WASHINGTON TRUST CO
13F-HR, 1999-07-27
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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:  June 30, 1999

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:           The Washington Trust Company
                Washington Trust Investment Management
Address:        23 Broad Street
                Westerly, RI  02891

13F File Number:        28-

The institutional investment manager filing this report and the
person by whom it is signed hereby represent that the person
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:           Mr. Edward Tierney
Title:          Vice President, Trust Operations
Phone:          401-348-1271

Signature, Place, and Date of Signing:

         Edward Tierney      Westerly, RI     7/23/99
        _______________________  ______________________  __________
              (Signature)             (City, State)         (Date)

Report Type (Check only one.):

[ x]    13F HOLDINGS REPORT.  (Check here if all holdings of this reporting
        manager are reported in this report.)

[  ]    13F NOTICE.  (Check here if no holdings reported are in this report,
        and all holdings are reported by other reporting manager(s).)

[  ]    13F COMBINATION REPORT.  (Check here if a portion of the holdings
        for this reporting manager are reported in this report and a portion
        are reported by other reporting manager(s).)

List of Other Managers Reporting for this Manager:
[If there are not entries in this list, omit this section.]

        Form 13F File Number    Name

        28-             none
        -------------           ---------------------------------
        [Repeat as necessary.]

<PAGE>

                        Form 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:              None

                                                -----------------
Form 13F Information Table Entry Total:          271
                                                -----------------
Form 13F Information Table Value Total:         $347,266
                                                -----------------
                                                   (thousands)

List of Other Included Managers:


Provide a numbered list of the name(s) and Form 13F file number(s) of all
institutional investment managers with respect to which this report is filed,
other than the manager filing this report.

(If there are no entries in this list, state "NONE" and omit the column
headings and list entries.)

        No.             Form 13F File Number            Name
                                                        NONE
        ----               --------                     --------------

        (Repeat as necessary.)

<PAGE>

THE WASHINGTON TRUST COMPANY         SECURITIES AND EXCHANGE COMMISSION FORM
13-F        AS OF 06/30/99

- - - - - - - - COLUMN 1 AND 2 - - - - - - COLUMN 3 -  COLUMN 4 - - -COLUMN 5 - - - -
COLUMN 6- - COLUMN 7- - - - - - COLUMN 8- - -  - -

INVESTMENT
                                                  MARKET
DISCRETION                    VOTING AUTHORITY
                                                  VALUE    SHS OR   SH/ PUT/
SOLE SHR OTHER             SOLE      SHARED     NONE
     ISSUER AND TITLE OF CLASS          CUSIP   (X$1000)   PRN AMT  PRN CALL
(A) (B) (C)  MANAGERS      (A)        (B)       (C)
DAIMLERCHRYSLER AG ORD               D1668R123       446      5,014 SH
    X          1        4,267        623        124

DAIMLERCHRYSLER AG ORD               D1668R123       227      2,552 SH
    X   X      1        1,370      1,058        124

AES CORP                             00130H105       224      3,858 SH
    X   X      1        3,858
COM
A T & T CO                           001957109     5,127     91,862 SH
    X          1       80,799      5,800      5,263

A T & T CO                           001957109       904     16,201 SH
    X   X      1       11,245      2,481      2,475

ABBOTT LABORATORIES INC              002824100       830     18,286 SH
    X          1       17,886                   400

ABBOTT LABORATORIES INC              002824100       227      5,000 SH
    X   X      1        4,000      1,000

AETNA INC                            008117103       111      1,240 SH
    X          1        1,140                   100
COM
AETNA INC                            008117103       231      2,587 SH
    X   X      1        1,537      1,050
COM
AIR PRODUCTS & CHEMICALS INC         009158106       336      8,340 SH
    X          1        8,340

AIR PRODUCTS & CHEMICALS INC         009158106        36        900 SH
    X   X      1          900

AIRTOUCH COMMUNICATIONS              00949T100       214      1,989 SH
    X          1          741        760        488

AIRTOUCH COMMUNICATIONS              00949T100        71        659 SH
    X   X      1          272        387

ALCOA INC                            013817101     2,590     41,859 SH
    X          1       36,909      3,550      1,400

ALCOA INC                            013817101       353      5,700 SH
    X   X      1        5,100                   600

AMERICA ONLINE INC                   02364J104       994      9,035 SH
    X          1        8,495        500         40
COM
AMERICA ONLINE INC                   02364J104       171      1,550 SH
    X   X      1          550                 1,000
COM
AMERICAN EXPRESS                     025816109       198      1,524 SH
    X          1        1,524

AMERICAN EXPRESS                     025816109       208      1,600 SH
    X   X      1          600                 1,000

AMERICAN HOME PRODUCTS               026609107     4,191     73,049 SH
    X          1       65,295      1,600      6,154

AMERICAN HOME PRODUCTS               026609107     2,953     51,473 SH
    X   X      1       33,973      2,400     15,100

AMERICAN INT'L GROUP                 026874107       439      3,746 SH
    X          1        3,746

AMERICAN INT'L GROUP                 026874107       499      4,256 SH
    X   X      1          464      1,896      1,896

AMERICAN POWER CONVERSION            029066107       674     33,500 SH
    X          1       30,500      3,000

AMERICAN POWER CONVERSION            029066107       416     20,686 SH
    X   X      1       17,686      1,200      1,800

MERITECH CORP NEW                    030954101       386      5,250 SH
    X          1        3,386                 1,864

AMERITECH CORP NEW                   030954101       394      5,356 SH
    X   X      1        4,152        804        400

AMGEN INC                            031162100     4,770     78,365 SH
    X          1       71,065      2,800      4,500

AMGEN INC                            031162100       715     11,750 SH
    X   X      1        9,150                 2,600

ASHAWAY LINE & TWINE                 043990100       913      1,648 SH
    X   X      1        1,648

ASSOCIATES FIRST CAP CORP            046008108       188      4,254 SH
    X          1        4,084                   170
CL A
ASSOCIATES FIRST CAP CORP            046008108        32        736 SH
    X   X      1          736
CL A
ATLANTIC RICHFIELD                   048825103       549      6,572 SH
    X          1        6,172                   400

ATLANTIC RICHFIELD                   048825103       257      3,080 SH
    X   X      1        1,080      1,800        200

AUTOMATED CASH MGMT TR #75           052903101       156    155,960 SH
    X          1      155,960
SH BEN INT
AUTOMATIC DATA PROCESSING            053015103     1,259     28,620 SH
    X          1       27,900                   720

AUTOMATIC DATA PROCESSING            053015103       160      3,640 SH
    X   X      1        3,640

BP AMOCO P L C  ADR SPONSORED        055622104     1,676     15,446 SH
    X          1       15,227                   219

BP AMOCO P L C  ADR SPONSORED        055622104     1,062      9,792 SH
    X   X      1        1,999      7,529        264

BANK OF NEW YORK                     064057102       238      6,496 SH
    X          1        6,496

BECTON DICKINSON & CO                075887109       474     15,800 SH
    X          1       15,800

BECTON DICKINSON & CO                075887109        24        800 SH
    X   X      1                                800

BELL ATLANTIC                        077853109     2,843     43,488 SH
    X          1       37,004      1,600      4,884

BELL ATLANTIC                        077853109     1,642     25,120 SH
    X   X      1       17,862      4,498      2,760

BELLSOUTH                            079860102     1,394     30,218 SH
    X          1       27,718                 2,500

BELLSOUTH                            079860102       878     19,043 SH
    X   X      1       16,395      1,208      1,440

BELO A H CORP                        080555105       512     26,022 SH
    X          1       26,022
COM SER A
BIOTECH HLDGS LTD                    090938101         6     15,000 SH
    X          1       15,000
COM
BLACKROCK INCOME TRUST               09247F100        96     14,300 SH
    X          1       12,800                 1,500

BLACKROCK INCOME TRUST               09247F100        25      3,700 SH
    X   X      1                   3,700

BOEING CO                            097023105       268      6,100 SH
    X          1        2,900      3,200

BOEING CO                            097023105        56      1,268 SH
    X   X      1          568                   700

BRISTOL MYERS SQUIBB CO              110122108     2,164     30,728 SH
    X          1       26,328      1,600      2,800

BRISTOL MYERS SQUIBB CO              110122108     1,281     18,180 SH
    X   X      1       17,780                   400

BURLINGTON NORTHERN SANTA FE         12189T104       405     13,050 SH
    X          1       11,550      1,500

BURLINGTON NORTHERN SANTA FE         12189T104        75      2,420 SH
    X   X      1        1,020        800        600

CIGNA CORP                           125509109     1,121     12,600 SH
    X          1       12,600

CIGNA CORP                           125509109       107      1,200 SH
    X   X      1        1,200

CSX CORPORATION                      126408103       572     12,600 SH
    X          1       11,450        400        750

CSX CORPORATION                      126408103       189      4,160 SH
    X   X      1        2,460        900        800

CVS CORP                             126650100       188      3,700 SH
    X          1        3,700
COM
CVS CORP                             126650100       173      3,400 SH
    X   X      1        3,400
COM
CAMPBELL SOUP CO                     134429109       259      5,580 SH
    X          1        5,200                   380

CHEVRON CORP                         166751107     1,230     12,934 SH
    X          1       11,158        400      1,376

CHEVRON CORP                         166751107       272      2,866 SH
    X   X      1        1,350      1,516

CHUBB CORP                           171232101     1,306     18,790 SH
    X          1       18,790

CHUBB CORP                           171232101       215      3,100 SH
    X   X      1          800                 2,300

CISCO SYSTEMS                        17275R102     6,623    102,681 SH
    X          1       91,083      4,124      7,474

CISCO SYSTEMS                        17275R102     1,121     17,374 SH
    X   X      1       13,274      1,100      3,000

CITIGROUP INC                        172967101     1,158     24,370 SH
    X          1       20,242      3,000      1,128
COM
CITIGROUP INC                        172967101       662     13,944 SH
    X   X      1       12,444        300      1,200
COM
COCA COLA COMPANY                    191216100       926     14,934 SH
    X          1       14,574                   360

COCA COLA COMPANY                    191216100       510      8,233 SH
    X   X      1        4,433                 3,800

COMPAQ COMPUTER CORP                 204493100       376     15,881 SH
    X          1       12,381      3,500

CORNING INC                          219350105       210      3,000 SH
    X          1        3,000

CORNING INC                          219350105       487      6,944 SH
    X   X      1        6,944

DAYTON HUDSON CORP W/RTS TO PUR.     239753106       390      6,000 SH
    X   X      1        6,000
P/STK UNDER CERTAIN
DEERE & CO                           244199105       937     23,900 SH
    X          1       22,750        600        550

DEERE & CO                           244199105       135      3,450 SH
    X   X      1        1,450                 2,000

DISNEY WALT                          254687106     2,323     75,400 SH
    X          1       70,000      3,100      2,300

DISNEY WALT                          254687106       405     13,160 SH
    X   X      1        5,875      2,988      4,297

DONNELLEY R R & SONS CO              257867101       222      6,000 SH
    X          1        6,000

DONNELLEY R R & SONS CO              257867101        37      1,000 SH
    X   X      1        1,000

DOW CHEMICAL                         260543103       286      2,256 SH
    X          1        2,056                   200

DOW CHEMICAL                         260543103        89        700 SH
    X   X      1          600                   100

DUPONT & CO                          263534109     4,520     66,168 SH
    X          1       62,418      1,350      2,400

DUPONT & CO                          263534109     1,840     26,937 SH
    X   X      1        9,105     15,538      2,294

DUKE POWER COMPANY                   264399106       617     11,339 SH
    X          1       10,339                 1,000

DUKE POWER COMPANY                   264399106       160      2,947 SH
    X   X      1        2,597                   350

EASTMAN KODAK                        277461109       367      5,413 SH
    X          1        4,133        400        880

EASTMAN KODAK                        277461109       709     10,462 SH
    X   X      1        9,937        200        325

EATON VANCE NAT'L MUNI FUND          27826L108       122     11,979 SH
    X          1       11,979

EATON VANCE NAT'L MUNI FUND          27826L108        35      3,413 SH
    X   X      1        3,413

EMERSON ELECTRIC CO                  291011104        78      1,240 SH
    X          1        1,240

EMERSON ELECTRIC CO                  291011104       132      2,100 SH
    X   X      1        2,100

ENRON CORP                           293561106       245      3,000 SH
    X          1        3,000

ENRON CORP                           293561106        65        800 SH
    X   X      1          800

EXXON CORP                           302290101     4,060     52,648 SH
    X          1       50,637                 2,011

EXXON CORP                           302290101     4,747     61,543 SH
    X   X      1       37,763     22,180      1,600

F P L GROUP, INC.                    302571104       877     16,053 SH
    X          1       15,553                   500

F P L GROUP, INC.                    302571104       271      4,962 SH
    X   X      1        4,062        600        300

FEDERAL NATIONAL MORTGAGE            313586109     4,768     69,864 SH
    X          1       61,664      3,400      4,800
ASSOCIATION
FEDERAL NATIONAL MORTGAGE            313586109       797     11,680 SH
    X   X      1        9,680      1,100        900
ASSOCIATION
FEDERATED GNMA TRUST FD #16          314184102       148     13,426 SH
    X          1       13,426

FEDERATED HIGH YIELD TRUST #38       314197104     3,942    450,530 SH
    X          1      435,128      2,964     12,437

FEDERATED HIGH YIELD TRUST #38       314197104       449     51,272 SH
    X   X      1       20,779     23,035      7,457

FEDERATED INCOME TRUST FUND #36      314199100     8,880    881,798 SH
    X          1      820,439      3,624     57,734

FEDERATED INCOME TRUST FUND #36      314199100     1,758    174,558 SH
    X   X      1      145,743     22,881      5,933

FEDERATED SHORT TERM INCOME FD #65   31420C209       370     42,968 SH
    X          1       29,835                13,132

FEDERATED SHORT TERM INCOME FD #65   31420C209       248     28,843 SH
    X   X      1       15,941     12,902

FEDERATED INTERMEDIATE MUNICIPAL #78 314201104       239     23,115 SH
    X          1       18,012                 5,103

FEDERATED INTERMEDIATE MUNICIPAL #78 314201104       395     38,095 SH
    X   X      1       36,993      1,102

FEDERATED USGVT SECS: 1-3 YR         31428M100     2,607    250,656 SH
    X          1      236,600                14,055
FUND #09
FEDERATED USGVT SECS: 1-3 YR         31428M100       255     24,480 SH
    X   X      1       24,480
FUND #09
FEDERATED USGVT SECS FD 5-10 FD# 648 31428S206       397     39,886 SH
    X          1       39,886
SBI INSTL SV SH
FEDERATED USGVT SECS FD 5-10 FD# 648 31428S206       161     16,213 SH
    X   X      1       11,901      4,311
SBI INSTL SV SH
SPARTAN (FORMERLY FIDELITY) MUNI     316089507       171     13,874 SH
    X          1       13,874
INCOME
FIDELITY FD GOVT INC FD #54          316172105     4,438    460,830 SH
    X          1      430,804                30,026

FIDELITY FD GOVT INC FD #54          316172105       289     30,000 SH
    X   X      1       27,337      1,506      1,156

FIRST DATA CORP                      319963104       374      7,650 SH
    X          1        7,650

FIRST DATA CORP                      319963104         5        100 SH
    X   X      1          100

FIRST UNION CORP                     337358105       275      5,842 SH
    X          1        5,842

FIRST UNION CORP                     337358105        30        640 SH
    X   X      1          640

FLEET FINANCIAL GROUP INC            338915101     3,549     79,980 SH
    X          1       72,246      2,400      5,334

FLEET FINANCIAL GROUP INC            338915101       627     14,122 SH
    X   X      1       14,122

FORD MOTOR CO                        345370100     3,018     53,474 SH
    X          1       46,579                 6,895

FORD MOTOR CO                        345370100       269      4,762 SH
    X   X      1        4,762

FORTUNE BRANDS INC                   349631101       156      3,760 SH
    X          1        3,560                   200
COM
FORTUNE BRANDS INC                   349631101        50      1,200 SH
    X   X      1        1,200
COM
FRANKLIN CUSTODIAN FDS INC           353496847        39     16,888 SH
    X          1       16,888
INC SER ADV CL #609
GTE CORP                             362320103     3,871     51,275 SH
    X          1       43,806      1,428      6,041

GTE CORP                             362320103     1,769     23,435 SH
    X   X      1       19,573      1,200      2,662

GANNETT CO INC                       364730101       180      2,525 SH
    X          1        1,825        200        500

GANNETT CO INC                       364730101       186      2,600 SH
    X   X      1        2,600

GENERAL ELECTRIC CO                  369604103    18,563    164,273 SH
    X          1      152,177      3,086      9,010

GENERAL ELECTRIC CO                  369604103     9,045     80,044 SH
    X   X      1       41,272     28,572     10,200

GILLETTE CO                          375766102       538     13,126 SH
    X          1       11,626      1,500

GILLETTE CO                          375766102       218      5,325 SH
    X   X      1        5,000                   325

GLAXO PLC                            37733W105       271      4,792 SH
    X          1        4,792
SPONSORED ADR
GOODYEAR TIRE & RUBBER               382550101       816     13,869 SH
    X          1       12,069      1,800

GOODYEAR TIRE & RUBBER               382550101       131      2,235 SH
    X   X      1        1,835                   400

H J HEINZ                            423074103        56      1,125 SH
    X          1        1,125

H J HEINZ                            423074103       150      3,000 SH
    X   X      1        1,500      1,500

HEWLETT PACKARD CO                   428236103       673      6,700 SH
    X          1        5,400                 1,300

HEWLETT PACKARD CO                   428236103       231      2,300 SH
    X   X      1        1,700        100        500

HOME DEPOT INC                       437076102     5,627     87,325 SH
    X          1       79,731      4,000      3,594

HOME DEPOT INC                       437076102       957     14,853 SH
    X   X      1        7,375        798      6,680

ILLINOIS TOOL WORKS INC              452308109     1,537     18,800 SH
    X          1       18,500                   300

ILLINOIS TOOL WORKS INC              452308109       123      1,500 SH
    X   X      1          800                   700

INTEL CORP                           458140100     4,088     68,700 SH
    X          1       53,700      5,800      9,200

INTEL CORP                           458140100     1,015     17,060 SH
    X   X      1       12,460                 4,600

IBM                                  459200101     2,102     16,262 SH
    X          1       13,472        400      2,390

IBM                                  459200101     1,240      9,596 SH
    X   X      1        8,796        800

FEDERATED INTERNATIONAL INCOME #109  46031P100     2,607    258,635 SH
    X          1      254,279                 4,356

FEDERATED INTERNATIONAL INCOME #109  46031P100       665     65,935 SH
    X   X      1       48,829     13,670      3,436

THE INVESTMENT COMPANY OF AMERICA    461308108       142      4,142 SH
    X          1        4,142

THE INVESTMENT COMPANY OF AMERICA    461308108        92      2,690 SH
    X   X      1        2,690

JOHNSON & JOHNSON                    478160104     2,726     27,816 SH
    X          1       24,716      2,200        900

JOHNSON & JOHNSON                    478160104     1,105     11,278 SH
    X   X      1        9,078        800      1,400

KIMBERLY CLARK                       494368103     1,233     21,632 SH
    X          1       19,572      1,560        500

KIMBERLY CLARK                       494368103       396      6,941 SH
    X   X      1        3,929      1,012      2,000

LUCENT TECHNOLOGIES INC              549463107     8,899    131,964 SH
    X          1      117,716      4,436      9,812

LUCENT TECHNOLOGIES INC              549463107     1,632     24,203 SH
    X   X      1       16,835      3,680      3,688

MCI WORLDCOM INC                     55268B106     2,799     32,519 SH
    X          1       30,457      2,000         62

MCI WORLDCOM INC                     55268B106       146      1,700 SH
    X   X      1        1,700

MFS INTER INCOME TRUST               55273C107        57      8,850 SH
    X          1        8,850
SH BEN INT
MFS INTER INCOME TRUST               55273C107        24      3,700 SH
    X   X      1                   3,700
SH BEN INT
MFS HIGH INCOME FD CL A #18          552984106       338     65,566 SH
    X          1       62,693      2,873

MFS HIGH INCOME FD CL A #18          552984106        82     15,875 SH
    X   X      1        2,819      6,402      6,653

MAINSTAY FDS                         56062F665       442      8,414 SH
    X          1        8,414
CAP APPREC FD A
MARSH & MCLENNAN COS INC             571748102        23        300 SH
    X          1          300

MARSH & MCLENNAN COS INC             571748102       295      3,900 SH
    X   X      1                   1,500      2,400

MARRIOTT INTL INC NEW                571903202       238      6,380 SH
    X          1        5,980                   400
CL A
MARRIOTT INTL INC NEW                571903202        30        800 SH
    X   X      1          800
CL A
MASCO CORP                           574599106       323     11,200 SH
    X          1       11,200
COM
MCDONALD'S CORP                      580135101     2,714     65,986 SH
    X          1       59,586      3,000      3,400

MCDONALD'S CORP                      580135101       173      4,200 SH
    X   X      1        3,000                 1,200

MCGRAW-HILL                          580645109     5,513    102,205 SH
    X          1       91,905      4,000      6,300

MCGRAW-HILL                          580645109       717     13,300 SH
    X   X      1        9,900        800      2,600

MEDIAONE GROUP INC                   58440J104     2,081     27,982 SH
    X          1       27,982
COM
MEDIAONE GROUP INC                   58440J104        48        641 SH
    X   X      1          168        473
COM
MEDTRONIC INC                        585055106     5,095     65,425 SH
    X          1       61,850      2,000      1,575

MEDTRONIC INC                        585055106       488      6,270 SH
    X   X      1        6,270

MERCK & CO INC                       589331107     6,830     92,774 SH
    X          1       86,974      1,800      4,000

MERCK & CO INC                       589331107     2,486     33,760 SH
    X   X      1       30,550      1,050      2,160

MICROSOFT CORP                       594918104     9,003     99,823 SH
    X          1       80,323      7,600     11,900

MICROSOFT CORP                       594918104     1,223     13,560 SH
    X   X      1        7,760      1,200      4,600

MINNESOTA MINING & MANUFACTURING     604059105     2,901     33,370 SH
    X          1       28,020      1,600      3,750

MINNESOTA MINING & MANUFACTURING     604059105       513      5,900 SH
    X   X      1        4,240        360      1,300

MOBIL CORP                           607059102     4,571     46,284 SH
    X          1       40,134        600      5,550

MOBIL CORP                           607059102     4,200     42,527 SH
    X   X      1       30,721      9,236      2,570

MONSANTO CO                          611662107     1,631     41,235 SH
    X          1       37,335      3,650        250

MONSANTO CO                          611662107       279      7,050 SH
    X   X      1        6,300        750

MORGAN J P & CO                      616880100     3,256     23,175 SH
    X          1       22,971                   204

MORGAN J P & CO                      616880100       894      6,360 SH
    X   X      1        4,210      1,100      1,050

MORGAN STANLEY DEAN WITTER DISCOVER  617446448        20        194 SH
    X          1                                194
COM NEW
MORGAN STANLEY DEAN WITTER DISCOVER  617446448       583      5,679 SH
    X   X      1          234      2,475      2,970
COM NEW
MOTOROLA INC                         620076109     5,909     62,369 SH
    X          1       55,424      3,525      3,420

MOTOROLA INC                         620076109       764      8,060 SH
    X   X      1        6,410        800        850

NCS HEALTHCARE INC                   628874109        65     12,000 SH
    X          1       12,000
CL A

NEW AMER HIGH INC FD INC             641876107        60     13,392 SH
    X          1       13,392
COM
NOKIA CORP                           654902204       261      2,850 SH
    X          1        1,850      1,000
SPONSORED ADR
NORTEL NETWORKS CORP                 656569100       764      8,800 SH
    X          1        8,800
COM
P P & L RES INC                      693499105       147      4,780 SH
    X          1        4,780
COM
P P & L RES INC                      693499105       173      5,625 SH
    X   X      1        4,625                 1,000
COM
PEOPLES BANK, BRIDGEPORT CT          710198102       216      7,100 SH
    X          1        5,900      1,200
COM
PEOPLES BANK, BRIDGEPORT CT          710198102        12        400 SH
    X   X      1          400
COM
PEPSICO INC                          713448108     5,087    131,493 SH
    X          1      119,433      6,300      5,760

PEPSICO INC                          713448108     1,245     32,190 SH
    X   X      1       22,090      5,300      4,800

PFIZER INC                           717081103     8,274     75,912 SH
    X          1       70,934      1,700      3,278

PFIZER INC                           717081103     2,537     23,275 SH
    X   X      1       22,025        800        450

PHILIP MORRIS COMPANIES              718154107     1,468     36,530 SH
    X          1       31,780      3,000      1,750

PHILIP MORRIS COMPANIES              718154107       800     19,905 SH
    X   X      1       16,905        900      2,100

PITNEY BOWES INC                     724479100       553      8,600 SH
    X          1        8,600

PITNEY BOWES INC                     724479100       328      5,100 SH
    X   X      1        5,100

PROCTER & GAMBLE CO                  742718109     1,999     22,403 SH
    X          1       20,371      1,000      1,032

PROCTER & GAMBLE CO                  742718109       596      6,680 SH
    X   X      1        2,830        700      3,150

PUTNAM PREMIER INCOME TR             746853100       193     24,900 SH
    X          1       23,700                 1,200
SH BEN INT
PUTNAM PREMIER INCOME TR             746853100        62      8,000 SH
    X   X      1        6,500      1,500
SH BEN INT
RAYTHEON CO                          755111408       239      3,390 SH
    X          1        3,190        200
CL B
RAYTHEON CO                          755111408        71      1,000 SH
    X   X      1          600                   400
CL B
RESEARCH PRODUCTS CORP               755240991       210      9,600 SH
    X          1        9,600

ROYAL DUTCH PETE CO NY               780257804       597      9,912 SH
    X          1        9,112                   800

ROYAL DUTCH PETE CO NY               780257804       301      5,000 SH
    X   X      1        1,000      1,600      2,400

SBC COMMUNICATIONS INC               78387G103     4,728     81,513 SH
    X          1       71,430      1,316      8,767

SBC COMMUNICATIONS INC               78387G103     1,981     34,162 SH
    X   X      1       24,283      6,863      3,016

SARA LEE CORP                        803111103     1,757     77,432 SH
    X          1       74,032      3,000        400

SARA LEE CORP                        803111103       174      7,690 SH
    X   X      1        3,000        800      3,890

SCHERING-PLOUGH CORP                 806605101     1,196     22,781 SH
    X          1       21,781      1,000

SCHERING-PLOUGH CORP                 806605101     1,407     26,800 SH
    X   X      1       13,200      8,000      5,600

SCHLUMBERGER LTD                     806857108     1,230     19,315 SH
    X          1       19,315

SCHLUMBERGER LTD                     806857108       217      3,412 SH
    X   X      1        3,062                   350

SMITHKLINE BEECHAM OLC ADR REP ORD   832378301       364      5,509 SH
    X          1        5,509
A
SOLID STATE TECHNOLOGY INC           834209108         1     20,000 SH
    X   X      1       20,000
COM
SPRINT CORP                          852061100       497      9,378 SH
    X          1        9,378

SPRINT CORP                          852061100        68      1,274 SH
    X   X      1        1,274

SUN MICROSYSTEMS                     866810104       950     13,800 SH
    X          1       13,800

SUN MICROSYSTEMS                     866810104        69      1,000 SH
    X   X      1        1,000

TECO ENERGY INC                      872375100        86      3,762 SH
    X          1        2,562      1,200

TECO ENERGY INC                      872375100       127      5,600 SH
    X   X      1        2,400      3,200

TENNECO INC NEW                      88037E101       421     17,650 SH
    X          1       17,650
COM
TENNECO INC NEW                      88037E101        19        800 SH
    X   X      1          800
COM
TEXACO INC                           881694103     3,118     49,984 SH
    X          1       45,754      1,300      2,930

TEXACO INC                           881694103       701     11,235 SH
    X   X      1        9,025        950      1,260

TEXAS INSTRUMENTS                    882508104     1,455     10,105 SH
    X          1        8,955      1,000        150

TEXAS INSTRUMENTS                    882508104       166      1,150 SH
    X   X      1        1,000                   150

TRI CONTINENTAL CORP                 895436103        72      2,381 SH
    X          1        2,381

TRI CONTINENTAL CORP                 895436103       224      7,430 SH
    X   X      1        7,430

UNION PACIFIC CORP                   907818108       360      6,180 SH
    X          1        5,880                   300

UNION PACIFIC CORP                   907818108        35        600 SH
    X   X      1                     200        400

U S WEST INC NEW                     91273H101       173      2,945 SH
    X          1        2,445                   500
COM
U S WEST INC NEW                     91273H101       282      4,807 SH
    X   X      1        4,322        485
COM
UNITED TECHNOLOGIES CORP             913017109       903     12,540 SH
    X          1        8,640      2,700      1,200

UNITED TECHNOLOGIES CORP             913017109       376      5,220 SH
    X   X      1        4,920        300

VAN KAMP AME CAP GVT SECS FD         92113F107       132     13,391 SH
    X          1       13,391
CL A
WAL MART STORES INC                  931142103     6,000    124,344 SH
    X          1      121,944        400      2,000

WAL MART STORES INC                  931142103     1,829     37,900 SH
    X   X      1       37,500                   400

WARNER LAMBERT CO                    934488107     1,893     27,378 SH
    X          1       24,778      2,100        500

WARNER LAMBERT CO                    934488107        75      1,090 SH
    X   X      1          450        140        500

WASHINGTON TRUST BANCORP INC         940610108    10,345    574,744 SH
    X          1      508,038      6,055     60,651

WASHINGTON TRUST BANCORP INC         940610108     4,787    265,936 SH
    X   X      1      167,307     58,991     39,638

WASTE MGMT INC DEL                   94106L109       241      4,486 SH
    X          1        4,486
COM
WELLS FARGO & CO NEW                 949746101       571     13,350 SH
    X          1       10,850                 2,500
COM
WELLS FARGO & CO NEW                 949746101       120      2,800 SH
    X   X      1        2,500        200        100
COM
WEYERHAEUSER INC                     962166104       206      3,000 SH
    X          1        3,000

WEYERHAEUSER INC                     962166104        31        450 SH
    X   X      1          450

XEROX CORP                           984121103     3,600     60,952 SH
    X          1       58,552      2,000        400

XEROX CORP                           984121103       400      6,775 SH
    X   X      1        5,225        550      1,000

CRANBERRY POND ASSOCIATES LTD PART.  990090193        13     12,868 SH
    X   X      1       12,868
UNDIVIDED 1/2 INTEREST
EXEC LIFE ANNUITY  $19,207.15        990122343         0     19,207 SH
    X   X      1       19,207
MATURES 6-1-92
THORP & TRAINER INC                  990868002       389         74 SH
    X          1           74

                                              ----------

        FINAL TOTALS                             347,266





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