIES DISCLOSURE BY AFFILATION                               PAGE      1
BUSINESS DATE: 08/24/2000                                                                                       R33.110.003

                                                          As of 06/30/2000

 HOLDING COMPANY:      (1) ROPES AND GRAY

                                                                              INVEST
                                                  MARKET                      INVEST AUTH   VOTING AUTH (SHARES)
NAME OF ISSUER                 CUSIP              VALUE            SH/PV      SOLE SHR MGR      SOLE            SHARED      NONE
------------------------------ ------------  ----------------- ------------   ---- --- ---- -----------       ---------- ----------
<S>                            <C>           <C>               <C>            <C>  <C> <C>  <C>               <C>        <C>
         COMMON
         ------

ABBOTT LABS                    002824100            243,311.25          5460  X                     5460              0          0
                                                  2,059,901.58         46225       X                   0          46225          0
                                                     71,300.00          1600       X     4             0           1600          0
                                             ----------------- -------------                ------------      ---------  ---------
                                                  2,374,512.83         53285                        5460          47825          0

ADVENT SOFTWARE INC            007974108             90,300.00          1400  X                     1400              0          0
                                                    212,850.00          3300       X                   0           3300          0
                                             ----------------- -------------                ------------      ---------  ---------
                                                    303,150.00          4700                        1400           3300          0

AGILENT TECHNOLOGIES INC       00846U101            454,668.75          6165       X                   0           6165          0
                                                     84,370.00          1144       X     1             0           1144          0
                                                     60,401.25           819       X     2             0            819          0
                                                      5,605.00            76       X     4             0             76          0
                                             ----------------- -------------                ------------      ---------  ---------
                                                    605,045.00          8204                           0           8204          0

AIR PRODS & CHEMS INC          009158106             92,437.50          3000  X                     3000              0          0
                                                    544,610.95         17675       X                   0          17675          0
                                             ----------------- -------------                ------------      ---------  ---------
                                                    637,048.45         20675                        3000          17675          0

ALLMERICA FINL CORP            019754100            247,995.63          4735       X                   0           4735          0

AMERICAN EXPRESS CO            025816109             87,309.38          1675  X                     1675              0          0
                                                  1,085,503.15         20825       X                   0          20825          0
                                                    312,750.00          6000       X     2             0           6000          0
                                             ----------------- -------------                ------------      ---------  ---------
                                                  1,485,562.53         28500                        1675          26825          0

AMERICAN HOME PRODS CORP       026609107            496,437.50          8450  X                     8450              0          0
                                                  5,175,816.25         88099       X                 925          87174          0
                                                    423,000.00          7200       X     1             0           7200          0
                                                    171,843.75          2925       X     2             0           2925          0
                                                     88,125.00          1500       X     3             0           1500          0
                                             ----------------- -------------                ------------      ---------  ---------
                                                  6,355,222.50        108174                        9375          98799          0

AMERICAN INTL GROUP INC        026874107            649,892.50          5531  X                     5531              0          0
                                                  6,756,720.00         57504       X                 425          57079          0
                                             ----------------- -------------                ------------      ---------  ---------
         SUBTOTALS FOR THIS PAGE                 19,415,149.44        291308                       26866         264442          0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
REPORT RUN: 08/24/2000 at 09:04 AM             13-F EQUITIES DISCLOSURE BY AFFILATION                               PAGE      2
BUSINESS DATE: 08/24/2000                                                                                       R33.110.003

                                                          As of 06/30/2000

 HOLDING COMPANY: (1) ROPES AND GRAY (Cont.)

                                                                              INVEST
                                                  MARKET                      INVEST AUTH   VOTING AUTH (SHARES)
NAME OF ISSUER                 CUSIP              VALUE            SH/PV      SOLE SHR MGR      SOLE            SHARED      NONE
------------------------------ ------------  ----------------- ------------   ---- --- ---- -----------       ---------- ----------
<S>                            <C>           <C>               <C>            <C>  <C> <C>  <C>               <C>        <C>
         COMMON (cont.)
         --------------

                                                  1,345,610.00         11452       X     1             0          11452          0
                                                    428,052.50          3643       X     2             0           3643          0
                                                     58,750.00           500       X     3             0            500          0
                                                     74,142.50           631       X     4             0            631          0
                                             ----------------- -------------                ------------      ---------  ---------
                                                  9,313,167.50         79261                        5956          73305          0

AMGEN INC                      031162100            224,800.00          3200  X                     3200              0          0
                                                     98,350.00          1400       X                   0           1400          0
                                             ----------------- -------------                ------------      ---------  ---------
                                                    323,150.00          4600                        3200           1400          0

APACHE CORP                    037411105            364,637.50          6200       X                   0           6200          0

APPLIED MATLS INC              038222105            154,062.50          1700  X                     1700              0          0
                                                    425,937.50          4700       X                   0           4700          0
                                             ----------------- -------------                ------------      ---------  ---------
                                                    580,000.00          6400                        1700           4700          0

APPLIED MICRO CIRCUITS CORP    03822W109            524,955.00          5316       X                   0           5316          0

ARCHSTONE CMNTYS TR            039581103            245,378.14         11650  X                    11650              0          0
                                                  1,452,785.99         68975       X                   0          68975          0
                                                    106,365.63          5050       X     1             0           5050          0
                                                    292,242.19         13875       X     2             0          13875          0
                                                     65,293.75          3100       X     3             0           3100          0
                                             ----------------- -------------                ------------      ---------  ---------
                                                  2,162,065.70        102650                       11650          91000          0

AT&T CORP                      001957109            207,554.89          6563       X                   0           6563          0

AUTOMATIC DATA PROCESSING      053015103            497,060.00          9280  X                     9280              0          0
                                                  1,486,466.50         27752       X                   0          27752          0
                                                    642,750.00         12000       X     1             0          12000          0
                                             ----------------- -------------                ------------      ---------  ---------
                                                  2,626,276.50         49032                        9280          39752          0

AUTOZONE INC                   053332102            139,480.00          6340  X                     6340              0          0
                                                    117,480.00          5340       X                   0           5340          0

                                             ----------------- -------------                ------------      ---------  ---------
         SUBTOTALS FOR THIS PAGE                  8,952,154.59        208667                       32170         176497          0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
REPORT RUN: 08/24/2000 at 09:04 AM             13-F EQUITIES DISCLOSURE BY AFFILATION                               PAGE      3
BUSINESS DATE: 08/24/2000                                                                                       R33.110.003

                                                          As of 06/30/2000

 HOLDING COMPANY: (1) ROPES AND GRAY (Cont.)

                                                                              INVEST
                                                  MARKET                      INVEST AUTH   VOTING AUTH (SHARES)
NAME OF ISSUER                 CUSIP              VALUE            SH/PV      SOLE SHR MGR      SOLE            SHARED      NONE
------------------------------ ------------  ----------------- ------------   ---- --- ---- -----------       ---------- ----------
<S>                            <C>           <C>               <C>            <C>  <C> <C>  <C>               <C>        <C>
         COMMON (cont.)
         --------------

                                             ----------------- -------------                ------------      ---------  ---------
                                                    256,960.00         11680                        6340           5340          0

BALLARD PWR SYS INC            05858H104            107,774.40          1200  X                     1200              0          0
                                                    211,058.20          2350       X                   0           2350          0
                                             ----------------- -------------                ------------      ---------  ---------
                                                    318,832.60          3550                        1200           2350          0

BEA SYS INC                    073325102            207,635.40          4200  X                     4200              0          0
                                                    197,748.00          4000       X                   0           4000          0
                                             ----------------- -------------                ------------      ---------  ---------
                                                    405,383.40          8200                        4200           4000          0

BELLSOUTH CORP                 079860102            242,962.50          5700       X                   0           5700          0

BOEING CO                      097023105             50,175.00          1200  X                     1200              0          0
                                                    921,965.63         22050       X                   0          22050          0
                                             ----------------- -------------                ------------      ---------  ---------
                                                    972,140.63         23250                        1200          22050          0

BRISTOL MYERS SQUIBB CO        110122108             46,600.00           800  X                      800              0          0
                                                  2,651,540.00         45520       X                   0          45520          0
                                                    757,250.00         13000       X     1             0          13000          0
                                                     46,600.00           800       X     2             0            800          0
                                             ----------------- -------------                ------------      ---------  ---------
                                                  3,501,990.00         60120                         800          59320          0

BROADCOM CORP                  111320107            361,246.05          1650  X                     1650              0          0
                                                    197,043.30           900       X                   0            900          0
                                             ----------------- -------------                ------------      ---------  ---------
                                                    558,289.35          2550                        1650            900          0

BROCADE COMM SYS INC           111621108            275,226.00          1500  X                     1500              0          0

CABOT CORP                     127055101             44,417.50          1630  X                     1630              0          0
                                                  2,580,438.75         94695       X                   0          94695          0
                                             ----------------- -------------                ------------      ---------  ---------
                                                  2,624,856.25         96325                        1630          94695          0

CABOT OIL & GAS CORP CL A      127097103            551,510.63         26030       X                   0          26030          0

                                             ----------------- -------------                ------------      ---------  ---------
         SUBTOTALS FOR THIS PAGE                  9,451,191.36        227225                       12180         215045          0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
REPORT RUN: 08/24/2000 at 09:04 AM             13-F EQUITIES DISCLOSURE BY AFFILATION                               PAGE      4
BUSINESS DATE: 08/24/2000                                                                                       R33.110.003

                                                          As of 06/30/2000

 HOLDING COMPANY: (1) ROPES AND GRAY (Cont.)

                                                                              INVEST
                                                  MARKET                      INVEST AUTH   VOTING AUTH (SHARES)
NAME OF ISSUER                 CUSIP              VALUE            SH/PV      SOLE SHR MGR      SOLE            SHARED      NONE
------------------------------ ------------  ----------------- ------------   ---- --- ---- -----------       ---------- ----------
<S>                            <C>           <C>               <C>            <C>  <C> <C>  <C>               <C>        <C>
         COMMON (cont.)
         --------------

CATERPILLAR INC                149123101             69,443.75          2050  X                     2050              0          0
                                                    260,837.50          7700       X                   0           7700          0
                                             ----------------- -------------                ------------      ---------  ---------
                                                    330,281.25          9750                        2050           7700          0

CHEVRON CORP                   166751107            271,145.57          3197       X                   0           3197          0
                                                     16,962.50           200       X     1             0            200          0
                                             ----------------- -------------                ------------      ---------  ---------
                                                    288,108.07          3397                           0           3397          0

CISCO SYS INC                  17275R102          1,381,710.76         21738  X                    21738              0          0
                                                 13,317,065.34        209513       X                1050         208463          0
                                                  1,137,759.80         17900       X     1             0          17900          0
                                                    751,175.72         11818       X     2             0          11818          0
                                                     44,493.40           700       X     3             0            700          0
                                             ----------------- -------------                ------------      ---------  ---------
                                                 16,632,205.02        261669                       22788         238881          0

CITIGROUP INC                  172967101            827,112.00         13728  X                    13728              0          0
                                                  5,542,096.25         91985       X                 824          91161          0
                                                    464,648.00          7712       X     1             0           7712          0
                                                    238,650.25          3961       X     2             0           3961          0
                                                     47,416.75           787       X     3             0            787          0
                                             ----------------- -------------                ------------      ---------  ---------
                                                  7,119,923.25        118173                       14552         103621          0

CLEAR CHANNEL COMM INC         184502102            232,500.00          3100       X                   0           3100          0

CLOROX CO                      189054109             85,143.75          1900  X                     1900              0          0
                                                    354,018.75          7900       X                   0           7900          0
                                             ----------------- -------------                ------------      ---------  ---------
                                                    439,162.50          9800                        1900           7900          0

COCA COLA CO                   191216100             91,900.00          1600  X                     1600              0          0
                                                    415,732.64          7238       X                   0           7238          0
                                                     14,933.75           260       X     4             0            260          0
                                             ----------------- -------------                ------------      ---------  ---------
                                                    522,566.39          9098                        1600           7498          0

COLGATE PALMOLIVE CO           194162103            431,100.00          7200       X                   0           7200          0

                                             ----------------- -------------                ------------      ---------  ---------
         SUBTOTALS FOR THIS PAGE                 25,995,846.48        422187                       42890         379297          0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
REPORT RUN: 08/24/2000 at 09:04 AM             13-F EQUITIES DISCLOSURE BY AFFILATION                               PAGE      5
BUSINESS DATE: 08/24/2000                                                                                       R33.110.003

                                                          As of 06/30/2000

 HOLDING COMPANY: (1) ROPES AND GRAY (Cont.)

                                                                              INVEST
                                                  MARKET                      INVEST AUTH   VOTING AUTH (SHARES)
NAME OF ISSUER                 CUSIP              VALUE            SH/PV      SOLE SHR MGR      SOLE            SHARED      NONE
------------------------------ ------------  ----------------- ------------   ---- --- ---- -----------       ---------- ----------
<S>                            <C>           <C>               <C>            <C>  <C> <C>  <C>               <C>        <C>
         COMMON (cont.)
         --------------

COMMUNITY FIRST BANKSHARES INC 203902101            211,990.75         12996       X                   0          12996          0

COMVERSE TECHNOLOGY INC        205862402            334,800.00          3600  X                     3600              0          0

COPPER MTN NETWORKS INC        217510106            308,437.50          3500       X                   0           3500          0

CVS CORP                       126650100             14,400.00           360  X                      360              0          0
                                                    202,400.00          5060       X                   0           5060          0
                                             ----------------- -------------                ------------      ---------  ---------
                                                    216,800.00          5420                         360           5060          0

DEERE & CO                     244199105             74,000.00          2000  X                     2000              0          0
                                                    271,950.00          7350       X                   0           7350          0
                                             ----------------- -------------                ------------      ---------  ---------
                                                    345,950.00          9350                        2000           7350          0

DELL COMPUTER CORP             247025109            177,523.20          3600  X                     3600              0          0
                                                    290,940.80          5900       X                   0           5900          0
                                             ----------------- -------------                ------------      ---------  ---------
                                                    468,464.00          9500                        3600           5900          0

DISNEY WALT CO                 254687106            712,791.59         18365  X                    18365              0          0
                                                  4,119,054.28        106127       X                1650         104477          0
                                                    238,580.44          6147       X     1             0           6147          0
                                                    124,200.01          3200       X     2             0           3200          0
                                             ----------------- -------------                ------------      ---------  ---------
                                                  5,194,626.32        133839                       20015         113824          0

DOLLAR GEN CORP                256669102            317,070.00         16260  X                    16260              0          0
                                                    198,900.00         10200       X                   0          10200          0
                                             ----------------- -------------                ------------      ---------  ---------
                                                    515,970.00         26460                       16260          10200          0

DOUBLECLICK INC                258609304            207,514.38          5443       X                   0           5443          0

DOW CHEM CO                    260543103             25,659.38           850  X                      850              0          0
                                                    298,856.26          9900       X                   0           9900          0
                                             ----------------- -------------                ------------      ---------  ---------
                                                    324,515.64         10750                         850           9900          0

DTE ENERGY CO                  233331107            207,825.00          6800       X                   0           6800          0
                                             ----------------- -------------                ------------      ---------  ---------
         SUBTOTALS FOR THIS PAGE                  8,336,893.59        227658                       46685         180973          0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
REPORT RUN: 08/24/2000 at 09:04 AM             13-F EQUITIES DISCLOSURE BY AFFILATION                               PAGE      6
BUSINESS DATE: 08/24/2000                                                                                       R33.110.003

                                                          As of 06/30/2000

 HOLDING COMPANY: (1) ROPES AND GRAY (Cont.)

                                                                              INVEST
                                                  MARKET                      INVEST AUTH   VOTING AUTH (SHARES)
NAME OF ISSUER                 CUSIP              VALUE            SH/PV      SOLE SHR MGR      SOLE            SHARED      NONE
------------------------------ ------------  ----------------- ------------   ---- --- ---- -----------       ---------- ----------
<S>                            <C>           <C>               <C>            <C>  <C> <C>  <C>               <C>        <C>
         COMMON (cont.)
         --------------

DU PONT E I DE NEMOURS         263534109            146,562.50          3350  X                     3350              0          0
                                                  1,011,281.25         23115       X                   0          23115          0
                                                     74,375.00          1700       X     1             0           1700          0
                                                     30,625.00           700       X     2             0            700          0
                                             ----------------- -------------                ------------      ---------  ---------
                                                  1,262,843.75         28865                        3350          25515          0

DUKE ENERGY CORP               264399106             11,275.00           200  X                      200              0          0
                                                     80,334.38          1425       X                   0           1425          0
                                                     95,837.50          1700       X     2             0           1700          0
                                                     36,643.75           650       X     3             0            650          0
                                             ----------------- -------------                ------------      ---------  ---------
                                                    224,090.63          3975                         200           3775          0

E M C CORP MASS                268648102            100,018.76          1300  X                     1300              0          0
                                                  1,223,306.25         15900       X                   0          15900          0
                                             ----------------- -------------                ------------      ---------  ---------
                                                  1,323,325.01         17200                        1300          15900          0

EASTERN ENTERPRISES            27637F100            318,150.00          5050  X                     5050              0          0
                                                    119,700.00          1900       X                   0           1900          0
                                             ----------------- -------------                ------------      ---------  ---------
                                                    437,850.00          6950                        5050           1900          0

EMERSON ELEC CO                291011104            120,750.00          2000  X                     2000              0          0
                                                    425,643.75          7050       X                   0           7050          0
                                             ----------------- -------------                ------------      ---------  ---------
                                                    546,393.75          9050                        2000           7050          0

EXTREME NETWORKS INC           30226D106            253,200.00          2400  X                     2400              0          0

EXXON MOBIL CORP               30231G102            694,882.00          8852  X                     8852              0          0
                                                  7,646,528.00         97408       X                   0          97408          0
                                                  1,021,756.00         13016       X     1             0          13016          0
                                                    890,504.00         11344       X     2             0          11344          0
                                                     47,100.00           600       X     3             0            600          0
                                             ----------------- -------------                ------------      ---------  ---------
                                                 10,300,770.00        131220                        8852         122368          0

FEDERAL HOME LN MTG CORP       313400301            228,825.00          5650       X                   0           5650          0
                                             ----------------- -------------                ------------      ---------  ---------
         SUBTOTALS FOR THIS PAGE                 14,577,298.14        205310                       23152         182158          0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
REPORT RUN: 08/24/2000 at 09:04 AM             13-F EQUITIES DISCLOSURE BY AFFILATION                               PAGE      7
BUSINESS DATE: 08/24/2000                                                                                       R33.110.003

                                                          As of 06/30/2000

 HOLDING COMPANY: (1) ROPES AND GRAY (Cont.)

                                                                              INVEST
                                                  MARKET                      INVEST AUTH   VOTING AUTH (SHARES)
NAME OF ISSUER                 CUSIP              VALUE            SH/PV      SOLE SHR MGR      SOLE            SHARED      NONE
------------------------------ ------------  ----------------- ------------   ---- --- ---- -----------       ---------- ----------
<S>                            <C>           <C>               <C>            <C>  <C> <C>  <C>               <C>        <C>
         COMMON (cont.)
         --------------

FEDERAL NATL MTG ASSN          313586109            247,629.69          4745  X                     4745              0          0
                                                  2,157,953.18         41350       X                   0          41350          0
                                                     67,843.76          1300       X     2             0           1300          0
                                             ----------------- -------------                ------------      ---------  ---------
                                                  2,473,426.63         47395                        4745          42650          0

FEDEX CORP                     31428X106            349,600.00          9200       X                   0           9200          0

FORD MTR CO DEL                345370100            107,500.00          2500  X                     2500              0          0
                                                    518,150.00         12050       X                   0          12050          0
                                             ----------------- -------------                ------------      ---------  ---------
                                                    625,650.00         14550                        2500          12050          0

GAP INC                        364760108            108,593.75          3475  X                     3475              0          0
                                                    382,187.50         12230       X                   0          12230          0
                                             ----------------- -------------                ------------      ---------  ---------
                                                    490,781.25         15705                        3475          12230          0

GENENTECH INC COM NEW          368710406            189,200.00          1100  X                     1100              0          0
                                                    533,200.00          3100       X                   0           3100          0
                                             ----------------- -------------                ------------      ---------  ---------
                                                    722,400.00          4200                        1100           3100          0

GENERAL ELEC CO                369604103          1,442,077.00         27209  X                    27209              0          0
                                                 13,674,795.00        258015       X                1500         256515          0
                                                  1,472,075.00         27775       X     1             0          27775          0
                                                  1,077,225.00         20325       X     2             0          20325          0
                                                     95,400.00          1800       X     3             0           1800          0
                                                     95,400.00          1800       X     4             0           1800          0
                                             ----------------- -------------                ------------      ---------  ---------
                                                 17,856,972.00        336924                       28709         308215          0

GILLETTE CO                    375766102             97,825.00          2800  X                     2800              0          0
                                                    314,437.50          9000       X                   0           9000          0
                                                     27,950.00           800       X     4             0            800          0
                                             ----------------- -------------                ------------      ---------  ---------
                                                    440,212.50         12600                        2800           9800          0

GTE CORP                       362320103            508,582.50          8170       X                   0           8170          0

                                             ----------------- -------------                ------------      ---------  ---------
         SUBTOTALS FOR THIS PAGE                 23,467,624.88        448744                       43329         405415          0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
REPORT RUN: 08/24/2000 at 09:04 AM             13-F EQUITIES DISCLOSURE BY AFFILATION                               PAGE      8
BUSINESS DATE: 08/24/2000                                                                                       R33.110.003

                                                          As of 06/30/2000

 HOLDING COMPANY: (1) ROPES AND GRAY (Cont.)

                                                                              INVEST
                                                  MARKET                      INVEST AUTH   VOTING AUTH (SHARES)
NAME OF ISSUER                 CUSIP              VALUE            SH/PV      SOLE SHR MGR      SOLE            SHARED      NONE
------------------------------ ------------  ----------------- ------------   ---- --- ---- -----------       ---------- ----------
<S>                            <C>           <C>               <C>            <C>  <C> <C>  <C>               <C>        <C>
         COMMON (cont.)
         --------------

HALLIBURTON CO                 406216101            273,687.50          5800       X                   0           5800          0

HEWLETT PACKARD CO             428236103          1,955,667.38         15661       X                   0          15661          0
                                                    374,625.00          3000       X     1             0           3000          0
                                                    268,481.25          2150       X     2             0           2150          0
                                                     24,975.00           200       X     4             0            200          0
                                             ----------------- -------------                ------------      ---------  ---------
                                                  2,623,748.63         21011                           0          21011          0

HOME DEPOT INC                 437076102            777,651.73         15573  X                    15573              0          0
                                                  4,926,134.66         98646       X                   0          98646          0
                                                    534,331.26         10700       X     1             0          10700          0
                                             ----------------- -------------                ------------      ---------  ---------
                                                  6,238,117.65        124919                       15573         109346          0

IBM CORP                       459200101            219,125.00          2000  X                     2000              0          0
                                                  2,267,505.51         20696       X                   0          20696          0
                                             ----------------- -------------                ------------      ---------  ---------
                                                  2,486,630.51         22696                        2000          20696          0

ILLINOIS TOOL WKS INC          452308109             51,300.00           900  X                      900              0          0
                                                    293,550.00          5150       X                   0           5150          0
                                             ----------------- -------------                ------------      ---------  ---------
                                                    344,850.00          6050                         900           5150          0

INKTOMI CORP                   457277101            354,750.00          3000  X                     3000              0          0
                                                     43,161.25           365       X                   0            365          0
                                             ----------------- -------------                ------------      ---------  ---------
                                                    397,911.25          3365                        3000            365          0

INTEL CORP                     458140100            795,437.67          5950  X                     5950              0          0
                                                  9,043,123.53         67644       X                 525          67119          0
                                                    294,111.40          2200       X     1             0           2200          0
                                                    564,560.22          4223       X     2             0           4223          0
                                                    120,318.30           900       X     3             0            900          0
                                                    113,633.95           850       X     4             0            850          0
                                             ----------------- -------------                ------------      ---------  ---------
                                                 10,931,185.07         81767                        6475          75292          0

ISS GROUP INC                  46060X107            417,644.82          4230       X                   0           4230          0

                                             ----------------- -------------                ------------      ---------  ---------
         SUBTOTALS FOR THIS PAGE                 23,713,775.43        269838                       27948         241890          0
</TABLE>

<PAGE>

<TABLE>
<CAPTION>
REPORT RUN: 08/24/2000 at 09:04 AM             13-F EQUITIES DISCLOSURE BY AFFILATION                               PAGE      9
BUSINESS DATE: 08/24/2000                                                                                       R33.110.003

                                                          As of 06/30/2000

 HOLDING COMPANY: (1) ROPES AND GRAY (Cont.)

                                                                              INVEST
                                                  MARKET                      INVEST AUTH   VOTING AUTH (SHARES)
NAME OF ISSUER                 CUSIP              VALUE            SH/PV      SOLE SHR MGR      SOLE            SHARED      NONE
------------------------------ ------------  ----------------- ------------   ---- --- ---- -----------       ---------- ----------
<S>                            <C>           <C>               <C>            <C>  <C> <C>  <C>               <C>        <C>
         COMMON (cont.)
         --------------

INTERPUBLIC GROUP COS          460690100            632,100.00         14700       X                   0          14700          0

JDS UNIPHASE CORP              46612J101            215,775.00          1800       X                   0           1800          0

JOHNSON & JOHNSON              478160104            178,281.25          1750  X                     1750              0          0
                                                    903,427.51          8868       X                 600           8268          0
                                             ----------------- -------------                ------------      ---------  ---------
                                                  1,081,708.76         10618                        2350           8268          0

KANA COMMUNICATIONS INC        483600102            297,000.00          4800  X                     4800              0          0

KIMBERLY CLARK CORP            494368103            242,409.40          4225  X                     4225              0          0
                                                  2,644,987.58         46100       X                 250          45850          0
                                                    342,815.63          5975       X     1             0           5975          0
                                                    123,356.26          2150       X     2             0           2150          0
                                                     22,950.00           400       X     3             0            400          0
                                             ----------------- -------------                ------------      ---------  ---------
                                                  3,376,518.87         58850                        4475          54375          0

KVH INDS INC                   482738101            696,636.00        116106       X                   0         116106          0

LILLY ELI & CO                 532457108            129,837.50          1300  X                     1300              0          0
                                                  1,219,473.75         12210       X                   0          12210          0
                                                     34,956.25           350       X     1             0            350          0
                                             ----------------- -------------                ------------      ---------  ---------
                                                  1,384,267.50         13860                        1300          12560          0

LINEAR TECHNOLOGY CORP         535678106            235,863.59          3689  X                     3689              0          0
                                                    250,185.48          3913       X                   0           3913          0
                                             ----------------- -------------                ------------      ---------  ---------
                                                    486,049.07          7602                        3689           3913          0

LOCKHEED MARTIN CORP           539830109            235,321.75          9484       X                   0           9484          0

LUCENT TECHNOLOGIES INC        549463107            357,040.50          6026  X                     6026              0          0
                                                  3,472,464.75         58607       X                 628          57979          0
                                                    217,743.75          3675       X     1             0           3675          0
                                             ----------------- -------------                ------------      ---------  ---------
                                                  4,047,249.00         68308                        6654          61654          0

MARRIOTT INTL NEW CL A         571903202            160,550.25          4452  X                     4452              0          0
                                             ----------------- -------------                ------------      ---------  ---------
         SUBTOTALS FOR THIS PAGE                 12,613,176.20        310580                       27720         282860          0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
REPORT RUN: 08/24/2000 at 09:04 AM             13-F EQUITIES DISCLOSURE BY AFFILATION                               PAGE     10
BUSINESS DATE: 08/24/2000                                                                                       R33.110.003

                                                          As of 06/30/2000

 HOLDING COMPANY: (1) ROPES AND GRAY (Cont.)

                                                                              INVEST
                                                  MARKET                      INVEST AUTH   VOTING AUTH (SHARES)
NAME OF ISSUER                 CUSIP              VALUE            SH/PV      SOLE SHR MGR      SOLE            SHARED      NONE
------------------------------ ------------  ----------------- ------------   ---- --- ---- -----------       ---------- ----------
<S>                            <C>           <C>               <C>            <C>  <C> <C>  <C>               <C>        <C>
         COMMON (cont.)
         --------------

                                                    126,940.00          3520       X                   0           3520          0
                                             ----------------- -------------                ------------      ---------  ---------
                                                    287,490.25          7972                        4452           3520          0

MATRIXONE INC                  57685P304          3,294,606.25         81098       X                   0          81098          0

MAXIM INTEGRATED PRODS         57772K101            271,748.00          4000  X                     4000              0          0
                                                    271,748.00          4000       X                   0           4000          0
                                             ----------------- -------------                ------------      ---------  ---------
                                                    543,496.00          8000                        4000           4000          0

MBIA INC                       55262C100            202,387.50          4200       X                   0           4200          0

MBNA CORP                      55262L100            369,225.51         13612       X                   0          13612          0

MCDONALDS CORP                 580135101            369,328.19         11213  X                    11213              0          0
                                                  2,082,473.51         63225       X                 450          62775          0
                                                    167,981.25          5100       X     1             0           5100          0
                                                    182,803.13          5550       X     2             0           5550          0
                                             ----------------- -------------                ------------      ---------  ---------
                                                  2,802,586.08         85088                       11663          73425          0

MEAD CORP                      582834107            603,980.00         23920       X                   0          23920          0

MEDTRONIC INC                  585055106            388,537.50          7800  X                     7800              0          0
                                                  1,220,406.25         24500       X                   0          24500          0
                                             ----------------- -------------                ------------      ---------  ---------
                                                  1,608,943.75         32300                        7800          24500          0

MERCK & CO INC                 589331107            474,308.75          6190  X                     6190              0          0
                                                  3,977,527.14         51909       X                 550          51359          0
                                                    796,900.00         10400       X     2             0          10400          0
                                             ----------------- -------------                ------------      ---------  ---------
                                                  5,248,735.89         68499                        6740          61759          0

MICROSOFT CORP                 594918104          1,041,600.00         13020  X                    13020              0          0
                                                  5,166,240.00         64578       X                 475          64103          0
                                                    346,000.00          4325       X     1             0           4325          0
                                                     24,000.00           300       X     2             0            300          0

                                             ----------------- -------------                ------------      ---------  ---------
         SUBTOTALS FOR THIS PAGE                 21,378,740.98        402460                       43698         358762          0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
REPORT RUN: 08/24/2000 at 09:04 AM             13-F EQUITIES DISCLOSURE BY AFFILATION                               PAGE     11
BUSINESS DATE: 08/24/2000                                                                                       R33.110.003

                                                          As of 06/30/2000

 HOLDING COMPANY: (1) ROPES AND GRAY (Cont.)

                                                                              INVEST
                                                  MARKET                      INVEST AUTH   VOTING AUTH (SHARES)
NAME OF ISSUER                 CUSIP              VALUE            SH/PV      SOLE SHR MGR      SOLE            SHARED      NONE
------------------------------ ------------  ----------------- ------------   ---- --- ---- -----------       ---------- ----------
<S>                            <C>           <C>               <C>            <C>  <C> <C>  <C>               <C>        <C>
         COMMON (cont.)
         --------------

                                             ----------------- -------------                ------------      ---------  ---------
                                                  6,577,840.00         82223                       13495          68728          0

MILLIPORE CORP                 601073109            278,887.50          3700       X                   0           3700          0

MOTOROLA INC                   620076109             26,156.25           900  X                      900              0          0
                                                    502,781.25         17300       X                   0          17300          0
                                             ----------------- -------------                ------------      ---------  ---------
                                                    528,937.50         18200                         900          17300          0

MUTUAL RISK MGMT LTD           628351108            188,706.25         10900       X                   0          10900          0

NEXTEL COMMUN INC CL A         65332V103             27,534.15           450  X                      450              0          0
                                                    348,765.90          5700       X                   0           5700          0
                                             ----------------- -------------                ------------      ---------  ---------
                                                    376,300.05          6150                         450           5700          0

NORTHERN TR CORP               665859104             19,518.60           300  X                      300              0          0
                                                    548,342.54          8428       X                   0           8428          0
                                             ----------------- -------------                ------------      ---------  ---------
                                                    567,861.14          8728                         300           8428          0

ORACLE CORP                    68389X105             67,249.60           800  X                      800              0          0
                                                    252,186.00          3000       X                   0           3000          0
                                             ----------------- -------------                ------------      ---------  ---------
                                                    319,435.60          3800                         800           3000          0

PE CORP BIOSYSTEMS GROUP       69332S102            283,262.50          4300  X                     4300              0          0
                                                    237,150.00          3600       X                   0           3600          0
                                             ----------------- -------------                ------------      ---------  ---------
                                                    520,412.50          7900                        4300           3600          0

PFIZER INC                     717081103            911,280.00         18985  X                    18985              0          0
                                                  5,664,480.00        118010       X                   0         118010          0
                                                    254,400.00          5300       X     2             0           5300          0
                                                     19,200.00           400       X     4             0            400          0
                                             ----------------- -------------                ------------      ---------  ---------
                                                  6,849,360.00        142695                       18985         123710          0

PHONE COM INC                  71920Q100            237,055.00          3640  X                     3640              0          0
                                                    674,825.25         10362       X                   0          10362          0
                                             ----------------- -------------                ------------      ---------  ---------
         SUBTOTALS FOR THIS PAGE                 10,541,780.79        216075                       29375         186700          0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
REPORT RUN: 08/24/2000 at 09:04 AM             13-F EQUITIES DISCLOSURE BY AFFILATION                               PAGE     12
BUSINESS DATE: 08/24/2000                                                                                       R33.110.003

                                                          As of 06/30/2000

 HOLDING COMPANY: (1) ROPES AND GRAY (Cont.)

                                                                              INVEST
                                                  MARKET                      INVEST AUTH   VOTING AUTH (SHARES)
NAME OF ISSUER                 CUSIP              VALUE            SH/PV      SOLE SHR MGR      SOLE            SHARED      NONE
------------------------------ ------------  ----------------- ------------   ---- --- ---- -----------       ---------- ----------
<S>                            <C>           <C>               <C>            <C>  <C> <C>  <C>               <C>        <C>
         COMMON (cont.)
         --------------

                                             ----------------- -------------                ------------      ---------  ---------
                                                    911,880.25         14002                        3640          10362          0

PROCTER & GAMBLE CO            742718109            107,630.00          1880  X                     1880              0          0
                                                    486,911.25          8505       X                 250           8255          0
                                             ----------------- -------------                ------------      ---------  ---------
                                                    594,541.25         10385                        2130           8255          0

PROGRESSIVE CORP OHIO          743315103          5,264,508.00         71142       X                   0          71142          0

PROTEIN DESIGN LABS INC        74369L103            230,934.20          1400  X                     1400              0          0
                                                    280,420.10          1700       X                   0           1700          0
                                             ----------------- -------------                ------------      ---------  ---------
                                                    511,354.30          3100                        1400           1700          0

QLT PHOTOTHERAPEUTICS INC      746927102            432,947.20          5600  X                     5600              0          0

RED HAT INC                    756577102            202,613.19          7487       X                   0           7487          0

REDBACK NETWORKS INC           757209101            465,725.00          2600  X                     2600              0          0
                                                    367,206.25          2050       X                   0           2050          0
                                             ----------------- -------------                ------------      ---------  ---------
                                                    832,931.25          4650                        2600           2050          0

SAFEWAY INC NEW                786514208            249,300.00          5540  X                     5540              0          0
                                                    321,300.00          7140       X                   0           7140          0
                                             ----------------- -------------                ------------      ---------  ---------
                                                    570,600.00         12680                        5540           7140          0

SBC COMMUNICATIONS INC         78387G103            317,022.50          7330  X                     7330              0          0
                                                  3,480,866.57         80482       X                 500          79982          0
                                                    207,600.00          4800       X     1             0           4800          0
                                                    296,262.50          6850       X     2             0           6850          0
                                                     25,950.00           600       X     3             0            600          0
                                             ----------------- -------------                ------------      ---------  ---------
                                                  4,327,701.57        100062                        7830          92232          0

SCHERING PLOUGH CORP           806605101            970,357.50         19215       X                   0          19215          0
                                                     20,200.00           400       X     4             0            400          0

                                             ----------------- -------------                ------------      ---------  ---------
         SUBTOTALS FOR THIS PAGE                 13,727,754.26        234721                       25100         209621          0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
REPORT RUN: 08/24/2000 at 09:04 AM             13-F EQUITIES DISCLOSURE BY AFFILATION                               PAGE     13
BUSINESS DATE: 08/24/2000                                                                                       R33.110.003

                                                          As of 06/30/2000

 HOLDING COMPANY: (1) ROPES AND GRAY (Cont.)

                                                                              INVEST
                                                  MARKET                      INVEST AUTH   VOTING AUTH (SHARES)
NAME OF ISSUER                 CUSIP              VALUE            SH/PV      SOLE SHR MGR      SOLE            SHARED      NONE
------------------------------ ------------  ----------------- ------------   ---- --- ---- -----------       ---------- ----------
<S>                            <C>           <C>               <C>            <C>  <C> <C>  <C>               <C>        <C>
         COMMON (cont.)
         --------------

                                             ----------------- -------------                ------------      ---------  ---------
                                                    990,557.50         19615                           0          19615          0

SCHOLASTIC CORP                807066105            916,875.00         15000       X                   0          15000          0

SCIENT CORP                    80864H109          1,588,411.76         35998       X                   0          35998          0

SDL INC                        784076101            342,224.40          1200       X                   0           1200          0

STATE STR CORP                 857477103             84,850.00           800  X                      800              0          0
                                                    127,275.00          1200       X                   0           1200          0
                                                     47,728.13           450       X     4             0            450          0
                                             ----------------- -------------                ------------      ---------  ---------
                                                    259,853.13          2450                         800           1650          0

STEELCASE INC CL A             858155203            727,481.00         42793       X                   0          42793          0

STRYKER CORP                   863667101            338,975.00          7748  X                     7748              0          0
                                                    350,000.00          8000       X                   0           8000          0
                                                     35,000.00           800       X     4             0            800          0
                                             ----------------- -------------                ------------      ---------  ---------
                                                    723,975.00         16548                        7748           8800          0

SUN MICROSYSTEMS INC           866810104            290,998.40          3200  X                     3200              0          0
                                                    300,092.10          3300       X                   0           3300          0
                                             ----------------- -------------                ------------      ---------  ---------
                                                    591,090.50          6500                        3200           3300          0

TEXAS INSTRS INC               882508104            212,931.25          3100  X                     3100              0          0
                                                    838,399.64         12206       X                   0          12206          0
                                             ----------------- -------------                ------------      ---------  ---------
                                                  1,051,330.89         15306                        3100          12206          0

TIMBERLAND CO CL A             887100105         25,457,235.38        359502       X                   0         359502          0

TIME WARNER INC                887315109             41,800.00           550  X                      550              0          0
                                                    334,400.00          4400       X                   0           4400          0
                                             ----------------- -------------                ------------      ---------  ---------
                                                    376,200.00          4950                         550           4400          0

TYCO INTL LTD NEW              902124106            377,815.67          7975  X                     7975              0          0
                                             ----------------- -------------                ------------      ---------  ---------
         SUBTOTALS FOR THIS PAGE                 32,412,492.73        508222                       23373         484849          0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
REPORT RUN: 08/24/2000 at 09:04 AM             13-F EQUITIES DISCLOSURE BY AFFILATION                               PAGE     14
BUSINESS DATE: 08/24/2000                                                                                       R33.110.003

                                                          As of 06/30/2000

 HOLDING COMPANY: (1) ROPES AND GRAY (Cont.)

                                                                              INVEST
                                                  MARKET                      INVEST AUTH   VOTING AUTH (SHARES)
NAME OF ISSUER                 CUSIP              VALUE            SH/PV      SOLE SHR MGR      SOLE            SHARED      NONE
------------------------------ ------------  ----------------- ------------   ---- --- ---- -----------       ---------- ----------
<S>                            <C>           <C>               <C>            <C>  <C> <C>  <C>               <C>        <C>
         COMMON (cont.)
         --------------

                                                  2,563,508.73         54111       X                 250          53861          0
                                                    150,415.63          3175       X     1             0           3175          0
                                             ----------------- -------------                ------------      ---------  ---------
                                                  3,091,740.03         65261                        8225          57036          0

UNITEDHEALTH GROUP INC         91324P102            557,375.00          6500       X                   0           6500          0

VERISIGN INC                   92343E102            196,797.50          1115  X                     1115              0          0
                                                    322,112.50          1825       X                   0           1825          0
                                             ----------------- -------------                ------------      ---------  ---------
                                                    518,910.00          2940                        1115           1825          0

VERTEX PHARMACEUTICALS         92532F100          2,854,714.13         27091       X                   0          27091          0

WACHOVIA CORP NEW              929771103            265,825.00          4900       X                   0           4900          0
                                                    368,900.00          6800       X     1             0           6800          0
                                                     39,060.00           720       X     2             0            720          0
                                             ----------------- -------------                ------------      ---------  ---------
                                                    673,785.00         12420                           0          12420          0

WAL MART STORES INC            931142103            286,684.40          4975  X                     4975              0          0
                                                  4,103,764.54         71215       X                 275          70940          0
                                                    730,396.88         12675       X     1             0          12675          0
                                                    429,306.25          7450       X     2             0           7450          0
                                             ----------------- -------------                ------------      ---------  ---------
                                                  5,550,152.07         96315                        5250          91065          0

WALGREEN CO                    931422109            174,263.13          5414  X                     5414              0          0
                                                     70,812.50          2200       X                   0           2200          0
                                                     57,776.56          1795       X     4             0           1795          0
                                             ----------------- -------------                ------------      ---------  ---------
                                                    302,852.19          9409                        5414           3995          0

WASHINGTON TR BANCORP          940610108            435,552.75         29529       X                   0          29529          0

WATERS CORP                    941848103            262,106.25          2100       X                   0           2100          0

WHIRLPOOL CORP                 963320106             65,275.00          1400  X                     1400              0          0
                                                    237,787.50          5100       X                   0           5100          0

                                             ----------------- -------------                ------------      ---------  ---------
         SUBTOTALS FOR THIS PAGE                 14,172,434.25        250090                       13429         236661          0
</TABLE>

<PAGE>

<TABLE>
<CAPTION>
REPORT RUN: 08/24/2000 at 09:04 AM             13-F EQUITIES DISCLOSURE BY AFFILATION                               PAGE     15
BUSINESS DATE: 08/24/2000                                                                                       R33.110.003

                                                          As of 06/30/2000

 HOLDING COMPANY: (1) ROPES AND GRAY (Cont.)

                                                                              INVEST
                                                  MARKET                      INVEST AUTH   VOTING AUTH (SHARES)
NAME OF ISSUER                 CUSIP              VALUE            SH/PV      SOLE SHR MGR      SOLE            SHARED      NONE
------------------------------ ------------  ----------------- ------------   ---- --- ---- -----------       ---------- ----------
<S>                            <C>           <C>               <C>            <C>  <C> <C>  <C>               <C>        <C>
         COMMON (cont.)
         --------------

                                             ----------------- -------------                ------------      ---------  ---------
                                                    303,062.50          6500                        1400           5100          0

WORLDCOM INC                   98157D106            540,178.15         11775  X                    11775              0          0
                                                  4,288,762.16         93488       X                 813          92675          0
                                                    319,978.13          6975       X     1             0           6975          0
                                                    178,912.51          3900       X     2             0           3900          0
                                             ----------------- -------------                ------------      ---------  ---------
                                                  5,327,830.95        116138                       12588         103550          0

WRIGLEY WM JR CO               982526105             96,225.00          1200  X                     1200              0          0
                                                    128,300.00          1600       X                   0           1600          0
                                             ----------------- -------------                ------------      ---------  ---------
                                                    224,525.00          2800                        1200           1600          0

XEROX CORP                     984121103            207,500.00         10000       X                   0          10000          0

                                             ================= =============                ============      =========  =========
TOTALS FOR COMMON                               244,516,169.07       4352023                      431703        3920320          0

                                             ================= =============                ============      =========  =========
GRAND TOTALS                                    244,516,169.07       4352023                      431703        3920320          0
</TABLE>
<PAGE>

<TABLE>
<S>                                            <C>                                                             <C>
REPORT RUN: 08/24/2000 at 09:04 AM             13-F EQUITIES DISCLOSURE BY AFFILATION                               PAGE     16
BUSINESS DATE: 08/24/2000                                                                                       R33.110.003

                                                          As of 06/30/2000

                              MGR                               Client Name
                             ------                             ----------------------------------------
                                  1                             FRANCIS L COOLIDGE
                                  2                             EDWARD J JOYCE
                                  3                             EDWARD P LAWRENCE
                                  4                             SUSAN R SHAPIRO
</TABLE>


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