BAKER BOYER NATIONAL BANK
13F-HR, 2000-02-07
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					             UNITED STATES
			            		       SECURITIES AND EXCHANGE COMMISSION
				     	              Washington, D.C.  20549

FORM 13F

FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended:  December 31, 1999

Check here if Amendment [  ]; Amendment Number:not/applicable
This Amendment  (Check only one.):  [  ]  is a restatment.
				    [  ]   adds new holdings entries.

Institutional Investment Manager Filing this Report:

Name:		          	    F. James McCarthy
		              	     Baker Boyer National Bank
Address:		        	   P. O. Box 1796
		                    Walla Walla, WA  99362

13F File Number:	     28-7488

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 Report Manager:

Name:		 F. JAMES MCCARTHY
Title:		Vice President/Trust Investment Manager
Phone:		509-526-1317

Signature, Place and Date of Signing:

F. JAMES MCCARTHY   WALLA WALLA, WASHINGTON  February 4, 2000

Report Type (check only one.):

[  X ]		13F HOLDINGS REPORT.

[    ]		13F NOTICE.

[    ]		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>

FORM 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:		    	 0

Form 13F Information Table Entry Total:			782

Form 13F Information Table Value Total:		168493


List of Other Included Managers:

NONE
<PAGE>
<TABLE>				                <C>						                             <C>
                                                FORM 13F INFORMATION TABLE
                                         VALUE    SHARES/   SH/ PUT/ INVSTMT   OTHER      VOTING AUTHORITY
NAME OF ISSUER    		      CLASS   CUSIP (X$1000)  PRN AMT   PRN CALL DSCRETN   MANAGERS   SOLE  SHARED NONE
AES CORP                  COM  00130H105   3879  51900 SH            SOLE                 51175   600   125
AT&T CORP                 COM  001957109    223   4402 SH            SOLE                  4402     0     0
ABBOTT LAB                COM  002824100   2365  65140 SH            SOLE                 65140     0     0
AMERICA ONLINE INC DEL    COM  02364J104   3230  42580 SH            SOLE                 42380     0   200
AMERICAN INTL GROUP INC   COM  026874107   5854  54148 SH            SOLE                 54055     0    93
AMERICAN INTL GROUP INC   COM  026874107    314   2905 SH            DEFINED               2624     0   281
AMERICAN PWR CONVSN CORP  COM  029066107    613  23250 SH            SOLE                 23000     0   250
AMGEN INC                 COM  031162100   3253  54175 SH            SOLE                 53275   900     0
AUTOMATIC DATA PROCESSING COM  053015103   5801 107700 SH            SOLE                106800   750   150
AUTOMATIC DATA PROCESSING COM  053015103    204   3800 SH            DEFINED               3600     0   200
AVISTA DEP SH 1/10TH PCV 12.4  05379B503    167  10961 SH            SOLE                  7961     0  3000
BANK OF AMERICA CORP      COM  060505104   1398  27867 SH            SOLE                 27167   600   100
BELL ATLANTIC CORP        COM  077853109   3046  49486 SH            SOLE                 49386     0   100
BELLSOUTH CORP            COM  079860102    233   4984 SH            SOLE                  4984     0     0
BESTFOODS INC             COM  08658U101    252   4800 SH            SOLE                  4800     0     0
CARNIVAL CORP             COM  143658102   5116 107025 SH            SOLE                105975   900   150
CHASE MANHATTAN CORP NEW  COM  16161A108   2390  30774 SH            SOLE                 30274   400   100
CHEVRON CORPORATION       COM  166751107    289   3345 SH            SOLE                  3345     0     0
CISCO SYS INC             COM  17275R102   6155  57459 SH            SOLE                 55379   500  1580
CISCO SYS INC             COM  17275R102   1355  12650 SH            DEFINED              11550     0  1100
COCA COLA CO              COM  191216100    317   5450 SH            DEFINED               5300     0   150
DELL COMPUTER CORP        COM  247025109   2239  43920 SH            SOLE                 42570   900   450
EMC CORP MASS             COM  268648102   1466  13425 SH            SOLE                 13425     0     0
EMERSON ELECTRIC CO       COM  291011104   1835  32000 SH            SOLE                 32000     0     0
ENRON CORP                COM  293561106   3446  77682 SH            SOLE                 76782   900     0
EQUIFAX INC               COM  294429105    210   8950 SH            SOLE                  8950     0     0
EXXON MOBIL CORP          COM  30231G102    885  10994 SH            SOLE                 10994     0     0
EXXON MOBIL CORP          COM  30231G102    242   3014 SH            DEFINED               3014     0     0
FANNIE MAE                COM  313586109   5061  81075 SH            SOLE                 80475   500   100
FANNIE MAE                COM  313586109    301   4825 SH            DEFINED               4445     0   380
FORD MOTOR CO DEL         COM  345370100    230   4324 SH            SOLE                  4324     0     0
GTE CORP                  COM  362320103    406   5760 SH            SOLE                  5760     0     0
GAP INC                   COM  364760108   2888  62791 SH            SOLE                 61641   1000  150
GAP INC                   COM  364760108    217   4724 SH            DEFINED               4387     0   337
GENERAL ELECTRIC CO       COM  36960410E    479   3100 SH            SOLE                  3100     0     0
GENERAL ELECTRIC CO       COM  369604103  12864  83132 SH            SOLE                 82557   300   275
GENERAL ELECTRIC CO       COM  369604103    588   3800 SH            DEFINED               3400     0   400
HEWLETT PACKARD CO        COM  428236103    244   2150 SH            SOLE                  2150     0     0
HEWLETT PACKARD CO        COM  428236103    238   2100 SH            DEFINED               2000     0   100
HOME DEPOT INC            COM  437076102   3506  34458 SH            SOLE                 33483   500   475
INTEL CORPORATION         COM  458140100   2082  25299 SH            SOLE                 24819     0   480
INTL BUSINESS MACH CORP   COM  459200101   5156  47803 SH            SOLE                 47703     0   100
INTL BUSINESS MACH CORP   COM  459200101    506   4700 SH            DEFINED               4500     0   200
JDS UNIPHASE CORP         COM  46612J101    758   4700 SH            SOLE                  4650     0    50
JOHNSON & JOHNSON         COM  478160104   4991  53525 SH            SOLE                 53525     0     0
JOHNSON & JOHNSON         COM  478160104    342   3675 SH            DEFINED               3675     0     0
JONES PHARMA INC          COM  480236108   1028  23675 SH            SOLE                 23525     0   150
ELI LILY CORP             COM  532457108    290   4372 SH            SOLE                  4372     0     0
LUCENT TECHNOLOGIES INC   COM  549463107   6428  85711 SH            SOLE                 84231     0  1480
MBIA INC                  COM  55262C100   2342  44350 SH            SOLE                 43650   700     0
MCI WORLDCOM INC          COM  55268B106   5299  65667 SH            SOLE                 65092   500    75
MCI WORLDCOM INC          COM  55268B106    360   4470 SH            DEFINED               4270     0   200
MEDTRONIC INC             COM  585055106   2138  58700 SH            SOLE                 57300   1000  400
MERCK & CO INC            COM  589331107   4428  65916 SH            SOLE                 65816     0   100
MERCK & CO INC            COM  589331107    372   5550 SH            DEFINED               4650     0   900
MICROSOFT CORP            COM  594918104   7720  66129 SH            SOLE                 63979   350  1800
MICROSOFT CORP            COM  594918104   1225  10494 SH            DEFINED              10294     0   200
NASDAQ 100 TR UNIT SER 1       631100104   3669  20080 SH            SOLE                 19965     0   115
ORACLE CORP               COM  68389X105   4336  38700 SH            SOLE                 37500   800   400
PARAMETRIC TECHNOLOGY     COM  699173100   2079  76850 SH            SOLE                 76850     0     0
PFIZER INC                COM  717081103   3309 102043 SH            SOLE                101143   900     0
PROCTER & GAMBLE CO       COM  742718109   3930  35871 SH            SOLE                 35446   350    75
QWEST COMMUN INTL INC     COM  749121109   1870  43500 SH            SOLE                 43350     0   150
QWEST COMMUN INTL INC     COM  749121109    234   5450 SH            DEFINED               5450     0     0
ROYAL BK SCOT  PLC PR J 8.50%  780097853    528  24000 SH            SOLE                 24000     0     0
SBC COMMUNICATIONS INC    COM  78387G103    617  12665 SH            SOLE                 12665     0     0
SCHERING PLOUGH CORP      COM  806605101   1485  35050 SH            SOLE                 34200   750   100
SCHLUMBERGER LTD          COM  806857108   1906  33975 SH            SOLE                 33975     0     0
STARBUCKS CORP            COM  855244109   2446 100880 SH            SOLE                 99180  1400   300
STATE STREET CORP         COM  857477103   2300  31483 SH            SOLE                 30908   500    75
STRYKER CORP              COM  863667101   2116  30400 SH            SOLE                 29725   550   125
SUN MICROSYSTEMS INC      COM  866810104   2768  35750 SH            SOLE                 35650     0   100
TELLABS INC               COM  879664100    837  13050 SH            SOLE                 13050     0     0
TELLABS INC               COM  879664100    205   3200 SH            DEFINED               3200     0     0
TYCO INTL LTD             COM  902124106   3183  81620 SH            SOLE                 80620   850   150
VODAFONE AIRTOUCH PUB LTD ADRS 92857T107    269   5440 SH            SOLE                  5440     0     0
VOICESTREAM WIRELESS CORP CLA  928615103    809   5685 SH            DEFINED               5000     0   685
WESTERN WIRELESS CORP     CLA  95988E204    333   5000 SH            DEFINED               5000     0     0
</TABLE>


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