LAWRENCE EDWARD P
13F-HR, 2000-05-19
Previous: ADVANCED RADIO TELECOM CORP, 10-K/A, 2000-05-19
Next: CRESCENT REAL ESTATE EQUITIES LTD PARTNERSHIP, 10-Q, 2000-05-19



<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 3/31/2000

                       If amended report check here: [_]

Name of Institutional Manager:

     Edward P. Lawrence
- --------------------------------------------------------------------------------

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

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

  Edward P. Lawrence (617) 951-7380
- --------------------------------------------------------------------------------

     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 17 day of
May, 2000

                                                           Edward P. Lawrence
                                                       -------------------------

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
<PAGE>

<TABLE>
<CAPTION>
REPORT RUN: 05/04/2000 at 11:16 AM             13-F EQUITIES DISCLOSURE BY AFFILIATION                               PAGE      1
BUSINESS DATE: 05/04/2000                                                                                       R33.110.003

                                                          As of 03/31/2000


 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
         ------

3COM CORP                      885535104         813,015.00         14616       X                     0        14616          0

ABBOTT LABS                    002824100         365,950.00         10400  X                      10400            0          0
                                               4,300,897.74        122228       X                     0       122228          0
                                                  52,781.25          1500       X     1               0         1500          0
                                              -------------      ---------                    ---------    ---------     ------
                                               4,719,628.99        134128                         10400       123728          0

ADAPTEC INC                    00651F108         974,586.00         25232       X                     0        25232          0

ADC TELECOMMUNICATIONS         000886101         711,150.00         13200       X                     0        13200          0

AIR PRODS & CHEMS INC          009158106          83,179.69          2925  X                       2925            0          0
                                                 733,687.50         25800       X                     0        25800          0
                                              -------------      ---------                    ---------    ---------     ------
                                                 816,867.19         28725                          2925        25800          0

AMERICA ONLINE INC DEL         02364J104         373,671.20          5541       X                     0         5541          0

AMERICAN EXPRESS CO            025816109         286,704.69          1925  X                       1925            0          0
                                               1,306,926.58          8775       X                     0         8775          0
                                              -------------      ---------                    ---------    ---------     ------
                                               1,593,631.27         10700                          1925         8775          0

AMERICAN HOME PRODS CORP       026609107         322,500.00          6000  X                       6000            0          0
                                               7,992,625.00        148700       X                     0       148700          0
                                                 172,000.00          3200       X     1               0         3200          0
                                              -------------      ---------                    ---------    ---------     ------
                                               8,487,125.00        157900                          6000       151900          0

AMERICAN INTL GROUP INC        026874107         670,578.00          6124  X                       6124            0          0
                                               9,809,557.50         89585       X                     0        89585          0
                                                 129,976.50          1187       X     1               0         1187          0
                                              -------------      ---------                    ---------    ---------     ------
                                              10,610,112.00         96896                          6124        90772          0

AMGEN INC                      031162100         472,587.50          7700       X                     0         7700          0

ANHEUSER BUSCH COS IN          035229103         530,370.00          8520       X                     0         8520          0

ARCHSTONE CMNTYS TR            039581103         222,801.57         11175  X                      11175            0          0
                                              -------------      ---------                    ---------    ---------     ------
         SUBTOTALS FOR THIS PAGE              30,325,545.72        514333                         38549       475784          0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
REPORT RUN: 05/04/2000 at 11:16 AM            13-F EQUITIES DISCLOSURE BY AFFILIATION                               PAGE      2
BUSINESS DATE: 05/04/2000                                                                                       R33.110.003

                                                          As of 03/31/2000


 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.)
         --------------

                                                  3,017,540.70        151350       X                   0         151350          0
                                                    171,960.94          8625       X     1             0           8625          0
                                                --------------    ----------                ------------      ---------  ---------
                                                  3,412,303.21        171150                       11175         159975          0

AT&T CORP                      001957109          1,005,459.71         17855       X                   0          17855          0

ATLANTIC RICHFIELD CO          048825103             27,200.00           320  X                      320              0          0
                                                  1,023,230.00         12038       X                   0          12038          0
                                                     93,500.00          1100       X     1             0           1100          0
                                                --------------    ----------                ------------      ---------  ---------
                                                  1,143,930.00         13458                         320          13138          0

AUTOMATIC DATA PROCESSING      053015103            705,463.25         14621       X                   0          14621          0

BAKER HUGHES INC               057224107          1,858,015.50         61422       X                   0          61422          0

BANK NEW YORK INC              064057102            232,750.00          5600       X                   0           5600          0

BELL ATLANTIC CORP             077853109            290,343.75          4750  X                     4750              0          0
                                                  3,102,255.13         50753       X                   0          50753          0
                                                     57,824.25           946       X     1             0            946          0
                                                --------------    ----------                ------------      ---------  ---------
                                                  3,450,423.13         56449                        4750          51699          0

BELLSOUTH CORP                 079860102            709,406.25         15134       X                   0          15134          0

BERKSHIRE HATHAWAY INC CL A    084670108         36,379,200.00           636       X                   0            636          0

BERKSHIRE HATHAWAY INC CL B    084670207          1,364,090.00           750       X                   0            750          0

BMC SOFTWARE INC               055921100            317,580.00          6432       X                   0           6432          0

BOSTON SCIENTIFIC CORP         101137107            249,889.07         11725       X                   0          11725          0

BRISTOL MYERS SQUIBB CO        110122108             34,800.00           600  X                      600              0          0
                                                  5,369,814.00         92583       X                   0          92583          0
                                                     92,800.00          1600       X     1             0           1600          0
                                                --------------    ----------                ------------      ---------  ---------
                                                  5,497,414.00         94783                         600          94183          0

                                                --------------    ----------                ------------      ---------  ---------
         SUBTOTALS FOR THIS PAGE                 56,103,122.55        458839                        5670         453169          0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
REPORT RUN: 05/04/2000 at 11:16 AM             13-F EQUITIES DISCLOSURE BY AFFILIATION                               PAGE      3
BUSINESS DATE: 05/04/2000                                                                                       R33.110.003

                                                          As of 03/31/2000


 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.)
         --------------

BTU INTL INC                   056032105          1,857,740.00      145000       X                   0         145000          0

CARDINAL HEALTH INC            14149Y108            282,781.09        6164       X                   0           6164          0

CHASE MANHATTAN CORP NEW       16161A108            470,638.13        5398       X                   0           5398          0

CHEVRON CORP                   166751107            141,984.00        1536  X                     1536              0          0
                                                  2,096,944.69       22685       X                   0          22685          0
                                                --------------    ---------                  ----------     ---------  ---------
                                                  2,238,928.69       24221                        1536          22685          0

CHUBB CORP                     171232101            204,984.65        3034       X                   0           3034          0

CIGNA CORP                     125509109            225,129.00        2972       X                   0           2972          0

CISCO SYS INC                  17275R102          1,492,121.60       19300  X                    19300              0          0
                                                 23,467,129.85      303538       X                   0         303538          0
                                                    575,974.40        7450       X      1            0           7450          0
                                                --------------    ---------                 ----------      ---------  ---------
                                                 25,535,225.85      330288                       19300         310988          0

CITIGROUP INC                  172967101            612,880.51       10236  X                    10236              0          0
                                                  7,284,841.80      121668       X                   0         121668          0
                                                    163,877.89        2737       X      1            0           2737          0
                                             -----------------    ---------                 ----------      ---------  ---------
                                                  8,061,600.20      134641                       10236         124405          0

CITIZENS BKG CORP MICH         174420109            244,159.50       12521       X                   0          12521          0

COCA COLA CO                   191216100            910,446.69       19397       X                   0          19397          0

COLGATE PALMOLIVE CO           194162103          7,408,238.75      131410       X                   0         131410          0

COMPAQ COMPUTER CORP           204493100            509,949.00       18887       X                   0          18887          0

COMPUTER SCIENCES CORP         205363104            237,375.00        3000       X                   0           3000          0

CORNING INC                    219350105            444,260.00        2290       X                   0           2290          0

CVS CORP                       126650100             75,125.00        2000  X                     2000              0          0
                                                    322,098.44        8575       X                   0           8575          0
                                             -----------------    ---------                 ----------      ---------  ---------
         SUBTOTALS FOR THIS PAGE                 49,028,679.99      849798                       33072         816726          0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
REPORT RUN: 05/04/2000 at 11:16 AM             13-F EQUITIES DISCLOSURE BY AFFILATION                               PAGE      4
BUSINESS DATE: 05/04/2000                                                                                       R33.110.003

                                                          As of 03/31/2000


 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.)
         --------------

                                                --------------    ----------                ------------     ---------   -------
                                                    397,223.44         10575                        2000          8575         0

CYTEC IND INC                  232820100            399,319.38         13039       X                   0         13039         0

DALLAS SEMICONDUCTOR CORP      235204104          1,788,573.00         49002       X                   0         49002         0

DESWELL INDS INC               250639101            449,875.00         30500       X                   0         30500         0

DISNEY WALT CO                 254687106            488,812.50         11850  X                    11850             0         0
                                                  6,642,281.25        161025       X                   0        161025         0
                                                    129,937.50          3150       X     1             0          3150         0
                                                --------------    ----------                ------------     ---------   -------
                                                  7,261,031.25        176025                       11850        164175         0

DOW CHEM CO                    260543103            346,104.00          3036       X                   0          3036         0

DPL INC                        233293109            359,992.20         16225       X                   0         16225         0

DU PONT E I DE NEMOURS         263534109            322,918.75          6100  X                     6100             0         0
                                                  4,788,938.17         90464       X                   0         90464         0
                                                     34,409.38           650       X     1             0           650         0
                                                --------------    ----------                ------------     ---------   -------
                                                  5,146,266.30         97214                        6100         91114         0

DUKE ENERGY CORP               264399106            982,380.00         18712       X                   0         18712         0
                                                     13,125.00           250       X     1             0           250         0
                                                --------------    ----------                ------------     ---------   -------
                                                    995,505.00         18962                           0         18962         0

E M C CORP MASS                268648102            533,106.00          4231       X                   0          4231         0

EASTMAN CHEM CO                277432100            354,604.25          7794       X                   0          7794         0

EASTMAN KODAK CO               277461109          1,768,089.15         32554       X                   0         32554         0

ELECTRONIC DATA SYS CORP       285661104            390,260.00          6080       X                   0          6080         0

EMERSON ELEC CO                291011104            354,875.00          6680       X                   0          6680         0

ENERGYNORTH INC                292925104            637,546.25         10945       X                   0         10945         0
                                                --------------    ----------                ------------     ---------   -------
         SUBTOTALS FOR THIS PAGE                 20,785,146.78        472287                       17950        454337         0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
REPORT RUN: 05/04/2000 at 11:16 AM             13-F EQUITIES DISCLOSURE BY AFFILIATION                               PAGE      5
BUSINESS DATE: 05/04/2000                                                                                       R33.110.003

                                                          As of 03/31/2000


 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.)
         --------------


ENRON CORP                     293561106            491,629.25          6566       X                     0           6566          0

EXXON MOBIL CORP               30231G102            834,554.75         10708  X                      10708              0          0
                                                 19,880,421.18        255082       X                     0         255082          0
                                                    366,306.25          4700       X     1               0           4700          0
                                             ----------------- --------------                 ------------      ---------  ---------
                                                 21,081,282.18        270490                         10708         259782          0

FEDDERS CORP CL A NON VTG      313135303             56,875.00         10000       X                     0          10000          0

FEDERAL NATL MTG ASSN          313586109            233,320.31          4125  X                       4125              0          0
                                                  4,289,700.13         75840       X                     0          75840          0
                                                     67,875.00          1200       X     1               0           1200          0
                                             ----------------- --------------                 ------------      ---------  ---------
                                                  4,590,895.44         81165                          4125          77040          0

FIRST DATA CORP                319963104            523,625.00         11800       X                     0          11800          0
                                                     16,640.63           375       X     1               0            375          0
                                             ----------------- --------------                 ------------      ---------  ---------
                                                    540,265.63         12175                             0          12175          0

FLEETBOSTON FINL CORP          339030108          1,660,544.14         45494       X                     0          45494          0

GANNETT INC                    364730101             84,450.00          1200  X                       1200              0          0
                                                    619,300.00          8800       X                     0           8800          0
                                             ----------------- --------------                 ------------      ---------  ---------
                                                    703,750.00         10000                          1200           8800          0

GENERAL ELEC CO                369604103          1,297,912.50          8340  X                       8340              0          0
                                                 34,050,750.20        218800       X                     0         218800          0
                                                    544,687.50          3500       X     1               0           3500          0
                                             ----------------- --------------                 ------------      ---------  ---------
                                                 35,893,350.20        230640                          8340         222300          0

GENERAL MLS INC                370334104          1,521,394.88         42042       X                     0          42042          0
                                                     72,375.00          2000       X     1               0           2000          0
                                             ----------------- --------------                 ------------      ---------  ---------
                                                  1,593,769.88         44042                             0          44042          0

GENERAL MTRS CORP              370442105            857,275.00         10352       X                     0          10352          0
                                             ----------------- --------------                 ------------      ---------  ---------
         SUBTOTALS FOR THIS PAGE                 67,469,636.72        720924                         24373         696551          0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

REPORT RUN: 05/04/2000 at 11:16 AM             13-F EQUITIES DISCLOSURE BY AFFILATION                               PAGE      6
BUSINESS DATE: 05/04/2000                                                                                       R33.110.003

                                                          As of 03/31/2000


 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.)
         --------------


GILLETTE CO                    375766102         834,552.00         22144       X                   0          22144           0

GOLDMAN SACHS GROUP INC        38141G104         454,680.00          4320       X                   0           4320           0

GTE CORP                       362320103         533,920.00          7520       X                   0           7520           0

HEWLETT PACKARD CO             428236103         504,925.00          3800  X                     3800              0           0
                                               8,781,708.78         66090       X                   0          66090           0
                                            ---------------     ---------                ------------      ---------    --------
                                               9,286,633.78         69890                        3800          66090           0

HOME DEPOT INC                 437076102         709,500.00         11000  X                    11000              0           0
                                               5,767,848.00         89424       X                   0          89424           0
                                                 239,456.25          3713       X     1             0           3713           0
                                            ---------------     ---------                ------------      ---------    --------
                                               6,716,804.25        104137                       11000          93137           0

HOUGHTON MIFFLIN CO            441560109         269,987.38          6362       X                   0           6362           0

HOUSEHOLD INTL INC             441815107         355,289.66          9522       X                   0           9522           0

IBM CORP                       459200101       3,785,558.00         32081       X                   0          32081           0

ILLINOIS TOOL WKS INC          452308109         132,600.00          2400  X                     2400              0           0
                                                 390,065.00          7060       X                   0           7060           0
                                            ---------------     ---------                ------------      ---------    --------
                                                 522,665.00          9460                        2400           7060           0

INFORMIX CORP                  456779107         230,512.57         13610       X                   0          13610           0

INHALE THERAPEUTIC SYS         457191104       1,078,462.00         14476       X                   0          14476           0

INTEL CORP                     458140100         963,799.79          7305  X                     7305              0           0
                                              21,871,328.52        165771       X                   0         165771           0
                                                 197,905.50          1500       X     1             0           1500           0
                                            ---------------     ---------                ------------      ---------    --------
                                              23,033,033.81        174576                        7305         167271           0

INTERPUBLIC GROUP COS          460690100         411,075.00          8700       X                   0           8700           0

                                            ---------------     ---------                ------------      ---------    ---- ----
         SUBTOTALS FOR THIS PAGE              47,513,173.45        476798                       24505         452293           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

REPORT RUN: 05/04/2000 at 11:16 AM             13-F EQUITIES DISCLOSURE BY AFFILIATION                              PAGE      7
BUSINESS DATE: 05/04/2000                                                                                       R33.110.003

                                                          As of 03/31/2000


 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.)
         --------------

JEFFERSON PILOT CORP           475070108            374,946.57          5633       X                   0           5633          0

JOHNSON & JOHNSON              478160104             56,200.00           800  X                      800              0          0
                                                  1,654,614.62         23553       X                   0          23553          0
                                             ----------------- --------------               -------------     ---------- ---------
                                                  1,710,814.62         24353                         800          23553          0

JUNIPER NETWORKS INC           48203R104          1,675,200.07          6356       X                   0           6356          0

KIMBERLY CLARK CORP            494368103            368,610.94          6575  X                     6575              0          0
                                                  5,308,334.05         94686       X                   0          94686          0
                                                    107,920.31          1925       X     1             0           1925          0
                                             ----------------- --------------               -------------     ---------- ---------
                                                  5,784,865.30        103186                        6575          96611          0

LAUDER ESTEE COS INC CL A      518439104            288,360.00          5760       X                   0           5760          0

LILLY ELI & CO                 532457108          1,058,926.17         16909       X                   0          16909          0
                                                     62,625.00          1000       X     1             0           1000          0
                                             ----------------- --------------               -------------     ---------- ---------
                                                  1,121,551.17         17909                           0          17909          0

LITTON INDS INC                538021106            353,500.00          8000       X                   0           8000          0

LIZ CLAIBORNE INC              539320101            273,134.13          5962       X                   0           5962          0

LSI LOGIC CORP                 502161102            217,875.00          3000       X                   0           3000          0

LUCENT TECHNOLOGIES INC        549463107          3,294,941.24         53795       X                   0          53795          0
                                                    124,031.25          2025       X     1             0           2025          0
                                             ----------------- --------------               -------------     ---------- ---------
                                                  3,418,972.49         55820                           0          55820          0

MAY DEPT STORES CO             577778103             64,125.00          2250  X                     2250              0          0
                                                    256,215.00          8990       X                   0           8990          0
                                             ----------------- --------------               -------------     ---------- ---------
                                                    320,340.00         11240                        2250           8990          0

MBNA CORP                      55262L100            283,203.00         11106       X                   0          11106          0

MCDONALDS CORP                 580135101            321,425.00          8600  X                     8600              0          0
                                             ----------------- --------------               -------------     ---------- ---------
         SUBTOTALS FOR THIS PAGE                 16,144,187.35        266925                       18225         248700          0

</TABLE>
<PAGE>

<TABLE>
<CAPTION>
REPORT RUN: 05/04/2000 at 11:16 AM             13-F EQUITIES DISCLOSURE BY AFFILIATION                              PAGE      8
BUSINESS DATE: 05/04/2000                                                                                       R33.110.003

                                                          As of 03/31/2000


 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.)
         --------------

                                                  3,273,339.98         87581       X                   0          87581          0
                                                     93,437.50          2500       X     1             0           2500          0
                                             ----------------- --------------               -------------     ---------- ---------
                                                  3,688,202.48         98681                        8600          90081          0

MCI WORLDCOM INC               55268B106            246,950.40          5450  X                     5450              0          0
                                                  4,683,742.85        103367       X                   0         103367          0
                                                    107,616.00          2375       X     1             0           2375          0
                                             ----------------- --------------               -------------     ---------- ---------
                                                  5,038,309.25        111192                        5450         105742          0

MEDIAONE GROUP INC             58440J104            335,340.00          4140       X                   0           4140          0

MEDTRONIC INC                  585055106            402,138.38          7818       X                   0           7818          0

MERCK & CO INC                 589331107            198,800.00          3200  X                     3200              0          0
                                                 25,049,607.64        403213       X                   0         403213          0
                                                     68,337.50          1100       X     1             0           1100          0
                                             ----------------- --------------               -------------     ---------- ---------
                                                 25,316,745.14        407513                        3200         404313          0

MICROSOFT CORP                 594918104            754,375.00          7100  X                     7100              0          0
                                                 13,033,368.75        122667       X                   0         122667          0
                                                    132,812.50          1250       X     1             0           1250          0
                                             ----------------- --------------               -------------     ---------- ---------
                                                 13,920,556.25        131017                        7100         123917          0

MINNESOTA MNG & MFG CO         604059105             53,137.50           600  X                      600              0          0
                                                  1,949,172.07         22009       X                   0          22009          0
                                                      8,856.25           100       X     1             0            100          0
                                             ----------------- --------------               -------------     ---------- ---------
                                                  2,011,165.82         22709                         600          22109          0

MOLEX INC                      608554101            398,266.25          6779       X                   0           6779          0

MORGAN J P & CO INC            616880100          1,644,108.25         12479       X                   0          12479          0

MOTOROLA INC                   620076109          1,543,512.00         10572       X                   0          10572          0

NEXTEL COMMUN INC CL A         65332V103            394,048.50          2658       X                   0           2658          0

                                             ----------------- --------------               -------------     ---------- ---------
         SUBTOTALS FOR THIS PAGE                 54,370,967.32        806958                       16350         790608          0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
REPORT RUN: 05/04/2000 at 11:16 AM             13-F EQUITIES DISCLOSURE BY AFFILIATION                              PAGE      9
BUSINESS DATE: 05/04/2000                                                                                       R33.110.003

                                                          As of 03/31/2000


 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.)
         --------------

ORACLE CORP                    68389X105            928,937.80         11900       X                   0          11900          0

PFIZER INC                     717081103            460,687.51         12600  X                    12600              0          0
                                                  6,475,072.59        177096       X                   0         177096          0
                                                    131,625.00          3600       X     1             0           3600          0
                                             ----------------- --------------               -------------     ---------- ---------
                                                  7,067,385.10        193296                       12600         180696          0

PHILIP MORRIS COS INC          718154107            369,053.75         17470       X                   0          17470          0

PPG INDS INC                   693506107            246,078.00          4704       X                   0           4704          0

PROCTER & GAMBLE CO            742718109          2,085,754.00         36916       X                   0          36916          0

Q MED INC                      747914109          1,168,700.00        100000       X                   0         100000          0

QUALCOMM INC                   747525103          1,493,120.00         10000       X                   0          10000          0

RELIASTAR FINL CORP            75952U103            233,737.50          6900       X                   0           6900          0

SARA LEE CORP                  803111103            354,852.00         19714       X                   0          19714          0

SBC COMMUNICATIONS INC         78387G103            349,637.50          8300  X                     8300              0          0
                                                  5,004,460.16        118800       X                   0         118800          0
                                                     42,125.00          1000       X     1             0           1000          0
                                             ----------------- --------------               -------------     ---------- ---------
                                                  5,396,222.66        128100                        8300         119800          0

SCHERING PLOUGH CORP           806605101            445,500.00         12000       X                   0          12000          0

ST PAUL COS INC                792860108            232,050.00          6800       X                   0           6800          0

STAPLES INC                    855030102            247,600.00         12380       X                   0          12380          0

SUN MICROSYSTEMS INC           866810104          1,705,394.60         18200       X                   0          18200          0

SYSCO CORP                     871829107            964,176.25         26690       X                   0          26690          0

TEXAS INSTRS INC               882508104          8,383,520.00         52397       X                   0          52397          0

TORCHMARK CORP                 891027104            208,125.00          9000       X                   0           9000          0
                                             ----------------- --------------               -------------     ---------- ---------
         SUBTOTALS FOR THIS PAGE                 31,530,206.66        666467                       20900         645567          0

</TABLE>
<PAGE>

<TABLE>
<CAPTION>
REPORT RUN: 05/04/2000 at 11:16 AM             13-F EQUITIES DISCLOSURE BY AFFILIATION                              PAGE     10
BUSINESS DATE: 05/04/2000                                                                                       R33.110.003

                                                          As of 03/31/2000


 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.)
         --------------


TYCO INTL LTD NEW              902124106          2,528,054.43         50435       X                   0          50435          0
                                                     12,531.25           250       X     1             0            250          0
                                             ----------------- --------------               -------------     ---------- ---------
                                                  2,540,585.68         50685                           0          50685          0

UNION PAC CORP                 907818108             58,687.50          1500  X                     1500              0          0
                                                    335,536.01          8576       X                   0           8576          0
                                                     15,650.00           400       X     1             0            400          0
                                             ----------------- --------------               -------------     ---------- ---------
                                                    409,873.51         10476                        1500           8976          0

UNITED TECHNOLOGIES CORP       913017109            320,335.35          5070       X                   0           5070          0

UNOVA INC                      91529B106            769,500.00         57000       X                   0          57000          0

WACHOVIA CORP NEW              929771103             62,833.13           930  X                      930              0          0
                                                    585,023.70          8659       X                   0           8659          0
                                                     50,671.89           750       X     1             0            750          0
                                             ----------------- --------------               -------------     ---------- ---------
                                                    698,528.72         10339                         930           9409          0

WAL MART STORES INC            931142103            344,650.00          6100  X                     6100              0          0
                                                  2,781,777.50         49235       X                   0          49235          0
                                                     90,400.00          1600       X     1             0           1600          0
                                             ----------------- --------------               -------------     ---------- ---------
                                                  3,216,827.50         56935                        6100          50835          0

WARNER LAMBERT CO              934488107          4,027,655.63         41230       X                   0          41230          0

WELLS FARGO & CO NEW           949746101            398,535.00          9780       X                   0           9780          0

WILLIAMS COS INC               969457100            265,865.87          6051       X                   0           6051          0

XTRA CORP                      984138107            363,660.00          9570       X                   0           9570          0

ZIONS BANCORPORATION           989701107            231,435.00          5560       X                   0           5560          0

                                             ================= ==============               =============     ========== =========
TOTALS FOR COMMON                               386,513,468.80       5496023                      208124        5287899          0

                                             ================= ==============               =============     ========== =========
GRAND TOTALS                                    386,513,468.80       5496023                      208124        5287899          0

</TABLE>
<PAGE>

<TABLE>
<CAPTION>

REPORT RUN: 05/04/2000 at 11:16 AM             13-F EQUITIES DISCLOSURE BY AFFILIATION                              PAGE     11
BUSINESS DATE: 05/04/2000                                                                                       R33.110.003

                                                          As of 03/31/2000
                              <S>                               <C>

                              MGR                               Client Name
                             ------                             ----------------------------------------
                                  1                             FRANCIS L COOLIDGE




</TABLE>

<PAGE>

<TABLE>
<CAPTION>
REPORT RUN: 05/04/2000 AT 11:16 AM               13-F EQUITIES DISCLOSURE BY AFFILIATION                             PAGE      12
BUSINESS DATE: 05/04/2000                                                                                        R33.110.003

                                                         As of 03/31/2000

                                                     Produced on trust2*ROPEDB

                                     THE parameters used in producing report R33.110.003 were:
                      <S>                                    <C>                                 <C>
                      ASOF##                                 =                                   03/31/20000
                      BK_LIST##                              =                                            ()
                      DV_SUM#                                =                                           YES
                      BK_SUM#                                =                                            NO
                      MIN_SHARES#                            =                                        10,000
                      MIN_CORP_SHARES#                       =                                        10,000
                      MIN_MKT_VAL#                           =                                    200,000.00
                      AF#                                    =                                           113
                      EMPL#                                  =                                     31937/1/1

           ===================================== End of Report ======================================================
</TABLE>
____________
* greater than sign


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