BAKER BOYER NATIONAL BANK
13F-HR, 2000-11-02
Previous: BRUNI J V & CO /CO, 13F-HR, 2000-11-02
Next: GLOBESPAN INC/DE, 424B4, 2000-11-02


			          UNITED STATES
                   SECURITIES AND EXCHANGE COMMISSI
                   Washington, D.C.  20549
FORM 13F

FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: September 30, 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 October 31, 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:	168353


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           Y2573F102     4824    58750 SH       SOLE             58550  0     200
AES CORP        COM   00130H105     6485    94675 SH       SOLE             94425  0     250
ABBOTT LAB      COM   002824100     3244    68215 SH       SOLE             68215  0       0
AGILENT TECH    COM   00846U101      387     7927 SH       SOLE              7927  0       0
AMERICA ONLINE  COM   02364J104     1851    34450 SH       SOLE     	       34250  0     200
AMERICAN HOME   COM   026609107      214     3800 SH       SOLE              3800  0       0
AMERICAN INTL   COM   026874107     7139    74621 SH       SOLE             74482  0     139
AMERICAN INTL   COM   026874107      388     4057 SH       DEFINED           3757  0     300
AMGEN INC       COM   031162100     5238    75025 SH       SOLE             74775  0     250
AMGEN INC       COM   031162100      265     3800 SH       DEFINED           3600  0     200
APPLIED MATL    COM   038222105     2932    49450 SH       SOLE             49250  0     200
AUTO DAT PROC   COM   053015103     4741    70900 SH       SOLE             70900  0       0
AUTO DAT PROC   COM   053015103      254     3800 SH       DEFINED           3600  0     200
BANK OF AM      COM   060505104     1654    31600 SH       SOLE             31400  0     200
BESTFOODS       COM   08658U101      312     4300 SH       SOLE              4300  0       0
CHARTER CMNM    COM   16117M107     1860   114450 SH       SOLE            113550  0     900
CHASE  MAN      COM   16161A108     2002    43355 SH       SOLE             43130  0     225
CHEVRON COR     COM   166751107      235     2760 SH       SOLE              2760  0       0
CISCO SYS INC   COM   17275R102     4599    83250 SH       SOLE             80090  0    3160
CISCO SYS INC   COM   17275R102      730    13225 SH       DEFINED          11925  0    1300
COCA COLA CO    COM   191216100      300     5450 SH       DEFINED           5300  0     150
CONEXANT SYS    COM   207142100     1196    28365 SH       SOLE             28365  0       0
COSTCO WHSL     COM   22160K105      625    17900 SH       SOLE             17625  0     275
EMC CORP MA     COM   268648102     5805    58575 SH       SOLE             58375  0     200
EMC CORP MA     COM   268648102      302     3050 SH       DEFINED           2600  0     450
EMERSON ELEC    COM   291011104     3520    52550 SH       SOLE             52550  0       0
ENRON CORP      COM   293561106     5491    62679 SH       SOLE             62529  0     150
EXXON MOBIL     COM   30231G102      897    10068 SH       SOLE             10068  0       0
FANNIE MAE      COM   313586109     4456    62325 SH       SOLE             62125  0     200
FANNIE MAE      COM   313586109      338     4730 SH       DEFINED           3950  0     780
GENERAL ELEC    COM   36960410E      536     9300 SH       SOLE              9300  0       0
GENERAL ELEC    COM   369604103     8527   147843 SH       SOLE            147618  0     225
GENERAL ELEC    COM   369604103      523     9075 SH       DEFINED           8075  0    1000
HALLIBURTON     COM   406216101     1259    25750 SH       SOLE             25750  0       0
HOME DEPOT      COM   437076102     2487    46885 SH       SOLE             46060  0     825
INSMED INC      COM   457669208      612    46486 SH       DEFINED              0  0   46486
INTEL CORP      COM   458140100     2209    54693 SH       SOLE             54533  0     160
INTEL CORP      COM   458140100      216     5200 SH       DEFINED           5200  0       0
INTL BUS MAC    COM   459200101     2461    21878 SH       SOLE             21778  0     100
INTL BUS MAC    COM   459200101      500     4450 SH       DEFINED           4300  0     150
JDS UNIPH       COM   46612J101     2506    26475 SH       SOLE             26325  0     150
JOHN & jOHN     COM   478160104     3266    34775 SH       SOLE             34775  0       0
JOHN&JOHN       COM   478160104      345     3675 SH       DEFINED           3475  0     200
KING PHARM      COM   495582108     1574    47104 SH       SOLE             46739  0     365
ELI LILY CORP   COM   532457108      322     3972 SH       SOLE              3972  0       0
LUCENT TECH     COM   549463107     1918    62765 SH       SOLE             59965  0    2800
MBIA INC        COM   55262C100     3200    45000 SH       SOLE             45000  0       0
MEDIMMUNE       COM   584699102     1392    18025 SH       SOLE             17900  0     125
MEDTRONIC       COM   585055106     4291    82825 SH       SOLE             82425  0     400
MERCK & CO      COM   589331107     3498    47001 SH       SOLE             47001  0       0
MERCK & CO      COM   589331107      413     5550 SH       DEFINED           4650  0     900
MICROSOFT       COM   594918104     2931    48614 SH       SOLE             47714  0     900
MICROSOFT       COM   594918104      489     8120 SH       DEFINED           7850  0     270
NASDAQ                631100104     2619    29536 SH       SOLE             29536  0       0
NEXTLINK        COM   65333H707     2341    66550 SH       SOLE             66200  0     350
NOKIA CORP      ADR   654902204     1599    40175 SH       SOLE             39825  0     350
ORACLE CORP    COM    68389X105     3340    42425 SH       SOLE             41475  0     950
PAYCHEX INC    COM    704326107      742    14150 SH       SOLE             14150  0       0
PFIZER INC     COM    717081103     2280    50750 SH       SOLE             49750  0    1000
QWEST COMN     COM    749121109      480     9992 SH       SOLE              9842  0     150
QWEST COMN     COM    749121109      304     6337 SH       DEFINED           5450  0     887
RAMBUS INC     COM    750917106     1959    24825 SH       SOLE             24675  0     150
ROYAL BK SC    PREF   780097804      225    10000 SH       SOLE             10000  0       0
ROYAL BK SC    PREF   780097853      540    22000 SH       SOLE             22000  0       0
ROYAL DUTCH           780257804      242     4040 SH       SOLE              3850  0     190
SBC COMN       COM    78387G103      358     7170 SH       SOLE              7170  0       0
SCHERING PL    COM    806605101      260     5600 SH       SOLE              5600  0       0
SCHLUMB        COM    806857108     3123    37950 SH       SOLE             37950  0       0
STARBUCKS      COM    855244109     2700    67405 SH       SOLE             67005  0     400
STATE STRT     COM    857477103     3933    30258 SH       SOLE             30183  0      75
STATE STRT     COM    857477103      292     2250 SH       DEFINED           2100  0     150
STILWEL  FIN   COM    860831106     1556    35775 SH       SOLE             35525  0     250
STRYKER        COM    863667101     2535    59050 SH       SOLE             58800  0     250
SUN MICRO      COM    866810104     5312    45500 SH       SOLE             45350  0     150
SUN MICRO      COM    866810104      317     2720 SH       DEFINED           2320  0     400
TYCO INTL      COM    902124106     3887    74945 SH       SOLE             74745  0     200
US BANCORP     COM    902973106      230    10149 SH       SOLE             10149  0       0
VERIZON        COM    92343V104     2602    53741 SH       SOLE             53741  0       0
VERIZON        COM    92343V104      335     6934 SH       DEFINED           5714  0    1220
WA MUTL        COM    939322103     4046   101650 SH       SOLE            101250  0     400
WA MUTL        COM    939322103      350     8800 SH       DEFINED           6600  0    2200
WRLD.CM        COM    98157D106     1881    61946 SH       SOLE             61146  0     800
WRLD.CM        COM    98157D106      206     6805 SH       DEFINED           6405  0     400
GRAND TOTALS                      168353  2892991                         2817084  0   75907
</TABLE>


© 2022 IncJournal is not affiliated with or endorsed by the U.S. Securities and Exchange Commission