WELLS CAPITAL MANAGEMENT INC
13F-HR, 2000-05-12
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<PAGE>

                                  UNITED STATES
                       SECURITIES AND EXCHANGE COMMISSION
                             WASHINGTON, D.C. 20549

                                    FORM 13F

                               FORM 13F COVER PAGE

REPORT FOR THE CALENDAR YEAR OR QUARTER ENDED: 03/31/00

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:    WELLS CAPITAL MANAGEMENT INCORPORATED
ADDRESS: 525 MARKET ST.
         10TH FLOOR
         SAN FRANCISCO, CA 94105


13F FILE NUMBER: 28-00165
THE INSTITUTIONAL INVESTMENT MANAGER FILING 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:     MONICA POON
TITLE:    CHIEF COMPLIANCE OFFICER
PHONE:    (415) 396-7016
SIGNATURE, PLACE, AND DATE OF SIGNING:

    Monica Poon          SAN FRANCISCO, CA       03/31/00


REPORT TYPE (CHECK ONLY ONE.):


(  )        13F HOLDINGS REPORT

<PAGE>

(  )        13F NOTICE

( X)        13F COMBINATION REPORT


LIST OF OTHER MANAGERS REPORTING FOR THIS MANAGER:
  NONE


I AM SIGNING THIS REPORT AS REQUIRED BY THE SECURITIES EXCHANGE ACT OF 1934.

<PAGE>

<TABLE>
<CAPTION>
                                                               WELLS CAPITAL MANAGEMENT INCORPORATED FOR THE QUARTER ENDING 3/31/00
                                                                 VALUE     SHARES/ SH/ PUT/  INVSMT   OTHER
          NAME OF ISSUE         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>
24/7 MEDIA INCE                 COMMON STOCK        901314104      3428    86788   SH        SOLE                86788      0     0
99 CENTS ONLY STORES COM        COMMON STOCK        65440K106      2680    68275   SH        SOLE                68275      0     0
ABBOTT LABS COM                 COMMON STOCK        002824100     11563   328598   SH        SOLE               321568      0  7030
ABGENIX INC COM                 COMMON STOCK        00339B107      3975    28777   SH        SOLE                28777      0     0
ACCRUE SOFTWARE INC COM         COMMON STOCK        00437W102      2626    57350   SH        SOLE                57350      0     0
ACT MFG INC COM                 COMMON STOCK        000973107      2306    41225   SH        SOLE                41225      0     0
ACTIVE SOFTWARE INC COM         COMMON STOCK        00504E100      5329    83775   SH        SOLE                83775      0     0
ACTUATE SOFTWARE CORP COM       COMMON STOCK        00508B102      3740    69500   SH        SOLE                69500      0     0
ADECCO SA ADR                   COMMON STOCK        006754105      3182    36000   SH        SOLE                36000      0     0
ADMINISTAFF INC                 COMMON STOCK        007094105      4976   126775   SH        SOLE               126775      0     0
ADOBE SYS INC COM               COMMON STOCK        00724F101      5332    47900   SH        SOLE                47900      0     0
ADVANCED FIBRE COMMNCT COM      COMMON STOCK        00754A105      3760    59975   SH        SOLE                59975      0     0
AEGON NV ORD AMER REG           COMMON STOCK        007924103   123,165    1,530   SH        DEFINED                 0   1530     0
AES CORP COM                    COMMON STOCK        00130H105     29201   370801   SH        SOLE               365441      0  5360
AFFYMETRIX INC COM              COMMON STOCK        00826T108      3011    20282   SH        SOLE                20282      0     0
AFLAC INC COM                   COMMON STOCK        001055102      3827    83994   SH        SOLE                83294      0   700
AIRGATE PCS INC COM             COMMON STOCK        009367103      4170    39526   SH        SOLE                39526      0     0
ALBERTSONS INC COM              COMMON STOCK        013104104      1860    60246   SH        SOLE                60246      0     0
ALCOA INC                       COMMON STOCK        013817101       141     2000   SH        OTHER                   0         2000
ALCOA INC                       COMMON STOCK        013817101     19296   274670   SH        SOLE               270980      0  3690
ALLEGIANCE TELECOM INC COM      COMMON STOCK        01747T102      2761    34239   SH        SOLE                34239      0     0
ALLERGAN INC COM                COMMON STOCK        018490102      2860    57200   SH        SOLE                57200      0     0
ALLIED RISER COMMUNCTN COM      COMMON STOCK        019496108      3854   110906   SH        SOLE               110906      0     0
ALLTEL CORP                     COMMON STOCK        020039103      2227    35215   SH        SOLE                35000      0   215
ALTERA CORP COM                 COMMON STOCK        021441100       107     1200   SH        OTHER                   0      0  1200
ALTERA CORP COM                 COMMON STOCK        021441100      2220    24870   SH        SOLE                24555      0   315
ALZA CORP DEL COM               COMMON STOCK        022615108      2127    56625   SH        SOLE                56625      0     0
AMERICA ONLINE INC DEL          COMMON STOCK        02364J104       216     3200   SH        OTHER                   0      0  3200
AMERICA ONLINE INC DEL          COMMON STOCK        02364J104      2425    35963   SH        SOLE                29898      0  6065
AMERICAN EXPRESS CO             COMMON STOCK        025816109   126,597      850   SH        DEFINED                 0    850     0
AMERICAN EXPRESS CO COM         COMMON STOCK        025816109       350     2350   SH        OTHER                   0      0  2350
AMERICAN EXPRESS CO COM         COMMON STOCK        025816109       224     1503   SH        SOLE                  225      0  1278
AMERICAN GEN CORP COM           COMMON STOCK        026351106    91,484    1,630   SH        DEFINED                 0   1630     0
AMERICAN HOME PRODS CORP        COMMON STOCK        026609107   147,275    2,740   SH        DEFINED                 0   2740     0
AMERICAN HOME PRODS CP          COMMON STOCK        026609107       188     3500   SH        OTHER                   0      0  3500
AMERICAN HOME PRODS CP          COMMON STOCK        026609107     57789  1075151   SH        SOLE              1072636      0  2515
AMERICAN INTL GROUP             COMMON STOCK        026874107       427     3901   SH        OTHER                   0      0  3901
AMERICAN INTL GROUP             COMMON STOCK        026874107     45535   415848   SH        SOLE               407216      0  8632
AMERICAN POWER CONVERSION CORP  COMMON STOCK        029066107        34      800   SH        OTHER                   0      0   800
AMERICAN POWER CONVERSION CORP  COMMON STOCK        029066107      5097   118892   SH        SOLE               115755      0  3137
AMERICAN TOWER CORP CL A        COMMON STOCK        029912201      2734    55375   SH        SOLE                55375      0     0
AMERICAN WTR WKS INC            COMMON STOCK        030411102      4649   195742   SH        SOLE               195742      0     0
AMERICREDIT CORP COM            COMMON STOCK        03060R101      4489   275217   SH        SOLE               275217      0     0
AMES DEPT STORES INC COM NEW    COMMON STOCK        030789507      3835   156128   SH        SOLE               156128      0     0
AMGEN INC COM                   COMMON STOCK        031162100       132     2150   SH        OTHER                   0      0  2150
AMGEN INC COM                   COMMON STOCK        031162100     10839   176604   SH        SOLE               174449      0  2155
AMKOR TECHNOLOGY INC COM        COMMON STOCK        031652100      6045   113929   SH        SOLE               113929      0     0
AMVESCAP PLC ADR                COMMON STOCK        03235E100      6575    92600   SH        SOLE                92600      0     0
ANADARKO PETE CORP COM          COMMON STOCK        032511107      3435    88800   SH        SOLE                88800      0     0
ANALOG DEVICES INC COM          COMMON STOCK        032654105      5002    62131   SH        SOLE                62131      0     0
ANHEUSER BUSCH COS INC COM      COMMON STOCK        035229103       168     2700   SH        OTHER                   0      0  2700
ANHEUSER BUSCH COS INC COM      COMMON STOCK        035229103     12640   203046   SH        SOLE               200200      0  2846
AON CORP COM                    COMMON STOCK        037389103     33450  1037216   SH        SOLE              1037216      0     0
APPLE COMPUTER INC COM          COMMON STOCK        037833100      3445    25368   SH        SOLE                24175      0  1193
APPLIED MATLS INC COM           COMMON STOCK        038222105       207     2200   SH        OTHER                   0      0  2200
APPLIED MATLS INC COM           COMMON STOCK        038222105     14887   157950   SH        SOLE               154100      0  3850
ARACRUZ CELULOSE S.A. ADR       COMMON STOCK        038496204      2331   110000   SH        SOLE               110000      0     0
ARCHSTONE CMNTYS TR SH BEN INT  COMMON STOCK        039581103      1495    75000   SH        SOLE                75000      0     0
ARDEN RLTY GROUP INC COM        COMMON STOCK        039793104      2996   143500   SH        SOLE               143500      0     0
ARIBA INC COM                   COMMON STOCK        04033V104      2746    13100   SH        SOLE                13100      0     0
ARM HOLDINGS PLC ADR            COMMON STOCK        042068106      8159    45900   SH        SOLE                45900      0     0
ASE TEST LIMITED                COMMON STOCK        Y02516105      3915   135000   SH        SOLE               135000      0     0
ASPECT MED SYS INC COM          COMMON STOCK        045235108      2775    77350   SH        SOLE                77350      0     0
ASPECT TELECOMMUNICATIONS CORP  COMMON STOCK        04523Q102      1445    39000   SH        SOLE                39000      0     0
ASYST TECHNOLOGY CP COM         COMMON STOCK        04648X107      9524   162804   SH        SOLE               162804      0     0
AT&T CORP                       COMMON STOCK        001957109   228,235    4,053   SH        DEFINED                 0   4053     0
AT&T CORP COM                   COMMON STOCK        001957109       884    15693   SH        OTHER                   0      0 15693
AT&T CORP COM                   COMMON STOCK        001957109     42938   762492   SH        SOLE               753101      0  9391
AT&T CORP COM LIB GRP A         COMMON STOCK        001957208        47      786   SH        OTHER                   0      0   786
AT&T CORP COM LIB GRP A         COMMON STOCK        001957208       578     9750   SH        SOLE                 9750      0     0
ATLANTIC RICHFIELD CO           COMMON STOCK        048825103       170     2000   SH        OTHER                   0      0  2000
ATLANTIC RICHFIELD CO           COMMON STOCK        048825103        85      995   SH        SOLE                  400      0   595
ATLANTIC RICHFIELD COMPANY      COMMON STOCK        048825103   113,475    1,335   SH        DEFINED                 0   1335     0
ATMEL CORP COM                  COMMON STOCK        049513104      4640    89875   SH        SOLE                89875      0     0
AUTOMATIC DATA PROCESS COM      COMMON STOCK        053015103       116     2400   SH        OTHER                   0      0  2400
AUTOMATIC DATA PROCESS COM      COMMON STOCK        053015103     10027   207810   SH        SOLE               207810      0     0
AVENUE A INC COM                COMMON STOCK        053566105      1793    58775   SH        SOLE                58775      0     0
AVERY DENNISON CORP COM         COMMON STOCK        053611109       119     1950   SH        OTHER                   0      0  1950
AVERY DENNISON CORP COM         COMMON STOCK        053611109      2074    33972   SH        SOLE                33552      0   420
AXA FINL INC COM                COMMON STOCK        002451102       118     3300   SH        OTHER                   0      0  3300
AXA FINL INC COM                COMMON STOCK        002451102      5680   158340   SH        SOLE               157750      0   590
AXA-SA ADR                      COMMON STOCK        054536107      5878    82000   SH        SOLE                82000      0     0
AXENT TECHNOLOGIES INC COM      COMMON STOCK        05459C108       616    32725   SH        SOLE                32725      0     0
BANCO SANTANDER CENTRAL HISPAN  COMMON STOCK        05964H105      3881   361000   SH        SOLE               361000      0     0
BANK NEW YORK INC COM           COMMON STOCK        064057102       150     3600   SH        OTHER                   0      0  3600
BANK NEW YORK INC COM           COMMON STOCK        064057102      3299    79375   SH        SOLE                79200      0   175
BANK OF AMERICA CORP            COMMON STOCK        060505104       119     2265   SH        OTHER                   0      0  2265
BANK OF AMERICA CORP            COMMON STOCK        060505104     17659   336760   SH        SOLE               333486      0  3274
BAXTER INTL INC                 COMMON STOCK        071813109       210     3350   SH        OTHER                   0      0  3350
BAXTER INTL INC                 COMMON STOCK        071813109     14322   228459   SH        SOLE               221979      0  6480
BEAR STEARNS COS INC            COMMON STOCK        073902108      9125   200000   SH        SOLE               200000      0     0
BED BATH & BEYOND INC COM       COMMON STOCK        075896100      3969   100800   SH        SOLE                99900      0   900
BELL ATLANTIC CORP              COMMON STOCK        077853109       189     3100   SH        OTHER                   0      0  3100
BELL ATLANTIC CORP              COMMON STOCK        077853109     14431   236083   SH        SOLE               228195      0  7888
BELLSOUTH CORP                  COMMON STOCK        079860102       342     7300   SH        OTHER                   0      0  7300
BELLSOUTH CORP                  COMMON STOCK        079860102      2615    55782   SH        SOLE                54525      0  1257
BEST BUY INC COM                COMMON STOCK        086516101      3685    42850   SH        SOLE                42850      0     0
BESTFOODS                       COMMON STOCK        08658U101        98     2100   SH        OTHER                   0      0  2100
BESTFOODS                       COMMON STOCK        08658U101      2380    50851   SH        SOLE                50125      0   726
BINDVIEW DEV CORP COM           COMMON STOCK        090327107      4694   151108   SH        SOLE               151108      0     0
BIOGEN INC COM                  COMMON STOCK        090597105        49      700   SH        OTHER                   0      0   700
BIOGEN INC COM                  COMMON STOCK        090597105      5929    84850   SH        SOLE                84245      0   605
BJ SVCS CO COM                  COMMON STOCK        055482103      2101    28438   SH        SOLE                28438      0     0
BJS WHOLESALE CLUB INC COM      COMMON STOCK        05548J106      8628   224828   SH        SOLE               224828      0     0
BOWATER INC COM                 COMMON STOCK        102183100      8251   154580   SH        SOLE               152900      0  1680
BP AMOCO PLC ADR                COMMON STOCK        055622104      3621    68000   SH        SOLE                68000      0     0
BRISTOL MYERS SQUIBB            COMMON STOCK        110122108       244     4205   SH        OTHER                   0      0  4205
BRISTOL MYERS SQUIBB            COMMON STOCK        110122108     50429   869472   SH        SOLE               861417      0  8055
BRITISH TELECOMMUNICATIONS PLC  COMMON STOCK        111021408      4835    25700   SH        SOLE                25700      0     0
BROADBASE SOFTWARE COM          COMMON STOCK        11130R100      5051    63330   SH        SOLE                63330      0     0
BROADCOM CORP CL A              COMMON STOCK        111320107      9924    40859   SH        SOLE                40859      0     0
BROADWING INC COM               COMMON STOCK        111620100      2271    61072   SH        SOLE                61072      0     0
BROKEN HILL PROPRIETARY CO. LT  COMMON STOCK        112169602      3371   155000   SH        SOLE               155000      0     0
BURLINGTON NRTHN SANTA COM      COMMON STOCK        12189T104       266    11700   SH        OTHER                   0      0 11700
BURLINGTON NRTHN SANTA COM      COMMON STOCK        12189T104         5      225   SH        SOLE                    0      0   225
BURLINGTON RES INC COM          COMMON STOCK        122014103       555    15000   SH        SOLE                15000      0     0
BURR BROWN CORP                 COMMON STOCK        122574106      3367    61915   SH        SOLE                61915      0     0
C H ROBINSON WORLDWIDE COM      COMMON STOCK        12541W100      2305    61885   SH        SOLE                61885      0     0
CALPINE CORP COM                COMMON STOCK        131347106      3111    33100   SH        SOLE                33100      0     0
CAMBREX CORP                    COMMON STOCK        132011107      3972    91310   SH        SOLE                91310      0     0
CANAL PLUS ADR                  COMMON STOCK        137041208      4930   112000   SH        SOLE               112000      0     0
CAPITAL ONE FINL CORP COM       COMMON STOCK        14040H105      4160    86787   SH        SOLE                86787      0     0
CATALINA MARKETING CP COM       COMMON STOCK        148867104      2369    23400   SH        SOLE                23400      0     0
CBS CORP COM                    COMMON STOCK        12490K107        32      567   SH        OTHER                   0      0   567
CBS CORP COM                    COMMON STOCK        12490K107      5827   102905   SH        SOLE               100300      0  2605
CELESTICA INC SUB VTG SHS       COMMON STOCK        15101q108      3568    67250   SH        SOLE                67250      0     0
CENTURYTEL INC                  COMMON STOCK        156700106       758    20405   SH        SOLE                20000      0   405
CEPHALON INC COM                COMMON STOCK        156708109      3242    86454   SH        SOLE                86454      0     0
CERUS CORP COM                  COMMON STOCK        157085101      3605    74711   SH        SOLE                74711      0     0
CHARTER COMMUNCTNS DEL CL A     COMMON STOCK        16117M107      2851   198965   SH        SOLE               196700      0  2265
CHASE MANHATTAN NEW             COMMON STOCK        16161A108       227     2600   SH        OTHER                   0      0  2600
CHASE MANHATTAN NEW             COMMON STOCK        16161A108     55894   641073   SH        SOLE               631647      0  9426
CHEUNG KONG HLDGS LTD ADR       COMMON STOCK        166744201      8573   573000   SH        SOLE               573000      0     0
CHEVRON CORP                    COMMON STOCK        166751107    95,211    1,030   SH        DEFINED                 0   1030     0
CHEVRON CORPORATION             COMMON STOCK        166751107       111     1200   SH        OTHER                   0      0  1200
CHEVRON CORPORATION             COMMON STOCK        166751107     26438   286009   SH        SOLE               281695      0  4314
CHOICE ONE COMM INC COM         COMMON STOCK        17038P104       554    15609   SH        SOLE                15609      0     0
CHUBB CORP COM                  COMMON STOCK        171232101         7      100   SH        OTHER                   0      0   100
CHUBB CORP COM                  COMMON STOCK        171232101      2520    37300   SH        SOLE                36500      0   800
CIENA CORP COM                  COMMON STOCK        171779101      3002    23800   SH        SOLE                23800      0     0
CIGNA CORP                      COMMON STOCK        125509109      3750    49507   SH        SOLE                48825      0   682
CIRCUIT CITY STORES INC         COMMON STOCK        172737108      3574    58712   SH        SOLE                58712      0     0
CISCO SYS INC                   COMMON STOCK        17275R102      1493    19310   SH        OTHER                   0      0 19310
CISCO SYS INC                   COMMON STOCK        17275R102     89266  1154608   SH        SOLE              1126268      0 28340
CITIGROUP INC                   COMMON STOCK        172967101       500     8350   SH        OTHER                   0      0  8350
CITIGROUP INC                   COMMON STOCK        172967101     72195  1205763   SH        SOLE              1187059      0 18704
CITRIX SYS INC                  COMMON STOCK        177376100      7816   117983   SH        SOLE               117298      0   685
CLARUS CORP COM                 COMMON STOCK        182707109      3560    50400   SH        SOLE                50400      0     0
CLEAR CHANNEL COMMUN COM        COMMON STOCK        184502102        79     1150   SH        OTHER                   0      0  1150
CLEAR CHANNEL COMMUN COM        COMMON STOCK        184502102     12600   182450   SH        SOLE               178835      0  3615
CLOROX CO DEL COM               COMMON STOCK        189054109      8171   247605   SH        SOLE               245050      0  2555
CMG INFORMATION SERVICES INC    COMMON STOCK        125750109      3938    34750   SH        SOLE                34750      0     0
COASTAL CORP COM                COMMON STOCK        190441105      8944   194438   SH        SOLE               191075      0  3363
COCA COLA CO COM                COMMON STOCK        191216100       235     5000   SH        OTHER                   0      0  5000
COCA COLA CO COM                COMMON STOCK        191216100     18128   386213   SH        SOLE               378425      0  7788
COLGATE PALMOLIVE CO COM        COMMON STOCK        194162103     12669   224720   SH        SOLE               219500      0  5220
COMMONWEALTH TEL ENTPR COM      COMMON STOCK        203349105      2741    58400   SH        SOLE                58400      0     0
COMMSCOPE INC COM               COMMON STOCK        203372107      7063   154598   SH        SOLE               154598      0     0
COMMUNITY FIRST BANKSH          COMMON STOCK        203902101      3548   221753   SH        SOLE               221753      0     0
COMPUCREDIT CORP COM            COMMON STOCK        20478N100      3673   101500   SH        SOLE               101500      0     0
COMPUTER ASSOC INTL COM         COMMON STOCK        204912109        77     1300   SH        OTHER                   0      0  1300
COMPUTER ASSOC INTL COM         COMMON STOCK        204912109     10970   185347   SH        SOLE               181825      0  3522
COMPUTER SCIENCES CORP COM      COMMON STOCK        205363104        95     1200   SH        OTHER                   0      0  1200
COMPUTER SCIENCES CORP COM      COMMON STOCK        205363104      2727    34466   SH        SOLE                34101      0   365
COMVERSE TECHNOLOGY COM PAR $0  COMMON STOCK        205862402      6177    32683   SH        SOLE                32683      0     0
CONCORD EFS INC COM             COMMON STOCK        206197105      2337   101892   SH        SOLE               101892      0     0
CONEXANT SYSTEMS INC COM        COMMON STOCK        207142100        71     1000   SH        OTHER                   0      0  1000
CONEXANT SYSTEMS INC COM        COMMON STOCK        207142100      3229    45485   SH        SOLE                45375      0   110
CONOCO INC CL A                 COMMON STOCK        208251306       985    40000   SH        SOLE                40000      0     0
CONOCO INC CL B                 COMMON STOCK        208251405       115     4478   SH        OTHER                   0      0  4478
CONOCO INC CL B                 COMMON STOCK        208251405      8546   333502   SH        SOLE               329902      0  3600
CONVERGYS CORP                  COMMON STOCK        212485106      2037    52643   SH        SOLE                52643      0     0
CORAM HEALTHCARE CORP COM       COMMON STOCK        218103109         6    11032   SH        SOLE                11032      0     0
CORNING INC                     COMMON STOCK        219350105       116      600   SH        OTHER                   0      0   600
CORNING INC                     COMMON STOCK        219350105      4481    23100   SH        SOLE                23100      0     0
COSTCO WHOLESALE CORP COM       COMMON STOCK        22160K105       389     7400   SH        OTHER                   0      0  7400
COSTCO WHOLESALE CORP COM       COMMON STOCK        22160K105      8917   169649   SH        SOLE               164754      0  4895
COVAD COMMUNICATIONS            COMMON STOCK        222814204      1738    23970   SH        SOLE                23970      0     0
COX RADIO INC CL A              COMMON STOCK        224051102      1451    17275   SH        SOLE                17275      0     0
CSK AUTO CORP COM               COMMON STOCK        125965103      2256   161855   SH        SOLE               161855      0     0
CTC COMMUNICATIONS GROUP INC    COMMON STOCK        126419100      5636   132225   SH        SOLE               132225      0     0
CYBERSOURCE CORP COM            COMMON STOCK        23251J106      1624    43600   SH        SOLE                43600      0     0
CYPRESS SEMICONDUCTOR COM       COMMON STOCK        232806109      7139   145687   SH        SOLE               145687      0     0
CYTYC CORP COM                  COMMON STOCK        232946103      6043   125253   SH        SOLE               125253      0     0
DANAHER CORP DEL                COMMON STOCK        235851102      8619   168994   SH        SOLE               165554      0  3440
DBS GROUP HOLDINGS LIMITED ADR  COMMON STOCK        251594305      6389   120900   SH        SOLE               120900      0     0
DELL COMPUTER CORP              COMMON STOCK        247025109       200     3700   SH        OTHER                   0      0  3700
DELL COMPUTER CORP              COMMON STOCK        247025109      6062   112385   SH        SOLE               108015      0  4370
DEUTSCHE BANK, AG ADR           COMMON STOCK        251525309      5217    78500   SH        SOLE                78500      0     0
DIAL CORP NEW                   COMMON STOCK        25247D101       639    46438   SH        SOLE                46438      0     0
DIAMOND TECH PARTNERS CL A      COMMON STOCK        252762109      7913   120348   SH        SOLE               120348      0     0
DIGITAL LIGHTWAVE INC           COMMON STOCK        253855100      3364    53979   SH        SOLE                53979      0     0
DIGITAL MICROWAVE CORP          COMMON STOCK        253859102      2586    76325   SH        SOLE                76325      0     0
DIGITAS INC                     COMMON STOCK        25388K104      2372    96806   SH        SOLE                96806      0     0
DII GROUP INC                   COMMON STOCK        232949107      4568    40401   SH        SOLE                40401      0     0
DISNEY WALT CO                  COMMON STOCK        254687106       266     6450   SH        OTHER                   0      0  6450
DISNEY WALT CO                  COMMON STOCK        254687106     11839   286997   SH        SOLE               277890      0  9107
DOBSON COMMUNICATIONS CL A      COMMON STOCK        256069105      2448   106450   SH        SOLE               106450      0     0
DOUBLECLICK INC                 COMMON STOCK        258609304      5398    57656   SH        SOLE                57656      0     0
DOW CHEM CO                     COMMON STOCK        260543103        68      600   SH        OTHER                   0      0   600
DOW CHEM CO                     COMMON STOCK        260543103     25188   220947   SH        SOLE               220750      0   197
DSET CORP                       COMMON STOCK        262504103      1610    87330   SH        SOLE                87330      0     0
DSL NET INC                     COMMON STOCK        262506108      1660    75250   SH        SOLE                75250      0     0
DU PONT E I DE NEMOURS          COMMON STOCK        263534109       113     2131   SH        OTHER                   0      0  2131
DU PONT E I DE NEMOURS          COMMON STOCK        263534109     19333   365211   SH        SOLE               360671      0  4540
DU PONT E I DE NEMOURS CO       COMMON STOCK        263534109   126,997    2,399   SH        DEFINED                 0   2399     0
DUKE ENERGY CORP                COMMON STOCK        264399106       154     2942   SH        OTHER                   0      0  2942
DUKE ENERGY CORP                COMMON STOCK        264399106     23183   441585   SH        SOLE               440525      0  1060
DUKE REALTY INVT INC COM NEW    COMMON STOCK        264411505      1184    61903   SH        SOLE                60000      0  1903
DUN & BRADSTREET CORP DEL       COMMON STOCK        26483B106    99,329    3,470   SH        DEFINED                 0   3470     0
E M C CORP MASS COM             COMMON STOCK        268648102       432     3432   SH        OTHER                   0      0  3432
E M C CORP MASS COM             COMMON STOCK        268648102     28577   226798   SH        SOLE               221738      0  5060
EASTMAN KODAK                   COMMON STOCK        277461109    74,137    1,365   SH        DEFINED                 0   1365     0
EASTMAN KODAK CO                COMMON STOCK        277461109        98     1800   SH        OTHER                   0      0  1800
EASTMAN KODAK CO                COMMON STOCK        277461109     22844   420600   SH        SOLE               420300      0   300
EATON CORP COM                  COMMON STOCK        278058102      8930   114482   SH        SOLE               112850      0  1632
ECHOSTAR COMMNTNS NEW CL A      COMMON STOCK        278762109      4922    62300   SH        SOLE                62300      0     0
ECOLAB INC                      COMMON STOCK        278865100      1310    35695   SH        SOLE                35695      0     0
EDISON INTL                     COMMON STOCK        281020107      8229   496874   SH        SOLE               496874      0     0
EDWARDS LIFESCIENCES COM        COMMON STOCK        28176E108         9      670   SH        OTHER                   0      0   670
EDWARDS LIFESCIENCES COM        COMMON STOCK        28176E108       351    25895   SH        SOLE                24599      0  1296
EL PASO ENERGY CORP COM         COMMON STOCK        283905107         1       26   SH        OTHER                   0      0    26
EL PASO ENERGY CORP COM         COMMON STOCK        283905107     24225   600000   SH        SOLE               600000      0     0
ELAN CORPORATION PLC ADR        COMMON STOCK        284131208      4674    98410   SH        SOLE                98400      0    10
ELECTRONIC ARTS INC COM         COMMON STOCK        285512109      1631    22914   SH        SOLE                22914      0     0
EMERSON ELEC CO                 COMMON STOCK        291011104   123,781    2,330   SH        DEFINED                 0   2330     0
EMERSON ELEC CO COM             COMMON STOCK        291011104        77     1450   SH        OTHER                   0      0  1450
EMERSON ELEC CO COM             COMMON STOCK        291011104     22381   421284   SH        SOLE               419584      0  1700
EMISPHERE TECHNOLOGIES COM      COMMON STOCK        291345106      1965    37875   SH        SOLE                37875      0     0
EMMIS COMMUNICATIONS CORP       COMMON STOCK        291525103      3764    80951   SH        SOLE                80951      0     0
EMULEX CORP                     COMMON STOCK        292475209      4075    37346   SH        SOLE                37346      0     0
ENI SPA ADR                     COMMON STOCK        26874R108      2994    59000   SH        SOLE                59000      0     0
ENRON CORP COM                  COMMON STOCK        293561106      3870    51683   SH        SOLE                50350      0  1333
ENSCO INTL INC COM              COMMON STOCK        26874Q100      1878    51975   SH        SOLE                51975      0     0
ENTERCOM INC                    COMMON STOCK        293639100      3086    60500   SH        SOLE                60500      0     0
ENTRUST TECHNOLOGIES INC        COMMON STOCK        293848107      4418    51925   SH        SOLE                51925      0     0
ENZON INC COM                   COMMON STOCK        293904108      5168   137129   SH        SOLE               137129      0     0
EQUITY OFFICE PPTYS TR COM      COMMON STOCK        294741103       459    18281   SH        SOLE                    0      0 18281
EQUITY RESIDENT PPTYS SH BEN I  COMMON STOCK        29476L107      1794    44641   SH        SOLE                42701      0  1940
ERICSSON (L M) TEL CO ADR       COMMON STOCK        294821400        75      800   SH        OTHER                   0      0   800
ERICSSON (L M) TEL CO ADR       COMMON STOCK        294821400      9949   106050   SH        SOLE               106000      0    50
E-TEK DYNAMICS INC              COMMON STOCK        269240107      1523     6475   SH        SOLE                 6475      0     0
EXODUS COMMUNICATIONS COM       COMMON STOCK        302088109      5511    39225   SH        SOLE                39170      0    55
EXXON CORPORATION               COMMON STOCK        30231G102   163,825    2,102   SH        DEFINED                 0   2102     0
EXXON MOBIL CORP COM            COMMON STOCK        30231G102       654     8389   SH        OTHER                   0      0  8389
EXXON MOBIL CORP COM            COMMON STOCK        30231G102     65332   838257   SH        SOLE               821474      0 16783
FEDERAL NATL MTG ASSN           COMMON STOCK        313586109       308     5450   SH        OTHER                   0      0  5450
FEDERAL NATL MTG ASSN           COMMON STOCK        313586109     23599   417227   SH        SOLE               410243      0  6984
FEDERATED DEPT STORES COM       COMMON STOCK        31410H101       161     3800   SH        OTHER                   0      0  3800
FEDERATED DEPT STORES COM       COMMON STOCK        31410H101      1508    35700   SH        SOLE                34800      0   900
FIFTH THIRD BANCORP COM         COMMON STOCK        316773100      2463    39100   SH        SOLE                39050      0    50
FIRST UNION CORP                COMMON STOCK        337358105     26993   724636   SH        SOLE               724636      0     0
FIRSTAR CORP                    COMMON STOCK        33763V109      5709   248883   SH        SOLE               248583      0   300
FIRSTFED FINL CORP              COMMON STOCK        337907109      3264   246324   SH        SOLE               246324      0     0
FIRSTWORLD COMMNS COM SER B     COMMON STOCK        337625305      1324    64975   SH        SOLE                64975      0     0
FISERV INC                      COMMON STOCK        337738108      2865    77046   SH        SOLE                77046      0     0
FLEXTRONICS INTL LTD ORD        COMMON STOCK        Y2573F102      2865    40673   SH        SOLE                40673      0     0
FORD MTR CO DEL                 COMMON STOCK        345370100       172     3750   SH        OTHER                   0      0  3750
FORD MTR CO DEL                 COMMON STOCK        345370100     35753   778304   SH        SOLE               776687      0  1617
FOREST LABS INC CL A            COMMON STOCK        345838106      3627    42925   SH        SOLE                42925      0     0
FORTUNE BRANDS INC              COMMON STOCK        349631101   119,500    4,780   SH        DEFINED                 0   4780     0
FOX ENTMT GROUP INC CL A        COMMON STOCK        35138T107        99     3300   SH        OTHER                   0      0  3300
FOX ENTMT GROUP INC CL A        COMMON STOCK        35138T107     16656   556375   SH        SOLE               547800      0  8575
FPIC INS GROUP INC COM          COMMON STOCK        302563101      2175   124266   SH        SOLE               124266      0     0
FREDDIE MAC                     COMMON STOCK        313400301       110     2500   SH        OTHER                   0      0  2500
FREDDIE MAC                     COMMON STOCK        313400301      3249    73527   SH        SOLE                66400      0  7127
FREMONT GEN CORP                COMMON STOCK        357288109      2374   372456   SH        SOLE               372456      0     0
FUJITSU LTD ADR                 COMMON STOCK        359590304      6265    40800   SH        SOLE                40800      0     0
FUTURELINK CORP COM NEW         COMMON STOCK        36114Q208      2692   107150   SH        SOLE               107150      0     0
GALLAGHER ARTHUR J &CO COM      COMMON STOCK        363576109      4871   149869   SH        SOLE               149869      0     0
GANNETT INC COM                 COMMON STOCK        364730101       211     3000   SH        OTHER                   0      0  3000
GANNETT INC COM                 COMMON STOCK        364730101     18816   267365   SH        SOLE               263455      0  3910
GATEWAY INC                     COMMON STOCK        367626108      2834    53425   SH        SOLE                53425      0     0
GENERAL DYNAMICS CORP COM       COMMON STOCK        369550108       100     2000   SH        OTHER                   0      0  2000
GENERAL DYNAMICS CORP COM       COMMON STOCK        369550108     14628   294025   SH        SOLE               293725      0   300
GENERAL ELEC CO                 COMMON STOCK        369604103      2140    13753   SH        OTHER                   0      0 13753
GENERAL ELEC CO                 COMMON STOCK        369604103   196,710    1,264   SH        DEFINED                 0   1264     0
GENERAL ELEC CO                 COMMON STOCK        369604103    130288   837190   SH        SOLE               826190      0 11000
GENERAL MLS INC COM             COMMON STOCK        370334104      3490    96452   SH        SOLE                96452      0     0
GENERAL MTRS CORP COM           COMMON STOCK        370442105       414     5000   SH        OTHER                   0      0  5000
GENERAL MTRS CORP COM           COMMON STOCK        370442105      7310    88268   SH        SOLE                86300      0  1968
GETTY IMAGES INC COM            COMMON STOCK        374276103      4939   137438   SH        SOLE               137438      0     0
GILEAD SCIENCES INC COM         COMMON STOCK        375558103      3668    57873   SH        SOLE                57873      0     0
GILLETTE CO COM                 COMMON STOCK        375766102       117     3100   SH        OTHER                   0      0  3100
GILLETTE CO COM                 COMMON STOCK        375766102      9921   263249   SH        SOLE               257600      0  5649
GLOBIX CORP COM                 COMMON STOCK        37957F101      5180   135858   SH        SOLE               135858      0     0
GPU INC                         COMMON STOCK        36225X100      1703    62197   SH        SOLE                62197      0     0
GROUPE DANONE SA ADR            COMMON STOCK        399449107      3717    84000   SH        SOLE                84000      0     0
GRUPO TELEVISA SA DE SP ADR RE  COMMON STOCK        40049J206      5148    75700   SH        SOLE                75700      0     0
GT GROUP TELECOMM CL B          COMMON STOCK        362359408       399    19115   SH        SOLE                19115      0     0
GTE CORP                        COMMON STOCK        362320103   130,995    1,845   SH        DEFINED                 0   1845     0
GTE CORP                        COMMON STOCK        362320103     57373   808073   SH        SOLE               800140      0  7933
GUIDANT CORP COM                COMMON STOCK        401698105      4850    82382   SH        SOLE                81660      0   722
HALLIBURTON CO COM              COMMON STOCK        406216101      7054   171535   SH        SOLE               169500      0  2035
HARMONIC LIGHTWAVES COM         COMMON STOCK        413160102      4010    48166   SH        SOLE                48166      0     0
HARTFORD FINL SVCS              COMMON STOCK        416515104      5827   110471   SH        SOLE               110396      0    75
HCB FINL CORP CMT-COM           COMMON STOCK        404131104    20,700      900   SH        DEFINED                 0    900     0
HEALTH CARE PPTY INVS COM       COMMON STOCK        421915109       216     8500   SH        SOLE                 8500      0     0
HELMERICH & PAYNE INC COM       COMMON STOCK        423452101      7311   235850   SH        SOLE               235850      0     0
HEWLETT PACKARD CO              COMMON STOCK        428236103       272     2050   SH        OTHER                   0      0  2050
HEWLETT PACKARD CO              COMMON STOCK        428236103   285,009    2,150   SH        DEFINED                 0   2150     0
HEWLETT PACKARD CO              COMMON STOCK        428236103     33078   248943   SH        SOLE               245685      0  3258
HI / FN INC COM                 COMMON STOCK        428358105      2476    38052   SH        SOLE                38052      0     0
HOME DEPOT INC                  COMMON STOCK        437076102       358     5550   SH        OTHER                   0      0  5550
HOME DEPOT INC                  COMMON STOCK        437076102     24106   373731   SH        SOLE               364150      0  9581
HOMEGROCER COM INC COM          COMMON STOCK        43740K100      1003    96675   SH        SOLE                96675      0     0
HONDA MOTOR CO LTD ADR          COMMON STOCK        438128308      4119    50700   SH        SOLE                50700      0     0
HONEYWELL INTERNATION INC       COMMON STOCK        438516106        97     1850   SH        OTHER                   0      0  1850
HONEYWELL INTERNATION INC       COMMON STOCK        438516106     53731  1019799   SH        SOLE              1007906      0 11893
HONEYWELL INTERNATIONAL, INC.   COMMON STOCK        438516106   128,031    2,430   SH        DEFINED                 0   2430     0
HOUSEHOLD INTL INC              COMMON STOCK        441815107       272     7300   SH        OTHER                   0      0  7300
HOUSEHOLD INTL INC              COMMON STOCK        441815107     76750  2056948   SH        SOLE              2047973      0  8975
HSBC HOLDINGS PLC ADR           COMMON STOCK        404280406      3315    54400   SH        SOLE                54400      0     0
HUMAN GENOME SCIENCES COM       COMMON STOCK        444903108      3896    46900   SH        SOLE                46900      0     0
HYPERION SOLUTIONS CP COM       COMMON STOCK        44914M104      3410   104925   SH        SOLE               104925      0     0
I B M                           COMMON STOCK        459200101   168,740    1,430   SH        DEFINED                 0   1430     0
I2 TECHNOLOGIES INC COM         COMMON STOCK        465754109      3777    30925   SH        SOLE                30925      0     0
IDEC PHARMACEUTICALS COM        COMMON STOCK        449370105      4109    41823   SH        SOLE                41823      0     0
ILLUMINET HLDGS INC COM         COMMON STOCK        452334105      3123    63425   SH        SOLE                63425      0     0
IMMUNEX CORP NEW COM            COMMON STOCK        452528102      2950    46500   SH        SOLE                46500      0     0
IMS HEALTH INC                  COMMON STOCK        449934108      1361    80326   SH        SOLE                80326      0     0
IMS HEALTH INC COM              COMMON STOCK        449934108    91,378    5,395   SH        DEFINED                 0   5395     0
INCYTE PHARMACEUTICALS COM      COMMON STOCK        45337C102      2785    31850   SH        SOLE                31850      0     0
INFORMIX CORP COM               COMMON STOCK        456779107      6778   400162   SH        SOLE               400162      0     0
INFORTE CORP COM                COMMON STOCK        45677R107      1860    37955   SH        SOLE                37955      0     0
INSIGHT ENTERPRISES COM         COMMON STOCK        45765U103      3406    93486   SH        SOLE                93486      0     0
INTEL CORP                      COMMON STOCK        458140100      1064     8066   SH        OTHER                   0      0  8066
INTEL CORP                      COMMON STOCK        458140100     63342   480089   SH        SOLE               467896      0 12193
INTERMEDIA COMMUNICATN COM      COMMON STOCK        458801107      2507    51900   SH        SOLE                51900      0     0
INTERNATIONAL BUS MACH          COMMON STOCK        459200101       640     5420   SH        OTHER                   0      0  5420
INTERNATIONAL BUS MACH          COMMON STOCK        459200101     53953   457226   SH        SOLE               450168      0  7058
INTERPUBLIC GROUP COS COM       COMMON STOCK        460690100     16316   345304   SH        SOLE               342079      0  3225
INTL PAPER CO COM               COMMON STOCK        460146103        77     1800   SH        OTHER                   0      0  1800
INTL PAPER CO COM               COMMON STOCK        460146103      7696   180030   SH        SOLE               177300      0  2730
INTUIT COM                      COMMON STOCK        461202103      1728    31775   SH        SOLE                31775      0     0
INVENSYS PLC ADR                COMMON STOCK        461204109      3763   422000   SH        SOLE               422000      0     0
ITC DELTACOM INC COM            COMMON STOCK        45031T104      4209   118161   SH        SOLE               118161      0     0
ITXC CORP                       COMMON STOCK        45069f109      1230    26125   SH        SOLE                26125      0     0
JDS UNIPHASE CORP               COMMON STOCK        46612J101     7,837       65   SH        DEFINED                 0     65     0
JDS UNIPHASE CORP COM           COMMON STOCK        46612J101        36      300   SH        OTHER                   0      0   300
JDS UNIPHASE CORP COM           COMMON STOCK        46612J101     29840   247507   SH        SOLE               244402      0  3105
JNI CORP COM                    COMMON STOCK        46622G105      2969    58349   SH        SOLE                58349      0     0
JOHNSON & JOHNSON               COMMON STOCK        478160104       246     3500   SH        OTHER                   0      0  3500
JOHNSON & JOHNSON               COMMON STOCK        478160104    86,056    1,225   SH        DEFINED                 0   1225     0
JOHNSON & JOHNSON               COMMON STOCK        478160104     51543   733702   SH        SOLE               728250      0  5452
JOHNSON CTLS INC COM            COMMON STOCK        478366107      6816   126073   SH        SOLE               126073      0     0
KANSAS CITY SOUTHN IND COM      COMMON STOCK        485170104      3111    36199   SH        SOLE                36199      0     0
KENT ELECTRS CORP COM           COMMON STOCK        490553104      2314    79278   SH        SOLE                79278      0     0
KILROY RLTY CORP COM            COMMON STOCK        49427F108      2622   124500   SH        SOLE               124500      0     0
KIMBERLY CLARK CORP             COMMON STOCK        494368103       233     4150   SH        OTHER                   0      0  4150
KIMBERLY CLARK CORP             COMMON STOCK        494368103     40508   722548   SH        SOLE               718847      0  3701
KING PHARMACEUTICALS COM        COMMON STOCK        495582108      4190   133030   SH        SOLE               133030      0     0
KLA-TENCOR CORP COM             COMMON STOCK        482480100      6123    72673   SH        SOLE                71933      0   740
KOHLS CORP COM                  COMMON STOCK        500255104     13312   129878   SH        SOLE               128978      0   900
KONINKLIJKE AHOLD N V ADR       COMMON STOCK        500467303      3313   125000   SH        SOLE               125000      0     0
KONINKLIJKE PHILIPS ELECTRONIC  COMMON STOCK        500472204     20357   118830   SH        SOLE               118324      0   506
KOREA TELECOM CORP ADR          COMMON STOCK        50063P103      2668    60900   SH        SOLE                60900      0     0
LAM RESH CORP COM               COMMON STOCK        512807108      8359   185502   SH        SOLE               185502      0     0
LATTICE SEMICONDUCTOR COM       COMMON STOCK        518415104      4495    66413   SH        SOLE                66413      0     0
LEXMARK INTL GROUP INC CL A     COMMON STOCK        529771107      4091    38683   SH        SOLE                38683      0     0
LILLY ELI & CO COM              COMMON STOCK        532457108       180     2880   SH        OTHER                   0      0  2880
LILLY ELI & CO COM              COMMON STOCK        532457108     14151   225971   SH        SOLE               224038      0  1933
LINEAR TECHNOLOGY CORP COM      COMMON STOCK        535678106      6792   123482   SH        SOLE               123482      0     0
LINENS N THINGS INC COM         COMMON STOCK        535679104      3810   111250   SH        SOLE               111250      0     0
LOWES COS INC COM               COMMON STOCK        548661107      7580   129845   SH        SOLE               128300      0  1545
LSI LOGIC CORP COM              COMMON STOCK        502161102      5258    72400   SH        SOLE                72400      0     0
LUCENT TECHNOLOGIES COM         COMMON STOCK        549463107       484     7900   SH        OTHER                   0      0  7900
LUCENT TECHNOLOGIES COM         COMMON STOCK        549463107     19923   325270   SH        SOLE               315345      0  9925
LUCENT TECHNOLOGIES INC         COMMON STOCK        549463107   211,420    3,410   SH        DEFINED                 0   3410     0
LYCOS INC                       COMMON STOCK        550818108      1674    23825   SH        SOLE                23825      0     0
MACROMEDIA INC COM              COMMON STOCK        556100105      2793    30925   SH        SOLE                30925      0     0
MAGYAR TAVKOZLESI RT ADR        COMMON STOCK        559776109      4686   105000   SH        SOLE               105000      0     0
MANHATTAN ASSOCS INC COM        COMMON STOCK        562750109       936    27325   SH        SOLE                27325      0     0
MANNESMANN AG ADR               COMMON STOCK        563775303      4155    13000   SH        SOLE                13000      0     0
MANUGISTICS GROUP INC           COMMON STOCK        565011103      2331    45700   SH        SOLE                45700      0     0
MARCHFIRST INC COM              COMMON STOCK        566244109      1032    28917   SH        SOLE                28917      0     0
MARIMBA INC COM                 COMMON STOCK        56781Q109      4839   109661   SH        SOLE               109661      0     0
MARINE DRILLING COS   PAR $0.0  COMMON STOCK        568240204      8132   296370   SH        SOLE               296370      0     0
MARSH & MCLENNAN COS COM        COMMON STOCK        571748102       154     1400   SH        OTHER                   0      0  1400
MARSH & MCLENNAN COS COM        COMMON STOCK        571748102     39667   359590   SH        SOLE               356175      0  3415
MASCO CORP COM                  COMMON STOCK        574599106      3280   160000   SH        SOLE               160000      0     0
MASTEC INC COM                  COMMON STOCK        576323109      4219    47400   SH        SOLE                47400      0     0
MATRIXONE INC COM               COMMON STOCK        57685P304      4093   102495   SH        SOLE               102495      0     0
MAXIM INTEGRATED PRODS COM      COMMON STOCK        57772K101      7525   105892   SH        SOLE               105892      0     0
MAY DEPT STORES CO              COMMON STOCK        577778103   101,602    3,565   SH        DEFINED                 0   3565     0
MBNA CORP                       COMMON STOCK        55262L100       133     5200   SH        OTHER                   0      0  5200
MBNA CORP                       COMMON STOCK        55262L100      6198   243047   SH        SOLE               241967      0  1080
MCDONALDS CORP                  COMMON STOCK        580135101       129     3450   SH        OTHER                   0      0  3450
MCDONALDS CORP                  COMMON STOCK        580135101   102,781    2,750   SH        DEFINED                 0   2750     0
MCDONALDS CORP                  COMMON STOCK        580135101      8261   221037   SH        SOLE               216544      0  4493
MCI WORLDCOM INC                COMMON STOCK        55268B106       197     4350   SH        OTHER                   0      0  4350
MCI WORLDCOM INC                COMMON STOCK        55268B106     14354   316771   SH        SOLE               306803      0  9968
MCLEODUSA INC COM               COMMON STOCK        582266102      4156    49000   SH        SOLE                49000      0     0
MEAD CORP COM                   COMMON STOCK        582834107       740    21180   SH        SOLE                20000      0  1180
MEDIAONE GROUP INC COM          COMMON STOCK        58440J104      6934    85600   SH        SOLE                84700      0   900
MEDICIS PHARMACEUTICAL CL A NE  COMMON STOCK        584690309      4394   109855   SH        SOLE               109855      0     0
MEDIMMUNE INC COM               COMMON STOCK        584699102      3488    20030   SH        SOLE                20030      0     0
MEDTRONIC INC COM               COMMON STOCK        585055106       235     4566   SH        OTHER                   0      0  4566
MEDTRONIC INC COM               COMMON STOCK        585055106      4818    93658   SH        SOLE                88893      0  4765
MELLON FINANCIAL CORP COM       COMMON STOCK        58551A108      6325   212590   SH        SOLE               208780      0  3810
MERCK & CO INC                  COMMON STOCK        589331107       388     6239   SH        OTHER                   0      0  6239
MERCK & CO INC                  COMMON STOCK        589331107   112,136    1,805   SH        DEFINED                 0   1805     0
MERCK & CO INC                  COMMON STOCK        589331107     14382   231507   SH        SOLE               224492      0  7015
MERCURY INTERACTIVE CP COM      COMMON STOCK        589405109     10022   126460   SH        SOLE               126460      0     0
MERRILL LYNCH & CO INC COM      COMMON STOCK        590188108     10775   102615   SH        SOLE               101350      0  1265
METAMOR WORLDWIDE INC           COMMON STOCK        59133P100      4670   164950   SH        SOLE               164950      0     0
METASOLV SOFTWARE INC COM       COMMON STOCK        591393103      3207    54300   SH        SOLE                54300      0     0
METRICOM INC COM                COMMON STOCK        591596101      1513    32625   SH        SOLE                32625      0     0
METRIS COMPANIES                COMMON STOCK        591598107      9433   242642   SH        SOLE               242642      0     0
METROMEDIA FIBER NETWK CL A     COMMON STOCK        591689104      4574    47275   SH        SOLE                47275      0     0
MGC COMMUNICATIONS INC COM      COMMON STOCK        552763302      3380    47275   SH        SOLE                47275      0     0
MICHAELS STORES INC COM         COMMON STOCK        594087108      3935    96568   SH        SOLE                96568      0     0
MICREL INC                      COMMON STOCK        594793101      4981    51888   SH        SOLE                51888      0     0
MICROCHIP TECHNOLOGY COM        COMMON STOCK        595017104      3382    51432   SH        SOLE                51432      0     0
MICROMUSE INC                   COMMON STOCK        595094103      7184    51755   SH        SOLE                51755      0     0
MICRON TECHNOLOGY INC COM       COMMON STOCK        595112103      2441    19375   SH        SOLE                19375      0     0
MICROSOFT CORP                  COMMON STOCK        594918104      1367    12866   SH        OTHER                   0      0 12866
MICROSOFT CORP                  COMMON STOCK        594918104     67837   638466   SH        SOLE               622133      0 16333
MILLENNIUM PHARMACEUTC COM      COMMON STOCK        599902103      4238    32630   SH        SOLE                32630      0     0
MINNESOTA MNG & MFG CO          COMMON STOCK        604059105   104,061    1,175   SH        DEFINED                 0   1175     0
MINNESOTA MNG & MFG CO COM      COMMON STOCK        604059105       177     2000   SH        OTHER                   0      0  2000
MINNESOTA MNG & MFG CO COM      COMMON STOCK        604059105      2232    25207   SH        SOLE                24500      0   707
MISSION CRITICAL SOFTW COM      COMMON STOCK        605047109      4789    78350   SH        SOLE                78350      0     0
MONSANTO CO                     COMMON STOCK        611662107       180     3500   SH        OTHER                   0      0  3500
MONSANTO CO                     COMMON STOCK        611662107        63     1232   SH        SOLE                  210      0  1022
MONTANA POWER CO                COMMON STOCK        612085100      9265   144763   SH        SOLE               139175      0  5588
MORGAN J P & CO INC COM         COMMON STOCK        616880100       165     1250   SH        OTHER                   0      0  1250
MORGAN J P & CO INC COM         COMMON STOCK        616880100     26453   200780   SH        SOLE               200400      0   380
MORGAN J.P. & CO INC            COMMON STOCK        616880100   140,973    1,070   SH        DEFINED                 0   1070     0
MORGAN STAN DEAN WITTR COM NEW  COMMON STOCK        617446448       215     2600   SH        OTHER                   0      0  2600
MORGAN STAN DEAN WITTR COM NEW  COMMON STOCK        617446448     16675   201211   SH        SOLE               195366      0  5845
MOTOROLA INC                    COMMON STOCK        620076109       387     2651   SH        OTHER                   0      0  2651
MOTOROLA INC                    COMMON STOCK        620076109      2588    17728   SH        SOLE                15225      0  2503
MYLAN LABS INC COM              COMMON STOCK        628530107      1375    50000   SH        SOLE                50000      0     0
NABORS INDS INC                 COMMON STOCK        629568106      1512    38958   SH        SOLE                38958      0     0
NAVISITE INC COM                COMMON STOCK        63935M109      4529    37196   SH        SOLE                37196      0     0
NDS GROUP PLC ADR               COMMON STOCK        628891103      7781   110371   SH        SOLE               110371      0     0
NESTLE SA ADR                   COMMON STOCK        641069406      4427    49400   SH        SOLE                49400      0     0
NET PERCEPTIONS INC COM         COMMON STOCK        64107U101      6337   171572   SH        SOLE               171572      0     0
NETRO CORP COM                  COMMON STOCK        64114R109      2706    41625   SH        SOLE                41625      0     0
NETSOLVE INC COM                COMMON STOCK        64115J106       319     9900   SH        SOLE                 9900      0     0
NETWORK APPLIANCE INC COM       COMMON STOCK        64120L104      5479    66210   SH        SOLE                65800      0   410
NETWORK PERIPHERALS COM         COMMON STOCK        64121R100       879    24771   SH        SOLE                24771      0     0
NETWORKS ASSOCS INC             COMMON STOCK        640938106         3       80   SH        OTHER                   0      0    80
NETWORKS ASSOCS INC             COMMON STOCK        640938106      2041    63275   SH        SOLE                63275      0     0
NEW YORK TIMES CO CL A          COMMON STOCK        650111107       286     6650   SH        OTHER                   0      0  6650
NEW YORK TIMES CO CL A          COMMON STOCK        650111107        70     1626   SH        SOLE                  600      0  1026
NEWFIELD EXPL CO COM            COMMON STOCK        651290108      2572    72964   SH        SOLE                72964      0     0
NEWS CORP LTD ADR               COMMON STOCK        652487703      5614    99800   SH        SOLE                98600      0  1200
NEXTEL COMMUNICATIONS CL A      COMMON STOCK        65332V103     15913   107340   SH        SOLE               105825      0  1515
NEXTLINK COMMUNICATION CL A     COMMON STOCK        65333H707      6649    53754   SH        SOLE                53754      0     0
NIKKO SECURITIES                COMMON STOCK        654107200      4061    26800   SH        SOLE                26800      0     0
NIPPON TELEGRAPH & TELEPHONE C  COMMON STOCK        654624105      5753    73000   SH        SOLE                73000      0     0
NOKIA CORP ADR                  COMMON STOCK        654902204        44      200   SH        OTHER                   0      0   200
NOKIA CORP ADR                  COMMON STOCK        654902204     38637   174040   SH        SOLE               173300      0   740
NOMURA SECURITIES LTD ADR       COMMON STOCK        655361301      5977    18300   SH        SOLE                18300      0     0
NORFOLK SOUTHERN CORP           COMMON STOCK        655844108      7541   529192   SH        SOLE               529192      0     0
NORTEL NETWORKS CORP            COMMON STOCK        656569100       517     4100   SH        OTHER                   0      0  4100
NORTEL NETWORKS CORP            COMMON STOCK        656569100     37639   298427   SH        SOLE               291892      0  6535
NORTHERN TR CORP COM            COMMON STOCK        665859104      3272    48426   SH        SOLE                48426      0     0
NOVARTIS AG ADR                 COMMON STOCK        66987V109      4240    62000   SH        SOLE                62000      0     0
NOVELLUS SYS INC                COMMON STOCK        670008101      3584    63850   SH        SOLE                63850      0     0
NTL INC COM                     COMMON STOCK        629407107      3698    39845   SH        SOLE                39845      0     0
NUCOR CORP COM                  COMMON STOCK        670346105      3823    76450   SH        SOLE                76450      0     0
OMRON CORP ADR                  COMMON STOCK        682151204      4669    16400   SH        SOLE                16400      0     0
ONDISPLAY INC                   COMMON STOCK        68232l100      1279    15475   SH        SOLE                15475      0     0
ORACLE CORP                     COMMON STOCK        68389X105       578     7400   SH        OTHER                   0      0  7400
ORACLE CORP                     COMMON STOCK        68389X105     27950   358045   SH        SOLE               352780      0  5265
PACKETEER INC COM               COMMON STOCK        695210104      3063    87525   SH        SOLE                87525      0     0
PARADYNE NETWORKS INC COM       COMMON STOCK        69911G107      2542    81989   SH        SOLE                81989      0     0
PARAMETRIC TECH CORP COM        COMMON STOCK        699173100      1352    64175   SH        SOLE                64175      0     0
PAYCHEX INC COM                 COMMON STOCK        704326107      1965    37525   SH        SOLE                37525      0     0
PE CORP COM PE BIO GRP          COMMON STOCK        69332S102      6418    66503   SH        SOLE                66498      0     5
PENNEY J C INC                  COMMON STOCK        708160106    41,278    2,775   SH        DEFINED                 0   2775     0
PENNEY J C INC                  COMMON STOCK        708160106      6694   450000   SH        SOLE               450000      0     0
PEPSICO INC                     COMMON STOCK        713448108       213     6100   SH        OTHER                   0      0  6100
PEPSICO INC                     COMMON STOCK        713448108     29731   852516   SH        SOLE               845030      0  7486
PEPSICO INCORPORATED            COMMON STOCK        713448108   181,176    5,195   SH        DEFINED                 0   5195     0
PETCO ANIMAL SUPPLIES COM       COMMON STOCK        716016100      2144   180534   SH        SOLE               180534      0     0
PETROLEUM GEO-SERVICES ADR      COMMON STOCK        716597109      3722   215000   SH        SOLE               215000      0     0
PFIZER INC                      COMMON STOCK        717081103   126,250    3,453   SH        DEFINED                 0   3453     0
PFIZER INC COM                  COMMON STOCK        717081103       331     9052   SH        OTHER                   0      0  9052
PFIZER INC COM                  COMMON STOCK        717081103     17765   485884   SH        SOLE               473812      0 12072
PG&E CORP COM                   COMMON STOCK        69331C108       143     6800   SH        OTHER                   0      0  6800
PG&E CORP COM                   COMMON STOCK        69331C108         4      200   SH        SOLE                    0      0   200
PHARMACYCLICS INC               COMMON STOCK        716933106      3344    60043   SH        SOLE                60043      0     0
PHILIP MORRIS COS INC           COMMON STOCK        718154107     20434   967286   SH        SOLE               965886      0  1400
PHILIP MORRIS COS INS           COMMON STOCK        718154107    61,474    2,910   SH        DEFINED                 0   2910     0
PITNEY BOWES INC COM            COMMON STOCK        724479100       139     3100   SH        OTHER                   0      0  3100
PITNEY BOWES INC COM            COMMON STOCK        724479100     14134   316295   SH        SOLE               316000      0   295
PLX TECHNOLOGY INC COM          COMMON STOCK        693417107      3733   100260   SH        SOLE               100260      0     0
PMC-SIERRA INC                  COMMON STOCK        69344F106      9166    45000   SH        SOLE                45000      0     0
PPG INDS INC COM                COMMON STOCK        693506107      1450    27721   SH        SOLE                27326      0   395
PRECISION DRILLING CP COM       COMMON STOCK        74022D100      5014   150234   SH        SOLE               150234      0     0
PREDICTIVE SYS INC COM          COMMON STOCK        74036W102       451     9900   SH        SOLE                 9900      0     0
PRI AUTOMATION INC COM          COMMON STOCK        69357H106      1772    28987   SH        SOLE                28987      0     0
PROCTER & GAMBLE CO COM         COMMON STOCK        742718109       176     3117   SH        OTHER                   0      0  3117
PROCTER & GAMBLE CO COM         COMMON STOCK        742718109     24561   434705   SH        SOLE               430085      0  4620
PROCTER & GAMBLE COMPANY        COMMON STOCK        742718109   103,395    1,830   SH        DEFINED                 0   1830     0
PUBLIC SVC ENTERPRISES          COMMON STOCK        744573106    38,809    1,310   SH        DEFINED                 0   1310     0
QLOGIC CORP COM                 COMMON STOCK        747277101      4878    36000   SH        SOLE                36000      0     0
R & B FALCON CORP               COMMON STOCK        74912E101      4201   213375   SH        SOLE               213375      0     0
RALSTON PURINA CO COM RAL-PUR   COMMON STOCK        751277302      3182   115700   SH        SOLE               113150      0  2550
RAYTHEON CO CL B                COMMON STOCK        755111408      1012    57000   SH        SOLE                57000      0     0
RAZORFISH INC CL A              COMMON STOCK        755236106      1463    53192   SH        SOLE                53192      0     0
RCN CORP COM                    COMMON STOCK        749361101      1474    27359   SH        SOLE                27359      0     0
RITEK CORP GDR                  COMMON STOCK        767767205      1288    70000   SH        SOLE                70000      0     0
ROCKWELL INTL CORP NEW          COMMON STOCK        773903109      3861    92339   SH        SOLE                92339      0     0
ROHM & HAAS CO                  COMMON STOCK        775371107   138,114    3,095   SH        DEFINED                 0   3095     0
ROYAL DUTCH PETE CO NY REG SHS  COMMON STOCK        780257804    62,727    1,085   SH        DEFINED                 0   1085     0
ROYAL DUTCH PETROLEUM CO NY RE  COMMON STOCK        780257804       318     5500   SH        OTHER                   0      0  5500
ROYAL DUTCH PETROLEUM CO NY RE  COMMON STOCK        780257804     62594  1082713   SH        SOLE              1077418      0  5295
RYANAIR HOLDINGS PLC ADR        COMMON STOCK        783513104     10368   226000   SH        SOLE               226000      0     0
S1 CORP                         COMMON STOCK        78463B101      3848    44910   SH        SOLE                44910      0     0
SAFEWAY INC COM NEW             COMMON STOCK        786514208       155     3425   SH        OTHER                   0      0  3425
SAFEWAY INC COM NEW             COMMON STOCK        786514208       150     3320   SH        SOLE                  600      0  2720
SALESLOGIX CORP COM             COMMON STOCK        79466P105       319    11800   SH        SOLE                11800      0     0
SAN PAOLO - IMI SPA ADR         COMMON STOCK        465224103      3007   105500   SH        SOLE               105500      0     0
SANDISK CORP                    COMMON STOCK        80004C101     12868   105043   SH        SOLE               105043      0     0
SANMINA CORP                    COMMON STOCK        800907107        54      800   SH        OTHER                   0      0   800
SANMINA CORP                    COMMON STOCK        800907107     11177   165432   SH        SOLE               163172      0  2260
SANTA FE INTL CORP ORD          COMMON STOCK        G7805C108      1881    50850   SH        SOLE                50850      0     0
SARA LEE CORP                   COMMON STOCK        803111103    95,850    5,325   SH        DEFINED                 0   5325     0
SBA COMMUNICATIONS CRP COM      COMMON STOCK        78388J106      3468    78825   SH        SOLE                78825      0     0
SBC COMMUNICATIONS INC          COMMON STOCK        78387G103       398     9446   SH        OTHER                   0      0  9446
SBC COMMUNICATIONS INC          COMMON STOCK        78387G103     48300  1146591   SH        SOLE              1130222      0 16369
SCHERING PLOUGH CORP COM        COMMON STOCK        806605101        97     2600   SH        OTHER                   0      0  2600
SCHERING PLOUGH CORP COM        COMMON STOCK        806605101      6898   185815   SH        SOLE               180955      0  4860
SCHLUMBERGER                    COMMON STOCK        806857108    96,773    1,265             DEFINED                 0   1265     0
SCHLUMBERGER LTD COM            COMMON STOCK        806857108       597     7800   SH        OTHER                   0      0  7800
SCHLUMBERGER LTD COM            COMMON STOCK        806857108      9725   127130   SH        SOLE               123350      0  3780
SCHWAB CHARLES CP NEW           COMMON STOCK        808513105       153     2700   SH        OTHER                   0      0  2700
SCHWAB CHARLES CP NEW           COMMON STOCK        808513105      7445   131045   SH        SOLE               125615      0  5430
SCIENTIFIC ATLANTA INC COM      COMMON STOCK        808655104      3020    47750   SH        SOLE                47750      0     0
SDL INC                         COMMON STOCK        784076101      1698     7975   SH        SOLE                 7975      0     0
SDL INC COM                     COMMON STOCK        784076101     5,322       25   SH        DEFINED                 0     25     0
SEAGATE TECHNOLOGY              COMMON STOCK        811804103      2555    41382   SH        SOLE                40000      0  1382
SEALED AIR CORP NEW COM         COMMON STOCK        81211K100        71     1300   SH        OTHER                   0      0  1300
SEALED AIR CORP NEW COM         COMMON STOCK        81211K100      2256    41537   SH        SOLE                41537      0     0
SEARS ROEBUCK & CO              COMMON STOCK        812387108    51,756    1,690   SH        DEFINED                 0   1690     0
SECOM LTD ADR                   COMMON STOCK        813113206      4873    28400   SH        SOLE                28400      0     0
SEI INVESTMENT CO               COMMON STOCK        784117103      3703    32641   SH        SOLE                32641      0     0
SEMTECH CORP COM                COMMON STOCK        816850101      3142    49050   SH        SOLE                49050      0     0
SEPRACOR INC                    COMMON STOCK        817315104      2726    37440   SH        SOLE                37440      0     0
SEVEN-ELEVEN JAPAN LTD ADR      COMMON STOCK        817828205      7938    69000   SH        SOLE                69000      0     0
SGL CARBON AG ADR               COMMON STOCK        784188203      4888   188000   SH        SOLE               188000      0     0
SHARP CORP ADR                  COMMON STOCK        819882200      4066    19000   SH        SOLE                19000      0     0
SHIRE PHARMACEUTICALS GROUP PL  COMMON STOCK        82481R106      2803    54694   SH        SOLE                54694      0     0
SIEBEL SYSTEMS INC              COMMON STOCK        826170102         5       45   SH        OTHER                   0      0    45
SIEBEL SYSTEMS INC              COMMON STOCK        826170102      6321    52925   SH        SOLE                52925      0     0
SIEMENS AG ADR                  COMMON STOCK        826197402      4522    31400   SH        SOLE                31400      0     0
SILICON VY BANCSHARES COM       COMMON STOCK        827064106      4205    58502   SH        SOLE                58502      0     0
SIPEX CORP COM                  COMMON STOCK        829909100      2468    69890   SH        SOLE                69890      0     0
SLM HLDG CORP                   COMMON STOCK        78442A109      3117    93579   SH        SOLE                93276      0   303
SMITH INTL INC COM              COMMON STOCK        832110100      2352    30345   SH        SOLE                30345      0     0
SMITHKLINE BEECHAM PLC ADR      COMMON STOCK        832378301      4241    64195   SH        SOLE                64000      0   195
SOLECTRON CORP COM              COMMON STOCK        834182107        52     1300   SH        OTHER                   0      0  1300
SOLECTRON CORP COM              COMMON STOCK        834182107       226     5642   SH        SOLE                 5642      0     0
SONY CORP ADR                   COMMON STOCK        835699307      5490    19600   SH        SOLE                19600      0     0
SOUTHERN CO                     COMMON STOCK        842587107      4017   184677   SH        SOLE               184677      0     0
SPECTRASITE HLDGS INC COM       COMMON STOCK        84760T100      2516    88875   SH        SOLE                88875      0     0
SPIEKER PPTYS INC COM           COMMON STOCK        848497103     11828   265800   SH        SOLE               265800      0     0
SPRINT CORP COM                 COMMON STOCK        852061100       158     2500   SH        OTHER                   0      0  2500
SPRINT CORP COM                 COMMON STOCK        852061100      9894   156426   SH        SOLE               152471      0  3955
SPX CORP COM                    COMMON STOCK        784635104      2302    20200   SH        SOLE                20200      0     0
ST PAUL COS INC                 COMMON STOCK        792860108   156,122    4,575   SH        DEFINED                 0   4575     0
STATE STR CORP COM              COMMON STOCK        857477103      2499    25800   SH        SOLE                25150      0   650
STMICROELECTRONICS NV - NY REG  COMMON STOCK        861012102      9921    53000   SH        SOLE                53000      0     0
SUN MICROSYSTEMS INC COM        COMMON STOCK        866810104       187     2000   SH        OTHER                   0      0  2000
SUN MICROSYSTEMS INC COM        COMMON STOCK        866810104     17854   190540   SH        SOLE               184605      0  5935
SYMBOL TECHNOLOGIES COM         COMMON STOCK        871508107      5077    61675   SH        SOLE                61285      0   390
SYSCO CORP COM                  COMMON STOCK        871829107      1446    40025   SH        SOLE                40025      0     0
TANDY CORP COM                  COMMON STOCK        875382103      4040    79599   SH        SOLE                79599      0     0
TARGET CORP                     COMMON STOCK        87612E106   166,693    2,230   SH        DEFINED                 0   2230     0
TARGET CORP COM                 COMMON STOCK        87612E106       191     2550   SH        OTHER                   0      0  2550
TARGET CORP COM                 COMMON STOCK        87612E106     28263   378100   SH        SOLE               370275      0  7825
TELECOMUNCATION DE SAO PAULO A  COMMON STOCK        87929A102      4305   145000   SH        SOLE               145000      0     0
TELEFLEX INC COM                COMMON STOCK        879369106      1931    54600   SH        SOLE                54600      0     0
TELEFONICA SA ADR               COMMON STOCK        879382208      4314    58000   SH        SOLE                58000      0     0
TELEFONOS DE MEXICO SA ADR      COMMON STOCK        879403780        13      200   SH        OTHER                   0      0   200
TELEFONOS DE MEXICO SA ADR      COMMON STOCK        879403780      7875   118200   SH        SOLE               118000      0   200
TELETECH HLDGS INC COM          COMMON STOCK        879939106      4523   131100   SH        SOLE               131100      0     0
TELEWEST COMMUNICATIONS PLC AD  COMMON STOCK        87956P105      5797    68600   SH        SOLE                68600      0     0
TELIGENT INC CL A               COMMON STOCK        87959Y103      2006    30025   SH        SOLE                30025      0     0
TENET HEALTHCARE CORP COM       COMMON STOCK        88033G100       364    15650   SH        SOLE                15650      0     0
TERADYNE INC                    COMMON STOCK        880770102      1542    18809   SH        SOLE                18809      0     0
TERAYON COMMUNACTN SYS COM      COMMON STOCK        880775101      6638    32382   SH        SOLE                32382      0     0
TEVA PHARMACEUTICAL INDUSTRIES  COMMON STOCK        881624209      4328   116000   SH        SOLE               116000      0     0
TEXACO INC                      COMMON STOCK        881694103        75     1400   SH        OTHER                   0      0  1400
TEXACO INC                      COMMON STOCK        881694103       199     3710   SH        SOLE                  750      0  2960
TEXAS INSTRS INC COM            COMMON STOCK        882508104       768     4800   SH        OTHER                   0      0  4800
TEXAS INSTRS INC COM            COMMON STOCK        882508104     29438   183989   SH        SOLE               178862      0  5127
TEXAS UTILS CO                  COMMON STOCK        882848104   102,422    3,450   SH        DEFINED                 0   3450     0
TEXTRON INC                     COMMON STOCK        883203101      5958    97872   SH        SOLE                97872      0     0
TIME WARNER INC COM             COMMON STOCK        887315109       367     3667   SH        OTHER                   0      0  3667
TIME WARNER INC COM             COMMON STOCK        887315109     13174   131739   SH        SOLE               128750      0  2989
TIME WARNER TELECOM CL A        COMMON STOCK        887319101      2025    25472   SH        SOLE                25472      0     0
TJX COS INC NEW COM             COMMON STOCK        872540109      3607   162575   SH        SOLE               162575      0     0
TMP WORLDWIDE INC               COMMON STOCK        872941109      3197    41125   SH        SOLE                41125      0     0
TOTAL FINA SA ADR               COMMON STOCK        89151E109      5890    80000   SH        SOLE                80000      0     0
TOYOTA MOTOR CORP SP ADR REP2C  COMMON STOCK        892331307      5460    52500   SH        SOLE                52500      0     0
TRANSOCEAN SEDCO FOREX INC      COMMON STOCK        G90078109    10,314      201   SH        DEFINED                 0    201     0
TRANSOCEAN SEDCO FOREX INC      COMMON STOCK        G90078109     10672   207971   SH        SOLE               204040      0  3931
TRANSWITCH CORP COM             COMMON STOCK        894065101      4658    48457   SH        SOLE                48457      0     0
TRITON PCS HLDGS INC COM        COMMON STOCK        89677M106      1749    29280   SH        SOLE                29280      0     0
TRUE NORTH COMMUNICATN COM      COMMON STOCK        897844106      4766   121230   SH        SOLE               121230      0     0
TRW INC COM                     COMMON STOCK        872649108     29016   496000   SH        SOLE               495200      0   800
TSI INTL SOFTWARE LTD COM       COMMON STOCK        587587106     13401   161331   SH        SOLE               161331      0     0
TUT SYSTEM INC                  COMMON STOCK        901103101      7648   128402   SH        SOLE               128402      0     0
TYCO INTL LTD NEW               COMMON STOCK        902124106   222,856    4,446   SH        DEFINED                 0   4446     0
TYCO INTL LTD NEW COM           COMMON STOCK        902124106       336     6700   SH        OTHER                   0      0  6700
TYCO INTL LTD NEW COM           COMMON STOCK        902124106     20538   409735   SH        SOLE               402750      0  6985
U S WEST INC  - COMMUNCTNS      COMMON STOCK        91273H101      3838    52851   SH        SOLE                52851      0     0
UNILEVER N V NY REG SHARES      COMMON STOCK        904784709      2666    55400   SH        SOLE                55400      0     0
UNILEVER PLC ADR                COMMON STOCK        904767605       467    17857   SH        SOLE                17857      0     0
UNIONBANCAL CORP COM            COMMON STOCK        908906100      3066   111232   SH        SOLE               110000      0  1232
UNISYS CORP COM                 COMMON STOCK        909214108        68     2650   SH        OTHER                   0      0  2650
UNISYS CORP COM                 COMMON STOCK        909214108      3474   135245   SH        SOLE               132800      0  2445
UNITED PAN-EUROPE COM-SP ADR    COMMON STOCK        911300200      3643    73500   SH        SOLE                73500      0     0
UNITED TECHNOLOGIES CORP        COMMON STOCK        913017109    97,877    1,549   SH        DEFINED                 0   1549     0
UNITED TECHNOLOGIES CP COM      COMMON STOCK        913017109       131     2067   SH        OTHER                   0      0  2067
UNITED TECHNOLOGIES CP COM      COMMON STOCK        913017109     12077   191127   SH        SOLE               187495      0  3632
UNIVERSAL ACCESS INC COM        COMMON STOCK        913363107       553    16509   SH        SOLE                16509      0     0
UNIVISION COMMUNICATNS CL A     COMMON STOCK        914906102      1449    12825   SH        SOLE                12825      0     0
UNOCAL CORP COM                 COMMON STOCK        915289102       125     4200   SH        OTHER                   0      0  4200
UNOCAL CORP COM                 COMMON STOCK        915289102     17858   600275   SH        SOLE               600275      0     0
US BANCORP DEL                  COMMON STOCK        902973106    67,484    3,085   SH        DEFINED                 0   3085     0
US BANCORP DEL COM              COMMON STOCK        902973106       875    40000   SH        SOLE                40000      0     0
USINTERNETWORKING INC COM       COMMON STOCK        917311805      4011   103500   SH        SOLE               103500      0     0
USX MARATHON GROUP COM NEW      COMMON STOCK        902905827      2039    78223   SH        SOLE                75000      0  3223
UTI ENERGY CORP COM             COMMON STOCK        903387108      3354    88837   SH        SOLE                88837      0     0
VALERO ENERGY CORP NEW          COMMON STOCK        91913Y100        97     3150   SH        OTHER                   0      0  3150
VALERO ENERGY CORP NEW          COMMON STOCK        91913Y100      4111   133950   SH        SOLE               133950      0     0
VEBA AG ADR                     COMMON STOCK        92239H102      2762    54500   SH        SOLE                54500      0     0
VEECO INSTRS INC DEL COM        COMMON STOCK        922417100      1010    13650   SH        SOLE                13650      0     0
VERIO INC COM                   COMMON STOCK        923433106      1770    39275   SH        SOLE                39275      0     0
VERISIGN INC COM                COMMON STOCK        92343E102        90      600   SH        OTHER                   0      0   600
VERISIGN INC COM                COMMON STOCK        92343E102      5152    34464   SH        SOLE                34294      0   170
VERITAS SOFTWARE CO             COMMON STOCK        923436109       213     1625   SH        OTHER                   0      0  1625
VERITAS SOFTWARE CO             COMMON STOCK        923436109     37291   284661   SH        SOLE               281124      0  3537
VERTICALNET INC COM             COMMON STOCK        92532L107     11686    85929   SH        SOLE                85929      0     0
VIACOM INC CL B                 COMMON STOCK        925524308       290     5500   SH        OTHER                   0      0  5500
VIACOM INC CL B                 COMMON STOCK        925524308        86     1622   SH        SOLE                  420      0  1202
VIANT CORP COM                  COMMON STOCK        92553N107      2435    72700   SH        SOLE                72700      0     0
VIASYSTEMS GP INC COM           COMMON STOCK        92553H100      2729   176050   SH        SOLE               176050      0     0
VIATEL INC COM                  COMMON STOCK        925529208      4412    87904   SH        SOLE                87904      0     0
VICAL INC COM                   COMMON STOCK        925602104      1854    55350   SH        SOLE                55350      0     0
VIGNETTE CORP COM               COMMON STOCK        926734104     14619    91225   SH        SOLE                91225      0     0
VIVENDI ADR                     COMMON STOCK        92851S105      5661   245500   SH        SOLE               245500      0     0
VODAFONE AIRTOUCH PLC ADR       COMMON STOCK        92857T107      3578    64400   SH        SOLE                64000      0   400
VOICESTREAM WIRELESS COM        COMMON STOCK        928615103      3204    24875   SH        SOLE                24875      0     0
WADDELL & REED FINL CL A        COMMON STOCK        930059100      5012   118444   SH        SOLE               118444      0     0
WAL MART STORES INC             COMMON STOCK        931142103       612    10834   SH        OTHER                   0      0 10834
WAL MART STORES INC             COMMON STOCK        931142103     34801   615945   SH        SOLE               602550      0 13395
WALGREEN CO COM                 COMMON STOCK        931422109        84     3250   SH        OTHER                   0      0  3250
WALGREEN CO COM                 COMMON STOCK        931422109       169     6570   SH        SOLE                    0      0  6570
WALT DISNEY PRODTNS             COMMON STOCK        254687106    90,337    2,190   SH        DEFINED                 0   2190     0
WARNER LAMBERT CO COM           COMMON STOCK        934488107       215     2200   SH        OTHER                   0      0  2200
WARNER LAMBERT CO COM           COMMON STOCK        934488107        23      240   SH        SOLE                  100      0   140
WATSON PHARMACEUTICALS COM      COMMON STOCK        942683103      2000    50383   SH        SOLE                49300      0  1083
WEATHERFORD INTERNATIONAL INC   COMMON STOCK        947074100      2207    37726   SH        SOLE                37726      0     0
WESTERN WIRELESS CORP CL A      COMMON STOCK        95988E204      1716    37450   SH        SOLE                37450      0     0
WILLIAMS COMMNCT GROUP CL A     COMMON STOCK        969455104      1458    28100   SH        SOLE                28100      0     0
WILLIAMS COS INC DEL            COMMON STOCK        969457100       431     9800   SH        OTHER                   0      0  9800
WILLIAMS COS INC DEL            COMMON STOCK        969457100     16948   385741   SH        SOLE               379475      0  6266
XEROX CORP                      COMMON STOCK        984121103    41,210    1,585   SH        DEFINED                 0   1585     0
XILINX INC COM                  COMMON STOCK        983919101        99     1200   SH        OTHER                   0      0  1200
XILINX INC COM                  COMMON STOCK        983919101      9146   110438   SH        SOLE               110438      0     0
YAHOO INC COM                   COMMON STOCK        984332106        51      300   SH        OTHER                   0      0   300
YAHOO INC COM                   COMMON STOCK        984332106      5220    30460   SH        SOLE                29570      0   890
YANKEE CANDLE INC COM           COMMON STOCK        984757104      2415   152753   SH        SOLE               152753      0     0
YOUNG & RUBICAM INC COM         COMMON STOCK        987425105      3043    64735   SH        SOLE                64735      0     0
ZIONS BANCORPORATION COM        COMMON STOCK        989701107      1686    40503   SH        SOLE                40503      0     0
S&P 500 DEP RECEIPT UNIT TRUST  DEPOSITORY RECEIPT  78462F103      1737    11550   SH        OTHER                   0      0 11550
S&P 500 DEP RECEIPT UNIT TRUST  DEPOSITORY RECEIPT  78462F103      1100     7317   SH        SOLE                 5517      0  1800
EXXON PROJ INVT CORP PFD MMKT   PREFERRED STOCKS    30231E305      2000       20   SH        SOLE                    0      0    20
TOTAL ENERGY CAP INC PFD MONEY  PREFERRED STOCKS    891498206      2000        2   SH        SOLE                    0      0     2
</TABLE>

<PAGE>

                              FORM 13F SUMMARY PAGE


REPORT SUMMARY:

NUMBER OF OTHER INCLUDED MANAGERS:          0

FORM 13F INFORMATION TABLE ENTRY TOTAL:     681

FORM 13F INFORMATION TABLE VALUE TOTAL:         $9,709,252 (x$1000)


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