BALDWIN BROTHERS INC/MA
13F-HR, 2000-05-10
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<PAGE>

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                          UNITED STATES
               SECURITIES AND EXCHANGE COMMISSION
                     Washington, D.C. 20549       -----------------------------
                                                        SEC USE ONLY
                            FORM 13F              -----------------------------


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

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

         Report for the Calendar Year or Quarter Ended: March 31, 2000.

- ------------------------------------------------------------------------------
              (Please read instructions before preparing form.)
- ------------------------------------------------------------------------------

If amended report check here: [_]

  Baldwin Brothers, Inc.
- ------------------------------------------------------------------------------
Name of Institutional Investment Manager

  3 Barnabas Road                     Marion,              MA        02738
- --------------------------------------------------------------------------------
Business Address       (Street)       (City)             (State)        (Zip)

  Michael Baldwin,   (508)748-0800,   President, Baldwin Brothers, Inc.
- --------------------------------------------------------------------------------
Name, Phone No., and Title of Person Duly Authorized to Submit This Report.

- ----------------------------------ATTENTION------------------------------------
 Intentional misstatements or omissions of facts constitute Federal Criminal
                                  Violations.
                   See 18 U.S.C. 1001 and 15 U.S.C. 78ff(a).
- -------------------------------------------------------------------------------

  The institutional investment manager submitting this Form and its attachments
and the person by whom it is signed represent hereby that all information
contained therein is true, correct and complete. It is understood that all
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 its behalf in the City of Marion and State of Massachusetts on the ninth day
of May, 2000.


                                  Baldwin Brothers, Inc. (28-5814)
                                  ----------------------------------------------
                                     (Name of Institutional Investment Manager)

                                  /s/ Michael Baldwin
                                  ----------------------------------------------
                                     (Manual Signature of Person Duly Authorized
                                               to Submit This Report)

Name and 13F file numbers of ALL Institutional Investment Managers with respect
to which this schedule is filled (other than the one filing this report): (List
in alphabetical order).

13F File Numbers will be assigned to Institutional Investment Managers after
they file their first report.

Name:                       13F File No:   Name:                  13F File No:
- -------------------------  -------------  ---------------------  -------------
1. Michael Baldwin          28-5818        6. Ellen O. Stone      28-7204
- -------------------------  -------------  ---------------------  -------------
2. David A. Barrett         28-6352        7.
- -------------------------  -------------  ---------------------  -------------
3. Andrew M. Wallerstein    28-5816        8.
- -------------------------  -------------  ---------------------  -------------
4. J. Michael Costello      28-6868        9.
- -------------------------  -------------  ---------------------  -------------
5. Malcolm G. Chace, Jr.    28-6870        10.
- -------------------------  -------------  ---------------------  -------------

<PAGE>

                            Baldwin Brothers, Inc.
                                   FORM 13F
                             Baldwin Brothers Inc.
                                March 31, 2000

<TABLE>
<CAPTION>
                                                                                                                 Voting Authority
                                                                                                                 -----------------
                                                            Value     Shares/    Sh/  Put/  Invstmt   Other
Name of Issuer                    Title of class CUSIP      (x$1000)  Prn Amt    Prn  Call  Dscretn  Managers    Sole Shared   None
- ------------------------------    ------------------------  --------  --------   ---  ----  -------  --------    ---- ------   -----
<S>                               <C>            <C>        <C>       <C>        <C>  <C>   <C>      <C>       <C>    <C>     <C>
Avalon Bay Community Pfd Ser F    PFD            053484507       219      9900   SH         Sole                                9900
Bank One Cap 8.00% 09/15/2029     PFD            06421b202       504     21725   SH         Sole                               21725
Barclays Bk PLC Am Dep Nt Rcpt    PFD            06738c836       459     20000   SH         Sole                               20000
Bellsouth Cap Fd Pfd QUIBS 7.3    PFD            079857207       230     10000   SH         Sole                               10000
Carlton Comm PLC PFD *%           PFD            G19068140       425     20000   SH         Sole                               20000
Equity Res Prop Tr Pfd Cv Cm 7    PFD            29476l859       207     10500   SH         Sole                               10500
Glenborough Realty Trust 7.75%    PFD            37803p105      1817    121150   SH         Sole                              121150
Houston Industries 7% pfd         PFD            442161204      5326     33495   SH         Sole                               33495
Joseph E. Seagrams & Sons Snr     PFD            811845205      1787     81925   SH         Sole                               81925
MediaOne Fin Pfd Tr III 9.04%     PFD            584458202       913     36500   SH         Sole                               36500
Merrill Lynch Pfd 7.00% Srs 11    PFD            59021f206       257     12500   SH         Sole                               12500
Natl Westminster Bank ser A 7.    PFD            638539809       874     39500   SH         Sole                               39500
Rhone-Poulenc Overseas Ser PFD    PFD            G75495104       406     20000   SH         Sole                               20000
SI Financing Trust I 9.25% pfd    PFD            828692103       269     10600   SH         Sole                               10600
Alza Corp sub Deb Conv            CONV           022615ad0        43     40000   SH         Sole                               40000
Hilton Hotels Conv. Sub Notes     CONV           432848al3       125    165000   SH         Sole                              165000
AT & T Corp Liberty Media Grou    COM            001957208     13023    219563   SH         Sole    2            1400         218163
AT Cross CL A                     COM            227478104       223     38000   SH         Sole                               38000
AT&T Corp                         COM            001957109      3613     64161   SH         Sole                               64161
AXA-UAP ADR                       COM            054536107       574      8000   SH         Sole                                8000
Abbott Labs                       COM            002824100      4961    140990   SH         Sole                              140990
Access Solutions                  COM            004317103        83    757212   SH         Sole    4          757212
Aegon NV Amer Reg                 COM            007924103      2111     26218   SH         Sole                               26218
Agilent Technologies              COM            00846U101       520      5000   SH         Sole                                5000
Air Products & Chemicals          COM            009158106       694     24400   SH         Sole                               24400
Airgas Inc                        COM            009363102       253    23,300   SH         Sole    2            5000         18,300
Alcoa Inc                         COM            013817101       450      6400   SH         Sole                                6400
Alexion Pharmaceuticals           COM            015351109       335      4800   SH         Sole                                4800
Ambase Corp.                      COM            023164106        28     35000   SH         Sole                               35000
Amerada Hess Corp                 COM            023551104       273      4222   SH         Sole                                4222
America OnLine Inc Del            COM            02364J104       456      6755   SH         Sole                                6755
American Express Co               COM            025816109      1087      7300   SH         Sole                                7300
American Home Prods Corp          COM            026609107      1187     22075   SH         Sole                               22075
American Int'l Group              COM            026874107     16772    153166   SH         Sole    2 & 5        1812         151354
American Power Conversion         COM            029066107       394      9200   SH         Sole                                9200
Amgen                             COM            031162100      1235     20125   SH         Sole                               20125
Analog Devices                    COM            032654105      1358     16866   SH         Sole                               16866
Andrew Corp                       COM            034425108     11856    518275   SH         Sole    4            1000         517275
Anheuser Busch Cos Inc            COM            035229103       431      6925   SH         Sole                                6925
Applied Extrusion Tech            COM            038196101       583     71225   SH         Sole    2           10225          61000
Ariba Inc                         COM            04033v104       419      2000   SH         Sole                                2000
Atlantic Richfield Co             COM            048825103      1037     12200   SH         Sole                               12200
Automatic Data Processing         COM            053015103       973     20171   SH         Sole                               20171
BP Amoco Pls Spons ADR            COM            055622104      2924     54904   SH         Sole                               54904
Banc One Corp Ohio                COM            06423a103       254      7352   SH         Sole                                7352
Bank New York Inc                 COM            064057102       616     14825   SH         Sole                               14825
Bank Rhode Island                 COM            064576101       542     55210   SH         Sole    1,2 &3        300          55010
Bank of America Corp              COM            06605f102       722     13777   SH         Sole    2             200          13577
Banknorth Group Inc New-Del       COM            06646L100       215      8000   SH         Sole                                8000
Barbecues Galore Ltd Spons Adr    COM            067091108      1809    178700   SH         Sole    2           15500         163200
</TABLE>

                                       2
<PAGE>

                            Baldwin Brothers, Inc.
                                   FORM 13F
                             Baldwin Brothers Inc.
                                March 31, 2000


<TABLE>
<CAPTION>
                                                                                                                  Voting Authority
                                                                                                                 -----------------
                                                            Value     Shares/    Sh/  Put/  Invstmt   Other
Name of Issuer                    Title of class CUSIP      (x$1000)  Prn Amt    Prn  Call  Dscretn  Managers    Sole Shared   None
- ------------------------------    ------------------------  --------  --------   ---  ----  -------  --------    ---- ------   ----
<S>                               <C>            <C>        <C>       <C>        <C>  <C>   <C>      <C>         <C>  <C>     <C>
Bell Atlantic Corp                COM            077853109    2438       39890   SH         Sole        2         200          39690
Bellsouth Corp                    COM            079860102    2638       56286   SH         Sole                               56286
Belo Series A                     COM            080555105     358       20000   SH         Sole                               20000
Berkshire Hathaway Cl B           COM            084670207    1156         635   SH         Sole                                 635
Berkshire Hathaway Inc            COM            084670108    5320          93   SH         Sole        5          30             63
Bestfoods                         COM            08658u101     489       10450   SH         Sole                               10450
Boeing Company                    COM            097023105     393       10398   SH         Sole                               10398
Boston Scientific Corp            COM            101137107     361       16950   SH         Sole                               16950
Bristol Myers Squibb Co           COM            110122108    4586       79068   SH         Sole                               79068
Burlington Northn Inc             COM            12189T104     222        9738   SH         Sole                                9738
CBS Corp                          COM            12490K107     592       10450   SH         Sole                               10450
CNF Transportation Inc            COM            12612W104     233        8400   SH         Sole                                8400
CVS Corp                          COM            126650100   12919      343920   SH         Sole        2        1500         342420
Cabot Industrial Trust            COM            127072106     214       11500   SH         Sole                               11500
Capital One Financial             COM            14040H105    1754       36591   SH         Sole                               36591
Carnival Corp                     COM            143658102     207        8334   SH         Sole                                8334
Carolina Pwr & Lt Co              COM            144141108     330       10183   SH         Sole                               10183
Catapillar Inc                    COM            149123101     280        7105   SH         Sole                                7105
Celera Genomics Group             COM            69332s201     387        4200   SH         Sole                                4200
Cendant Corp                      COM            151313103    8464      457500   SH         Sole        2        5000         452500
Centerpoint Properties Corp       COM            151895109     248        7000   SH         Sole                                7000
Charles Schwab Corp New           COM            808513105     766       13475   SH         Sole                               13475
Chase Manhattan Corp              COM            16161A108    2123       24350   SH         Sole                               24350
Chevron Corp                      COM            166751107    1694       18331   SH         Sole                               18331
Circuit City Stores Inc           COM            172737108    1476       24240   SH         Sole                               24240
Cisco Systems Inc                 COM            17275R102   31824      411630   SH         Sole        2         400         411230
Citigroup Inc                     COM            172967101    3656       61053   SH         Sole                               61053
Citizens Util                     COM            177342201     409       25000   SH         Sole                               25000
Coca Cola Co                      COM            191216100    8079      172123   SH         Sole        2        3200         168923
Colgate Palmolive Co              COM            194162103    2898       51407   SH         Sole        2        1400          50007
Compaq Computer                   COM            204493100     435       16125   SH         Sole                               16125
Computer Associates Intl Inc      COM            204912109     237        4002   SH         Sole                                4002
Computer Sciences                 COM            205363104     317        4000   SH         Sole                                4000
Copper Mountain Networks Inc      COM            217510106     467        5700   SH         Sole                                5700
Corning Inc                       COM            219350105    7747       39932   SH         Sole                               39932
Costco Wholesale Corp             COM            22160k105     237        4500   SH         Sole                                4500
DLJ High Yield Bond Fund          COM            23322y108     176       22115   SH         Sole        2        1200          20915
Disney Walt Company               COM            254687106    1888       45761   SH         Sole                               45761
Dover Corp                        COM            260003108     582       12150   SH         Sole                               12150
Dow Chemical Corp                 COM            260543103     329        2890   SH         Sole                                2890
Du Pont E I De Nemours Co         COM            263534109    1082       20439   SH         Sole                               20439
Duke Energy Co.                   COM            264399106     501        9549   SH         Sole                                9549
Duke-Weeks Realty Corp            COM            264411505     371       19400   SH         Sole                               19400
E M C Corp MA                     COM            268648102    1417       11245   SH         Sole                               11245
Eastman Kodak                     COM            277461109     458        8437   SH         Sole                                8437
Eaton Corp                        COM            278058102     328        4200   SH         Sole                                4200
Echelon Corp                      COM            27874n105     347        5300   SH         Sole                                5300
Electronic Data Systems Corp      COM            285661104     770       12000   SH         Sole                               12000
Emerson Elec Co                   COM            291011104     702       13206   SH         Sole                               13206
Emisphere Technologies            COM            291345106     597       11500   SH         Sole                               11500
</TABLE>

                                       3
<PAGE>

                            Baldwin Brothers, Inc.
                                   FORM 13F
                             Baldwin Brothers Inc.
                                March 31, 2000

<TABLE>
<CAPTION>
                                                                                                                Voting Authority
                                                                                                              --------------------
                                                                Value   Shares/  Sh/ Put/  Invstmt  Other
         Name of Issuer              Title of class   CUSIP   (x$1000)  Prn Amt  Prn Call  Dscretn  Managers  Sole  Shared   None
- --------------------------------     -------------- --------- --------  -------  --- ----  -------  --------  ----- ------ -------
<S>                                  <C>            <C>       <C>       <C>      <C> <C>   <C>      <C>       <C>   <C>    <C>
Enron Corp                           COM            293561106    15783   210794  SH        Sole                             210794
Epicor Software                      COM            29426l108      625    73500  SH        Sole        2       3000          70500
Eurotech Limited                     COM            298796103      549   107085  SH        Sole      4 & 5    68000          39085
Exxon Mobil Corp                     COM            30231g102    13721   176044  SH        Sole                             176044
Family Ventures III Part             COM            999027816       25    21250  SH        Sole                              21250
Fannie Mae                           COM            313586109     5270    93167  SH        Sole                              93167
Federated Dept Stores                COM            31410H101      254     6000  SH        Sole                               6000
First Data Corporation               COM            319963104     6334   142740  SH        Sole        2       2700         140040
First Union Corp                     COM            337358105      201     5401  SH        Sole                               5401
FleetBoston Finl Corp                COM            339030108    13611   372913  SH        Sole      2 & 4     5348         367565
Foxborough Svgs Bank                 COM            351644109      798    14000  SH        Sole        2       4000          10000
Freddie Mac                          COM            313400301      524    11850  SH        Sole                              11850
GTE Corp                             COM            362320103     2608    36734  SH        Sole                              36734
Gannett Inc Del                      COM            364730101     1019    14475  SH        Sole                              14475
Genentech, Inc New                   COM            368710406     4602    30275  SH        Sole                              30275
General Electric Company             COM            369604103    39715   255195  SH        Sole        5        800         254395
General Motors Cl H                  COM            370442832      374     3000  SH        Sole                               3000
Gillette Co                          COM            375766102     4337   115074  SH        Sole        2       1590         113484
Glaxo Wellcome plc ADR               COM            37733W105      390     6800  SH        Sole                               6800
Glenborough Realty Trust             COM            37803P105      179    12350  SH        Sole                              12350
Global Marine Inc Com New            COM            379352404      275    10850  SH        Sole                              10850
Guidant                              COM            401698105     2358    40050  SH        Sole                              40050
Halliburton Co                       COM            406216101     2190    53263  SH        Sole                              53263
Hancock J Ptrot Pfd D Fund           COM            41013J107      155    15350  SH        Sole                              15350
Harley Davidson Inc                  COM            412822108      246     3100  SH        Sole                               3100
Hershey Foods Corp                   COM            427866108      390     8000  SH        Sole                               8000
Hewlett Packard Co                   COM            428236103     4561    34323  SH        Sole                              34323
Home Depot Inc                       COM            437076102     6911   107143  SH        Sole        2        250         106893
Honeywell Int'l                      COM            438516106     1899    36034  SH        Sole                              36034
Illinois Tool Works                  COM            452308109      279     5050  SH        Sole                               5050
Inprise                              COM            45766c102      540    79300  SH        Sole        2       4300          75000
Int'l Business Machines              COM            459200101    18851   159752  SH        Sole        2        500         159252
Integra, Inc.                        COM            45811m105       18    20996  SH        Sole        2       4296          16700
Intel Corp                           COM            458140100    41925   317759  SH        Sole      2 & 5     2100         315659
Interpublic Group Cos Inc            COM            460690100      473    10000  SH        Sole                              10000
Iomega                               COM            462030107      634   166300  SH        Sole        2       4000         162300
J P Morgan & Co Inc                  COM            616880100      494     3748  SH        Sole                               3748
Jacobs Engr Group                    COM            469814107     6849   214875  SH        Sole        4        200         214675
John Hancock Patriot Global Fd       COM            41013G103      641    61420  SH        Sole                              61420
Johnson & Johnson                    COM            478160104     7384   105117  SH        Sole        2        500         104617
Kimberly-Clark                       COM            494368103     5443    97086  SH        Sole        4        277          96809
Lexmark International Group In       COM            529771107      540     5110  SH        Sole                               5110
Liberty Ppty Tr                      COM            531172104      210     9000  SH        Sole                               9000
Lilly Eli & Co                       COM            532457108     1930    30824  SH        Sole                              30824
Lowe's                               COM            548661107      251     4300  SH        Sole                               4300
Lucent Technologies                  COM            549463107     5385    87917  SH        Sole                              87917
MCI WorldCom                         COM            55268b106    11624   256518  SH        Sole        2       1200         255318
Mascotech Corp                       COM            57632n105      148    12000  SH        Sole                              12000
McCormick & Co Inc                   COM            579780206      206     6400  SH        Sole                               6400
McDonald's Corp                      COM            580135101     1243    33253  SH        Sole                              33253
</TABLE>
                                       4
<PAGE>

                            Baldwin Brothers, Inc.
                                   FORM 13F
                             Baldwin Brothers Inc.
                                March 31, 2000

<TABLE>
<CAPTION>
                                                                                                                Voting Authority
                                                                                                              --------------------
                                                                Value   Shares/  Sh/ Put/  Invstmt  Other
         Name of Issuer              Title of class   CUSIP   (x$1000)  Prn Amt  Prn Call  Dscretn  Managers  Sole  Shared  None
- --------------------------------     -------------- --------- --------  -------  --- ----  -------  --------  ----  ------ ------
<S>                                  <C>            <C>       <C>       <C>      <C> <C>   <C>      <C>       <C>   <C>    <C>
McLeodUSA                            COM            582266102      341     4000  SH        Sole                              4000
Medford Bancorp                      COM            584303101     1632   114518  SH        Sole          2    6448         108070
MediaOne Group Inc                   COM            58440j104     1746    21561  SH        Sole                             21561
Mediscience                          COM            585901101       22    35000  SH        Sole                             35000
Medtronic                            COM            585055106    12227   237700  SH        Sole                            237700
Merck & Co                           COM            589331107    14356   231081  SH        Sole          2    1000         230081
Mercury Genl Corp                    COM            589400100      354    12000  SH        Sole                             12000
MicroTel Intl Inc New (restric       COM            59514K209       92    82067  SH        Sole          3    8189          73878
Microsoft Corp Wash                  COM            594918104     7099    66816  SH        Sole                             66816
Miller Inds                          COM            600551105     1373   360000  SH        Sole                            360000
Minnesota Mng & Mfg Co               COM            604059105     1909    21560  SH        Sole                             21560
Monsanto Company                     COM            611662107      322     6255  SH        Sole                              6255
Morgan Stanley Dean Witter Dis       COM            617446448     2052    24756  SH        Sole                             24756
Motorola                             COM            620076109     4546    31137  SH        Sole                             31137
National City Corp                   COM            635405103      974    47200  SH        Sole                             47200
Network Appliance                    COM            64120L104      943    11400  SH        Sole          2     800          10600
Network Associates                   COM            640938106    10457   324235  SH        Sole        2 & 4  1100         323135
New Era of Networks                  COM            644312100     4238   107986  SH        Sole          2     750         107236
News Corp Ltd Spd Pref ADR           COM            652487802      677    14174  SH        Sole                             14174
Nokia Corp Sponsored ADR             COM            654902204      688     3100  SH        Sole                              3100
Norfolk Southern Corp                COM            655844108      147    10300  SH        Sole                             10300
Nortel Networks Corp                 COM            665815106     1198     9500  SH        Sole                              9500
Office Depot                         COM            676220106      156    13525  SH        Sole          2    1323          12202
On-Point Technologies                COM            682184106       44    24105  SH        Sole                             24105
Optika                               COM            683973101     6882   245800  SH        Sole          2    9000         236800
Oracle Sys Corp                      COM            68389X105    45001   576468  SH        Sole          2    3950         572518
PE Biosystems Group                  COM            69332s102      869     9000  SH        Sole                              9000
PNC Finl Svcs Group                  COM            693475105     1007    22350  SH        Sole                             22350
PPG Industries                       COM            693506107      507     9692  SH        Sole                              9692
Parametric Technology                COM            699173100      238    11300  SH        Sole                             11300
Pepsico Inc                          COM            713448108     3690   105798  SH        Sole          4     200         105598
Pfizer Inc                           COM            717081103     2909    79553  SH        Sole                             79553
Philip Morris Cos                    COM            718154107      224    10585  SH        Sole                             10585
Play by Play Toy & Novelties I       COM            72811K103       29    15200  SH        Sole                             15200
Procter & Gamble Co                  COM            742718109     5570    98592  SH        Sole                             98592
Protein Design Labs                  COM            74369L103     2688    33815  SH        Sole          2    1350          32465
Providian Corp                       COM            744061102      905    10450  SH        Sole                             10450
QUALCOMM                             COM            747525103    85580   573157  SH        Sole     2, 4 & 5  9700         563457
Quintiles Transnational Corp         COM            748767100      324    19000  SH        Sole                             19000
Qwest Comm Int'l                     COM            749121109     6460   134580  SH        Sole                            134580
Reuters Group plc ADR                COM            76132M102      414     3466  SH        Sole                              3466
Roper Industries Inc                 COM            776696106      384    11320  SH        Sole                             11320
Royal Dutch Pete NLG 1.25            COM            780257705     5883   101758  SH        Sole                            101758
SBC Communications Inc PV$1          COM            78387G103     1670    39636  SH        Sole                             39636
Schering Plough Corp                 COM            806605101      286     7700  SH        Sole                              7700
Schlumberger                         COM            806857108     2262    29567  SH        Sole                             29567
Seacoast Financial Svcs Corp         COM            81170q106      560    56750  SH        Sole                             56750
Servicemaster Co.                    COM            81760N109      296    26306  SH        Sole                             26306
Sherwin Williams Co                  COM            824348106     2164    97825  SH        Sole          4     200          97625
Smithkline Beecham ADS               COM            832378301     1384    20955  SH        Sole                             20955
</TABLE>
                                       5

<PAGE>

                            Baldwin Brothers, Inc.
                                   FORM 13F
                             Baldwin Brothers Inc.
                                March 31, 2000

<TABLE>
<CAPTION>
                                                                                                                Voting Authority
                                                                                                              --------------------
                                                                Value   Shares/  Sh/ Put/  Invstmt  Other
         Name of Issuer              Title of class   CUSIP   (x$1000)  Prn Amt  Prn Call  Dscretn  Managers  Sole  Shared  None
- --------------------------------     -------------- --------- --------  -------  --- ----  -------  --------  ----  ------ ------
<S>                                  <C>            <C>       <C>       <C>      <C> <C>   <C>      <C>       <C>   <C>    <C>
Sprint Corp                          COM            852061100      304     4800  SH        Sole                              4800
Sprint Corp (PCS Group)              COM            852061506      572     8740  SH        Sole                              8740
St. Joe Co                           COM            790148100      229     7900  SH        Sole                              7900
Staples                              COM            855030102     7747   387348  SH        Sole          2    2000         385348
State Street Corp                    COM            857477103      518     5350  SH        Sole                              5350
Sun Hydraulics Inc                   COM            866942105      511    58000  SH        Sole                             58000
Sun Microsystem Inc                  COM            866810104     9099    97100  SH        Sole          2     100          97000
Supertex                             COM            868532102     1494    50000  SH        Sole                             50000
Sybron Intl corp Wisc                COM            87114F106     1288    44425  SH        Sole                             44425
Texaco Inc                           COM            881694103      370     6890  SH        Sole                              6890
Texas Biotechnology                  COM            88221t104     2035   142150  SH        Sole          2    1000         141150
Texas Instruments Inc                COM            882508104      384     2400  SH        Sole                              2400
Time Warner Inc                      COM            887315109     1310    13100  SH        Sole                             13100
Transwitch Corp                      COM            894065101     7584    78896  SH        Sole          4     900          77996
Tyco International Limited           COM            902124106    14537   290021  SH        Sole          2    1500         288521
U S West Inc                         COM            91273h101     1106    15235  SH        Sole                             15235
Wal Mart Stores Inc                  COM            931142103     1282    22690  SH        Sole                             22690
Walgreen Company                     COM            931422109     1288    50000  SH        Sole                             50000
Warner Lambert Co                    COM            934488107      617     6318  SH        Sole                              6318
Whirlpool Corp                       COM            963320106      352     6000  SH        Sole                              6000
Williams Companies                   COM            969457100     5114   116400  SH        Sole                            116400
Young & Rubicam                      COM            987425105     1565    33300  SH        Sole                             33300
Alliance Cap Mgt Holding LP          MLP            01855A101     5731   138301  SH        Sole          2    4000         134301
Buckeye Partners L P                 MLP            118230101     1667    64100  SH        Sole          2     400          63700
Crown Pacific Partners L.P.          MLP            228439105      413    19200  SH        Sole                             19200
El Paso Energy Partners              MLP            28368b102     2271   117223  SH        Sole          2     800         116423
Kinder Morgan Energy Partners,       MLP            494550106     7896   198959  SH        Sole          2     500         198459
Lakehead Pipeline PS L P             MLP            511557100     2092    60200  SH        Sole                             60200
Northern Border Partners L P         MLP            664785102     1758    64800  SH        Sole                             64800
Plains All American Pipeline L       MLP            726503105      175    10700  SH        Sole                             10700
TC Pipeline LP                       MLP            87233q108      517    32700  SH        Sole                             32700
Teppco Partners L P                  MLP            872384102     2824   126916  SH        Sole          2     800         126116
Dordtsche Petrol .65NLG Ord          FORGN          n27145189      295     5120  SH        Sole                              5120
Hays PLC 1P Gbp Par Ordinary         FORGN                         366    56000  SH        Sole                             56000
Koninklijke Numico NV (EUR) 0.       FORGN                         246     6000  SH        Sole                              6000
Shire Pharmaceuticals Grp adr        FORGN          82481r106    10868   212050  SH        Sole                            212050
REPORT SUMMARY                       236 DATA RECORDS                             0 OTHER MANAGERS ON WHOSE BEHALF REPORT IS FILED
</TABLE>
                                       6


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