UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
FORM 13 F
FORM 13F COVER PAGE
Report for the Calendar Year or Quarter Ended: December 31, 1999
Check here if Amendment [ ]; Amendment Number:
This Amendment (Check only one.): [ ] is a restatement.
[ ] adds new holdings entries.
Institutional Investment Manager filing this report:
Name: Clifford Associates, LLC
Address: 200 South Los Robles Avenue
Suite 320
Pasadena, California 91101
13F File Number: 28-6208-3
The institutional investment manager filling this report and the person by whom
it is signed hereby represent that the person signing the report is authorized
to submit it, that all information contained herein is true, correct and
complete, and that it is understood that all required items, statements,
schedules, lists, and tables, are considered integral parts of this form.
Person signing this report on behalf of reporting manager:
Name: Peter J. Boyle
Title: Principal
Phone: 626-792-2228
Signature, Place, and Date of Signing:
PETER J. BOYLE Pasadena, California February 10, 2000
Report Type (check only one.):
[ X ] 13 F HOLDINGS REPORT.
[ ] 13 F NOTICE.
[ ] 13 F COMBINATION REPORT.
List of Other Managers Reporting for this Manager:
I AM SIGNING THIS REPORT AS REQUIRED BY THE SECURITIES EXCHANGE ACT OF 1934.
<PAGE>
FORM 13 F SUMMARY PAGE
Report Summary:
Number of Other Included Managers: 0
Form 13 F Information Table Entry Total: 224
Form 13 F Information Table Value Total: $441,719
List of Other Included Managers:
<PAGE>
<TABLE>
FORM 13F
INFORMATION TABLE
VALUE SHARES/ SH/
PUT/ INVSTMT OTHER VOTING AUTHORITY
NAME OF ISSUER TITLE OF CLASS CUSIP (x$1000) PRN AMT PRN
CALL DSCRETN MANAGERS SOLE SHARED NONE
- ------------------------------ ---------------- --------- -------- -------- ---
- ---- ------- ------------ -------- -------- --------
<S> <C> <C> <C> <C> <C>
<C> <C> <C> <C> <C> <C>
American Balanced Fund COM 024071102 172 11916.542SH
SOLE 11916.542
Capital Income Builder COM 140193103 565 13239.615SH
SOLE 13239.615
Fidelity Secs Fund Growth & In COM 316389204 36 767.004 SH
SOLE 767.004
630 13366.509SH
OTHER 01 13366.509
Growth Fd of America Inc. COM 399874106 375 12864.997SH
SOLE 12864.997
Investment Co. of America Del COM 461308108 1840 56693.876SH
SOLE 54973.774 1720.102
Manager Special Equity Fund COM 561717208 223 2437.081 SH
SOLE 2437.081
Schwab 1000 Select COM 808517809 895 22230.442SH
SOLE 22230.442
Vanguard REIT Index COM 921908703 1247 126610.917SH
SOLE 126610.917
23 2368.886 SH
OTHER 01 2368.886
Vanguard U.S. Growth Fund COM 921910105 679 15603.255SH
SOLE 11739.705 3863.550
73 1681.754 SH
OTHER 01 1681.754
Europacific Growth Fund COM 298706102 483 11317.683SH
SOLE 11317.683
Vanguard Intl Growth Portfolio COM 921910204 262 11647.150SH
SOLE 11647.150
Non-US Equity Fund for Tax-Exe 458372109 1175 38002.016SH
SOLE 38002.016
U.S. Equity Fund for Tax Exemp 2759 93690.367SH
SOLE 93690.367
U.S. Small Cap Fund for Tax-Ex 2664 98677.495SH
SOLE 98677.495
MSC Software Corp. CNV 554806AA7 9 10000 PRN
OTHER 01 10000
AT&T Corp. COM 001957109 2756 54234 SH
SOLE 28658 3750 26326
522 10274 SH
OTHER 01 6699 3575
Abbott Laboratories COM 002824100 6497 178914 SH
SOLE 106338 72576
496 13650 SH
OTHER 01 8900 4750
Albertson's, Inc. COM 013104104 4108 127381 SH
SOLE 73503 1166 53862
781 24215 SH
OTHER 01 11850 12365
American Express Co. COM 025816109 914 5496 SH
SOLE 2780 2716
75 450 SH
OTHER 01 450
American Home Products Corp. COM 026609107 1169 29772 SH
SOLE 7430 2200 21942
2127 54180 SH
OTHER 01 27560 26620
American Intl Group COM 026874107 435 4027 SH
SOLE 3546 481
Amgen, Inc. COM 031162100 961 16000 SH
SOLE 12880 3120
318 5300 SH
OTHER 01 4500 800
Andrew Corp. COM 034425108 1510 79720 SH
SOLE 46845 1700 31475
670 35400 SH
OTHER 01 11200 24200
Anheuser-Busch Cos., Inc. COM 035229103 2004 28278 SH
SOLE 17100 400 11343
643 9075 SH
OTHER 01 7200 1875
Atlantic Richfield Co. COM 048825103 905 10458 SH
SOLE 4000 166 6292
74 850 SH
OTHER 01 850
Automatic Data Processing COM 053015103 3780 70169 SH
SOLE 42469 9200 22100
661 12260 SH
OTHER 01 2200 10060
Avery Dennison Corp. COM 053611109 5440 74646 SH
SOLE 44484 3100 29162
696 9550 SH
OTHER 01 2800 6750
BP Amoco Plc - Spons ADR COM 055622104 6309 106365 SH
SOLE 99045 1322 5998
6285 105959 SH
OTHER 01 45634 60325
Bank of America Corp. COM 060505104 430 8564 SH
SOLE 3267 5297
Bank of New York COM 064057102 4614 115346 SH
SOLE 84801 2800 31345
531 13275 SH
OTHER 01 4250 9025
Baxter Intl Inc. COM 071813109 210 3350 SH
SOLE 350 3000
28 446 SH
OTHER 01 446
Berkshire Hathaway A COM 084670108 1795 32 SH
SOLE 32
Berkshire Hathaway B COM 084670207 1330 727 SH
SOLE 717 10
11 6 SH
OTHER 01 6
Bestfoods COM 08658U101 427 8133 SH
SOLE 133 8000
76 1440 SH
OTHER 01 1440
Bristol-Myers Squibb Company COM 110122108 9626 149966 SH
SOLE 83401 6384 67975
4259 66355 SH
OTHER 01 28540 37815
COMPAQ Computer COM 204493100 2998 110772 SH
SOLE 91367 2950 19855
701 25900 SH
OTHER 01 3500 22400
Casey's General Stores COM 147528103 3465 331935 SH
SOLE 296400 35535
70 6750 SH
OTHER 01 4900 1850
Cedar Fair L.P. COM 150185106 529 27300 SH
SOLE 27300
Chevron Corporation COM 166751107 2313 26696 SH
SOLE 13896 13120
510 5892 SH
OTHER 01 5562 330
Chiron Corp. COM 170040109 418 9874 SH
SOLE 9874
Cintas Corp. COM 172908105 2213 41660 SH
SOLE 26575 1000 14585
146 2750 SH
OTHER 01 1350 1400
Cisco Systems, Inc. COM 17275R102 7488 69897 SH
SOLE 69897
182 1700 SH
OTHER 01 800 900
Citigroup Inc. COM 172967101 58 1049 SH
SOLE 1049
217 3900 SH
OTHER 01 300 3600
Clorox Company COM 189054109 7726 153367 SH
SOLE 88126 6930 67701
3127 62065 SH
OTHER 01 12860 49205
Coca-Cola Company COM 191216100 859 14747 SH
SOLE 14522 225
21 357 SH
OTHER 01 357
Colgate-Palmolive Co. COM 194162103 7502 115410 SH
SOLE 85710 3200 27900
150 2300 SH
OTHER 01 1100 1200
Corning Inc. COM 219350105 1184 9179 SH
SOLE 1600 9179
503 3900 SH
OTHER 01 2800 1100
Costco Wholesale Corp. COM 22160K105 6077 66598 SH
SOLE 41903 4550 21995
540 5917 SH
OTHER 01 2350 3567
Diebold, Inc. COM 253651103 591 25129 SH
SOLE 15312 2200 11557
138 5883 SH
OTHER 01 3400 2483
Disney Co., Walt COM 254687106 394 13479 SH
SOLE 1995 2750 9334
Dow Chemical Company COM 260543103 700 5236 SH
SOLE 2675 251 3420
895 6696 SH
OTHER 01 1896 4800
Du Pont E I De Nemours COM 263534109 481 7304 SH
SOLE 200 533 6571
46 700 SH
OTHER 01 700
EMC Corporation COM 268648102 316 2890 SH
SOLE 390 2500
Ecolab, Inc. COM 278865100 558 14260 SH
SOLE 8385 400 5475
23 600 SH
OTHER 01 600
Edison International COM 281020107 293 11205 SH
SOLE 2432 8773
73 2800 SH
OTHER 01 2800
Emerson Electric Co. COM 291011104 2564 44693 SH
SOLE 28650 18343
975 17000 SH
OTHER 01 9070 7930
ExxonMobil Corporation COM 30231G102 13313 165247 SH
SOLE 105344 5191 59498
3649 45294 SH
OTHER 01 19038 26256
Fannie Mae COM 313586109 1331 21310 SH
SOLE 17155 150 4155
12 200 SH
OTHER 01 200
First Data Corp. COM 319963104 6137 124441 SH
SOLE 85816 6150 36150
1078 21865 SH
OTHER 01 5300 16565
GTE Corp. COM 362320103 240 3408 SH
SOLE 2250 1158
99 1400 SH
OTHER 01 1400
General Electric Co. COM 369604103 22062 142565 SH
SOLE 92322 5391 49473
8915 57609 SH
OTHER 01 32527 25082
Genuine Parts Co. COM 372460105 17 675 SH
SOLE 675
207 8325 SH
OTHER 01 6975 1350
Gillette Co. COM 375766102 3672 89153 SH
SOLE 65080 4733 22540
309 7500 SH
OTHER 01 2400 5100
Grainger Inc., W.W. COM 384802104 7526 157415 SH
SOLE 104135 6550 49780
1415 29592 SH
OTHER 01 8240 21352
Harley-Davidson COM 412822108 256 4000 SH
OTHER 01 4000
Heinz, H J Company COM 423074103 1783 44787 SH
SOLE 12600 32187
427 10725 SH
OTHER 01 6450 4275
Hewlett-Packard Co. COM 428236103 13742 120810 SH
SOLE 71754 4216 47235
3649 32081 SH
OTHER 01 12208 19873
Home Depot, Inc. COM 437076102 9625 140001 SH
SOLE 139326 675
675 9825 SH
OTHER 01 9825
Honeywell International Inc. COM 438516106 107 1849 SH
SOLE 1849
157 2718 SH
OTHER 01 2718
Hubbell Inc. COM 443510201 1042 38252 SH
SOLE 24772 2536 12388
272 9976 SH
OTHER 01 524 9452
Illinois Tool Works Inc. COM 452308109 3523 52146 SH
SOLE 31430 700 20686
1309 19376 SH
OTHER 01 6983 12393
Intel Corp. COM 458140100 9897 120233 SH
SOLE 86058 4300 32575
629 7640 SH
OTHER 01 2340 5300
International Bus Mach COM 459200101 2211 20498 SH
SOLE 6068 2372 12058
1680 15578 SH
OTHER 01 6478 9100
Johnson & Johnson COM 478160104 9082 97395 SH
SOLE 76939 1100 19556
436 4680 SH
OTHER 01 1200 3480
Johnson Controls Inc. COM 478366107 5984 105221 SH
SOLE 73706 1200 31245
916 16105 SH
OTHER 01 6650 9455
Kimberly-Clark Corp. COM 494368103 8131 124250 SH
SOLE 76629 5550 46136
1972 30140 SH
OTHER 01 8200 21940
Kroger Co. COM 501044101 219 11596 SH
SOLE 11596
Lowe's Companies COM 548661107 11246 188225 SH
SOLE 102214 8700 82011
2568 42975 SH
OTHER 01 10100 32875
Lucent Technologies COM 549463107 5933 79101 SH
SOLE 61880 4069 16252
848 11310 SH
OTHER 01 9018 2292
MCI Worldcom Inc. COM 55268B106 236 4450 SH
SOLE 4150 900
24 450 SH
OTHER 01 150 300
MacDermid Inc. COM 554273102 712 17343 SH
SOLE 17343
Marsh & McLennan Companies COM 571748102 1853 19362 SH
SOLE 12675 600 6087
1172 12250 SH
OTHER 01 1000 11250
May Department Stores COM 577778103 1525 47287 SH
SOLE 46125 1162
19 600 SH
OTHER 01 600
McDonald's Corp. COM 580135101 1816 45042 SH
SOLE 40010 5032
210 5216 SH
OTHER 01 5216
Mediaone Group Inc. COM 58440J104 222 2892 SH
SOLE 92 2800
Medimmune Inc COM 584699102 249 1500 SH
SOLE 1500
Merck & Co., Inc. COM 589331107 8935 132978 SH
SOLE 90302 4530 41506
2476 36849 SH
OTHER 01 19309 17540
Microsoft Corp. COM 594918104 2478 21223 SH
SOLE 19590 133 1500
194 1660 SH
OTHER 01 1660
Minerals Technologies Inc. COM 603158106 2010 50160 SH
SOLE 46700 3460
Minnesota Mng. & Mfg. Co. COM 604059105 767 7835 SH
SOLE 875 6960
509 5200 SH
OTHER 01 1200 4000
Motorola Inc. COM 620076109 832 5650 SH
SOLE 200 5450
44 300 SH
OTHER 01 300
Newell Rubbermaid, Inc. COM 651229106 3667 126454 SH
SOLE 104525 783 21964
449 15485 SH
OTHER 01 3700 11785
Nokia Corporation ADR A COM 654902204 256 1340 SH
SOLE 290 400 650
Northrop Grumman Corp. COM 666807102 389 7200 SH
SOLE 7200
Office Depot, Inc. COM 676220106 153 13950 SH
SOLE 13950
PPG Industries, Inc. COM 693506107 3733 59671 SH
SOLE 34145 1217 27281
915 14625 SH
OTHER 01 2425 12200
Penn Engineering COM 707389300 1052 45475 SH
SOLE 38325 600 6550
PepsiCo Inc. COM 713448108 7664 217417 SH
SOLE 129972 10032 84720
1754 49756 SH
OTHER 01 15333 34423
Pfizer, Inc. COM 717081103 1532 47234 SH
SOLE 38136 348 9150
122 3750 SH
OTHER 01 150 3600
Philip Morris Cos Inc. COM 718154107 685 29800 SH
SOLE 7200 22600
41 1800 SH
OTHER 01 1800
Potash Corp. Saskatchewan COM 73755L107 182 3775 SH
SOLE 1000 2775
26 535 SH
OTHER 01 535
Procter & Gamble Co. COM 742718109 686 6260 SH
SOLE 3600 2660
89 816 SH
OTHER 01 816
Protective Life Corp. COM 743674103 2087 65615 SH
SOLE 42275 3100 20640
91 2875 SH
OTHER 01 2050 825
QUALCOMM, Inc. COM 747525103 201 1140 SH
SOLE 1140
Raytheon Co. Cl B COM 755111408 234 8800 SH
SOLE 800 8000
Roche Dividend Right Cert COM 2466 208 SH
SOLE 208
Rohm & Haas Co. COM 775371107 159 3900 SH
SOLE 3900
482 11850 SH
OTHER 01 4050 7800
Royal Dutch Petroleum Co. COM 780257804 2454 40524 SH
SOLE 19000 2300 19624
388 6400 SH
OTHER 01 2400 4000
SBC Communications COM 78387G103 4722 96863 SH
SOLE 49049 6691 45861
503 10320 SH
OTHER 01 5810 4510
SYSCO Corp. COM 871829107 10059 254264 SH
SOLE 160714 7400 90760
2447 61856 SH
OTHER 01 24803 37053
Sara Lee Corp. COM 803111103 4433 200939 SH
SOLE 115236 13382 81633
1383 62682 SH
OTHER 01 23536 39146
Schering Plough Corp. COM 806605101 1094 25825 SH
SOLE 13025 12800
Schlumberger Ltd COM 806857108 4363 77741 SH
SOLE 50774 4880 23857
586 10443 SH
OTHER 01 7250 3193
Sigma-Aldrich Corp. COM 826552101 1318 43850 SH
SOLE 33100 2100 10750
103 3420 SH
OTHER 01 1100 2320
Sovran Self Storage COM 84610H108 588 31550 SH
SOLE 31150 400
13 700 SH
OTHER 01 700
Standard Register Co. COM 853887107 25 1300 SH
SOLE 1000 300
295 15250 SH
OTHER 01 2600 12650
Sun Microsystems Inc. COM 866810104 204 2640 SH
SOLE 2400 240
194 2500 SH
OTHER 01 2500
Tektronix Inc. COM 879131100 2919 75075 SH
SOLE 48900 3950 23825
124 3200 SH
OTHER 01 3200
Tetra Tech Inc. COM 88162G103 923 60000 SH
OTHER 01 60000
Texaco Inc. COM 881694103 251 4625 SH
SOLE 1500 3125
Time Warner Inc. COM 887315109 521 7200 SH
SOLE 400 6800
Transocean Sedco Forex Inc. COM 2821287 507 15052 SH
SOLE 9830 942 4620
68 2022 SH
OTHER 01 1404 618
Tyco International Ltd New COM 902124106 239 6124 SH
SOLE 5224 900
U.S. West Inc. COM 91273H101 226 3141 SH
SOLE 294 2847
UST Inc. COM 902911106 630 25000 SH
SOLE 6000 19000
United Technologies COM 913017109 231 3550 SH
SOLE 2750 800
Vodafone AirTouch ADR COM 92857T107 15061 304261 SH
SOLE 189436 15250 112075
3996 80730 SH
OTHER 01 20455 60275
WD-40 Co. COM 929236107 82 3700 SH
SOLE 3100 600
230 10400 SH
OTHER 01 10400
Wal-Mart Stores, Inc. COM 931142103 2441 35320 SH
SOLE 19870 15450
90 1300 SH
OTHER 01 1000 300
Walgreen Co. COM 931422109 4035 137945 SH
SOLE 134445 3500
Warner Lambert Co. COM 934488107 388 4740 SH
SOLE 1440 3300
25 300 SH
OTHER 01 300
Wells Fargo Company New COM 949746101 4705 116357 SH
SOLE 86032 1250 29325
426 10530 SH
OTHER 01 700 9830
Pacific Liberty Bank COM 694470105 100 10000.00 SH
SOLE 10000.00
</TABLE>