INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT
MANAGERS
PREPARED FOR: FIRST SECURITY BANK ON
4/3/99 AS OF 3/31/99
DEPT ID# 890 PAGE 1
SEC
USE ONLY ______________________________
ITEM 1 ITEM 2 ITEM 3
ITEM 4 ITEM 5
ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER
MARKET SH/PV INVEST
AUTH MNGR VOTING AUTH(SHARES)
SOLE
SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK
INSTR OTHER
V
COMMON STOCK
------------------------------
ABBOTT LABORATORIES 002824100
9120105 194822
X 194162 0 660
ABC RAIL PRODUCTS CORPORATION 000752105
15150 1200
X 1200 0 0
ACTIVISION INC NEW 004930202
12 1
X 1 0 0
ADOBE SYSTEMS INCORPORATED 00724F101
11350 200
X 200 0 0
AEROQUIP VICKERS INCORPORATED 007869100
34388 600
X 600 0 0
AETNA INCORPORATED 008117103
40670 490
X 490 0 0
AFLAC INCORPORATED 001055102
1717394 31548
X 30048 0 1500
AGRIBRANDS INTERNATIONAL INC 00849R105
2170 66
X 66 0 0
AIR PRODUCTS & CHEMICALS INC 009158106
36990 1080
X 1080 0 0
AIRTOUCH COMMUNICATIONS INCORPORATED 00949T100
2012506 20828
X 9886 0 10942
ALBEMARLE CORPORATION 012653101
5444 260
X 260 0 0
ALBERTSONS INCORPORATED 013104104
240731771 4422168
X 4318368 0 103800
ALCOA INCORPORATED 013817101
63429 1540
X 1490 0 50
ALDILA INCORPORATED 014384101
469 250
X 250 0 0
ALLEGHENY ENERGY INCORPORATED 017361106
1148140 38920
X 32270 0 6650
ALLEN TELECOM INCORPORATED 018091108
31525 4850
X 4850 0 0
ALLIED CAPITAL CORPORATION NEW 01903Q108
20213 1100
X 1100 0 0
ALLIED SIGNAL INCORPORATED 019512102
693298 14095
X 10983 0 3112
ALLSTATE CORPORATION 020002101
542113 14627
X 12329 0 2298
ALLTEL CORPORATION 020039103
349550 5604
X 5604 0 0
ALTA GOLD COMPANY 021271101
785 1092
X 92 0 1000
ALTAIR INTERNATIONAL INC 02136W102
18181 2999
X 2999 0 0
ALTERA CORPORATION 021441100
2031925 34150
X 34150 0 0
ALZA CORPORATION 022615108
17213 450
X 450 0 0
AMERADA HESS CORPORATION 023551104
89540 1760
X 1760 0 0
AMEREN CORPORATION 023608102
358799 9915
X 9915 0 0
AMERICA ONLINE INCORPORATED DELAWARE 02364J104
521850 3550
X 2460 400 690
AMERICAN ELECTRIC POWER INCORPORATED 025537101
79216 1996
X 1996 0 0
AMERICAN EXPRESS COMPANY 025816109
12772931 108475
X 104105 0 4370
AMERICAN GENERAL CORPORATION 026351106
38775 550
X 550 0 0
AMERICAN GREETINGS CORP-CLASS A 026375105
10150 400
X 300 0 100
AMERICAN HOME PRODUCTS CORPORATION 026609107
20286225 310900
X 301975 0 8925
AMERICAN INTERNATIONAL GROUP INC 026874107
14789349 122606
X 119031 0 3575
AMERICAN RESIDENTIAL SERVICES INC 028911105
6450 1200
X 1200 0 0
AMERICAN SOFTWARE INC-CLASS A 029683109
625 200
X 200 0 0
AMERICAN STORES COMPANY NEW 030096101
14143371 428587
X 415187 0 13400
AMERICAN TOWER CORP 029912201
235004 9592
X 9592 0 0
AMERISOURCE HEALTH CORPORATION-CL A 03071P102
241022 7050
X 6900 0 150
AMERISTAR CASINOS INCORPORATED 03070Q101
6050 2200
X 2000 0 200
AMERITECH CORPORATION NEW 030954101
3641266 63189
X 32821 0 30368
AMGEN INCORPORATED 031162100
335066 4475
X 4475 0 0
AMP INCORPORATED 031897101
27981 523
X 523 0 0
AMR CORPORATION DELAWARE 001765106
99556 1700
X 1640 0 60
--------
- - --------- ----
- ---- ---- ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE
326328017 5871808
5679558 400 191850
1
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT
MANAGERS
PREPARED FOR: FIRST SECURITY BANK ON
4/3/99 AS OF 3/31/99
DEPT ID# 890 PAGE 2
SEC
USE ONLY ______________________________
ITEM 1 ITEM 2 ITEM 3
ITEM 4 ITEM 5
ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER
MARKET SH/PV INVEST
AUTH MNGR VOTING AUTH(SHARES)
SOLE
SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK
INSTR OTHER
V
COMMON STOCK
------------------------------
ANADARKO PETROLEUM CORPORATION 032511107
380067 10068
X 10068 0 0
ANALOG DEVICES INCORPORATED 032654105
7573428 254569
X 254019 0 550
ANHEUSER BUSCH COS INCORPORATED 035229103
143648 1887
X 1887 0 0
APPLE COMPUTER INCORPORATED 037833100
7188 200
X 200 0 0
APPLIED MATERIALS INCORPORATED 038222105
484247 7850
X 7550 0 300
APPLIED MICROSYSTEMS CORPORATION 037935103
863 300
X 300 0 0
APTARGROUP INCORPORATED 038336103
68380 2630
X 2630 0 0
ARCH CHEMICALS INC 03937R102
1675 100
X 100 0 0
ARCHER DANIELS MIDLAND COMPANY 039483102
74803 5093
X 5093 0 0
ARCHSTONE COMMUNITIES TRUST-SBI 039581103
36487 1813
X 1813 0 0
ARMCO INCORPORATED 042170100
5103 1150
X 1150 0 0
ARMSTRONG WORLD INDUSTRIES INC 042476101
147763 3270
X 3270 0 0
ASCEND COMMUNICATIONS INCORPORATED 043491109
531416 6350
X 6350 0 0
ASSOCIATES FIRST CAPITAL CORP-CL A 046008108
591750 13150
X 13150 0 0
AT & T CORPORATION 001957109
24510179 307097
X 297628 0 9469
AT HOME CORPORATION-COMMON SERIES A 045919107
47250 300
X 300 0 0
AT&T CORP LIBERTY MEDIA GROUP-CL A 001957208
4459247 84793
X 0 0 84793
ATLANTIC RICHFIELD COMPANY 048825103
2695022 36855
X 36655 0 200
ATMOS ENERGY CORPORATION 049560105
24063 1000
X 1000 0 0
ATRIX LABS INCORPORATED 04962L101
135 12
X 12 0 0
AURA SYSTEMS INCORPORATED 051526101
3188 8500
X 8500 0 0
AUTODESK INCORPORATED 052769106
26284 650
X 650 0 0
AUTOLIV INCORPORATED 052800109
29637 789
X 789 0 0
AUTOMATIC DATA PROCESSING INC 053015103
78199 1890
X 1890 0 0
AUTOZONE INCORPORATED 053332102
3038 100
X 100 0 0
AVID TECHNOLOGY INCORPORATED 05367P100
5231 300
X 300 0 0
AVIRON 053762100
2025 100
X 100 0 0
AVISTA CORPORATION 05379B107
433696 26689
X 26489 0 200
AVON PRODUCTS INCORPORATED 054303102
28238 600
X 600 0 0
AZCO MINING INCORPORATED DELAWARE 054774104
188 300
X 300 0 0
AZTAR CORPORATION 054802103
1203 250
X 250 0 0
BAKER HUGHES INCORPORATED 057224107
52272 2150
X 2150 0 0
BALDOR ELECTRIC COMPANY 057741100
53653 2666
X 0 0 2666
BALLARD MEDICAL PRODUCTS 058566100
830529 34073
X 34073 0 0
BALTIMORE GAS & ELECTRIC COMPANY 059165100
15225 600
X 600 0 0
BANCTEC INCORPORATED 059784108
1847 150
X 150 0 0
BANK NEW YORK INCORPORATED 064057102
369294 10276
X 10276 0 0
BANK ONE CORPORATION 06423A103
14544539 264146
X 238276 0 25870
BANKAMERICA CORPORATION 06605F102
15751494 223030
X 196593 0 26437
BANKERS TRUST CORPORATION 066365107
58598 664
X 664 0 0
BARNES & NOBLE INCORPORATED 067774109
6104 190
X 190 0 0
BAUSCH & LOMB INCORPORATED 071707103
2600 40
X 40 0 0
BAXTER INTERNATIONAL INCORPORATED 071813109
151800 2300
X 2300 0 0
--------
- - --------- ----
- ---- ---- ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE
74231596 1318940
1168455 0 150485
1
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT
MANAGERS
PREPARED FOR: FIRST SECURITY BANK ON
4/3/99 AS OF 3/31/99
DEPT ID# 890 PAGE 3
SEC
USE ONLY ______________________________
ITEM 1 ITEM 2 ITEM 3
ITEM 4 ITEM 5
ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER
MARKET SH/PV INVEST
AUTH MNGR VOTING AUTH(SHARES)
SOLE
SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK
INSTR OTHER
V
COMMON STOCK
------------------------------
BECTON DICKINSON & COMPANY 075887109
7663 200
X 200 0 0
BEDFORD PPTY INVS INC-COM PAR $0.02 076446301
19013 1300
X 1300 0 0
BELL ATLANTIC CORPORATION 077853109
5440006 105248
X 83470 0 21778
BELLSOUTH CORPORATION 079860102
4100717 102358
X 90058 0 12300
BERGEN BRUNSWIG CORPORATION-CLASS A 083739102
93200 4660
X 4660 0 0
BERKSHIRE HATHAWAY INC DEL-CLASS A 084670108
882000 12
X 12 0 0
BERKSHIRE HATHAWAY INC DEL-CLASS B 084670207
14898287 6337
X 6210 0 127
BESTFOODS 08658U101
385400 8200
X 8200 0 0
BEVERLY ENTERPRISES INC-COMMON NEW 087851309
30238 5900
X 5900 0 0
BIOGEN INCORPORATED 090597105
68588 600
X 600 0 0
BIOMET INCORPORATED 090613100
16775 400
X 400 0 0
BLACK HILLS CORPORATION 092113109
72569 3405
X 3405 0 0
BLOCK H & R INCORPORATED 093671105
14781 312
X 312 0 0
BMC SOFTWARE INCORPORATED 055921100
165299 4460
X 0 0 4460
BOEING COMPANY 097023105
2509982 73823
X 64523 0 9300
BOISE CASCADE CORPORATION 097383103
60114 1864
X 1864 0 0
BORG WARNER SECURITY CORPORATION 099733107
5025 300
X 0 0 300
BORG-WARNER AUTOMOTIVE INCORPORATED 099724106
539755 11289
X 11289 0 0
BOSTON LIFE SCIENCES INC-NEW 100843408
36 5
X 5 0 0
BOSTON PROPERTIES INCORPORATED 101121101
7906 250
X 250 0 0
BOSTON SCIENTIFIC CORPORATION 101137107
316875 7800
X 7800 0 0
BOWATER INCORPORATED 102183100
1052836 26570
X 26570 0 0
BOWLIN OUTDOOR ADVERTISING & TRAVEL 102595105
3500 500
X 0 0 500
BOYD GAMING CORPORATION 103304101
25696 6046
X 6046 0 0
BRADLEY REAL ESTATE INCORPORATED 104580105
60775 3400
X 3400 0 0
BRANDYWINE REALTY TRUST-SBI NEW 105368203
243750 15000
X 15000 0 0
BRE PROPERTIES INCORPORATED-CLASS A 05564E106
19797 875
X 700 0 175
BRISTOL-MYERS SQUIBB COMPANY 110122108
13585074 211853
X 160429 0 51424
BROWNING FERRIS INDUSTRIES INC 115885105
30850 800
X 800 0 0
BRUNSWICK CORPORATION 117043109
19063 1000
X 1000 0 0
BUILDING MATERIALS HOLDING CORP 120113105
10125 1000
X 1000 0 0
BURLINGTON NORTHERN SANTA FE CORP 12189T104
732061 22268
X 22268 0 0
BURLINGTON RESOURCES INCORPORATED 122014103
180957 4531
X 4531 0 0
BUTLER MANUFACTURING COMPANY DEL 123655102
32906 1404
X 1404 0 0
CABLETRON SYSTEMS INCORPORATED 126920107
2456 300
X 300 0 0
CABOT CORPORATION 127055101
30813 1450
X 1450 0 0
CADENCE DESIGN SYSTEMS INCORPORATED 127387108
8240 320
X 0 0 320
CALGON CARBON CORPORATION 129603106
21788 4200
X 4200 0 0
CALIFORNIA COASTAL COMMUNITIES INC 129915104
228 35
X 35 0 0
CALLON PETROLEUM COMPANY DELAWARE 13123X102
668 60
X 60 0 0
CALLOWAY GOLF COMPANY 131193104
2038 200
X 200 0 0
CAMDEN PROPERTY TRUST 133131102
3737 151
X 151 0 0
CAMPBELL SOUP COMPANY 134429109
120110 2952
X 2952 0 0
--------
- - --------- ----
- ---- ---- ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE
45821697 643638
542954 0 100684
1
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT
MANAGERS
PREPARED FOR: FIRST SECURITY BANK ON
4/3/99 AS OF 3/31/99
DEPT ID# 890 PAGE 4
SEC
USE ONLY ______________________________
ITEM 1 ITEM 2 ITEM 3
ITEM 4 ITEM 5
ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER
MARKET SH/PV INVEST
AUTH MNGR VOTING AUTH(SHARES)
SOLE
SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK
INSTR OTHER
V
COMMON STOCK
------------------------------
CAPITAL ONE FINANCIAL CORPORATION 14040H105
12115485 80235
X 77035 0 3200
CAPITAL RE CORPORATION 140432105
8142 472
X 472 0 0
CARDINAL HEALTH INCORPORATED 14149Y108
27060 410
X 410 0 0
CARLISLE COMPANIES INCORPORATED 142339100
299200 6400
X 6400 0 0
CARNIVAL CORPORATION 143658102
8855129 182345
X 179795 0 2550
CAROLINA POWER & LIGHT COMPANY 144141108
18906 500
X 300 0 200
CASCADE CORPORATION 147195101
19125 1800
X 1800 0 0
CATELLUS DEVELOPMENT CORPORATION 149111106
4227 316
X 295 0 21
CATERPILLAR INCORPORATED 149123101
330750 7200
X 7200 0 0
CBS CORPORATION 12490K107
570559 13980
X 980 0 13000
CEC ENTERTAINMENT INCORPORATED 125137109
7175 200
X 200 0 0
CENDANT CORPORATION 151313103
4781 300
X 300 0 0
CENTER BANCORP INC 151408101
1638 100
X 100 0 0
CENTRAL & SOUTH WEST CORPORATION 152357109
86953 3710
X 3710 0 0
CENTRAL HUDSON GAS & ELECTRIC 153609102
10744 300
X 300 0 0
CENTURY TELEPHONE ENTERPRISES INC 156686107
8430 120
X 120 0 0
CERES GROUP INCORPORATED 156772105
1750 200
X 200 0 0
CHAMPION INTERNATIONAL CORPORATION 158525105
1930 47
X 47 0 0
CHARMING SHOPPES INCORPORATED 161133103
35844 9250
X 9250 0 0
CHASE MANHATTAN CORPORATION NEW 16161A108
4860366 59728
X 39878 0 19850
CHELSEA GCA REALTY INCORPORATED 163262108
13938 500
X 500 0 0
CHEMED CORPORATION 163596109
248488 9650
X 9550 0 100
CHEVRON CORPORATION 166751107
3111043 35054
X 34254 0 800
CHOICEPOINT INCORPORATED 170388102
14713 295
X 195 0 100
CHUBB CORPORATION 171232101
311435 5318
X 5318 0 0
CIGNA CORPORATION 125509109
2431 29
X 29 0 0
CILCORP INCORPORATED 171794100
18019 300
X 300 0 0
CINCINNATI BELL INCORPORATED 171870108
57440 2560
X 2560 0 0
CINERGY CORPORATION 172474108
39600 1440
X 1440 0 0
CIRCUS CIRCUS ENTERPRISES INC 172909103
258169 14700
X 14700 0 0
CIRRUS LOGIC INCORPORATED 172755100
1275 200
X 200 0 0
CISCO SYSTEMS INCORPORATED 17275R102
29781169 271819
X 256012 500 15307
CITIGROUP INCORPORATED 172967101
6364761 99644
X 68977 0 30667
CITIZENS UTILITIES CO DELAWARE-SER B 177342201
57707 7446
X 7446 0 0
CLOROX COMPANY 189054109
206016 1758
X 1758 0 0
COASTAL CORPORATION 190441105
9462255 286735
X 277535 0 9200
COCA COLA COMPANY 191216100
15103897 246092
X 231822 0 14270
COCA COLA ENTERPRISES INCORPORATED 191219104
11162 369
X 369 0 0
COEUR D ALENE MINES CORP IDAHO 192108108
4414 1070
X 1070 0 0
COGNICASE INC 192423101
1725 100
X 100 0 0
COHERENT INCORPORATED 192479103
39875 2900
X 2900 0 0
COLGATE PALMOLIVE COMPANY 194162103
221317500 2405625
X 2403625 0 2000
COLONIAL BANCGROUP INCORPORATED 195493309
120000 10000
X 10000 0 0
--------
- - --------- ----
- ---- ---- ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE
313815226 3771217
3659452 500 111265
1
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT
MANAGERS
PREPARED FOR: FIRST SECURITY BANK ON
4/3/99 AS OF 3/31/99
DEPT ID# 890 PAGE 5
SEC
USE ONLY ______________________________
ITEM 1 ITEM 2 ITEM 3
ITEM 4 ITEM 5
ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER
MARKET SH/PV INVEST
AUTH MNGR VOTING AUTH(SHARES)
SOLE
SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK
INSTR OTHER
V
COMMON STOCK
------------------------------
COLUMBIA ENERGY GROUP 197648108
8621 165
X 165 0 0
COLUMBIA HCA HEALTHCARE CORPORATION 197677107
624938 33000
X 1000 0 32000
COLUMBIA LABORATORIES INCORPORATED 197779101
17813 3000
X 3000 0 0
COMCAST CORPORATION-CLASS A SPECIAL 200300200
566438 9000
X 0 0 9000
COMERICA INCORPORATED 200340107
65559 1050
X 1050 0 0
COMMSCOPE INCORPORATED 203372107
10469 500
X 500 0 0
COMMUNITY FIRST BANKSHARES INC 203902101
360000 18000
X 18000 0 0
COMPAQ COMPUTER CORPORATION 204493100
6198360 195609
X 161379 0 34230
COMPUSA INCORPORATED 204932107
700 100
X 100 0 0
COMPUTER ASSOCIATES INTL INC 204912109
894219 25145
X 2362 0 22783
COMPUWARE CORPORATION 205638109
77833 3260
X 0 0 3260
CONAGRA INCORPORATED 205887102
2043978 79765
X 44720 0 35045
CONECTIV INCORPORATED 206829103
9688 500
X 500 0 0
CONEXANT SYS INC 207142100
47013 1698
X 1698 0 0
CONSOLIDATED EDISON INCORPORATED 209115104
304183 6713
X 6713 0 0
CONSOLIDATED NATURAL GAS COMPANY 209615103
589898 12116
X 12116 0 0
CONSOLIDATED STORES CORPORATION 210149100
54563 1800
X 1800 0 0
CONVERGYS CORP 212485106
43840 2560
X 2560 0 0
CONVERSE INCORPORATED DELAWARE 212540108
99 33
X 0 0 33
COOPER INDUSTRIES INCORPORATED 216669101
67859 1592
X 1592 0 0
CORDANT TECHNOLOGIES INCORPORATED 218412104
31850 800
X 800 0 0
CORN PRODUCTS INTERNATIONAL INC 219023108
15248 637
X 637 0 0
CORNING INCORPORATED 219350105
138000 2300
X 2300 0 0
CORPORATE EXPRESS INCORPORATED 219888104
22695 4375
X 3625 0 750
COUNTRYWIDE CREDIT INDUSTRIES INC 222372104
6938 185
X 0 0 185
COVANCE INCORPORATED 222816100
13158 525
X 525 0 0
COVOL TECHNOLOGIES INCORPORATED 223575101
1025 200
X 200 0 0
COX COMMUNICATIONS INC NEW-CLASS A 224044107
44997 595
X 595 0 0
CRESCENDO PHARMACEUTICALS CORP 225637107
428 30
X 30 0 0
CROSS TIMBERS OIL COMPANY 227573102
7063 1000
X 1000 0 0
CRYOLIFE INCORPORATED 228903100
5500 500
X 500 0 0
CSK AUTO CORPORATION 125965103
5988 200
X 200 0 0
CSX CORPORATION 126408103
120473 3094
X 3094 0 0
CVS CORPORATION 126650100
71250 1500
X 220 0 1280
CYPRUS AMAX MINERALS COMPANY 232809103
7311 603
X 603 0 0
CYTEC INDUSTRIES INCORPORATED 232820100
64461 2889
X 2289 0 600
D P L INCORPORATED 233293109
2256573 136762
X 136762 0 0
DAIMLERCHRYSLER AG D1668R123
1613876 18807
X 5262 0 13545
DALLAS SEMICONDUCTOR CORPORATION 235204104
3863 100
X 100 0 0
DANAHER CORPORATION 235851102
20900 400
X 0 0 400
DARDEN RESTAURANTS INCORPORATED 237194105
33000 1600
X 1600 0 0
DAW TECHNOLOGIES INCORPORATED 239220106
1920 1280
X 0 0 1280
DAYTON HUDSON CORPORATION 239753106
13636472 204675
X 181985 0 22690
--------
- - --------- ----
- ---- ---- ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE
30109060 778663
601582 0 177081
1
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT
MANAGERS
PREPARED FOR: FIRST SECURITY BANK ON
4/3/99 AS OF 3/31/99
DEPT ID# 890 PAGE 6
SEC
USE ONLY ______________________________
ITEM 1 ITEM 2 ITEM 3
ITEM 4 ITEM 5
ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER
MARKET SH/PV INVEST
AUTH MNGR VOTING AUTH(SHARES)
SOLE
SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK
INSTR OTHER
V
COMMON STOCK
------------------------------
DEERE & COMPANY 244199105
67787 1755
X 1600 0 155
DELIA*S INCORPORATED 246885107
7214 229
X 229 0 0
DELL COMPUTER CORPORATION 247025109
12740043 311683
X 303543 0 8140
DELUXE CORPORATION 248019101
3612 124
X 124 0 0
DII GROUP INCORPORATED 232949107
5499 188
X 188 0 0
DISNEY WALT COMPANY 254687106
11218477 360433
X 324558 0 35875
DIXIE GROUP INCORPORATED-CLASS A 255519100
7125 1000
X 0 0 1000
DOLE FOOD COMPANY 256605106
312750 10425
X 10425 0 0
DOLLAR TREE STORES INCORPORATED 256747106
1043522 33730
X 28180 0 5550
DOMINION RES BLACK WARRIOR TRUST 25746Q108
7406 500
X 0 0 500
DOMINION RESOURCES INC VIRGINIA 257470104
85954 2327
X 2249 0 78
DONNELLEY R R & SONS COMPANY 257867101
263938 8200
X 8200 0 0
DOVER CORPORATION 260003108
185777 5651
X 5651 0 0
DOW CHEMICAL COMPANY 260543103
474790 5095
X 5095 0 0
DQE INCORPORATED 23329J104
179019 4665
X 4665 0 0
DTE ENERGY COMPANY 233331107
1052227 27375
X 27025 0 350
DU PONT E I DE NEMOURS & COMPANY 263534109
6837382 117759
X 104019 0 13740
DUKE ENERGY CORPORATION 264399106
766224 13979
X 13979 0 0
DUN & BRADSTREET CORPORATION DEL 26483B106
41503 1165
X 1165 0 0
DURA PHARMACEUTICALS INCORPORATED 26632S109
2825 200
X 200 0 0
DYERSBURG CORPORATION 267575108
156 100
X 100 0 0
DYNATRONICS CORPORATION 268157104
2391 1500
X 1500 0 0
EAGLE HARDWARE & GARDEN INCORPORATED 26959B101
1629346 42667
X 42667 0 0
EARTHGRAINS COMPANY 270319106
1243 56
X 56 0 0
EARTHWEB INCORPORATED 27032C108
6303 115
X 115 0 0
EASTMAN CHEMICAL COMPANY 277432100
31631 752
X 590 0 162
EASTMAN KODAK COMPANY 277461109
325124 5090
X 4420 0 670
ECHELON INTERNATIONAL CORP INC 278747100
393 20
X 20 0 0
EDISON INTERNATIONAL 281020107
209106 9398
X 9398 0 0
EFTC CORPORATION 268443108
2775 600
X 600 0 0
EG&G INCORPORATED 268457108
63300 2400
X 2400 0 0
EL PASO ENERGY CORPORATION DEL 283905107
19286 590
X 590 0 0
ELECTRONIC DATA SYSTEMS CORPORATION 285661104
1931190 39665
X 19541 0 20124
ELXSI CORPORATION-COMMON NEW 268613205
205 20
X 20 0 0
EMC CORPORATION MASSACHUSETTS 268648102
196735 1540
X 110 0 1430
EMERSON ELECTRIC COMPANY 291011104
607087 11468
X 11468 0 0
EMPIRE DISTRICT ELECTRIC COMPANY 291641108
4563 200
X 200 0 0
ENERGEN CORPORATION 29265N108
26888 1800
X 1800 0 0
ENERGY CONVERSION DEVICES INC 292659109
18500 2000
X 0 0 2000
ENRON CORPORATION 293561106
1033975 16093
X 5093 0 11000
ENTERGY CORPORATION NEW 29364G103
8498 309
X 309 0 0
EQUIFAX INCORPORATED 294429105
214844 6250
X 2550 0 3700
EQUITABLE COMPANIES INCORPORATED 29444G107
5040 72
X 72 0 0
--------
- - --------- ----
- ---- ---- ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE
41641653 1049188
944714 0 104474
1
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT
MANAGERS
PREPARED FOR: FIRST SECURITY BANK ON
4/3/99 AS OF 3/31/99
DEPT ID# 890 PAGE 7
SEC
USE ONLY ______________________________
ITEM 1 ITEM 2 ITEM 3
ITEM 4 ITEM 5
ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER
MARKET SH/PV INVEST
AUTH MNGR VOTING AUTH(SHARES)
SOLE
SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK
INSTR OTHER
V
COMMON STOCK
------------------------------
EQUITY OIL COMPANY 294749106
660 704
X 704 0 0
ETHYL CORPORATION 297659104
2210 520
X 520 0 0
EVANS & SUTHERLAND COMPUTER CORP 299096107
6600 550
X 550 0 0
EVEREST REINSURANCE HOLDINGS INC 299808105
15594 500
X 500 0 0
EXXON CORPORATION 302290101
30194047 427905
X 409071 0 18834
FAMILY GOLF CENTERS INCORPORATED 30701A106
19709 2650
X 2650 0 0
FANNIE MAE 313586109
17572326 253752
X 242427 0 11325
FEDERAL TR CORP 314012105
2623 976
X 976 0 0
FIFTH THIRD BANCORP 316773100
44508 675
X 675 0 0
FINANCIAL INDUSTRIES CORPORATION 317574101
240000 20000
X 20000 0 0
FIRST AMERICAN CORPORATION TENNESSEE 318900107
39309 1066
X 1066 0 0
FIRST DATA CORPORATION 319963104
104567 2446
X 146 0 2300
FIRST INDUSTRIAL REALTY TRUST INC 32054K103
81388 3400
X 3400 0 0
FIRST SECURITY CORPORATION DEL 336294103
303221874 15700809
X 14885787 0 815022
FIRST SOUTHN BANCSHARES INC 33645B107
1350 100
X 100 0 0
FIRST TENNESSEE NATIONAL CORP 337162101
91563 2500
X 2500 0 0
FIRST UNION CORPORATION 337358105
74813 1400
X 1400 0 0
FIRSTAR CORPORATION NEW WIS 33763V109
261430 2921
X 2921 0 0
FIRSTENERGY CORPORATION 337932107
16940 605
X 605 0 0
FLEET FINANCIAL GROUP INC NEW 338915101
67725 1800
X 1800 0 0
FLORIDA PROGRESS CORPORATION 341109106
47188 1250
X 1250 0 0
FLORSHEIM GROUP INCORPORATED 343302105
88 16
X 0 0 16
FLOWERS INDUSTRIES INCORPORATED 343496105
27408 1113
X 1113 0 0
FOOTSTAR INCORPORATED 344912100
5888 184
X 0 0 184
FORD MOTOR COMPANY DELAWARE 345370100
2617319 46171
X 41371 0 4800
FORELAND CORPORATION-COMMON NEW 345458301
147 147
X 147 0 0
FOREST LABORATORIES INCORPORATED 345838106
338 6
X 6 0 0
FORTUNE BRANDS INCORPORATED 349631101
129514 3364
X 2092 0 1272
FPL GROUP INCORPORATED 302571104
990450 18600
X 18600 0 0
FRANCHISE FINANCE CORP AMERICA 351807102
12006 570
X 570 0 0
FRANKLIN COVEY COMPANY 353469109
1800 200
X 200 0 0
FRANKLIN RESOURCES INCORPORATED 354613101
299531 10650
X 10650 0 0
FREDDIE MAC 313400301
139269 2430
X 20 0 2410
FREMONT GENERAL CORPORATION 357288109
95313 5000
X 5000 0 0
FURNITURE BRANDS INTERNATIONAL INC 360921100
664 30
X 0 0 30
GAINSCO INCORPORATED 363127101
4875 1000
X 1000 0 0
GANNETT INCORPORATED 364730101
50400 800
X 800 0 0
GAP INCORPORATED 364760108
1201461 17849
X 17849 0 0
GARDNER DENVER MACHINERY INC 365558105
429 27
X 27 0 0
GATEWAY 2000 INCORPORATED 367833100
27425 400
X 400 0 0
GATX CORPORATION 361448103
13175 400
X 400 0 0
GENCOR INDS INC 368678108
631 100
X 100 0 0
GENERAL CABLE CORPORATION DEL NEW 369300108
19013 1800
X 1500 0 300
--------
- - --------- ----
- ---- ---- ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE
357743568 16537386
15680893 0 856493
1
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT
MANAGERS
PREPARED FOR: FIRST SECURITY BANK ON
4/3/99 AS OF 3/31/99
DEPT ID# 890 PAGE 8
SEC
USE ONLY ______________________________
ITEM 1 ITEM 2 ITEM 3
ITEM 4 ITEM 5
ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER
MARKET SH/PV INVEST
AUTH MNGR VOTING AUTH(SHARES)
SOLE
SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK
INSTR OTHER
V
COMMON STOCK
------------------------------
GENERAL COMMUNICATIONS INC-CLASS A 369385109
41916 9187
X 120 0 9067
GENERAL ELECTRIC COMPANY 369604103
1831666358 16557436
X 14633956 6880 1916600
GENERAL MILLS INCORPORATED 370334104
690944 9144
X 8644 0 500
GENERAL MOTORS CORPORATION 370442105
10177956 116988
X 115788 0 1200
GENUINE PARTS COMPANY 372460105
260840 9053
X 9053 0 0
GENZYME CORP-MOLECULAR ONCOLOGY DIV 372917500
2981 795
X 795 0 0
GENZYME CORPORATION-GENERAL DIVISION 372917104
471338 9345
X 9345 0 0
GEORGIA PACIFIC CORP TIMBER GROUP 373298702
289444 12900
X 12900 0 0
GEORGIA PACIFIC GROUP 373298108
957825 12900
X 12900 0 0
GILLETTE COMPANY 375766102
12479498 209960
X 202270 0 7690
GLENBOROUGH REALTY TRUST INC 37803P105
20213 1189
X 1189 0 0
GLOBAL MARINE INCORPORATED-COM-NEW 379352404
1175 100
X 0 0 100
GLOBAL PAYMENT TECHNOLOGIES INC 37936S109
1088 100
X 100 0 0
GLOBALSTAR TELECOMMUNICATIONS G3930H104
5356 386
X 386 0 0
GOODRICH B F COMPANY 382388106
4199678 122395
X 117345 0 5050
GPU INCORPORATED 36225X100
7463 200
X 200 0 0
GRAINGER W W INCORPORATED 384802104
30144 700
X 700 0 0
GREAT NORTHERN IRON ORE PROPERTIES 391064102
24000 400
X 300 0 100
GTE CORPORATION 362320103
3608402 59643
X 55008 0 4635
GTS DURATEK INCORPORATED 36237J107
1025 200
X 200 0 0
GUIDANT CORPORATION 401698105
3681425 60850
X 60850 0 0
HALLIBURTON COMPANY 406216101
306422 7959
X 6809 0 1150
HALTER MARINE GROUP INCORPORATED 40642Y105
5813 1000
X 0 0 1000
HANNAFORD BROTHERS COMPANY 410550107
68156 1500
X 0 0 1500
HARLAND JOHN H COMPANY 412693103
31050 2400
X 2400 0 0
HARLEY DAVIDSON INCORPORATED 412822108
81014 1412
X 500 0 912
HARNISCHFEGER INDUSTRIES INC 413345109
29575 5200
X 5200 0 0
HARRAHS ENTERTAINMENT INCORPORATED 413619107
145161 7615
X 7350 0 265
HARTFORD FINANCIAL SERVICES GRP INC 416515104
22725 400
X 400 0 0
HAWAIIAN ELECTRIC INDUSTRIES INC 419870100
21038 600
X 600 0 0
HEALTH CARE PROPERTIES INVS INC 421915109
195500 6800
X 6800 0 0
HEALTH MANAGEMENT SYSTEMS INC 42219M100
1425 300
X 300 0 0
HECLA MINING COMPANY 422704106
134 50
X 50 0 0
HEILIG MEYERS COMPANY 422893107
10375 2000
X 2000 0 0
HEINZ H J COMPANY 423074103
4139391 87375
X 86175 0 1200
HELMERICH & PAYNE INCORPORATED 423452101
34031 1500
X 1320 0 180
HERTZ TECHNOLOGY GROUP INC 42804Y303
39375 3000
X 3000 0 0
HEWLETT PACKARD COMPANY 428236103
16880362 248927
X 225247 0 23680
HILLENBRAND INDUSTRIES 431573104
73900 1600
X 1600 0 0
HILTON HOTELS CORPORATION 432848109
126070 8965
X 7965 0 1000
HOME DEPOT INCORPORATED 437076102
14951454 240184
X 216668 0 23516
HOMESTAKE MINING COMPANY 437614100
1725 200
X 0 0 200
HOMESTEAD VILLAGE INC 437851108
407 167
X 167 0 0
--------
- - --------- ----
- ---- ---- ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE
1905784172 17823025
15816600 6880 1999545
1
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT
MANAGERS
PREPARED FOR: FIRST SECURITY BANK ON
4/3/99 AS OF 3/31/99
DEPT ID# 890 PAGE 9
SEC
USE ONLY ______________________________
ITEM 1 ITEM 2 ITEM 3
ITEM 4 ITEM 5
ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER
MARKET SH/PV INVEST
AUTH MNGR VOTING AUTH(SHARES)
SOLE
SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK
INSTR OTHER
V
COMMON STOCK
------------------------------
HOUSEHOLD INTERNATIONAL INCORPORATED 441815107
605124 13263
X 12963 0 300
HS RES INC 404297103
26 3
X 3 0 0
HUMANA INCORPORATED 444859102
863 50
X 50 0 0
HUNTINGTON BANCSHARES INC 446150104
123533 3993
X 3993 0 0
HURCO COMPANIES INCORPORATED 447324104
7416 1648
X 1648 0 0
I-LINK CORPORATION 449927102
72583 29400
X 29300 0 100
IDACORP INCORPORATED 451107106
709326 24096
X 22596 0 1500
IDEX CORPORATION 45167R104
70688 3000
X 0 0 3000
IKON OFFICE SOLUTIONS INCORPORATED 451713101
8328 650
X 650 0 0
ILLINOVA CORPORATION 452317100
44494 2100
X 2100 0 0
IMATION CORPORATION 45245A107
1980 120
X 120 0 0
IMPERIAL CREDIT INDUSTRIES INC 452729106
729159 99714
X 95314 0 4400
IMPERIAL SUGAR CO NEW 453096109
613 100
X 100 0 0
IMS HEALTH INCORPORATED 449934108
10931 330
X 330 0 0
INACOM CORPORATION 45323G109
10912 1408
X 1408 0 0
INDYMAC MORTGAGE HOLDINGS INC 456607100
15704 1444
X 1144 0 300
INGERSOLL RAND COMPANY 456866102
468956 9450
X 9450 0 0
INNKEEPERS USA TRUST 4576J0104
483319 51900
X 50700 0 1200
INTEGRATED DEVICE TECHNOLOGY INC 458118106
4325 800
X 800 0 0
INTEL CORPORATION 458140100
28061157 236056
X 210761 0 25295
INTERFACE INCORPORATED-CLASS A 458665106
19731 2050
X 2050 0 0
INTERGROUP CORPORATION 458685104
15678 1293
X 1293 0 0
INTERNATIONAL BUSINESS MACHINES CORP 459200101
28219795 159209
X 144009 0 15200
INTERNATIONAL PAPER COMPANY 460146103
156727 3715
X 3515 0 200
INTERNATIONAL RECTIFIER CORPORATION 460254105
38150 5450
X 5450 0 0
INTERNATIONAL REMOTE IMAGING SYS INC 460259500
163 200
X 200 0 0
INTERPUBLIC GROUP COMPANIES INC 460690100
103574 1330
X 270 0 1060
INTERSTATE ENERGY CORPORATION WISC 460845100
1547285 58114
X 57658 0 456
INTUIT 461202103
10175 100
X 100 0 0
INVIVO CORPORPORATION 461858102
1350 100
X 100 0 0
IOMEGA CORPORATION 462030107
2050 400
X 0 0 400
IONICS INCORPORATED 462218108
73023 2424
X 2424 0 0
IPALCO ENTERPRISES INCORPORATED 462613100
157687 7188
X 7188 0 0
ITT INDUSTRIES INCORPORATED INDIANA 450911102
7075 200
X 200 0 0
IVAX CORPORATION 465823102
2953 250
X 250 0 0
JCC HOLDING COMPANY-CLASS A 46611Q205
0 487
X 487 0 0
JDN REALTY CORPORATION 465917102
794583 39979
X 39979 0 0
JOHNSON & JOHNSON 478160104
12901598 137985
X 133935 0 4050
JOHNSON CONTROLS INCORPORATED 478366107
43039 690
X 690 0 0
JOSTENS INCORPORATED 481088102
5908 278
X 278 0 0
JP REALTY INCORPORATED 46624A106
16242 825
X 825 0 0
K MART CORPORATION 482584109
178213 10600
X 5200 0 5400
K N ENERGY INCORPORATED 482620101
478500 24000
X 24000 0 0
--------
- - --------- ----
- ---- ---- ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE
76202936 936392
873531 0 62861
1
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT
MANAGERS
PREPARED FOR: FIRST SECURITY BANK ON
4/3/99 AS OF 3/31/99
DEPT ID# 890 PAGE 10
SEC
USE ONLY ______________________________
ITEM 1 ITEM 2 ITEM 3
ITEM 4 ITEM 5
ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER
MARKET SH/PV INVEST
AUTH MNGR VOTING AUTH(SHARES)
SOLE
SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK
INSTR OTHER
V
COMMON STOCK
------------------------------
KELLOGG COMPANY 487836108
105495 3120
X 3120 0 0
KEMET CORPORATION 488360108
24150 2100
X 2100 0 0
KENNAMETAL INCORPORATED 489170100
3525 200
X 200 0 0
KENNEDY WILSON INC-COMMON NEW 489399204
3994 450
X 450 0 0
KERR MCGEE CORPORATION 492386107
118125 3600
X 3600 0 0
KEY PRODUCTION INCORPORATED 493138101
2237 314
X 314 0 0
KEYCORP NEW 493267108
4192704 138316
X 138316 0 0
KEYSPAN ENERGY CORPORATION 49337K106
4422 176
X 176 0 0
KIMBERLY CLARK CORPORATION 494368103
3512333 73269
X 66744 0 6525
KINROSS GOLD CORPORATION 496902107
138 65
X 65 0 0
KOHLS CORPORATION 500255104
194198 2740
X 0 0 2740
KROGER COMPANY 501044101
1387603 23175
X 23175 0 0
LATTICE SEMICONDUCTOR CORPORATION 518415104
18225 400
X 400 0 0
LAUDER ESTEE COMPANIES INC-CLASS A 518439104
10868 115
X 115 0 0
LCA VISION INCORPORATED-COMMON NEW 501803209
84 21
X 21 0 0
LEAR CORPORATION 521865105
1328435 31120
X 31065 0 55
LEHMAN BROTHERS HOLDINGS INC 524908100
56165 940
X 940 0 0
LEUCADIA NATIONAL CORPORATION 527288104
3025 100
X 100 0 0
LEXMARK INTL GROUP INC-CL A 529771107
10069 90
X 90 0 0
LIBERTY PROPERTY TRUST-SH BEN INT 531172104
18675 900
X 900 0 0
LILLY ELI & COMPANY 532457108
1541754 18165
X 12825 0 5340
LOCKHEED MARTIN CORPORATION 539830109
1290295 34180
X 33980 0 200
LONG DRUG STORES CORPORATION 543162101
24350 800
X 800 0 0
LORAL SPACE & COMMUNICATIONS G56462107
1444 100
X 100 0 0
LOUIS DREYFUS NATIONAL GAS CORP 546011107
73 5
X 5 0 0
LOUISIANA PACIFIC CORPORATION 546347105
201411 10814
X 10814 0 0
LOWES COMPANIES INCORPORATED 548661107
84700 1400
X 1400 0 0
LSI LOGIC CORPORATION 502161102
12787 410
X 300 0 110
LTC PROPERTIES INCORPORATED 502175102
261088 21533
X 21333 0 200
LTV CORPORATION NEW 501921100
43000 8000
X 8000 0 0
LUCENT TECHNOLOGIES INCORPORATED 549463107
29659284 274623
X 266670 0 7953
MAGNETEK INCORPORATED 559424106
23869 2850
X 2850 0 0
MAGYAR TAVKOZLESI RT 559776109
2675 100
X 100 0 0
MALLINCKRODT INCORPORATED NEW 561232109
65444 2458
X 2458 0 0
MARRIOTT INTERNATIONAL INC NEW-CL A 571903202
40350 1200
X 1000 0 200
MARSHALL & ILSLEY CORPORATION 571834100
49894 900
X 900 0 0
MASCO CORPORATION 574599106
48025 1700
X 1700 0 0
MATERIAL SCIENCES CORP 576674105
14981 2350
X 2350 0 0
MATHSOFT INCORPORATED 576798102
3188 1000
X 1000 0 0
MATTEL INCORPORATED 577081102
188602 7563
X 4412 0 3151
MAY DEPARTMENT STORES COMPANY 577778103
548141 14010
X 8610 0 5400
MCDERMOTT INTERNATIONAL INCORPORATED 580037109
41766 1650
X 1650 0 0
MCDONALDS CORPORATION 580135101
4903809 108222
X 105162 0 3060
--------
- - --------- ----
- ---- ---- ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE
50045400 795244
760310 0 34934
1
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT
MANAGERS
PREPARED FOR: FIRST SECURITY BANK ON
4/3/99 AS OF 3/31/99
DEPT ID# 890 PAGE 11
SEC
USE ONLY ______________________________
ITEM 1 ITEM 2 ITEM 3
ITEM 4 ITEM 5
ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER
MARKET SH/PV INVEST
AUTH MNGR VOTING AUTH(SHARES)
SOLE
SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK
INSTR OTHER
V
COMMON STOCK
------------------------------
MCGRAW HILL COMPANIES INCORPORATED 580645109
11583430 212540
X 206540 0 6000
MCI WORLDCOM INCORPORATED 55268B106
26666612 301105
X 269291 0 31814
MCKESSON HBOC INCORPORATED 58155Q103
3904890 59165
X 52746 0 6419
MCN CORPORATION 55267J100
112438 7000
X 7000 0 0
MDU RESOURCES GROUP INCORPORATED 552690109
52086 2277
X 2277 0 0
MEAD CORPORATION 582834107
49200 1600
X 1600 0 0
MEDIAONE GROUP INCORPORATED 58440J104
1440919 22714
X 22150 0 564
MEDITRUST-PAIRED CERTIFICATE 58501T306
5373 432
X 432 0 0
MEDTRONIC INCORPORATED 585055106
2739300 38112
X 35912 0 2200
MELLON BANK CORPORATION 585509102
56300 800
X 800 0 0
MERCANTILE BANCORPORATION 587342106
129200 2720
X 2720 0 0
MERCK & COMPANY INCORPORATED 589331107
36476746 455248
X 422358 0 32890
MERITOR AUTOMOTIVE INCORPORATED 59000G100
14958 965
X 965 0 0
MERRILL LYNCH & COMPANY INCORPORATED 590188108
1308030 14780
X 800 0 13980
METROMEDIA INTERNATIONAL GROUP INC 591695101
570 117
X 117 0 0
MEYER FRED INCORPORATED DELAWARE NEW 592907109
6985107 118643
X 118643 0 0
MGC COMMUNICATIONS INC 552763302
900000 90000
X 90000 0 0
MGM GRAND INCORPORATED 552953101
45495 1353
X 1188 0 165
MICHAELS STORES INCORPORATED 594087108
56781 2300
X 2300 0 0
MICRON ELECTRONICS INCORPORATED 595100108
36131 3075
X 400 0 2675
MICRON TECHNOLOGY INCORPORATED 595112103
236119 4900
X 3600 0 1300
MICROSOFT CORPORATION 594918104
33814796 377292
X 361638 0 15654
MID AMERICA APARTMENT CMNTYS INC 59522J103
29925 1400
X 1250 0 150
MID ATLANTIC REALTY TRUST-SH BEN INT 595232109
304425 29700
X 29700 0 0
MIDWAY GAMES INCORPORATED 598148104
1738 200
X 200 0 0
MIKOHN GAMING CORPORATION 59862K108
300 100
X 100 0 0
MILLS CORPORATION-REIT 601148109
17938 1000
X 1000 0 0
MINING SVCS INTL CORP 603665209
10 2
X 2 0 0
MINNESOTA MINING & MANUFACTURING CO 604059105
307126 4341
X 4341 0 0
MINNESOTA POWER & LIGHT COMPANY 604110106
23700 1200
X 1200 0 0
MIRAGE RESORTS INCORPORATED 60462E104
29750 1400
X 1400 0 0
MOBIL CORPORATION 607059102
14334232 162889
X 159059 0 3830
MOMENTUM BUSINESS APPLICATIONS INC 60877P108
197 22
X 22 0 0
MONSANTO COMPANY 611662107
7816725 170160
X 154790 0 15370
MONTANA POWER COMPANY 612085100
185525 2522
X 2317 0 205
MONY GROUP INCORPORATED 615337102
65819 2646
X 2646 0 0
MORGAN J P & COMPANY INCORPORATED 616880100
1348612 10931
X 10931 0 0
MORGAN STANLEY DEAN WITTER DISCOVER 617446448
1814665 18158
X 6213 0 11945
MORRISON KNUDSEN CORPORATION NEW 61844A109
3975 400
X 400 0 0
MORTON INTERNATIONAL INC IND NEW 619335102
80152 2181
X 2181 0 0
MOTOROLA INCORPORATED 620076109
2686444 36675
X 35075 0 1600
MULTIPLE ZONES INTL INC 624906103
859 50
X 50 0 0
MYLAN LABORATORIES INCORPORATED 628530107
1214384 44260
X 44260 0 0
--------
- - --------- ----
- ---- ---- ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE
156880982 2207375
2060614 0 146761
1
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT
MANAGERS
PREPARED FOR: FIRST SECURITY BANK ON
4/3/99 AS OF 3/31/99
DEPT ID# 890 PAGE 12
SEC
USE ONLY ______________________________
ITEM 1 ITEM 2 ITEM 3
ITEM 4 ITEM 5
ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER
MARKET SH/PV INVEST
AUTH MNGR VOTING AUTH(SHARES)
SOLE
SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK
INSTR OTHER
V
COMMON STOCK
------------------------------
MYRIAD GENETICS INCORPORATED 62855J104
4500 500
X 100 0 400
NABISCO HOLDINGS CORPORATION-CLASS A 629526104
4281 103
X 103 0 0
NABORS INDUSTRIES INCORPORATED 629568106
53653 2950
X 2950 0 0
NALCO CHEMICAL COMPANY 629853102
7969 300
X 300 0 0
NAPRO BIOTHERAPEUTICS INCORPORATED 630795102
722 300
X 300 0 0
NASDAQ GOLD TR 631100104
31481 300
X 300 0 0
NATIONAL CITY CORPORATION 635405103
257535 3880
X 1480 0 2400
NATIONWIDE HEALTH PROPERTIES INC 638620104
351728 18512
X 18312 0 200
NCR CORPORATION-NEW 62886E108
58300 1166
X 1054 0 112
NEOTHERAPEUTICS INCORPORATED 640656104
1825 200
X 200 0 0
NETMANAGE INCORPORATED 641144100
722 300
X 300 0 0
NETMED INCORPORATED OHIO 64114Q101
188 2000
X 2000 0 0
NETWORK APPLIANCE INCORPORATED 64120L104
20756 410
X 410 0 0
NETWORK EVENT THEATER INCORPORATED 640924106
12625 1000
X 1000 0 0
NETWORKS ASSOCIATES INCORPORATED 640938106
18413 600
X 600 0 0
NEVADA POWER COMPANY 641423108
29700 1200
X 1200 0 0
NEW CENTURY ENERGIES INC 64352U103
1453277 42665
X 42665 0 0
NEW PLAN EXCEL REALTY TRUST INC 648053106
116660 6080
X 6080 0 0
NEWMONT MINING CORPORATION 651639106
17448 997
X 976 0 21
NEWPORT NEWS SHIPBUILDING INC 652228107
3169 100
X 100 0 0
NIELSEN MEDIA RESEARCH INC-COM NEW 653929307
1062 43
X 43 0 0
NL INDUSTRIES INCORPORATED-COM NEW 629156407
118827 13203
X 13203 0 0
NOBLE AFFILIATES INCORPORATED 654894104
84100 2900
X 2900 0 0
NORDSTROM INCORPORATED 655664100
1544871 37795
X 37795 0 0
NORFOLK SOUTHERN CORPORATION 655844108
239063 9064
X 9064 0 0
NORTH FORK BANCORPORATION INC N Y 659424105
63375 3000
X 0 0 3000
NORTHERN STATES POWER CO MINN 665772109
4753 205
X 205 0 0
NORTHERN TRUST CORPORATION 665859104
457207 5148
X 5148 0 0
NORTHWEST AIRLINES CORPORATION-CL A 667280101
13906 500
X 0 0 500
NORTHWEST NATURAL GAS COMPANY 667655104
60703 2775
X 2775 0 0
NOVELL INCORPORATED 670006105
33978 1349
X 849 0 500
OCCIDENTAL PETROLEUM CORPORATION 674599105
5400 300
X 300 0 0
OGE ENERGY CORPORATION 670837103
45125 2000
X 2000 0 0
OLIN CORPORATION-COMMON PAR $1.00 680665205
2013 200
X 200 0 0
OMEGA HEALTHCARE INVESTORS INC 681936100
16056 700
X 700 0 0
OMNI ENERGY SERVICES CORPORATION 68210T109
1008 250
X 250 0 0
OMNICOM GROUP 681919106
110314 1380
X 1380 0 0
ONEOK INCORPORATED 682680103
14850 600
X 600 0 0
ONYX SOFTWARE CORPORATION 683402101
3913 100
X 100 0 0
ORACLE SYSTEMS CORPORATION 68389X105
955303 36220
X 6700 0 29520
ORANGE & ROCKLAND UTILITIES INC 684065105
11488 200
X 200 0 0
PACIFICORP 695114108
1796674 104155
X 103269 0 886
PAGING NETWORK INCORPORATED 695542100
7969 1700
X 1700 0 0
--------
- - --------- ----
- ---- ---- ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE
8036910 307350
269811 0 37539
1
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT
MANAGERS
PREPARED FOR: FIRST SECURITY BANK ON
4/3/99 AS OF 3/31/99
DEPT ID# 890 PAGE 13
SEC
USE ONLY ______________________________
ITEM 1 ITEM 2 ITEM 3
ITEM 4 ITEM 5
ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER
MARKET SH/PV INVEST
AUTH MNGR VOTING AUTH(SHARES)
SOLE
SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK
INSTR OTHER
V
COMMON STOCK
------------------------------
PAINE WEBBER GROUP INCORPORATED 695629105
11963 300
X 300 0 0
PAIRGAIN TECHNOLOGIES INCORPORATED 695934109
30225 3100
X 3100 0 0
PAR TECHNOLOGY CORPORATION 698884103
2100 400
X 0 0 400
PARAGON TRADE BRANDS INCORPORATED 69912K107
5000 2000
X 0 0 2000
PARK PL ENTMT CORP 700690100
56832 7515
X 6515 0 1000
PAYLESS SHOESOURCE INCORPORATED 704379106
26784 576
X 0 0 576
PECO ENERGY COMPANY 693304107
18500 400
X 400 0 0
PENNEY J C INCORPORATED 708160106
938709 23178
X 20178 0 3000
PENNZENERGY COMPANY 70931Q109
2100 200
X 200 0 0
PENNZOIL-QUAKER ST CO 709323109
29378 2374
X 2374 0 0
PENTON MEDIA INCORPORATED 709668107
31995 1422
X 1422 0 0
PEOPLES ENERGY CORPORATION 711030106
220791 6833
X 6833 0 0
PEOPLESOFT INCORPORATED 712713106
14625 1000
X 1000 0 0
PEPSICO INCORPORATED 713448108
13358196 340879
X 312809 0 28070
PERKIN ELMER CORPORATION 714041100
36884 380
X 380 0 0
PETCO ANIMAL SUPPLIES INCORPORATED 716016100
29500 2950
X 2950 0 0
PFIZER INCORPORATED 717081103
20764770 149656
X 142086 0 7570
PG&E CORPORATION 69331C108
202496 6519
X 6519 0 0
PHARMACIA & UPJOHN INCORPORATED 716941109
466877 7485
X 7485 0 0
PHARMAPRINT INCORPORATED 716950100
18000 2000
X 2000 0 0
PHELPS DODGE CORPORATION 717265102
64025 1300
X 1300 0 0
PHILIP MORRIS COS INCORPORATED 718154107
3561925 101227
X 94822 0 6405
PHILLIPS PETROLEUM COMPANY 718507106
5210636 110278
X 110278 0 0
PHYCOR INCORPORATED 71940F100
475 100
X 100 0 0
PHYSICIAN RELIANCE NETWORK INC 71940G108
5100 600
X 600 0 0
PIEDMONT NATURAL GAS COMPANY 720186105
71505 2043
X 2043 0 0
PIER 1 IMPORTS INCORPORATED 720279108
29656 3650
X 3650 0 0
PINNACLE WEST CAPITAL CORPORATION 723484101
18188 500
X 500 0 0
PIONEER HI BRED INTERNATIONAL INC 723686101
8654 230
X 0 0 230
PITTWAY CORPORATION DELAWARE-CLASS A 725790208
59466 2244
X 2244 0 0
PNC FINANCIAL CORPORATION 693475105
33338 600
X 600 0 0
POOL ENERGY SERVICES COMPANY 732788104
9188 600
X 600 0 0
POTLATCH CORPORATION 737628107
80093 2360
X 2360 0 0
POTOMAC ELECTRIC POWER COMPANY 737679100
92194 3976
X 3976 0 0
PP & L RESOURCES INCORPORATED 693499105
8093 327
X 327 0 0
PPG INDUSTRIES INCORPORATED 693506107
603213 11770
X 11770 0 0
PRAXAIR INCORPORATED 74005P104
419263 11626
X 11626 0 0
PRECISION CASTPARTS CORPORATION 740189105
414575 10300
X 10300 0 0
PREMARK INTERNATIONAL INCORPORATED 740459102
14822 450
X 450 0 0
PREMIERE TECHNOLOGIES INCORPORATED 74058F102
11375 1000
X 1000 0 0
PRIMEX TECHNOLOGIES INCORPORATED 741597108
4150 200
X 200 0 0
PROCTER & GAMBLE COMPANY 742718109
3678043 37555
X 33955 0 3600
PROLOGIS TRUST-SBI 743410102
106375 5189
X 5189 0 0
--------
- - --------- ----
- ---- ---- ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE
50770077 867292
814441 0 52851
1
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT
MANAGERS
PREPARED FOR: FIRST SECURITY BANK ON
4/3/99 AS OF 3/31/99
DEPT ID# 890 PAGE 14
SEC
USE ONLY ______________________________
ITEM 1 ITEM 2 ITEM 3
ITEM 4 ITEM 5
ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER
MARKET SH/PV INVEST
AUTH MNGR VOTING AUTH(SHARES)
SOLE
SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK
INSTR OTHER
V
COMMON STOCK
------------------------------
PUBLIC SERVICE CO NEW MEXICO 744499104
136833 8049
X 8049 0 0
PUBLIC SERVICE ENTERPRISE GROUP 744573106
289499 7581
X 7581 0 0
PUBLIC STORAGE INCORPORATED 74460D109
256825 10273
X 5437 0 4836
PUGET SOUND POWER & LIGHT CO 745332106
159869 6932
X 6932 0 0
PYRAMID BREWERIES INCORPORATED 747135101
88 50
X 50 0 0
QUAKER CHEMICAL CORP 747316107
113000 8000
X 8000 0 0
QUAKER OATS COMPANY 747402105
653127 10492
X 4892 0 5600
QUALCOMM INCORPORATED 747525103
13681 110
X 110 0 0
QUANTUM CORPORATION 747906105
9000 500
X 0 0 500
QUEST DIAGNOSTICS INCORPORATED 74834L100
5830 262
X 262 0 0
QUESTAR CORPORATION 748356102
105464748 6226701
X 6217701 0 9000
QUORUM HEALTH GROUP INCORPORATED 749084109
43500 4350
X 2100 0 2250
QWEST COMMUNICATIONS INTL INC 749121109
21723664 301325
X 293735 0 7590
R & B FALCON CORPORATION 74912E101
196348 22765
X 22065 0 700
R H DONNELLEY CORP 74955W307
3566 231
X 231 0 0
RALCORP HOLDINGS INCORPORATED NEW 751028101
13604 716
X 716 0 0
RALSTON PURINA COMPANY 751277302
52841 1980
X 1980 0 0
RAYTHEON COMPANY-CLASS A 755111309
102564 1776
X 1762 0 14
RAYTHEON COMPANY-CLASS B 755111408
134251 2290
X 2260 0 30
REALTY INCOME CORPORATION 756109104
87423 4163
X 4163 0 0
RELIANT ENERGY INCORPORATED 75952J108
440456 16900
X 16900 0 0
REYNOLDS & REYNOLDS COMPANY 761695105
150841 7939
X 7939 0 0
REYNOLDS METALS COMPANY 761763101
4541 94
X 94 0 0
RITE AID CORPORATION 767754104
5107925 204317
X 182006 0 22311
RJR NABISCO HOLDINGS CORPORATION 74960K876
4575 183
X 183 0 0
ROCKWELL INTERNATIONAL CORP NEW 773903109
144118 3396
X 3396 0 0
ROLLINS TRUCK LEASING CORPORATION 775741101
26425 2800
X 2800 0 0
ROWAN COMPANIES INCORPORATED 779382100
1640050 129265
X 129065 0 200
ROYAL BK SCOTLAND GROUP PLC-SPNS ADR 780097606
107750 4000
X 4000 0 0
ROYAL CARIBBEAN CRUISES LTD V7780T103
15600 400
X 400 0 0
RTI INTERNATIONAL METALS INC 74973W107
17500 1750
X 1750 0 0
SAFECO CORPORATION 786429100
10109 250
X 250 0 0
SANTA FE ENERGY RESOURCES INC 802012104
4713 639
X 639 0 0
SANTA FE GAMING CORPORATION 801904103
4339 7713
X 7713 0 0
SANTA FE INTERNATIONAL CORP G7805C108
437288 23400
X 0 0 23400
SARA LEE CORPORATION 803111103
3121099 126105
X 121405 0 4700
SBC COMMUNICATIONS INCORPORATED 78387G103
18297142 387754
X 379105 0 8649
SCHERING PLOUGH CORPORATION 806605101
25364115 459079
X 408279 0 50800
SCHWEITZER MAUDUIT INTERNATIONAL INC 808541106
12282 1068
X 1068 0 0
SEALED AIR CORPORATION NEW 81211K100
147563 3000
X 0 0 3000
SEARS ROEBUCK & COMPANY 812387108
1291097 28572
X 27132 0 1440
SEATTLE FILMWORKS INCORPORATED 812572105
1225 400
X 400 0 0
SEMPRA ENERGY 816851109
93539 4875
X 4875 0 0
--------
- - --------- ----
- ---- ---- ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE
185904553 8032445
7887425 0 145020
1
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT
MANAGERS
PREPARED FOR: FIRST SECURITY BANK ON
4/3/99 AS OF 3/31/99
DEPT ID# 890 PAGE 15
SEC
USE ONLY ______________________________
ITEM 1 ITEM 2 ITEM 3
ITEM 4 ITEM 5
ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER
MARKET SH/PV INVEST
AUTH MNGR VOTING AUTH(SHARES)
SOLE
SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK
INSTR OTHER
V
COMMON STOCK
------------------------------
SENSORMATIC ELECTRONICS CORPORATION 817265101
3800 400
X 400 0 0
SEPRACOR INCORPORATED 817315104
11225 100
X 0 0 100
SEQUENT COMPUTER SYSTEMS INC 817338106
600391 66250
X 1250 0 65000
SERVICE CORPORATION INTERNATIONAL 817565104
227587 15971
X 15971 0 0
SERVICEMASTER COMPANY 81760N109
9141 450
X 450 0 0
SHERWIN WILLIAMS COMPANY 824348106
360000 12800
X 12800 0 0
SHURGARD STORAGE CTRS INC-CLASS A 82567D104
242148 9590
X 9440 0 150
SIERRA PACIFIC RESOURCES 826425100
136528 3880
X 3880 0 0
SIGMA ALDRICH CORPORATION 826552101
105300 3600
X 3600 0 0
SIMON PROPERTY GROUP 828806109
16792 612
X 612 0 0
SIMPSON INDUSTRIES INCORPORATED 829060102
105875 11000
X 11000 0 0
SINGER COMPANY N V 82930F109
1010 265
X 0 0 265
SIZELER PROPERTY INVESTORS INC 830137105
46200 5600
X 5200 0 400
SKYWEST INCORPORATED 830879102
3067507 106234
X 106234 0 0
SMITH INTERNATIONAL INCORPORATED 832110100
600000 15000
X 0 0 15000
SODEXHO MARRIOTT SERVICES INC 833793102
3309 150
X 125 0 25
SOLECTRON CORPORATION 834182107
55556 1144
X 1144 0 0
SOLUTIA INCORPORATED 834376105
154811 8910
X 6701 0 2209
SONAT INCORPORATED 835415100
18720 624
X 624 0 0
SONOSIGHT INCORPORATED 83568G104
6559 477
X 421 0 56
SOUTHERN COMPANY 842587107
1946151 83481
X 83261 0 220
SOUTHWEST AIRLINES COMPANY 844741108
156544 5175
X 4950 0 225
SOUTHWEST GAS CORPORATION 844895102
7095 258
X 258 0 0
SPACELABS MEDICAL INCORPORATED 846247104
2875 171
X 0 0 171
SPDR TRUST-UNIT SERIES 1 78462F103
246737 1922
X 1922 0 0
SPRINT CORPORATION 852061100
2001946 20402
X 18402 0 2000
SPRINT CORPORATION-PCS GROUP 852061506
443347 10005
X 9005 0 1000
ST JUDE MEDICAL INCORPORATED 790849103
5777 237
X 237 0 0
ST PAUL COMPANIES INCORPORATED 792860108
286427 9221
X 9221 0 0
STAPLES INCORPORATED 855030102
179004 5445
X 1200 0 4245
STARWOOD HOTELS & RESORTS WORLDWIDE 85590A203
2658141 93064
X 84664 0 8400
STATION CASINOS INCORPORATED 857689103
30281 2375
X 1375 0 1000
STORAGE TECHNOLOGY CORPORATION 862111200
16725 600
X 600 0 0
STRYKER CORPORATION 863667101
60525 1200
X 1200 0 0
SUMMIT BANCORP 866005101
883623 22657
X 22657 0 0
SUMMIT TECHNOLOGY INCORPORATED 86627E101
825 75
X 75 0 0
SUN HEALTHCARE GROUP INCORPORATED 866933104
300 300
X 300 0 0
SUN MICROSYSTEMS INCORPORATED 866810104
308404 2466
X 1876 0 590
SUNOCO INCORPORATED 86764P109
30076 834
X 834 0 0
SUNRISE MEDICAL INCORPORATED 867910101
20313 3250
X 3250 0 0
SUNSHINE MINING & REFINING COMPANY 867833105
20000 40000
X 0 0 40000
SUNSTONE HOTEL INVESTORS INC 867933103
222992 31025
X 31025 0 0
SUNTRUST BANKS INCORPORATED 867914103
12388 199
X 199 0 0
--------
- - --------- ----
- ---- ---- ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE
15312955 597419
456363 0 141056
1
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT
MANAGERS
PREPARED FOR: FIRST SECURITY BANK ON
4/3/99 AS OF 3/31/99
DEPT ID# 890 PAGE 16
SEC
USE ONLY ______________________________
ITEM 1 ITEM 2 ITEM 3
ITEM 4 ITEM 5
ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER
MARKET SH/PV INVEST
AUTH MNGR VOTING AUTH(SHARES)
SOLE
SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK
INSTR OTHER
V
COMMON STOCK
------------------------------
SUPERVALU INCORPORATED 868536103
111788 5420
X 5420 0 0
SURETY CAPITAL CORPORATION-COM NEW 868666207
5063 3000
X 3000 0 0
SYLVAN LEARNING SYSTEMS INCORPORATED 871399101
2738 100
X 0 0 100
SYMMETRICOM INCORPORATED 871543104
8206 1300
X 1300 0 0
SYNOPSYS INCORPORATED 871607107
354750 6600
X 0 0 6600
SYSCO CORPORATION 871829107
5263 200
X 200 0 0
S3 INCORPORATED 784849101
22500 3000
X 3000 0 0
TCI SATELLITE ENTMT INC-CLASS A 872298104
5907 9000
X 0 0 9000
TECO ENERGY INCORPORATED 872375100
49688 2500
X 2500 0 0
TELEFLEX INCORPORATED 879369106
126031 3700
X 1700 0 2000
TELLABS INCORPORATED 879664100
193545 1980
X 0 0 1980
TENNECO INCORPORATED NEW 88037E101
44141 1580
X 1580 0 0
TERADYNE INCORPORATED 880770102
24553 450
X 450 0 0
TETRA TECH INCORPORATED NEW 88162G103
10257 487
X 487 0 0
TEXACO INCORPORATED 881694103
10901448 192096
X 165596 0 26500
TEXAS INSTRUMENTS INCORPORATED 882508104
1793448 18070
X 10500 0 7570
TEXAS UTILITIES COMPANY 882848104
1486758 35399
X 30799 0 4600
TEXTRON INCORPORATED 883203101
177963 2300
X 2300 0 0
THERMO ECOTEK CORP 88355R106
4800 600
X 600 0 0
THERMO ELECTRON CORPORATION 883556102
44078 3250
X 3250 0 0
THERMO FIBERTEK INC 88355W105
7655 1065
X 1065 0 0
THERMO VOLTEK CORP 883602104
2081 300
X 300 0 0
THRUSTMASTER INCORPORATED 886027101
29625 2000
X 2000 0 0
TIG HOLDINGS INCORPORATED 872469101
32625 2000
X 2000 0 0
TIME WARNER INCORPORATED 887315109
70813 1000
X 1000 0 0
TIMES MIRROR COMPANY NEW-COM SER A 887364107
33558 620
X 620 0 0
TIMKEN COMPANY 887389104
13000 800
X 800 0 0
TITANIUM METALS CORPORATION 888339108
23288 4050
X 4050 0 0
TJ INTERNATIONAL INCORPORATED 872534102
242456 10050
X 10050 0 0
TJX COMPANIES INCORPORATED NEW 872540109
27200 800
X 800 0 0
TORCH ENERGY RTY TR-UNIT BEN INT 891013104
3900 800
X 0 0 800
TOYS R US INCORPORATED 892335100
1881 100
X 100 0 0
TRANSAMERICA CORPORATION 893485102
67166 946
X 946 0 0
TREMONT CORPORATION 894745207
23741 1347
X 1347 0 0
TRI CONTINENTAL CORPORATION 895436103
95729 3301
X 3301 0 0
TRICON GLOBAL RESTAURANTS INC 895953107
303902 4326
X 4226 0 100
TUPPERWARE CORPORATION 899896104
9000 500
X 500 0 0
TYCO INTERNATIONAL LTD-NEW 902124106
20614349 287308
X 274053 0 13255
U S FOODSERVICE 90331R101
3717675 79950
X 73850 0 6100
U S WEST INCORPORATED NEW 91273H101
5886181 106900
X 106122 0 778
UAL CORPORATION-COMMON PAR $0.01 902549500
17444 224
X 224 0 0
UGI CORPORATION NEW 902681105
8344 500
X 500 0 0
UMB FINANCIAL CORPORATION 902788108
51654 1333
X 1333 0 0
--------
- - --------- ----
- ---- ---- ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE
46656192 801252
721869 0 79383
1
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT
MANAGERS
PREPARED FOR: FIRST SECURITY BANK ON
4/3/99 AS OF 3/31/99
DEPT ID# 890 PAGE 17
SEC
USE ONLY ______________________________
ITEM 1 ITEM 2 ITEM 3
ITEM 4 ITEM 5
ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER
MARKET SH/PV INVEST
AUTH MNGR VOTING AUTH(SHARES)
SOLE
SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK
INSTR OTHER
V
COMMON STOCK
------------------------------
UNICOM CORPORATION 904911104
62156 1700
X 1700 0 0
UNION CARBIDE CORPORATION 905581104
19973 442
X 442 0 0
UNION PACIFIC CORPORATION 907818108
8703366 162870
X 156090 0 6780
UNION PACIFIC RESOURCES GROUP INC 907834105
1412413 118940
X 114617 0 4323
UNISOURCE WORLDWIDE INCORPORATED 909208100
2316 325
X 325 0 0
UNISYS CORPORATION 909214108
720 26
X 26 0 0
UNITED HEALTHCARE CORPORATION 910581107
177873 3380
X 3380 0 0
UNITED RD SVCS INC 911384105
77813 15000
X 15000 0 0
UNITED STATES FILTER CORPORATION 911843209
12761009 416686
X 404311 0 12375
UNITED TECHNOLOGIES CORPORATION 913017109
466447 3444
X 3444 0 0
UNIVERSAL HEALTH REALTY INCOME TR 91359E105
23400 1200
X 1200 0 0
UNIVIEW TECHNOLOGIES-COM PAR $0.10 915282206
656 500
X 500 0 0
UNOCAL CORPORATION 915289102
106421 2886
X 2886 0 0
US BANCORP DELAWARE 902973106
9348078 274439
X 235803 0 38636
US FREIGHTWAYS CORPORATION 916906100
1286399 39130
X 39005 0 125
USX MARATHON GROUP-COMMON NEW 902905827
55743 2027
X 1860 0 167
USX U S STEEL GROUP 90337T101
7050 300
X 300 0 0
UTILICORP UNITED INCORPORATED 918005109
18769 825
X 825 0 0
VALERO ENERGY CORPORATION 91913Y100
11816 475
X 475 0 0
VETERINARY CENTERS OF AMERICA INC 925514101
4238 300
X 300 0 0
VIACOM INCORPORATED-CLASS B 925524308
7554 90
X 90 0 0
VIGNETTE CORP 926734104
4515 60
X 60 0 0
VISHAY INTERTECHNOLOGY INCORPORATED 928298108
47749 3293
X 3293 0 0
VLASIC FOODS INTERNATIONAL INC 928559103
3040 235
X 235 0 0
VULCAN MATERIALS COMPANY 929160109
30984 750
X 0 0 750
WACHOVIA CORPORATION NEW 929771103
25899 319
X 319 0 0
WACKENHUT CORRECTIONS CORPORATION 929798106
21920 1135
X 1135 0 0
WAL MART STORES INCORPORATED 931142103
17095988 185448
X 178418 0 7030
WALGREEN COMPANY 931422109
261030 9240
X 7100 0 2140
WALTER INDUSTRIES INCORPORATED 93317Q105
3375 300
X 0 0 300
WARNACO GROUP INCORPORATED-CLASS A 934390105
2469 100
X 0 0 100
WARNER LAMBERT COMPANY 934488107
16444840 248224
X 225979 0 22245
WASHINGTON GAS LIGHT COMPANY 938837101
294125 13000
X 13000 0 0
WASHINGTON MUTUAL INCORPORATED 939322103
23013 563
X 563 0 0
WASTE MANAGEMENT INCORPORATED DEL 94106L109
41402 933
X 833 0 100
WATSON PHARMACEUTICALS INCORPORATED 942683103
18444 418
X 418 0 0
WD 40 COMPANY 929236107
20300 700
X 700 0 0
WEATHERFORD INTERNATIONAL INC NEW 947074100
45510 1742
X 1742 0 0
WELLS FARGO & COMPANY NEW 949746101
9244298 263652
X 251262 0 12390
WENDYS INTERNATIONAL INCORPORATED 950590109
41234 1450
X 1300 0 150
WESTERN BANCORP 957683105
14386 465
X 465 0 0
WESTERN RESOURCES INCORPORATED 959425109
13344 500
X 500 0 0
WEYERHAEUSER COMPANY 962166104
189477 3414
X 3414 0 0
--------
- - --------- ----
- ---- ---- ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE
78441552 1780926
1673315 0 107611
1
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT
MANAGERS
PREPARED FOR: FIRST SECURITY BANK ON
4/3/99 AS OF 3/31/99
DEPT ID# 890 PAGE 18
SEC
USE ONLY ______________________________
ITEM 1 ITEM 2 ITEM 3
ITEM 4 ITEM 5
ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER
MARKET SH/PV INVEST
AUTH MNGR VOTING AUTH(SHARES)
SOLE
SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK
INSTR OTHER
V
COMMON STOCK
------------------------------
WILLIAMS COMPANIES INCORPORATED 969457100
213498 5405
X 5270 0 135
WILMINGTON TRUST CORPORATION 971807102
22850 400
X 400 0 0
WINDMERE CORPORATION 973411101
19250 2750
X 2750 0 0
WINN DIXIE STORES INCORPORATED 974280109
2504 67
X 67 0 0
WISCONSIN ENERGY CORPORATION 976657106
79829 3063
X 3063 0 0
WITCO CORPORATION 977385103
21463 1700
X 1700 0 0
WOLVERINE TUBE INCORPORATED 978093102
10563 500
X 500 0 0
WORTHINGTON INDUSTRIES INCORPORATED 981811102
2244 191
X 191 0 0
WPS RESOURCES CORPORATION 92931B106
37111 1258
X 1258 0 0
WRIGLEY WM JR COMPANY 982526105
140178 1550
X 1550 0 0
WSI INDUSTRIES INCORPORATED 92932Q102
5414 1125
X 1125 0 0
WYMAN GORDON COMPANY 983085101
37925 4100
X 4100 0 0
XEROX CORPORATION 984121103
224659 4310
X 4200 0 110
XILINX INCORPORATED 983919101
56788 1400
X 1000 0 400
XOOM INCORPORATED 98413F101
22131 330
X 330 0 0
XYLAN CORPORATION 984151100
5522 150
X 150 0 0
ZIONS BANCORPORATION 989701107
3064985 46090
X 44090 0 2000
3COM CORPORATION 885535104
32638 1400
X 1400 0 0
--------
- - --------- ----
- ---- ---- ---------- ---------- ----------
SUBTOTALS FOR COMMON STOCK
3767726098 64195349
59685031 7780 4502538
1
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT
MANAGERS
PREPARED FOR: FIRST SECURITY BANK ON
4/3/99 AS OF 3/31/99
DEPT ID# 890 PAGE 19
SEC
USE ONLY ______________________________
ITEM 1 ITEM 2 ITEM 3
ITEM 4 ITEM 5
ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER
MARKET SH/PV INVEST
AUTH MNGR VOTING AUTH(SHARES)
SOLE
SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK
INSTR OTHER
V
FOREIGN COMMON STOCK
------------------------------
ALCATEL ALSTHOM-SP ADR RPSTG 1/5 SH 013904305
7414 325
X 325 0 0
ANGLO AMERICAN GOLD ADR 034870501
234 50
X 50 0 0
ASIA PACIFIC RESOURCES LIMITED 044902104
17400 9600
X 0 0 9600
BARRICK GOLD CORPORATION 067901108
13326 781
X 781 0 0
BP AMOCO PLC-SPONSORED ADR 055622104
9952338 98538
X 98512 0 26
CABLE & WIRELESS PLC-ADR 126830207
18469 500
X 400 0 100
CORE LABORATORIES N V N22717107
5288 300
X 300 0 0
ELAN CORPORATION PLC-SPONS ADR 284131208
163424 2343
X 2343 0 0
ERICSSON L M TEL CO-ADR CL B SEK 10 294821400
61913 2600
X 2600 0 0
ESPIRITO SANTO FINL-SPRD ADR 29665F200
3953 250
X 250 0 0
FIRST AUSTRALIA PRIME INCOME FD INC 318653102
23526 3841
X 3841 0 0
GALLAHER GROUP PLC-SPONSORED ADR 363595109
43616 1856
X 584 0 1272
GLAXO PUBLIC LTD CO-SPONSORED ADR 37733W105
98733 1475
X 1475 0 0
HONG KONG TELECOMNS LTD-ADR 438579203
5869 300
X 300 0 0
MINORCO-SPNSRD AMERN DEPOSITORY RCPT 604340307
16150 950
X 950 0 0
NOKIA CORPORATION-SPONSORED ADR 654902204
62300 400
X 400 0 0
NORTHERN TELECOM LTD 665815106
18638 300
X 300 0 0
PLACER DOME INCORPORATED 725906101
3636 325
X 325 0 0
POHANG IRON & STL LTD-SPNSRD ADR 730450103
3575 200
X 200 0 0
POTASH CORP SASK INCORPORATED 73755L107
77308 1445
X 1445 0 0
PREMIER FARNELL PLC-SPNSRD ADR 74050U206
10863 612
X 612 0 0
REUTERS GROUP PLC-SPONSORED ADR 76132M102
87 1
X 0 0 1
RIO TINTO PLC-SP ADR 767204100
11000 200
X 200 0 0
ROYAL DUTCH PETE CO - NY REG 5 GLDR 780257804
7207512 138606
X 135406 0 3200
SAP AKTIENGESELLSCHAFT-SPONSORED ADR 803054204
21050 800
X 800 0 0
SCHLUMBERGER LIMITED 806857108
2684964 44610
X 40335 0 4275
SHELL TRANS & TRADING PLC-NY SHS NEW 822703609
2891363 71172
X 71172 0 0
SMITHKLINE BEECHAM-ADR REPSTG ORD A 832378301
8236800 115200
X 114725 0 475
SUPERMERCADOS UNIMARC SA-SO ADR 868453101
613 200
X 200 0 0
TECHNOLOGY SECTOR SPDR TR 81369Y803
42998 1175
X 1175 0 0
TELEFONOS DE MEXICO S A-SPNSD ADR 879403780
24750 375
X 375 0 0
TRANSCANADA PIPELINES LIMITED 893526103
3844 300
X 300 0 0
UNILEVER PUBLIC LTD CO-AMERN SHARES 904767605
5920 160
X 160 0 0
WMC LIMITED-SP ADR 928947100
6438 500
X 500 0 0
ZI CORPORATION 988918108
300 200
X 200 0 0
--------
- - --------- ----
- ---- ---- ---------- ---------- ----------
SUBTOTALS FOR FOREIGN COMMON STOCK
31745612 500490
481541 0 18949
1
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT
MANAGERS
PREPARED FOR: FIRST SECURITY BANK ON
4/3/99 AS OF 3/31/99
DEPT ID# 890 PAGE 20
SEC
USE ONLY ______________________________
ITEM 1 ITEM 2 ITEM 3
ITEM 4 ITEM 5
ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER
MARKET SH/PV INVEST
AUTH MNGR VOTING AUTH(SHARES)
SOLE
SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK
INSTR OTHER
V
RIGHTS AND WARRANTS
------------------------------
ALZA CORP-WT 12/31/99 022615157
5 34
X 34 0 0
MORRISON KNUDSEN CORP NEW-W 3/11/03 61844A117
2928 732
X 657 0 75
T J T INC-WARRANT 12/22/00 872538111
58 1850
X 1850 0 0
--------
- - --------- ----
- ---- ---- ---------- ---------- ----------
SUBTOTALS FOR RIGHTS AND WARRANTS
2991 2616
2541 0 75
1
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT
MANAGERS
PREPARED FOR: FIRST SECURITY BANK ON
4/3/99 AS OF 3/31/99
DEPT ID# 890 PAGE 21
*SUMMARY PAGE FOR A. COMMON STOCK *
MINOR ASSET TYPE
MARKET SH/PV INVEST
AUTH MNGR VOTING AUTH(SHARES)
--------------------------------- --------
- - --------- ----
- ---- ---- ---------- ---------- ----------
39 COMMON STOCK
3767726098 64195349
59685031 7780 4502538
40 FOREIGN COMMON STOCK
31745612 500490
481541 0 18949
42 RIGHTS AND WARRANTS
2991 2616
2541 0 75
--------
- - --------- ----
- ---- ---- ---------- ---------- ----------
*SUBTOTALS*
3799474701 64698455
60169113 7780 4521562
1
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT
MANAGERS
PREPARED FOR: FIRST SECURITY BANK ON
4/3/99 AS OF 3/31/99
DEPT ID# 890 PAGE 22
SEC
USE ONLY ______________________________
ITEM 1 ITEM 2 ITEM 3
ITEM 4 ITEM 5
ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER
MARKET SH/PV INVEST
AUTH MNGR VOTING AUTH(SHARES)
SOLE
SHRD- SHRD- SOLE SHARED NONE
B. PREFERRED STOCK
INSTR OTHER
V
PREFERRED STOCK
------------------------------
FREEPORT MCMORAN COPPER GO-PFD DEP 35671D501
3175 200
X N.A. N.A. N.A.
GENERAL AMERICAN INVESTORS INC 368802104
54950 1741
X N.A. N.A. N.A.
GENERAL MOTORS CORPORATION CLASS H 370442832
9684 192
X N.A. N.A. N.A.
SEALED AIR-PFD CONV SERIES A $2 81211K209
356400 7200
X N.A. N.A. N.A.
--------
- - --------- ----
- ---- ---- ---------- ---------- ----------
SUBTOTALS FOR PREFERRED STOCK
424209 9333
N.A. N.A. N.A.
1
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT
MANAGERS
PREPARED FOR: FIRST SECURITY BANK ON
4/3/99 AS OF 3/31/99
DEPT ID# 890 PAGE 23
SEC
USE ONLY ______________________________
ITEM 1 ITEM 2 ITEM 3
ITEM 4 ITEM 5
ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER
MARKET SH/PV INVEST
AUTH MNGR VOTING AUTH(SHARES)
SOLE
SHRD- SHRD- SOLE SHARED NONE
B. PREFERRED STOCK
INSTR OTHER
V
CONVERTIBLE PREFERRED STOCK
------------------------------
ALBERTO CULVER COMPANY-CLASS B CONV 013068101
28050 1200
X N.A. N.A. N.A.
AMERICAN HOME PRODS CORP-PFD CONV $2 026609206
126000 60
X N.A. N.A. N.A.
ARMCO INC-PFD CONV $2.10 042170209
9601 385
X N.A. N.A. N.A.
ATLANTIC RICHFIELD CO-PFD CONV $2.80 048825400
120000 400
X N.A. N.A. N.A.
AVISTA CORP-PFD $1.24 11/01/01 SER L 05379B503
5138 300
X N.A. N.A. N.A.
ENRON CORPORATION-2ND PFD CONV $10.5 293561601
50445 59
X N.A. N.A. N.A.
EQUITY RESDL PPTYS-PFD CONV J $2.15 29476L826
4017000 154500
X N.A. N.A. N.A.
MICROSOFT CORP SERIES A-PFD 594918203
9850 100
X N.A. N.A. N.A.
--------
- - --------- ----
- ---- ---- ---------- ---------- ----------
SUBTOTALS FOR CONVERTIBLE PREFERRED STOCK
4366084 157004
N.A. N.A. N.A.
1
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT
MANAGERS
PREPARED FOR: FIRST SECURITY BANK ON
4/3/99 AS OF 3/31/99
DEPT ID# 890 PAGE 24
*SUMMARY PAGE FOR B. PREFERRED STOCK *
MINOR ASSET TYPE
MARKET SH/PV INVEST
AUTH MNGR VOTING AUTH(SHARES)
--------------------------------- --------
- - --------- ----
- ---- ---- ---------- ---------- ----------
36 PREFERRED STOCK
424209 9333
N.A. N.A. N.A.
37 CONVERTIBLE PREFERRED STOCK
4366084 157004
N.A. N.A. N.A.
--------
- - --------- ----
- ---- ---- ---------- ---------- ----------
*SUBTOTALS*
4790293 166337
N.A. N.A. N.A.
1
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT
MANAGERS
PREPARED FOR: FIRST SECURITY BANK ON
4/3/99 AS OF 3/31/99
DEPT ID# 890 PAGE 25
SEC
USE ONLY ______________________________
ITEM 1 ITEM 2 ITEM 3
ITEM 4 ITEM 5
ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER
MARKET SH/PV INVEST
AUTH MNGR VOTING AUTH(SHARES)
SOLE
SHRD- SHRD- SOLE SHARED NONE
C. OTHER
INSTR OTHER
V
CORPORATE BONDS
------------------------------
KENT ELECTRONICS CORP 4.5% 9/01/04 * 490553AA2
10500 14000
X N.A. N.A. N.A.
--------
- - --------- ----
- ---- ---- ---------- ---------- ----------
SUBTOTALS FOR CORPORATE BONDS
10500 14000
N.A. N.A. N.A.
1
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT
MANAGERS
PREPARED FOR: FIRST SECURITY BANK ON
4/3/99 AS OF 3/31/99
DEPT ID# 890 PAGE 26
SEC
USE ONLY ______________________________
ITEM 1 ITEM 2 ITEM 3
ITEM 4 ITEM 5
ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER
MARKET SH/PV INVEST
AUTH MNGR VOTING AUTH(SHARES)
SOLE
SHRD- SHRD- SOLE SHARED NONE
C. OTHER
INSTR OTHER
V
CONVERTIBLE CORPORATE BONDS
------------------------------
AMERN RET-CONV DEB 5.75% 10/01/02 * 028913AA9
348000 435000
X N.A. N.A. N.A.
INTEGR DEVICE-CONV NT 5.5% 6/01/02 * 458118AA4
7088 10000
X N.A. N.A. N.A.
MICRON TECHN-CONV NT 7% 7/01/04 * 595112AB9
123874 117000
X N.A. N.A. N.A.
NORTHWEST NAT GAS-CONV 7.25% 3/1/12 * 667655AM6
6100 5000
X N.A. N.A. N.A.
ORYX ENERGY-CONV DEB 7.5% 5/15/14 * 68763FAD2
447188 450000
X N.A. N.A. N.A.
ROBBINS & MYERS-CONV 6.5% 9/01/03 * 770196AA1
191350 215000
X N.A. N.A. N.A.
SCAND BROADCSTNG-CONV 7.25% 8/01/05 * 805906AA2
273175 245000
X N.A. N.A. N.A.
SUN HLTHCARE-CONV DEB 6% 3/01/04 * 866933AA2
50000 500000
X N.A. N.A. N.A.
--------
- - --------- ----
- ---- ---- ---------- ---------- ----------
SUBTOTALS FOR CONVERTIBLE CORPORATE BONDS
1446775 1977000
N.A. N.A. N.A.
1
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT
MANAGERS
PREPARED FOR: FIRST SECURITY BANK ON
4/3/99 AS OF 3/31/99
DEPT ID# 890 PAGE 27
SEC
USE ONLY ______________________________
ITEM 1 ITEM 2 ITEM 3
ITEM 4 ITEM 5
ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER
MARKET SH/PV INVEST
AUTH MNGR VOTING AUTH(SHARES)
SOLE
SHRD- SHRD- SOLE SHARED NONE
C. OTHER
INSTR OTHER
V
MUTUAL FD/INV TRUSTS-EQUITY
------------------------------
AMERICAN INDL PPTYS REIT * 026791202
14938 1285
X N.A. N.A. N.A.
AMERN STRATEGIC INCOME PRTFL INC III * 03009T101
8138 700
X N.A. N.A. N.A.
DRESDNER RCM EUROPE FUND * 26156W106
1200 100
X N.A. N.A. N.A.
DUFF & PHELPS SELECTED UTILS INCOME * 264324104
135697 12623
X N.A. N.A. N.A.
EQUITY INCOME FD-UNIT 1ST EXCH AT&T * 294700703
191253 1079
X N.A. N.A. N.A.
FIDELITY ADVISOR EMERGING ASIA FUND * 315803106
4000 400
X N.A. N.A. N.A.
GABELLI EQUITY TR INC * 362397101
26125 2200
X N.A. N.A. N.A.
GLOBAL SMALL CAP FD INC * 37935V103
1288 100
X N.A. N.A. N.A.
INDIA GROWTH FUND INCORPORATED * 454090101
1025 100
X N.A. N.A. N.A.
IRISH INVESTMENT FUND INCORPORATED * 462710104
23834 1315
X N.A. N.A. N.A.
LIBERTY ALL STAR EQUITY FD - SBI * 530158104
35875 2800
X N.A. N.A. N.A.
LL & E ROYALTY TRUST * 502003106
2750 1000
X N.A. N.A. N.A.
MASSMUTUAL PARTN INVESTORS-SBI * 576299101
4344 362
X N.A. N.A. N.A.
MFS CHARTER INCOME TRUST-SH BEN INT * 552727109
42469 4500
X N.A. N.A. N.A.
NUVEEN QUALITY INCOME MUN FD INC * 670977107
17128 1050
X N.A. N.A. N.A.
OXFORD TAX EXEMPT FD II LTD * 69181P100
18047 750
X N.A. N.A. N.A.
PORTUGAL FUND INCORPORATED * 737265108
9265 680
X N.A. N.A. N.A.
PUTNAM PREMIER INCOME TRUST-SBI * 746853100
139644 18314
X N.A. N.A. N.A.
PUTNAM TAX FREE HEALTH CARE FUND-SBI * 746920107
67497 4426
X N.A. N.A. N.A.
RCM STRATEGIC GLOBAL GOVT FD INC * 74936A101
7803 816
X N.A. N.A. N.A.
SALOMON BROTHERS FUND INCORPORATED * 795477108
96045 5392
X N.A. N.A. N.A.
SALOMON BROTHERS HIGH INCOME FUND II * 794907105
37500 3000
X N.A. N.A. N.A.
SOURCE CAPITAL INCORPORATED * 836144105
914 20
X N.A. N.A. N.A.
WEBS INDEX-NETHERLANDS WEBS INDEX * 92923H855
2850 120
X N.A. N.A. N.A.
WEBS INDEX-SWEDEN WEBS INDEX SERIES * 92923H822
3000 150
X N.A. N.A. N.A.
WESTERN INVT REAL ESTATE TRUST SBI * 958468100
5188 500
X N.A. N.A. N.A.
ZWEIG FUND INCORPORATED * 989834106
20069 1900
X N.A. N.A. N.A.
--------
- - --------- ----
- ---- ---- ---------- ---------- ----------
SUBTOTALS FOR MUTUAL FD/INV TRUSTS-EQUITY
917886 65682
N.A. N.A. N.A.
1
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT
MANAGERS
PREPARED FOR: FIRST SECURITY BANK ON
4/3/99 AS OF 3/31/99
DEPT ID# 890 PAGE 28
SEC
USE ONLY ______________________________
ITEM 1 ITEM 2 ITEM 3
ITEM 4 ITEM 5
ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER
MARKET SH/PV INVEST
AUTH MNGR VOTING AUTH(SHARES)
SOLE
SHRD- SHRD- SOLE SHARED NONE
C. OTHER
INSTR OTHER
V
MUTUAL FD/INV TRUSTS-BOND
------------------------------
COLONIAL INTERMEDIATE HIGH INCOME FD * 195763107
6547 1017
X N.A. N.A. N.A.
DEBT STRATEGIES FD INC * 242768109
17963 2395
X N.A. N.A. N.A.
LINCOLN NATIONAL INCOME FUND INC NEW * 534217104
18813 1400
X N.A. N.A. N.A.
MFS MULTIMARKET INCOME TRUST - SBI * 552737108
37338 5857
X N.A. N.A. N.A.
--------
- - --------- ----
- ---- ---- ---------- ---------- ----------
SUBTOTALS FOR MUTUAL FD/INV TRUSTS-BOND
80661 10669
N.A. N.A. N.A.
1
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT
MANAGERS
PREPARED FOR: FIRST SECURITY BANK ON
4/3/99 AS OF 3/31/99
DEPT ID# 890 PAGE 29
SEC
USE ONLY ______________________________
ITEM 1 ITEM 2 ITEM 3
ITEM 4 ITEM 5
ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER
MARKET SH/PV INVEST
AUTH MNGR VOTING AUTH(SHARES)
SOLE
SHRD- SHRD- SOLE SHARED NONE
C. OTHER
INSTR OTHER
V
MUTUAL FD/INV TRUSTS-MUNI
------------------------------
BLACKROCK INSD MUN TERM TR INC * 092474105
11563 1000
X N.A. N.A. N.A.
GREENWICH STREET MUNICIPAL FUND INC * 39701A107
53457 5061
X N.A. N.A. N.A.
INSURED MUNICIPAL INCOME FUND * 45809F104
13082 918
X N.A. N.A. N.A.
MFS MUN INCOME TR * 552738106
11230 1302
X N.A. N.A. N.A.
MORGAN STANLEY DEAN WITTER * 61745P866
9213 592
X N.A. N.A. N.A.
MORGAN STANLEY DEAN WITTER * 61745P791
31343 2116
X N.A. N.A. N.A.
MORGAN STANLEY DEAN WITTER * 61745P437
10067 1081
X N.A. N.A. N.A.
MSDW - MUNICIPAL INC OPPORTUNITIES * 61745P452
56078 5942
X N.A. N.A. N.A.
MUNICIPAL YIELD FUND INCORPORATED * 626299101
57893 3735
X N.A. N.A. N.A.
MUNIVEST FUND INCORPORATED * 626295109
49063 5000
X N.A. N.A. N.A.
MUNIYIELD QUALITY FUND II INC * 62630T104
108750 7500
X N.A. N.A. N.A.
NUVEEN MUNICIPAL MKT OPPORTUNITY FD * 67062W103
34238 2075
X N.A. N.A. N.A.
NUVEEN MUNICIPAL VALUE FUND INC * 670928100
62825 6362
X N.A. N.A. N.A.
NUVEEN PERFORMANCE PLUS MUN FD INC * 67062P108
61509 4050
X N.A. N.A. N.A.
NUVEEN PREM INCOME MUNICIPAL FD INC * 67062T100
5835 389
X N.A. N.A. N.A.
PUTNAM HIGH YIELD MUN TR * 746781103
10938 1000
X N.A. N.A. N.A.
PUTNAM MANAGED MUNICIPAL INCOME TR * 746823103
20305 1815
X N.A. N.A. N.A.
PUTNAM MUN OPPORTUNITIES TR-SBI * 746922103
5975 400
X N.A. N.A. N.A.
SMITH BARNEY MUNICIPAL FUND * 831902101
56700 4050
X N.A. N.A. N.A.
VAN KAMPEN AMERN CAP MUN * 920935103
5797 350
X N.A. N.A. N.A.
VAN KAMPEN AMERN TR INVT GRADE MUNS * 920929106
36713 2200
X N.A. N.A. N.A.
VAN KAMPEN MERRITT INVT GRADE MUN TR * 920915105
19800 1800
X N.A. N.A. N.A.
VAN KAMPEN MERRITT STRTGC SECTOR MUN * 920943107
10950 800
X N.A. N.A. N.A.
VAN KAMPEN MERRITT VALUE MUN INC TR * 921132106
20125 1400
X N.A. N.A. N.A.
--------
- - --------- ----
- ---- ---- ---------- ---------- ----------
SUBTOTALS FOR MUTUAL FD/INV TRUSTS-MUNI
763449 60938
N.A. N.A. N.A.
1
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT
MANAGERS
PREPARED FOR: FIRST SECURITY BANK ON
4/3/99 AS OF 3/31/99
DEPT ID# 890 PAGE 30
SEC
USE ONLY ______________________________
ITEM 1 ITEM 2 ITEM 3
ITEM 4 ITEM 5
ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER
MARKET SH/PV INVEST
AUTH MNGR VOTING AUTH(SHARES)
SOLE
SHRD- SHRD- SOLE SHARED NONE
C. OTHER
INSTR OTHER
V
MUTUAL FD/INV TRUSTS-GOVT
------------------------------
ACM GOVERNMENT INCOME FUND * 000912105
10125 1200
X N.A. N.A. N.A.
ALLIANCE WORLD DLR GOVT FD II * 01879R106
9313 1000
X N.A. N.A. N.A.
ALLIANCE WORLD DOLLAR GOVT FUND INC * 018796102
25309 2275
X N.A. N.A. N.A.
BLACKROCK TARGET TERM TRUST INC * 092476100
23076 2382
X N.A. N.A. N.A.
MFS GOVERNMENT MKTS INCOME TR-S B I * 552939100
6313 1000
X N.A. N.A. N.A.
--------
- - --------- ----
- ---- ---- ---------- ---------- ----------
SUBTOTALS FOR MUTUAL FD/INV TRUSTS-GOVT
74136 7857
N.A. N.A. N.A.
1
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT
MANAGERS
PREPARED FOR: FIRST SECURITY BANK ON
4/3/99 AS OF 3/31/99
DEPT ID# 890 PAGE 31
SEC
USE ONLY ______________________________
ITEM 1 ITEM 2 ITEM 3
ITEM 4 ITEM 5
ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER
MARKET SH/PV INVEST
AUTH MNGR VOTING AUTH(SHARES)
SOLE
SHRD- SHRD- SOLE SHARED NONE
C. OTHER
INSTR OTHER
V
LTD PARTNERSHIPS REAL ESTATE
------------------------------
AMERN INSD MTG INVS LP SER 88 * 02686G101
37172 3250
X N.A. N.A. N.A.
KANEB PIPE LINE PARTNERS L P-SR PREF * 484169107
158100 5100
X N.A. N.A. N.A.
LAKEHEAD PIPE LINE PARTNERS L P-PREF * 511557100
151650 3370
X N.A. N.A. N.A.
--------
- - --------- ----
- ---- ---- ---------- ---------- ----------
SUBTOTALS FOR LTD PARTNERSHIPS REAL ESTATE
346922 11720
N.A. N.A. N.A.
1
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT
MANAGERS
PREPARED FOR: FIRST SECURITY BANK ON
4/3/99 AS OF 3/31/99
DEPT ID# 890 PAGE 32
SEC
USE ONLY ______________________________
ITEM 1 ITEM 2 ITEM 3
ITEM 4 ITEM 5
ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER
MARKET SH/PV INVEST
AUTH MNGR VOTING AUTH(SHARES)
SOLE
SHRD- SHRD- SOLE SHARED NONE
C. OTHER
INSTR OTHER
V
LTD PARTNERSHIPS NON REAL EST
------------------------------
ALLIANCE CAPITAL MANAGEMENT-LP * 018548107
12656 500
X N.A. N.A. N.A.
AMERIGAS PARTNERS L P * 030975106
19938 1000
X N.A. N.A. N.A.
CEDAR FAIR LTD PARTN-DEPOSITORY UNIT * 150185106
10050 400
X N.A. N.A. N.A.
CROWN PAC PARTNERS L P * 228439105
20938 1000
X N.A. N.A. N.A.
GENESIS ENERGY LIMITED PARTNERSHIP * 371927104
60000 4000
X N.A. N.A. N.A.
KINDER MORGAN ENERGY PARTNERS LP * 494550106
481288 13900
X N.A. N.A. N.A.
NORTHERN BORDER PARTNERS-LTD PARTN * 664785102
13753 450
X N.A. N.A. N.A.
PIMCO ADVISORS HOLDING LP * 69338P102
31500 1002
X N.A. N.A. N.A.
U S TIMBERLANDS CO L P * 902977107
24000 2000
X N.A. N.A. N.A.
--------
- - --------- ----
- ---- ---- ---------- ---------- ----------
SUBTOTALS FOR LTD PARTNERSHIPS NON REAL EST
674123 24252
N.A. N.A. N.A.
1
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT
MANAGERS
PREPARED FOR: FIRST SECURITY BANK ON
4/3/99 AS OF 3/31/99
DEPT ID# 890 PAGE 33
*SUMMARY PAGE FOR C. OTHER *
MINOR ASSET TYPE
MARKET SH/PV INVEST
AUTH MNGR VOTING AUTH(SHARES)
--------------------------------- --------
- - --------- ----
- ---- ---- ---------- ---------- ----------
51 MUTUAL FD/INV TRUSTS-EQUITY
917886 65682
N.A. N.A. N.A.
74 LTD PARTNERSHIPS REAL ESTATE
346922 11720
N.A. N.A. N.A.
54 MUTUAL FD/INV TRUSTS-GOVT
74136 7857
N.A. N.A. N.A.
52 MUTUAL FD/INV TRUSTS-BOND
80661 10669
N.A. N.A. N.A.
53 MUTUAL FD/INV TRUSTS-MUNI
763449 60938
N.A. N.A. N.A.
88 LTD PARTNERSHIPS NON REAL EST
674123 24252
N.A. N.A. N.A.
30 CONVERTIBLE CORPORATE BONDS
1446775 1977000
N.A. N.A. N.A.
29 CORPORATE BONDS
10500 14000
N.A. N.A. N.A.
--------
- - --------- ----
- ---- ---- ---------- ---------- ----------
*SUBTOTALS*
4314452 2172118
N.A. N.A. N.A.
* THESE ASSETS ARE CODED 13(F) ELIGIBLE, HOWEVER, THE
MINOR ASSET TYPE IS
NOT INCLUDED IN THE MAPPING
1
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT
MANAGERS
PREPARED FOR: FIRST SECURITY BANK ON
4/3/99 AS OF 3/31/99
DEPT ID# 890 PAGE 34
**SUMMARY PAGE FOR: FIRST SECURITY BANK **
CATEGORY
MARKET SH/PV INVEST
AUTH MNGR VOTING AUTH(SHARES)
------------------ --------
- - --------- ----
- ---- ---- ---------- ---------- ----------
A. COMMON STOCK
3799474701 64698455
60169113 7780 4521562
B. PREFERRED STOCK
4790293 166337
N.A. N.A. N.A.
C. OTHER
4314452 2172118
N.A. N.A. N.A.
--------
- - --------- ----
- ---- ---- ---------- ---------- ----------
**GRAND TOTALS**
3808579446 67036910
60169113 7780 4521562
1
1 JOB: JN890EQ0 DATE: 4/ 3/99 TIME: 14:34:24
BANK: 840 ID: 873
******************************
* END OF REPORT *
******************************