BAKER BOYER NATIONAL BANK
13F-HR, 2000-04-21
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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:  March 31, 2000

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  April 24,2000

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:			83

Form 13F Information Table Value Total:		170405


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
FLEXTRONICS INTL LTD          Y2573F102   3500  49700 SH            SOLE               49550        0      150
ADC TELECOMMUNICATIONS   COM  000886101    215   4000 SH            DEFINED             4000        0        0
AES CORP                      00130H105   3980  50550 SH            SOLE               49825      600      125
AT&T CORP                COM  001957109    249   4425 SH            SOLE                4425        0        0
ABBOTT LABORATORIES INC  COM  002824100   2221  63140 SH            SOLE               63140        0        0
AMERICA ONLINE INC DEL   COM  02364J104   2859  42400 SH            SOLE               42200        0      200
AMERICAN INTL GROUP INC  COM  026874107   6306  57598 SH            SOLE               57505        0       93
AMERICAN INTL GROUP INC  COM  026874107    318   2905 SH            DEFINED             2624        0      281
AMERICAN PWR CONVERSION       029066107   1013  23650 SH            SOLE               23400        0      250
AMGEN INC                COM  031162100   4179  68100 SH            SOLE               67200      900        0
AUTOMATIC DATA PROCESS   COM  053015103   3227  66900 SH            SOLE               66000      750      150
AVISTA CORP              COM  05379B107    233   5719 SH            SOLE                5719        0        0
BANK OF AMERICA CORP     COM  060505104   1540  29375 SH            SOLE               28675      600      100
BELL ATLANTIC CORP       COM  077853109   2841  46486 SH            SOLE               46486        0        0
BELLSOUTH CORP           COM  079860102    273   5828 SH            SOLE                5828        0        0
BESTFOODS INC            COM  08658U101    224   4800 SH            SOLE                4800        0        0
CARNIVAL CORP            COM  143658102    784  31624 SH            SOLE               30274      900      450
CHARTER COMMUNICATIONS   COM  16117M107    842  58800 SH            SOLE               58250        0      550
CHASE MANHATTAN CORP NEW COM  16161A108   2717  31174 SH            SOLE               30674      400      100
CHEVRON CORPORATION           166751107    376   4075 SH            SOLE                3075        0     1000
CISCO SYS INC                 17275R102   7539  97518 SH            SOLE               93358     1000     3160
CISCO SYS INC                 17275R102   1955  25300 SH            DEFINED            23100        0     2200
COCA COLA CO             COM  191216100    255   5450 SH            DEFINED             5300        0      150
DELL COMPUTER CORP       COM  247025109   2379  44130 SH            SOLE               42880      900      350
EMC CORP MASS                 268648102   3008  23875 SH            SOLE               23875        0        0
EMERSON ELECTRIC CO      COM  291011104   1678  31600 SH            SOLE               31600        0        0
ENRON CORP               COM  293561106   3802  50783 SH            SOLE               49883      900        0
EXXON MOBIL CORP         COM  30231G102    815  10468 SH            SOLE               10468        0        0
EXXON MOBIL CORP         COM  30231G102    234   3014 SH            DEFINED             3014        0        0
FANNIE MAE               COM  313586109   4370  77275 SH            SOLE               76575      500      200
FANNIE MAE               COM  313586109    272   4825 SH            DEFINED             4445        0      380
GTE CORP                 COM  362320103    408   5760 SH            SOLE                4660        0     1100
GAP INC                  COM  364760108   3034  60916 SH            SOLE               60766        0      150
GAP INC                  COM  364760108    235   4724 SH            DEFINED             4387        0      337
GENERAL ELECTRIC         COM  36960410E    482   3100 SH            SOLE                3100        0        0
GENERAL ELECTRIC CO      COM  369604103  11248  72282 SH            SOLE               70907      300     1075
GENERAL ELECTRIC CO      COM  369604103    544   3500 SH            DEFINED             3100        0      400
HEWLETT PACKARD CO       COM  428236103    285   2150 SH            SOLE                2150        0        0
HEWLETT PACKARD CO       COM  428236103    279   2100 SH            DEFINED             2000        0      100
HOME DEPOT INC           COM  437076102   3354  52009 SH            SOLE               50434      750      825
INTEL CORPORATION        COM  458140100   3387  25679 SH            SOLE               25199        0      480
INTEL CORPORATION        COM  458140100    288   2190 SH            DEFINED             2190        0        0
INTERNATIONAL BUS MACH   COM  459200101   5915  50128 SH            SOLE               50028        0      100
INTERNATIONAL BUS MACH   COM  459200101    554   4700 SH            DEFINED             4500        0      200
JDS UNIPHASE CORP        COM  46612J101   1672  13870 SH            SOLE               13770        0      100
JOHNSON & JOHNSON        COM  478160104   2867  40825 SH            SOLE               40825        0        0
JOHNSON & JOHNSON        COM  478160104    258   3675 SH            DEFINED             3675        0        0
JONES PHARMA INC              480236108   1414  46562 SH            SOLE               46337        0      225
ELI LILY CORP COM             532457108    270   4322 SH            SOLE                4322        0        0
LUCENT TECHNOLOGIES INC  COM  549463107   3530  57636 SH            SOLE               56156        0     1480
MBIA INC                 COM  55262C100   2139  41100 SH            SOLE               40400      700        0
MCI WORLDCOM INC              55268B106   4647 102566 SH            SOLE              101591      750      225
MCI WORLDCOM INC              55268B106    308   6805 SH            DEFINED             6405        0      400
MEDTRONIC INC            COM  585055106   4849  94300 SH            SOLE               92900     1000      400
MERCK & CO INC                589331107   3810  61341 SH            SOLE               61241        0      100
MERCK & CO INC                589331107    344   5550 SH            DEFINED             4650        0      900
MICROSOFT CORP           COM  594918104   6349  59764 SH            SOLE               57814      350     1600
MICROSOFT CORP           COM  594918104   1122  10564 SH            DEFINED            10294        0      270
NASDAQ 100 TR UNIT SER 1      631100104   4538  41450 SH            SOLE               41220        0      230
NEXTLINK COMMUN INC      CLA  65333H707   2804  22675 SH            SOLE               22575        0      100
ORACLE CORP              COM  68389X105   3387  43400 SH            SOLE               41000     1600      800
PARAMETRIC TECH CORP          699173100   1848  87775 SH            SOLE               87425        0      350
PFIZER INC              COM   717081103    860  23543 SH            SOLE               21643      900     1000
QWEST COMMUN INTL       COM   749121109   2110  43975 SH            SOLE               43825        0      150
QWEST COMMUN INTL       COM   749121109    261   5450 SH            DEFINED             5450        0        0
ROYAL BK SCOTLAND PRF F 8.5%  780097804    214  10000 SH            SOLE               10000        0        0
ROYAL BK SCOTLAND PRE D 8.50% 780097853    566  24000 SH            SOLE               24000        0        0
SBC COMMUNICATIONS INC        78387G103    533  12665 SH            SOLE               12665        0        0
SCHERING PLOUGH CORP    COM   806605101    406  10950 SH            SOLE               10100      750      100
SCHLUMBERGER LTD        COM   806857108   2576  33675 SH            SOLE               33125        0      550
STARBUCKS CORP          COM   855244109   4597 102605 SH            SOLE              102305        0      300
STARBUCKS CORP          COM   855244109    219   4900 SH            DEFINED             4900        0        0
STATE STREET CORP       COM   857477103   2931  30258 SH            SOLE               29683      500       75
STATE STREET CORP       COM   857477103    217   2250 SH            DEFINED             2100        0      150
STRYKER CORP            COM   863667101   2120  30400 SH            SOLE               29725      550      125
SUN MICROSYSTEMS INC    COM   866810104   3525  37625 SH            SOLE               37525        0      100
TELLABS INC             COM   879664100    897  14250 SH            SOLE               13350        0      900
TELLABS INC             COM   879664100    201   3200 SH            DEFINED             3200        0        0
TYCO INTL LTD           COM   902124106   4098  81770 SH            SOLE               80770      850      150
VODAFONE AIRTOUCH PUB   ADRS  92857T107    293   5290 SH            SOLE                5290        0        0
VOICESTREAM WIRELESS    CL A  928615103    732   5685 SH            DEFINED             5000        0      685
WASHINGTON MUT INC      COM   939322103   2447  92350 SH            SOLE               92100        0      250
WESTERN WIRELESS CORP   CL A   95988E204    229   5000 SH            DEFINED            5000        0        0
 GRAND TOTALS                           170405 2638746                                2595925    16450    26371
</TABLE>


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