LAWRENCE EDWARD P
13F-HR, 2000-11-07
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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 9/30/2000
                                                     ---------

                       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 (615) 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 2/nd/ day
of November, 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: 11/01/2000 at 01:54 PM             13-F EQUITIES DISCLOSURE BY AFFILATION                                    PAGE      1
BUSINESS DATE: 11/01/2000                                                                                           R33.110.003

                                                         As of 09/30/2000

 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
         ------

3COM CORP                      885535104            280,437.19         14616       X                   0          14616          0

ABBOTT LABS                    002824100            256,837.50          5400  X                     5400              0          0
                                                  5,536,417.74        116403       X                   0         116403          0
                                                     23,781.25           500       X     1             0            500          0
                                             ----------------- --------------               -------------     ---------- ----------
                                                  5,817,036.49        122303                        5400         116903          0

ADAPTEC INC                    00651F108            504,640.00         25232       X                   0          25232          0

ADC TELECOMMUNICATIONS         000886101            709,922.40         26400       X                   0          26400          0

AGILENT TECHNOLOGIES INC       00846U101             33,522.19           685  X                      685              0          0
                                                    822,052.16         16798       X                   0          16798          0
                                             ----------------- --------------               -------------     ---------- ----------
                                                    855,574.35         17483                         685          16798          0

AIR PRODS & CHEMS INC          009158106             93,600.00          2600  X                     2600              0          0
                                                    769,500.00         21375       X                   0          21375          0
                                             ----------------- --------------               -------------     ---------- ----------
                                                    863,100.00         23975                        2600          21375          0

AMERICA ONLINE INC DEL         02364J104            392,428.75          7301       X                   0           7301          0

AMERICAN EXPRESS CO            025816109            350,831.25          5775  X                     5775              0          0
                                                  1,582,841.25         26055       X                   0          26055          0
                                             ----------------- --------------               -------------     ---------- ----------
                                                  1,933,672.50         31830                        5775          26055          0

AMERICAN HOME PRODS CORP       026609107            523,203.12          9250  X                     8425            825          0
                                                  9,197,062.57        162600       X                   0         162600          0
                                                    217,765.62          3850       X     1             0           3850          0
                                             ----------------- --------------               -------------     ---------- ----------
                                                  9,938,031.31        175700                        8425         167275          0

AMERICAN INTL GROUP INC        026874107            935,823.76          9780  X                     9218            562          0
                                                 12,772,941.81        133486       X                   0         133486          0
                                                    157,884.38          1650       X     1             0           1650          0
                                             ----------------- --------------               -------------     ---------- ----------
                                                 13,866,649.95        144916                        9218         135698          0

                                             ----------------- --------------               -------------     ---------- ----------
         SUBTOTALS FOR THIS PAGE                 35,161,492.94        589756                       32103         557653          0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
REPORT RUN: 11/01/2000 at 01:54 PM             13-F EQUITIES DISCLOSURE BY AFFILATION                                   PAGE      2
BUSINESS DATE: 11/01/2000                                                                                          R33.110.003

                                                         As of 09/30/2000

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

AMGEN INC                      031162100            548,848.08          7860       X                   0           7860          0

ANHEUSER BUSCH COS IN          035229103            355,425.00          8400       X                   0           8400          0

ARCHSTONE CMNTYS TR            039581103            274,485.94         11175  X                    11175              0          0
                                                  3,780,168.85        153900       X                   0         153900          0
                                                    211,851.57          8625       X     1             0           8625          0
                                             ----------------- --------------               -------------     ---------- ----------
                                                  4,266,506.36        173700                       11175         162525          0

AT&T CORP                      001957109            622,544.39         21193       X                   0          21193          0

AUTOMATIC DATA PROCESSING      053015103            844,029.38         12621       X                   0          12621          0

BAKER HUGHES INC               057224107            259,875.00          7000       X                   0           7000          0

BANK NEW YORK INC              064057102            313,950.00          5600       X                   0           5600          0

BELLSOUTH CORP                 079860102            655,068.75         16275       X                   0          16275          0

BERKSHIRE HATHAWAY INC CL A    084670108         40,572,000.00           630       X                   0            630          0

BERKSHIRE HATHAWAY INC CL B    084670207          1,367,235.00           661       X                   0            661          0

BOSTON SCIENTIFIC CORP         101137107            214,509.38         13050       X                   0          13050          0

BRISTOL MYERS SQUIBB CO        110122108             34,275.00           600  X                      600              0          0
                                                  5,265,382.63         92173       X                   0          92173          0
                                                     91,400.00          1600       X     1             0           1600          0
                                             ----------------- --------------               -------------     ---------- ----------
                                                  5,391,057.63         94373                         600          93773          0

BTU INTL INC                   056032105          2,138,750.00        145000       X                   0         145000          0

CARDINAL HEALTH INC            14149Y108            543,602.24          6164       X                   0           6164          0

CHASE MANHATTAN CORP NEW       16161A108            293,198.27          6348       X                   0           6348          0

CHEVRON CORP                   166751107            130,944.00          1536  X                     1536              0          0
                                                  2,575,402.50         30210       X                   0          30210          0
                                             ----------------- --------------               -------------     ---------- ----------
         SUBTOTALS FOR THIS PAGE                 61,092,945.98        550621                       13311         537310          0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
REPORT RUN: 11/01/2000 at 01:54 PM             13-F EQUITIES DISCLOSURE BY AFFILATION                               PAGE      3
BUSINESS DATE: 11/01/2000                                                                                       R33.110.003

                                                         As of 09/30/2000

 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
------------------------------ ------------  ----------------- ------------   ---- --- ---- -----------       ---------- ----------

         COMMON (cont.)
         --------------
<S>                            <C>           <C>               <C>            <C> <C> <C>   <C>               <C>        <C>
                                             ----------------- --------------               -------------     ---------- ----------
                                                  2,706,346.50         31746                        1536          30210          0

CHUBB CORP                     171232101            240,065.25          3034       X                   0           3034          0

CIGNA CORP                     125509109            293,572.80          2812       X                   0           2812          0

CISCO SYS INC                  17275R102          1,037,318.75         18775  X                    18125            650          0
                                                 15,637,518.00        283032       X                   0         283032          0
                                                    375,700.00          6800       X     1             0           6800          0
                                             ----------------- --------------               -------------     ---------- ----------
                                                 17,050,536.75        308607                       18125         290482          0

CITIGROUP INC                  172967101            795,439.57         14713  X                    13713           1000          0
                                                  8,874,539.57        164153       X                   0         164153          0
                                                    197,165.95          3647       X     1             0           3647          0
                                             ----------------- --------------               -------------     ---------- ----------
                                                  9,867,145.09        182514                       13713         168800          0

COCA COLA CO                   191216100          1,047,485.25         19002       X                   0          19002          0

COLGATE PALMOLIVE CO           194162103          6,209,160.00        131550       X                   0         131550          0

COMPAQ COMPUTER CORP           204493100            507,858.12         18414       X                   0          18414          0

CORNING INC                    219350105            594,000.00          2000       X                   0           2000          0

DALLAS SEMICONDUCTOR CORP      235204104          1,479,440.75         45002       X                   0          45002          0

DELL COMPUTER CORP             247025109            234,941.50          7625       X                   0           7625          0

DESWELL INDS INC               250639101            510,875.00         30500       X                   0          30500          0

DISNEY WALT CO                 254687106            491,512.50         12850  X                    11850           1000          0
                                                  6,396,356.25        167225       X                   0         167225          0
                                                    124,312.50          3250       X     1             0           3250          0
                                             ----------------- --------------               -------------     ---------- ----------
                                                  7,012,181.25        183325                       11850         171475          0

DOW CHEM CO                    260543103            221,519.83          8883       X                   0           8883          0

                                             ----------------- --------------               -------------     ---------- ----------
         SUBTOTALS FOR THIS PAGE                 45,268,781.59        943268                       43688         899579          0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
REPORT RUN: 11/01/2000 at 01:54 PM             13-F EQUITIES DISCLOSURE BY AFFILATION                               PAGE      4
BUSINESS DATE: 11/01/2000                                                                                       R33.110.003

                                                         As of 09/30/2000

 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
------------------------------ ------------  ----------------- ------------   ---- --- ---- -----------       ---------- ----------

         COMMON (cont.)
         --------------
<S>                            <C>           <C>               <C>            <C> <C> <C>   <C>               <C>        <C>
DPL INC                        233293109            519,881.25         17475       X                   0          17475          0

DU PONT E I DE NEMOURS         263534109            205,115.63          4950  X                     4950              0          0
                                                  1,723,509.95         41593       X                   0          41593          0
                                                     14,503.13           350       X     1             0            350          0
                                             ----------------- --------------               -------------     ---------- ----------
                                                  1,943,128.71         46893                        4950          41943          0

DUKE ENERGY CORP               264399106          1,726,747.75         20137       X                   0          20137          0
                                                     36,443.75           425       X     1             0            425          0
                                             ----------------- --------------               -------------     ---------- ----------
                                                  1,763,191.50         20562                           0          20562          0

E M C CORP MASS                268648102          1,425,417.50         14380       X                   0          14380          0

EASTMAN CHEM CO                277432100            287,872.41          7794       X                   0           7794          0

EASTMAN KODAK CO               277461109          1,346,994.75         32954       X                   0          32954          0

ELECTRONIC DATA SYS CORP       285661104            246,676.00          5944       X                   0           5944          0

EMERSON ELEC CO                291011104            447,560.00          6680       X                   0           6680          0

ENERGYNORTH INC                292925104            664,224.69         10945       X                   0          10945          0

ENRON CORP                     293561106            422,002.00          4816       X                   0           4816          0

EXXON MOBIL CORP               30231G102            937,951.50         10524  X                    10524              0          0
                                                 23,467,556.10        263311       X                   0         263311          0
                                                    418,887.50          4700       X     1             0           4700          0
                                             ----------------- --------------               -------------     ---------- ----------
                                                 24,824,395.10        278535                       10524         268011          0

FEDERAL NATL MTG ASSN          313586109            355,712.50          4975  X                     4125            850          0
                                                  5,644,996.50         78951       X                   0          78951          0
                                                    114,400.00          1600       X     1             0           1600          0
                                             ----------------- --------------               -------------     ---------- ----------
                                                  6,115,109.00         85526                        4125          81401          0

FIRST DATA CORP                319963104            226,562.52          5800       X                   0           5800          0

                                             ----------------- --------------               -------------     ---------- ----------
         SUBTOTALS FOR THIS PAGE                 40,233,015.43        538303                       19599         518704          0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
REPORT RUN: 11/01/2000 at 01:54 PM             13-F EQUITIES DISCLOSURE BY AFFILATION                               PAGE      5
BUSINESS DATE: 11/01/2000                                                                                       R33.110.003

                                                         As of 09/30/2000

 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
------------------------------ ------------  ----------------- ------------   ---- --- ---- -----------       ---------- ----------

         COMMON (cont.)
         --------------
<S>                            <C>           <C>               <C>            <C> <C> <C>   <C>               <C>        <C>
FLEETBOSTON FINL CORP          339030108          1,640,003.04         42051       X                   0          42051          0

GANNETT INC                    364730101             63,600.00          1200  X                     1200              0          0
                                                    466,400.00          8800       X                   0           8800          0
                                             ----------------- --------------               -------------     ---------- ----------
                                                    530,000.00         10000                        1200           8800          0

GENERAL ELEC CO                369604103          1,344,118.76         23300  X                    22425            875          0
                                                 30,802,356.17        533952       X                   0         533952          0
                                                    539,378.14          9350       X     1             0           9350          0
                                             ----------------- --------------               -------------     ---------- ----------
                                                 32,685,853.07        566602                       22425         544177          0

GENERAL MLS INC                370334104          1,492,491.00         42042       X                   0          42042          0
                                                     71,000.00          2000       X     1             0           2000          0
                                             ----------------- --------------               -------------     ---------- ----------
                                                  1,563,491.00         44042                           0          44042          0

GENERAL MTRS CORP              370442105            692,380.00         10652       X                   0          10652          0

GILLETTE CO                    375766102            646,646.00         20944       X                   0          20944          0

GOLDMAN SACHS GROUP INC        38141G104            492,210.01          4320       X                   0           4320          0

HARTFORD FINL SVCS GROUP       416515104            221,438.25          3036       X                   0           3036          0

HEWLETT PACKARD CO             428236103            358,900.00          3700  X                     3700              0          0
                                                  6,645,082.00         68506       X                   0          68506          0
                                             ----------------- --------------               -------------     ---------- ----------
                                                  7,003,982.00         72206                        3700          68506          0

HOME DEPOT INC                 437076102            634,096.88         11950  X                    11100            850          0
                                                  5,498,707.92        103627       X                   0         103627          0
                                                    190,335.18          3587       X     1             0           3587          0
                                             ----------------- --------------               -------------     ---------- ----------
                                                  6,323,139.98        119164                       11100         108064          0

HOUGHTON MIFFLIN CO            441560109            249,708.50          6362       X                   0           6362          0

HOUSEHOLD INTL INC             441815107            539,183.25          9522       X                   0           9522          0

                                             ----------------- --------------               -------------     ---------- ----------
         SUBTOTALS FOR THIS PAGE                 52,588,035.10        908901                       38425         870476          0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
REPORT RUN: 11/01/2000 at 01:54 PM             13-F EQUITIES DISCLOSURE BY AFFILATION                               PAGE      6
BUSINESS DATE: 11/01/2000                                                                                       R33.110.003

                                                         As of 09/30/2000

 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
------------------------------ ------------  ----------------- ------------   ---- --- ---- -----------       ---------- ----------

         COMMON (cont.)
         --------------
<S>                            <C>           <C>               <C>            <C> <C> <C>   <C>               <C>        <C>
IBM CORP                       459200101          3,581,100.00         31832       X                   0          31832          0

ILLINOIS TOOL WKS INC          452308109            134,100.00          2400  X                     2400              0          0
                                                    398,947.50          7140       X                   0           7140          0
                                             ----------------- --------------               -------------     ---------- ----------
                                                    533,047.50          9540                        2400           7140          0

INFORMIX CORP                  456779107             68,928.75         16710       X                   0          16710          0

INHALE THERAPEUTIC SYS         457191104          1,632,169.00         28952       X                   0          28952          0

INTEL CORP                     458140100            642,548.52         15460  X                    14710            750          0
                                                 13,366,588.58        321606       X                   0         321606          0
                                                    124,686.00          3000       X     1             0           3000          0
                                             ----------------- --------------               -------------     ---------- ----------
                                                 14,133,823.10        340066                       14710         325356          0

INTERPUBLIC GROUP COS          460690100            286,125.00          8400       X                   0           8400          0

JDS UNIPHASE CORP              46612J101            543,030.00          5735       X                   0           5735          0

JEFFERSON PILOT CORP           475070108            382,339.89          5633       X                   0           5633          0

JOHNSON & JOHNSON              478160104             75,150.00           800  X                      800              0          0
                                                  2,222,583.16         23660       X                   0          23660          0
                                             ----------------- --------------               -------------     ---------- ----------
                                                  2,297,733.16         24460                         800          23660          0

JUNIPER NETWORKS INC           48203R104          1,929,710.72          8814       X                   0           8814          0

KIMBERLY CLARK CORP            494368103            411,617.19          7375  X                     6575            800          0
                                                  5,841,392.26        104661       X                   0         104661          0
                                                    107,439.06          1925       X     1             0           1925          0
                                             ----------------- --------------               -------------     ---------- ----------
                                                  6,360,448.51        113961                        6575         107386          0

KROGER CO                      501044101            322,079.72         14275       X                   0          14275          0

LAUDER ESTEE COS INC CL A      518439104            235,681.92          6435       X                   0           6435          0

LILLY ELI & CO                 532457108          1,371,742.67         16909       X                   0          16909          0
                                             ----------------- --------------               -------------     ---------- ----------
         SUBTOTALS FOR THIS PAGE                 33,677,959.94        631722                       24485         607237          0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
REPORT RUN: 11/01/2000 at 01:54 PM             13-F EQUITIES DISCLOSURE BY AFFILATION                               PAGE      7
BUSINESS DATE: 11/01/2000                                                                                       R33.110.003

                                                         As of 09/30/2000

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

                                                     81,125.00          1000       X     1             0           1000          0
                                             ----------------- --------------               -------------     ---------- ----------
                                                  1,452,867.67         17909                           0          17909          0

LIZ CLAIBORNE INC              539320101            229,537.00          5962       X                   0           5962          0

LUCENT TECHNOLOGIES INC        549463107          2,281,978.49         74666       X                   0          74666          0
                                                     64,945.32          2125       X     1             0           2125          0
                                             ----------------- --------------               -------------     ---------- ----------
                                                  2,346,923.81         76791                           0          76791          0

MAY DEPT STORES CO             577778103             46,125.00          2250  X                     2250              0          0
                                                    184,295.00          8990       X                   0           8990          0
                                             ----------------- --------------               -------------     ---------- ----------
                                                    230,420.00         11240                        2250           8990          0

MBNA CORP                      55262L100            406,406.00         10556       X                   0          10556          0

MCDONALDS CORP                 580135101            113,203.13          3750  X                     3750              0          0
                                                  2,250,961.19         74566       X                   0          74566          0
                                                     75,468.75          2500       X     1             0           2500          0
                                             ----------------- --------------               -------------     ---------- ----------
                                                  2,439,633.07         80816                        3750          77066          0

MCGRAW HILL COS INC            580645109            254,250.00          4000       X                   0           4000          0

MEDTRONIC INC                  585055106            409,785.06          7909       X                   0           7909          0

MERCK & CO INC                 589331107            238,200.00          3200  X                     3200              0          0
                                                 29,657,314.43        398419       X                   0         398419          0
                                                     81,881.25          1100       X     1             0           1100          0
                                             ----------------- --------------               -------------     ---------- ----------
                                                 29,977,395.68        402719                        3200         399519          0

MICROSOFT CORP                 594918104            517,175.40          8575  X                     7925            650          0
                                                  8,726,060.82        144682       X                   0         144682          0
                                                     94,991.40          1575       X     1             0           1575          0
                                             ----------------- --------------               -------------     ---------- ----------
                                                  9,338,227.62        154832                        7925         146907          0

MINNESOTA MNG & MFG CO         604059105             52,396.88           575  X                      575              0          0
                                             ----------------- --------------               -------------     ---------- ----------
         SUBTOTALS FOR THIS PAGE                 45,766,100.12        756400                       17700         738700          0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
REPORT RUN: 11/01/2000 at 01:54 PM             13-F EQUITIES DISCLOSURE BY AFFILATION                               PAGE      8
BUSINESS DATE: 11/01/2000                                                                                       R33.110.003

                                                       As of 09/30/2000

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

                                                  2,005,570.13         22009       X                   0          22009          0
                                                      9,112.50           100       X     1             0            100          0
                                             ----------------- -------------                ------------      ---------  ---------
                                                  2,067,079.51         22684                         575          22109          0

MOLEX INC                      608554101            339,088.07          6229       X                   0           6229          0

MORGAN J P & CO INC            616880100          2,139,395.63         13095       X                   0          13095          0

MOTOROLA INC                   620076109            432,677.00         15316       X                   0          15316          0

NEXTEL COMMUN INC CL A         65332V103            263,483.00          5636       X                   0           5636          0

NORTEL NETWORKS CORP           656568102            709,985.00         11920       X                   0          11920          0

ORACLE CORP                    68389X105            714,656.25          9075       X                   0           9075          0

PALM INC                       696642107          1,605,420.40         30327       X                   0          30327          0

PFIZER INC                     717081103            566,212.51         12600  X                    12600              0          0
                                                 13,004,238.59        289385       X                   0         289385          0
                                                    152,787.50          3400       X     1             0           3400          0
                                             ----------------- -------------                ------------      ---------  ---------
                                                 13,723,238.60        305385                       12600         292785          0

PHILIP MORRIS COS INC          718154107            514,273.13         17470       X                   0          17470          0

PMC-SIERRA INC                 69344F106            201,258.75           935       X                   0            935          0

PROCTER & GAMBLE CO            742718109          2,540,707.00         37921       X                   0          37921          0

Q MED INC                      747914109            787,500.00        100000       X                   0         100000          0

QUAKER OATS CO                 747402105            220,600.50          2788       X                   0           2788          0

QUALCOMM INC                   747525103            605,625.00          8500       X                   0           8500          0

QWEST COMMUNICATIONS INTL      749121109            237,608.68          4944       X                   0           4944          0

SAPIENT CORP                   803062108            206,079.74          5065       X                   0           5065          0

                                             ----------------- -------------                ------------      ---------  ---------
         SUBTOTALS FOR THIS PAGE                 27,256,279.38        596715                       12600         584115          0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
REPORT RUN: 11/01/2000 at 01:54 PM             13-F EQUITIES DISCLOSURE BY AFFILATION                               PAGE      9
BUSINESS DATE: 11/01/2000                                                                                       R33.110.003

                                                      As of 09/30/2000

 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
------------------------------ ------------  ----------------- ------------   ---- --- ---- -----------       ---------- ---------

         COMMON (cont.)
         --------------
<S>                            <C>           <C>               <C>            <C>           <C>               <C>        <C>
SARA LEE CORP                  803111103            296,196.91         14582       X                   0          14582          0

SBC COMMUNICATIONS INC         78387G103            415,000.00          8300  X                     8300              0          0
                                                  4,806,161.80         96123       X                   0          96123          0
                                                     50,000.00          1000       X     1             0           1000          0
                                             ----------------- -------------                ------------      ---------  ---------
                                                  5,271,161.80        105423                        8300          97123          0

SCHERING PLOUGH CORP           806605101            435,519.00          9366       X                   0           9366          0

ST PAUL COS INC                792860108            335,325.00          6800       X                   0           6800          0

STAPLES INC                    855030102            164,994.81         11630       X                   0          11630          0

STATE STR CORP                 857477103            241,410.00          1857       X                   0           1857          0

SUN MICROSYSTEMS INC           866810104          2,127,185.00         18220       X                   0          18220          0

SURMODICS INC                  868873100            273,750.00          5000       X     1             0           5000          0

SYSCO CORP                     871829107          1,205,977.51         26040       X                   0          26040          0

TECO ENERGY INC                872375100            215,855.00          7508       X                   0           7508          0

TEXAS INSTRS INC               882508104          3,885,371.57         82339       X                   0          82339          0

TORCHMARK CORP                 891027104            250,312.50          9000       X                   0           9000          0

TYCO INTL LTD NEW              902124106            250,296.89          4825  X                     3875            950          0
                                                  4,841,753.29         93335       X                   0          93335          0
                                                     83,000.02          1600       X     1             0           1600          0
                                             ----------------- -------------                ------------      ---------  ---------
                                                  5,175,050.20         99760                        3875          95885          0

UNION PAC CORP                 907818108             58,312.50          1500  X                     1500              0          0
                                                    241,880.25          6222       X                   0           6222          0
                                             ----------------- -------------                ------------      ---------  ---------
                                                    300,192.75          7722                        1500           6222          0

UNITED PARCEL SVC INC CL B     911312106            488,658.50          8668       X                   0           8668          0

                                             ----------------- -------------                ------------      ---------  ---------
         SUBTOTALS FOR THIS PAGE                 20,666,960.55        413915                       13675         400240          0

</TABLE>
<PAGE>

<TABLE>
<CAPTION>
REPORT RUN: 11/01/2000 at 01:54 PM             13-F EQUITIES DISCLOSURE BY AFFILATION                               PAGE     10
BUSINESS DATE: 11/01/2000                                                                                       R33.110.003

                                                         As of 09/30/2000


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

UNITED TECHNOLOGIES CORP       913017109            351,028.25          5069       X                   0           5069          0

USEC INC                       90333E108             42,500.00         10000       X                   0          10000          0

VERISIGN INC                   92343E102            219,779.77          1085       X                   0           1085          0

VERIZON COMMUNICATIONS         92343V104            300,312.51          6200  X                     5375            825          0
                                                  4,657,703.70         96159       X                   0          96159          0
                                                     94,259.38          1946       X     1             0           1946          0
                                             ----------------- --------------               -------------     ---------- ----------
                                                  5,052,275.59        104305                        5375          98930          0

WACHOVIA CORP NEW              929771103             52,719.38           930  X                      930              0          0
                                                    459,678.96          8109       X                   0           8109          0
                                                     42,515.64           750       X     1             0            750          0
                                             ----------------- --------------               -------------     ---------- ----------
                                                    554,913.98          9789                         930           8859          0

WAL MART STORES INC            931142103            404,250.01          8400  X                     7700            700          0
                                                  3,790,325.21         78760       X                   0          78760          0
                                                     93,843.75          1950       X     1             0           1950          0
                                             ----------------- --------------               -------------     ---------- ----------
                                                  4,288,418.97         89110                        7700          81410          0

WELLS FARGO & CO NEW           949746101            463,968.75         10100       X                   0          10100          0

WILLIAMS COS INC               969457100            269,808.50          6386       X                   0           6386          0

WORLDCOM INC                   98157D106            286,284.38          9425  X                     8375           1050          0
                                                  4,241,550.04        139640       X                   0         139640          0
                                                     72,140.63          2375       X     1             0           2375          0
                                             ----------------- --------------               -------------     ---------- ----------
                                                  4,599,975.05        151440                        8375         143065          0

XTRA CORP                      984138107            425,266.88          9570       X                   0           9570          0

ZIONS BANCORPORATION           989701107            284,343.96          5560       X                   0           5560          0

                                             ================= ==============               =============     ========== ==========
TOTALS FOR COMMON                               378,263,850.73       6332014                      237966        6094048          0

                                             ================= ==============               =============     ========== ==========
GRAND TOTALS                                    378,263,850.73       6332014                      237966        6094048          0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
REPORT RUN: 11/01/2000 at 01:54 PM             13-F EQUITIES DISCLOSURE BY AFFILATION                               PAGE     11
BUSINESS DATE: 11/01/2000                                                                                       R33.110.003

                                                         As of 09/30/2000

                              MGR                               Client Name
                             ------                             ----------------------------------------
                             <S>                               <C>
                                 1                             FRANCIS L COOLIDGE
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
REPORT RUN: 11/01/2000 at 01:54 PM               13-F EQUITIES DISCLOSURE BY AFFILIATION                                    PAGE 12
BUSINESS DATE: 11/01/2000                                                                                          R33.110.003

                                                         As of 09/30/2000


                                                     Produced on trust2*ROPEDB
                                     The parameters used in producing report R33.110.003 were:
               <S>                                            <C>                                                  <C>
               ASOF##                                         =                                                    09/30/2000
               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



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