FIRST SECURITY BANK OF SOUTHERN NEW MEXICO
13F-HR, 1999-05-14
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INFORMATION  REQUIRED  OF  INSTITUTIONAL  INVESTMENT
MANAGERS
 PREPARED  FOR:  FIRST SECURITY BANK                   ON
4/3/99   AS OF 3/31/99
DEPT  ID#  916  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
139501       2980
X                  2980          0          0
 AETNA  INCORPORATED                     008117103
4150         50
X                    50          0          0
 AFLAC  INCORPORATED                     001055102
46272        850
X                   850          0          0
 AGRIBRANDS  INTERNATIONAL  INC           00849R105
2005         61
X                    61          0          0
 AIRTOUCH  COMMUNICATIONS  INCORPORATED   00949T100
1066740      11040
X                   440          0      10600
 ALBERTSONS  INCORPORATED                013104104
152425       2800
X                  2800          0          0
 ALCOA  INCORPORATED                     013817101
4366        106
X                    56          0         50
 ALLSTATE  CORPORATION                   020002101
8117        219
X                   219          0          0
 ALLTEL  CORPORATION                     020039103
6113         98
X                    98          0          0
 ALTERA  CORPORATION                     021441100
59500       1000
X                  1000          0          0
 AMERICA  ONLINE  INCORPORATED  DELAWARE   02364J104
171255       1165
X                    75        400        690
 AMERICAN  EXPRESS  COMPANY               025816109
413303       3510
X                  2490          0       1020
 AMERICAN  HOME  PRODUCTS  CORPORATION     026609107
1027688      15750
X                 15750          0          0
 AMERICAN  INTERNATIONAL  GROUP  INC       026874107
610724       5063
X                  4413          0        650
 AMERICAN  STORES  COMPANY  NEW            030096101
62700       1900
X                  1900          0          0
 AMERISOURCE  HEALTH  CORPORATION-CL  A    03071P102
136750       4000
X                  4000          0          0
 AMERITECH  CORPORATION  NEW              030954101
1065198      18485
X                  4485          0      14000
 AMGEN  INCORPORATED                     031162100
41181        550
X                   550          0          0
 ANALOG  DEVICES  INCORPORATED            032654105
17850        600
X                   600          0          0
 ANHEUSER  BUSCH  COS  INCORPORATED        035229103
12713        167
X                   167          0          0
 APPLIED  MATERIALS  INCORPORATED         038222105
308438       5000
X                  5000          0          0
 ARCHSTONE  COMMUNITIES  TRUST-SBI        039581103
18092        899
X                   899          0          0
 ARMSTRONG  WORLD  INDUSTRIES  INC         042476101
134207       2970
X                  2970          0          0
 ASSOCIATES  FIRST  CAPITAL  CORP-CL  A     046008108
107010       2378
X                  2378          0          0
 AT  &  T  CORPORATION                     001957109
705463       8839
X                  8839          0          0
 ATLANTIC  RICHFIELD  COMPANY             048825103
87750       1200
X                  1200          0          0
 AUTOMATIC  DATA  PROCESSING  INC          053015103
33100        800
X                   800          0          0
 BANCTEC  INCORPORATED                   059784108
1847        150
X                   150          0          0
 BANK  ONE  CORPORATION                   06423A103
1543182      28026
X                  8026          0      20000
 BANKAMERICA  CORPORATION                06605F102
1864429      26399
X                 11354          0      15045
 BELL  ATLANTIC  CORPORATION              077853109
976894      18900
X                  3100          0      15800
 BELLSOUTH  CORPORATION                  079860102
757822      18916
X                 18916          0          0
 BERKSHIRE  HATHAWAY  INC  DEL-CLASS  B     084670207
11755          5
X                     5          0          0
 BESTFOODS                              08658U101
75200       1600
X                  1600          0          0
 BMC  SOFTWARE  INCORPORATED              055921100
135649       3660
X                     0          0       3660
 BOEING  COMPANY                         097023105
218246       6419
X                  6419          0          0
 BORG-WARNER  AUTOMOTIVE  INCORPORATED    099724106
207506       4340
X                  4340          0          0
 BOSTON  SCIENTIFIC  CORPORATION          101137107
288438       7100
X                  7100          0          0
 BOWATER  INCORPORATED                   102183100
14463        365
X                   365          0          0
 BRISTOL-MYERS  SQUIBB  COMPANY           110122108
1375289      21447
X                  7387          0      14060
 CAMPBELL  SOUP  COMPANY                  134429109
65100       1600
X                  1600          0          0
 CAPITAL  ONE  FINANCIAL  CORPORATION      14040H105
103435        685
X                   685          0          0
 CARNIVAL  CORPORATION                   143658102
166327       3425
X                   875          0       2550
                                                    --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------
 SUBTOTALS  FOR  THIS  PAGE
14248193     235517
136992        400      98125
1
 INFORMATION  REQUIRED  OF  INSTITUTIONAL  INVESTMENT
MANAGERS
 PREPARED  FOR:  FIRST SECURITY BANK                   ON
4/3/99   AS OF 3/31/99
DEPT  ID#  916  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
             ------------------------------

 CATERPILLAR  INCORPORATED               149123101
91875       2000
X                  2000          0          0
 CBS  CORPORATION                        12490K107
542806      13300
X                   300          0      13000
 CHASE  MANHATTAN  CORPORATION  NEW        16161A108
1597391      19630
X                  5630          0      14000
 CIGNA  CORPORATION                      125509109
2431         29
X                    29          0          0
 CISCO  SYSTEMS  INCORPORATED             17275R102
1824983      16657
X                 10237        500       5920
 CITIGROUP  INCORPORATED                 172967101
1464654      22930
X                  2750          0      20180
 CLOROX  COMPANY                         189054109
23438        200
X                   200          0          0
 COASTAL  CORPORATION                    190441105
293370       8890
X                  8890          0          0
 COCA  COLA  COMPANY                      191216100
851885      13880
X                 12620          0       1260
 COLGATE  PALMOLIVE  COMPANY              194162103
36800        400
X                   400          0          0
 COLUMBIA  HCA  HEALTHCARE  CORPORATION    197677107
606000      32000
X                     0          0      32000
 COMCAST  CORPORATION-CLASS  A  SPECIAL    200300200
566438       9000
X                     0          0       9000
 COMPAQ  COMPUTER  CORPORATION            204493100
907213      28630
X                  5500          0      23130
 COMPUTER  ASSOCIATES  INTL  INC           204912109
800405      22507
X                   507          0      22000
 COMPUWARE  CORPORATION                  205638109
77833       3260
X                     0          0       3260
 CONAGRA  INCORPORATED                   205887102
871250      34000
X                     0          0      34000
 CONSOLIDATED  NATURAL  GAS  COMPANY       209615103
779         16
X                    16          0          0
 CONSOLIDATED  STORES  CORPORATION        210149100
21219        700
X                   700          0          0
 CORNING  INCORPORATED                   219350105
12000        200
X                   200          0          0
 CORPORATE  EXPRESS  INCORPORATED         219888104
10375       2000
X                  2000          0          0
 CSX  CORPORATION                        126408103
48828       1254
X                  1254          0          0
 DAIMLERCHRYSLER  AG                     D1668R123
962216      11213
X                   213          0      11000
 DAYTON  HUDSON  CORPORATION              239753106
1265209      18990
X                   500          0      18490
 DEERE  &  COMPANY                        244199105
55427       1435
X                  1400          0         35
 DELIA*S  INCORPORATED                   246885107
6300        200
X                   200          0          0
 DELL  COMPUTER  CORPORATION              247025109
8175        200
X                   200          0          0
 DISNEY  WALT  COMPANY                    254687106
1249202      40135
X                 11235          0      28900
 DOLE  FOOD  COMPANY                      256605106
113250       3775
X                  3775          0          0
 DOW  CHEMICAL  COMPANY                   260543103
16587        178
X                   178          0          0
 DTE  ENERGY  COMPANY                     233331107
301734       7850
X                  7850          0          0
 DU  PONT  E  I  DE  NEMOURS  &  COMPANY       263534109
510079       8785
X                  8755          0         30
 DUN  &  BRADSTREET  CORPORATION  DEL       26483B106
17813        500
X                   500          0          0
 DYERSBURG  CORPORATION                  267575108
156        100
X                   100          0          0
 EASTMAN  KODAK  COMPANY                  277461109
40369        632
X                   612          0         20
 ELECTRONIC  DATA  SYSTEMS  CORPORATION    285661104
1220596      25070
X                  6970          0      18100
 EMC  CORPORATION  MASSACHUSETTS          268648102
182683       1430
X                     0          0       1430
 EMERSON  ELECTRIC  COMPANY               291011104
108151       2043
X                  2043          0          0
 ENRON  CORPORATION                      293561106
706750      11000
X                     0          0      11000
 EQUIFAX  INCORPORATED                   294429105
20625        600
X                   600          0          0
 EQUITABLE  COMPANIES  INCORPORATED       29444G107
2030         29
X                    29          0          0
 EXXON  CORPORATION                      302290101
5356752      75915
X                 75880          0         35
 FANNIE  MAE                             313586109
574429       8295
X                  8245          0         50
 FIRST  AMERICAN  CORPORATION  TENNESSEE   318900107
39309       1066
X                  1066          0          0
                                                    --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------
 SUBTOTALS  FOR  THIS  PAGE
23409815     450924
183584        500     266840
1
 INFORMATION  REQUIRED  OF  INSTITUTIONAL  INVESTMENT
MANAGERS
 PREPARED  FOR:  FIRST SECURITY BANK                   ON
4/3/99   AS OF 3/31/99
DEPT  ID#  916  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
             ------------------------------

 FIRST  SECURITY  CORPORATION  DEL         336294103
8641397     447451
X                270443          0     177008
 FIRST  TENNESSEE  NATIONAL  CORP          337162101
32963        900
X                   900          0          0
 FLOWERS  INDUSTRIES  INCORPORATED        343496105
27408       1113
X                  1113          0          0
 FORD  MOTOR  COMPANY  DELAWARE            345370100
334796       5906
X                  5906          0          0
 FREDDIE  MAC                            313400301
138123       2410
X                     0          0       2410
 GANNETT  INCORPORATED                   364730101
50400        800
X                   800          0          0
 GENERAL  ELECTRIC  COMPANY               369604103
1316991      11905
X                 10625          0       1280
 GENERAL  MILLS  INCORPORATED             370334104
2418         32
X                    32          0          0
 GENERAL  MOTORS  CORPORATION             370442105
34800        400
X                   400          0          0
 GENZYME  CORP-MOLECULAR  ONCOLOGY  DIV    372917500
2981        795
X                   795          0          0
 GENZYME  CORPORATION-GENERAL  DIVISION   372917104
410813       8145
X                  8145          0          0
 GILLETTE  COMPANY                       375766102
596753      10040
X                  7750          0       2290
 GOODRICH  B  F  COMPANY                   382388106
205532       5990
X                  5990          0          0
 GTE  CORPORATION                        362320103
497613       8225
X                  8190          0         35
 HALLIBURTON  COMPANY                    406216101
207477       5389
X                  5389          0          0
 HEINZ  H  J  COMPANY                      423074103
2321         49
X                    49          0          0
 HEWLETT  PACKARD  COMPANY                428236103
1180616      17410
X                  3180          0      14230
 HILLENBRAND  INDUSTRIES                 431573104
73900       1600
X                  1600          0          0
 HILTON  HOTELS  CORPORATION              432848109
76148       5415
X                  5415          0          0
 HOME  DEPOT  INCORPORATED                437076102
1339122      21512
X                  7242          0      14270
 HS  RES  INC                             404297103
26          3
X                     3          0          0
 IDACORP  INCORPORATED                   451107106
8831        300
X                   300          0          0
 IMPERIAL  CREDIT  INDUSTRIES  INC         452729106
7313       1000
X                  1000          0          0
 INTEL  CORPORATION                      458140100
1874659      15770
X                  4570          0      11200
 INTERNATIONAL  BUSINESS  MACHINES  CORP   459200101
1781363      10050
X                  5050          0       5000
 INTERNATIONAL  PAPER  COMPANY            460146103
1688         40
X                     0          0         40
 INTERPUBLIC  GROUP  COMPANIES  INC        460690100
82548       1060
X                     0          0       1060
 IONICS  INCORPORATED                    462218108
60250       2000
X                  2000          0          0
 JDN  REALTY  CORPORATION                 465917102
329508      16579
X                 16579          0          0
 JOHNSON  &  JOHNSON                      478160104
602140       6440
X                  6440          0          0
 KIMBERLY  CLARK  CORPORATION             494368103
105463       2200
X                  2200          0          0
 KOHLS  CORPORATION                      500255104
194198       2740
X                     0          0       2740
 LEAR  CORPORATION                       521865105
8538        200
X                   200          0          0
 LILLY  ELI  &  COMPANY                    532457108
113733       1340
X                     0          0       1340
 LOCKHEED  MARTIN  CORPORATION            539830109
153265       4060
X                  4060          0          0
 LUCENT  TECHNOLOGIES  INCORPORATED       549463107
1471932      13629
X                 12029          0       1600
 MAY  DEPARTMENT  STORES  COMPANY          577778103
72773       1860
X                  1860          0          0
 MCDONALDS  CORPORATION                  580135101
138656       3060
X                     0          0       3060
 MCGRAW  HILL  COMPANIES  INCORPORATED     580645109
684520      12560
X                 12560          0          0
 MCI  WORLDCOM  INCORPORATED              55268B106
2614808      29525
X                 10525          0      19000
 MCKESSON  HBOC  INCORPORATED             58155Q103
382800       5800
X                  5800          0          0
 MEDIAONE  GROUP  INCORPORATED            58440J104
53161        838
X                   838          0          0
 MEDTRONIC  INCORPORATED                 585055106
158125       2200
X                     0          0       2200
                                                    --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------
 SUBTOTALS  FOR  THIS  PAGE
26072870     688741
429978          0     258763
1
 INFORMATION  REQUIRED  OF  INSTITUTIONAL  INVESTMENT
MANAGERS
 PREPARED  FOR:  FIRST SECURITY BANK                   ON
4/3/99   AS OF 3/31/99
DEPT  ID#  916  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
             ------------------------------

 MERCANTILE  BANCORPORATION              587342106
105450       2220
X                  2220          0          0
 MERCK  &  COMPANY  INCORPORATED           589331107
1926045      24038
X                  6398          0      17640
 MERRILL  LYNCH  &  COMPANY  INCORPORATED   590188108
1237230      13980
X                     0          0      13980
 MICROSOFT  CORPORATION                  594918104
1050226      11718
X                  8198          0       3520
 MINNESOTA  MINING  &  MANUFACTURING  CO    604059105
45988        650
X                   650          0          0
 MOBIL  CORPORATION                      607059102
469040       5330
X                  5300          0         30
 MONSANTO  COMPANY                       611662107
302498       6585
X                  6540          0         45
 MONY  GROUP  INCORPORATED                615337102
65819       2646
X                  2646          0          0
 MORGAN  STANLEY  DEAN  WITTER  DISCOVER    617446448
1014366      10150
X                   150          0      10000
 MOTOROLA  INCORPORATED                  620076109
441331       6025
X                  6025          0          0
 MYLAN  LABORATORIES  INCORPORATED        628530107
16463        600
X                   600          0          0
 NCR  CORPORATION-NEW                    62886E108
3100         62
X                    62          0          0
 NL  INDUSTRIES  INCORPORATED-COM  NEW     629156407
110907      12323
X                 12323          0          0
 NORFOLK  SOUTHERN  CORPORATION           655844108
2347         89
X                    89          0          0
 ORACLE  SYSTEMS  CORPORATION             68389X105
818153      31020
X                  1500          0      29520
 PACIFICORP                             695114108
9384        544
X                   544          0          0
 PARK  PL  ENTMT  CORP                     700690100
40951       5415
X                  5415          0          0
 PENNEY  J  C  INCORPORATED                708160106
4577        113
X                   113          0          0
 PEPSICO  INCORPORATED                   713448108
1251649      31940
X                 10340          0      21600
 PFIZER  INCORPORATED                    717081103
1567875      11300
X                  9080          0       2220
 PG&E  CORPORATION                       69331C108
5001        161
X                   161          0          0
 PHILIP  MORRIS  COS  INCORPORATED         718154107
82515       2345
X                  2300          0         45
 PHILLIPS  PETROLEUM  COMPANY             718507106
214988       4550
X                  4550          0          0
 PIEDMONT  NATURAL  GAS  COMPANY           720186105
71505       2043
X                  2043          0          0
 PPG  INDUSTRIES  INCORPORATED            693506107
2870         56
X                    56          0          0
 PROCTER  &  GAMBLE  COMPANY               742718109
380977       3890
X                  3890          0          0
 PROLOGIS  TRUST-SBI                     743410102
16400        800
X                   800          0          0
 PUBLIC  SERVICE  CO  NEW  MEXICO           744499104
42704       2512
X                  2512          0          0
 QUAKER  OATS  COMPANY                    747402105
49800        800
X                   800          0          0
 QWEST  COMMUNICATIONS  INTL  INC          749121109
14419        200
X                   200          0          0
 R  H  DONNELLEY  CORP                     74955W307
1544        100
X                   100          0          0
 RALCORP  HOLDINGS  INCORPORATED  NEW      751028101
3800        200
X                   200          0          0
 RALSTON  PURINA  COMPANY                 751277302
48838       1830
X                  1830          0          0
 RAYTHEON  COMPANY-CLASS  B               755111408
1759         30
X                     0          0         30
 RITE  AID  CORPORATION                   767754104
387500      15500
X                     0          0      15500
 ROWAN  COMPANIES  INCORPORATED           779382100
2538        200
X                   200          0          0
 SANTA  FE  INTERNATIONAL  CORP            G7805C108
437288      23400
X                     0          0      23400
 SARA  LEE  CORPORATION                   803111103
66825       2700
X                  2700          0          0
 SBC  COMMUNICATIONS  INCORPORATED        78387G103
521422      11050
X                 11050          0          0
 SCHERING  PLOUGH  CORPORATION            806605101
390065       7060
X                  6960          0        100
 SEARS  ROEBUCK  &  COMPANY                812387108
155852       3449
X                  3449          0          0
 SEMPRA  ENERGY                          816851109
47604       2481
X                  2481          0          0
 SEQUENT  COMPUTER  SYSTEMS  INC           817338106
589063      65000
X                     0          0      65000
                                                    --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------
 SUBTOTALS  FOR  THIS  PAGE
14018676     327105
124475          0     202630
1
 INFORMATION  REQUIRED  OF  INSTITUTIONAL  INVESTMENT
MANAGERS
 PREPARED  FOR:  FIRST SECURITY BANK                   ON
4/3/99   AS OF 3/31/99
DEPT  ID#  916  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
             ------------------------------

 SMITH  INTERNATIONAL  INCORPORATED       832110100
600000      15000
X                     0          0      15000
 SOLUTIA  INCORPORATED                   834376105
20503       1180
X                  1171          0          9
 SOUTHERN  COMPANY                       842587107
55950       2400
X                  2400          0          0
 SPRINT  CORPORATION                     852061100
39250        400
X                   400          0          0
 SPRINT  CORPORATION-PCS  GROUP           852061506
8863        200
X                   200          0          0
 STAPLES  INCORPORATED                   855030102
139554       4245
X                     0          0       4245
 SUMMIT  BANCORP                         866005101
190398       4882
X                  4882          0          0
 SUN  MICROSYSTEMS  INCORPORATED          866810104
73787        590
X                     0          0        590
 SYNOPSYS  INCORPORATED                  871607107
354750       6600
X                     0          0       6600
 TELLABS  INCORPORATED                   879664100
193545       1980
X                     0          0       1980
 TEXACO  INCORPORATED                    881694103
1117975      19700
X                  2200          0      17500
 TEXAS  INSTRUMENTS  INCORPORATED         882508104
939898       9470
X                  2400          0       7070
 TEXAS  UTILITIES  COMPANY                882848104
209790       4995
X                  4995          0          0
 TIME  WARNER  INCORPORATED               887315109
70813       1000
X                  1000          0          0
 TREMONT  CORPORATION                    894745207
23741       1347
X                  1347          0          0
 TRICON  GLOBAL  RESTAURANTS  INC          895953107
49807        709
X                   709          0          0
 TYCO  INTERNATIONAL  LTD-NEW             902124106
431935       6020
X                  6020          0          0
 U  S  FOODSERVICE                        90331R101
134850       2900
X                  2900          0          0
 U  S  WEST  INCORPORATED  NEW              91273H101
92065       1672
X                  1672          0          0
 UNICOM  CORPORATION                     904911104
10055        275
X                   275          0          0
 UNION  PACIFIC  CORPORATION              907818108
125044       2340
X                  2320          0         20
 UNITED  HEALTHCARE  CORPORATION          910581107
15788        300
X                   300          0          0
 UNITED  STATES  FILTER  CORPORATION       911843209
165375       5400
X                  5400          0          0
 UNOCAL  CORPORATION                     915289102
11063        300
X                   300          0          0
 US  FREIGHTWAYS  CORPORATION             916906100
222071       6755
X                  6755          0          0
 VLASIC  FOODS  INTERNATIONAL  INC         928559103
2070        160
X                   160          0          0
 WACHOVIA  CORPORATION  NEW               929771103
1543         19
X                    19          0          0
 WAL  MART  STORES  INCORPORATED           931142103
64531        700
X                   700          0          0
 WALGREEN  COMPANY                       931422109
60455       2140
X                     0          0       2140
 WARNER  LAMBERT  COMPANY                 934488107
759888      11470
X                   800          0      10670
 WELLS  FARGO  &  COMPANY  NEW              949746101
586596      16730
X                 14190          0       2540
 WEYERHAEUSER  COMPANY                   962166104
777         14
X                    14          0          0
 WINN  DIXIE  STORES  INCORPORATED         974280109
2504         67
X                    67          0          0
 WORTHINGTON  INDUSTRIES  INCORPORATED    981811102
2244        191
X                   191          0          0
                                                    --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------
 SUBTOTALS  FOR  COMMON  STOCK
84527032    1834438
938816        900     894722
1
 INFORMATION  REQUIRED  OF  INSTITUTIONAL  INVESTMENT
MANAGERS
 PREPARED  FOR:  FIRST SECURITY BANK                   ON
4/3/99   AS OF 3/31/99
DEPT  ID#  916  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
                 FOREIGN  COMMON  STOCK
             ------------------------------

 BP  AMOCO  PLC-SPONSORED  ADR             055622104
514494       5094
X                  5068          0         26
 REUTERS  GROUP  PLC-SPONSORED  ADR        76132M102
87          1
X                     0          0          1
 ROYAL  DUTCH  PETE  CO  -  NY  REG  5  GLDR    780257804
180440       3470
X                  3470          0          0
 SCHLUMBERGER  LIMITED                   806857108
224198       3725
X                  3725          0          0
 SMITHKLINE  BEECHAM-ADR  REPSTG  ORD  A    832378301
316388       4425
X                  4425          0          0
                                                    --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------
 SUBTOTALS  FOR  FOREIGN  COMMON  STOCK
1235607      16715
16688          0         27
1
 INFORMATION  REQUIRED  OF  INSTITUTIONAL  INVESTMENT
MANAGERS
 PREPARED  FOR:  FIRST SECURITY BANK                   ON
4/3/99   AS OF 3/31/99
DEPT  ID#  916  PAGE     7

 *SUMMARY  PAGE  FOR  A.  COMMON  STOCK  *


 MINOR ASSET TYPE
MARKET    SH/PV    INVEST
AUTH     MNGR      VOTING  AUTH(SHARES)
 ---------------------------------                  --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------

 39  COMMON  STOCK
84527032    1834438
938816        900     894722
 40  FOREIGN  COMMON  STOCK
1235607      16715
16688          0         27
                                                    --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------
 *SUBTOTALS*
85762639    1851153
955504        900     894749
1
 INFORMATION  REQUIRED  OF  INSTITUTIONAL  INVESTMENT
MANAGERS
 PREPARED  FOR:  FIRST SECURITY BANK                   ON
4/3/99   AS OF 3/31/99
DEPT  ID#  916  PAGE     8

 *SUMMARY  PAGE  FOR  B.  PREFERRED  STOCK  *


 MINOR ASSET TYPE
MARKET    SH/PV    INVEST
AUTH     MNGR      VOTING  AUTH(SHARES)
 ---------------------------------                  --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------



          **NONE**
1
 INFORMATION  REQUIRED  OF  INSTITUTIONAL  INVESTMENT
MANAGERS
 PREPARED  FOR:  FIRST SECURITY BANK                   ON
4/3/99   AS OF 3/31/99
DEPT  ID#  916  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
 C.  OTHER
INSTR  OTHER

V
               MUTUAL  FD/INV  TRUSTS-MUNI
             ------------------------------

 GREENWICH  STREET  MUNICIPAL  FUND  INC  *  39701A107
53457       5061
X               N.A.       N.A.       N.A.
 SMITH  BARNEY  MUNICIPAL  FUND          *  831902101
56700       4050
X               N.A.       N.A.       N.A.
                                                    --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------
 SUBTOTALS  FOR  MUTUAL  FD/INV  TRUSTS-MUNI
110157       9111
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#  916  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
 C.  OTHER
INSTR  OTHER

V
               MUTUAL  FD/INV  TRUSTS-GOVT
             ------------------------------

 ALLIANCE  WORLD  DLR  GOVT  FD  II        *  01879R106
9313       1000
X               N.A.       N.A.       N.A.
                                                    --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------
 SUBTOTALS  FOR  MUTUAL  FD/INV  TRUSTS-GOVT
9313       1000
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#  916  PAGE    11

 *SUMMARY  PAGE  FOR  C.  OTHER  *


 MINOR ASSET TYPE
MARKET    SH/PV    INVEST
AUTH     MNGR      VOTING  AUTH(SHARES)
 ---------------------------------                  --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------

 54  MUTUAL  FD/INV  TRUSTS-GOVT
9313       1000
N.A.       N.A.       N.A.
 53  MUTUAL  FD/INV  TRUSTS-MUNI
110157       9111
N.A.       N.A.       N.A.
                                                    --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------
 *SUBTOTALS*
119470      10111
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#  916  PAGE    12

 **SUMMARY  PAGE  FOR:  FIRST  SECURITY  BANK  **


 CATEGORY
MARKET    SH/PV    INVEST
AUTH     MNGR      VOTING  AUTH(SHARES)
 ------------------                                 --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------

 A.  COMMON  STOCK
85762639    1851153
955504        900     894749

 C.  OTHER
119470      10111
N.A.       N.A.       N.A.
                                                    --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------
 **GRAND  TOTALS**
85882109    1861264
955504        900     894749
1
1 JOB: JN916EQ0      DATE:  4/ 3/99      TIME: 15:02:39
BANK:  840  ID:  879

 ******************************
 *        END  OF  REPORT       *
 ******************************






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