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, 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: Burroughs & Hutchinson, Inc.
Address: 702 W. Idaho Suite 810
Boise, ID 83701
13F File Number: 28-7788
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 Reporting Manager:
Name: Jill Timm
Title: Operations Manager
Phone: 208-343-7556
Signature, Place, and Date of Signing:
Jill Timmm Boise, Idaho June 10, 1999
Report Type (Check only one.):
[x] 13F HOLDINGS REPORT.
[ ] 13F NOTICE.
[ ] 13F COMBINATION REPORT.
List of Other Managers Reporting for this Manager:
None
Form 13F SUMMARY PAGE
Report Summary:
Number of Other Included Managers: _____None_
Form 13F Information Table Entry Total: ___169____
Form 13F Information Table Value Total: __$114,092
List of Other Included Managers:
NONE
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FORM 13F INFORMATION TABLE
Name Title of CUS Value Shares /Sh/Invstmt Other Voting Authority
(x1000) Prn AmtPrnDscretn Manage Sole Shared None
AMR Corp Com 001765106 196 3350 sh Sole 100%
Abbott Labs Com 002824100 3,007 64245 sh Sole 100%
Aflac Inc Com 001055102 114 2100 sh Sole 100%
Albertson's Com 013104104 249 4565 sh Sole 100%
Ambac Financial Com 023139108 65 1200 sh Sole 100%
American Express Com 025816109 686 5824 sh Sole 100%
American Intl Group Com 026874107 1,404 11640 sh Sole 100%
American Standard CoCom 029712106 1,767 51400 sh Sole 100%
American Stores Com 030096101 2,158 65400 sh Sole 100%
AT&T Com 001957109 3,108 38937 sh Sole 100%
Amgen Inc Com 031162100 876 11700 sh Sole 100%
Anadarko Petro Com 032511107 662 17542 sh Sole 100%
Analyst Int'l Com 032681108 30 2600 sh Sole 100%
Anchor Gaming Com 033037102 13 300 sh Sole 100%
Applied Materials Com 038222105 9 150 sh Sole 100%
Apt. Inv & Mgmt Co Com 03748R101 156 4300 sh Sole 100%
Arctic Cat Com 039670104 318 32000 sh Sole 100%
Asia Tiger Fund Mutual Fun04516T105 196 27944 sh Sole 100%
BJS Wholesale Club Com 05548J106 21 800 sh Sole 100%
Bank of America CorpCom 060505104 1,168 16539 sh Sole 100%
Bank of New York Com 064057102 11 300 sh Sole 100%
Baxter Int'l Inc Com 071813109 92 1400 sh Sole 100%
Bear Stearns Com 073902108 511 11442 sh Sole 100%
Biomet Inc Com 090613100 809 19300 sh Sole 100%
Building Material HoCom 120113105 143 14100 sh Sole 100%
Boeing Company Com 097023105 48 1416 sh Sole 100%
Boise Cascade Com 097383103 3 100 sh Sole 100%
Bristol-Meyer Com 110122108 38 600 sh Sole 100%
CBRL Group Com 12489V106 757 42050 sh Sole 100%
Canadian Pacific Com 135923100 859 43933 sh Sole 100%
COLUMN TOTALS 19,474
FORM 13F INFORMATION TABLE
Name Title of CUS Value Shares/ Sh/Invstmt Other Voting Authority
(x1000) Prn Amt PrnDscretnManagers Sole Shared None
Catalytica Inc Com 148885106 7 666 sh Sole 100%
Chase Manhattan Com 16161A108 3,770 46331 sh Sole 100%
Chevron Com 166751107 53 600 sh Sole 100%
Chubb Corp Com 171232101 1,049 17914 sh Sole 100%
Cisco Systems Com 17275R102 1,262 11517 sh Sole 100%
Citigroup Com 171196101 3,832 59989 sh Sole 100%
Clayton Homes Com 184190106 2,355 212900 sh Sole 100%
Coldwater Creek Com 193068103 5 400 sh Sole 100%
Colgate-Palmolive Com 194162103 7 75 sh Sole 100%
Colonial BancGroup Com 195493309 24 2000 sh Sole 100%
Comcast Class A Com 200300200 3,215 51090 sh Sole 100%
Compaq Computer Com 204493100 25 800 sh Sole 100%
Computer Sciences Com 205363104 2,112 38275 sh Sole 100%
Corvel Com 221006109 125 3500 sh Sole 100%
Costco Companies Com 22160Q102 9 100 sh Sole 100%
Countrywide Credit Com 222372104 38 1000 sh Sole 100%
Covenant Trans Com 22284P105 30 2000 sh Sole 100%
Cybercash Inc Com 232462101 3 200 sh Sole 100%
Dime Bancorp Com 25429Q102 19 800 sh Sole 100%
Dow Chemical Com 260543103 70 750 sh Sole 100%
Dress Barn Com 261570105 1,061 76500 sh Sole 100%
ESS Technology Com 269151106 4 800 sh Sole 100%
El Paso Nat'l Gas Com 283905107 13 400 sh Sole 100%
Emerson Electric Com 291011104 11 200 sh Sole 100%
Enron Corp Com 293561106 19 293 sh Sole 100%
Epicor Software Com 29426L108 321 43500 sh Sole 100%
Expeditors Inc Com 302130109 3,105 57500 sh Sole 100%
Exxon Com 302290101 14 200 sh Sole 100%
FDX Corp Com 31304N107 9 100 sh Sole 100%
Family Dollar StoresCom 307000109 18 800 sh Sole 100%
COLUMN TOTALS 22,585
FORM 13F INFORMATION TABLE
Name Title of CUS Value SharSh/Invstmt Othe Voting Authority
(x1000) Prn Amt PrnDscretn Manager Sole Shared None
Fannie Mae Com 313586109 1,776 25650 sh Sole 100%
Fibermark Stk Com 315646109 32 2750 sh Sole 100%
First Data Corp Com 319963104 3,084 72150 sh Sole 100%
First Security Com 336294103 1,739 90031 sh Sole 100%
Firstar Corp Com 33763V109 48 532 sh Sole 100%
Fleet Financial Com 338915101 264 7018 sh Sole 100%
Food Lion Inc Com 344775101 2,217 246288 sh Sole 100%
GTE Corp Com 362320103 38 620 sh Sole 100%
General Electric Com 369604103 3,960 35800 sh Sole 100%
General Motors Com 370442105 935 10750 sh Sole 100%
Granite ConstructionCom 387328107 16 675 sh Sole 100%
Healthsouth Com 421924101 754 72697 sh Sole 100%
Halliburton Co Com 406216101 1,723 44758 sh Sole 100%
Harland (John H) Com 412693103 140 10800 sh Sole 100%
Hartford Financial Com 416515104 403 7100 sh Sole 100%
Health & ret Prop TrCom 40426W101 127 9400 sh Sole 100%
Heinz Com 423074103 19 400 sh Sole 100%
Helen of Troy Com G4338N106 247 19100 sh Sole 100%
Hewlett Packard Com 428236103 2,987 44043 sh Sole 100%
Home Depot Com 437076102 913 14660 sh Sole 100%
IMC Global Com 449669100 248 12150 sh Sole 100%
Idacorp Com 451107106 7 250 sh Sole 100%
Int'l Business MachiCom 459200101 3,163 17845 sh Sole 100%
Int'l Paper Com 460146103 392 9300 sh Sole 100%
Intel Corp Com 458140100 321 2700 sh Sole 100%
Interim Services Com 45868P100 32 2150 sh Sole 100%
Johnson & Johnson Com 478160104 164 1749 sh Sole 100%
K Mart Com 482584109 1,764 104950 sh Sole 100%
Latin American InvesMutual Fun518279104 239 23619 sh Sole 100%
Lehman Brothers Com 524908100 1,109 18559 sh Sole 100%
COLUMN TOTALS 28,861
FORM 13F INFORMATION TABLE
Name Title of CUS Value Shares / Sh/Invstmt Othe Voting Authority
(x1000) Prn Amt PrnDscretn Manager Sole Shared None
Liberty Media Group Com 001957208 1,434 27258 sh Sole 100%
Lilly (Eli) Com 532457108 356 4200 sh Sole 100%
Longs Drug Stores Com 543162101 21 700 sh Sole 100%
Lucent Technologies Com 549463107 5 50 sh Sole 100%
MCI WorkCom Com 55268B106 3,576 40380 sh Sole 100%
MGIC Investment CorpCom 552848103 291 8300 sh Sole 100%
Magnetek, Inc Com 559424106 19 2250 sh Sole 100%
Marshall & Ilsley Com 571834100 37 675 sh Sole 100%
Masco Corp Com 574599106 1,065 37700 sh Sole 100%
McGraw Hill Com 580645109 5 100 sh Sole 100%
Medtronic Com 585055106 23 325 sh Sole 100%
Merck Com 589331107 4,125 51482 sh Sole 100%
Merrill Lynch Com 590188108 2,080 23500 sh Sole 100%
Meyer (Fred) Com 592907109 188 3200 sh Sole 100%
Micron Technology Com 595112103 5 3200 sh Sole 100%
Microsoft Com 594918104 31 350 sh Sole 100%
Mills Corp Com 601148109 156 8700 sh Sole 100%
Minn Min & Mfg Com 604059105 7 100 sh Sole 100%
Mony Group Com 615337102 1,680 67550 sh Sole 100%
Morgan Stanley Dean Com 617446448 16 165 sh Sole 100%
Morgan Stanley EmergMutual Fun61744G107 156 16334 sh Sole 100%
Nabors Ind Com 629568106 1,510 83000 sh Sole 100%
Nike Inc Com 654106103 6 100 sh Sole 100%
Oneok Com 682680103 43 1718 sh Sole 100%
Olsten Corp Com 681385100 425 68700 sh Sole 100%
Oracle Systems Com 68389X105 1,320 50050 sh Sole 100%
Paccar Com 693718108 41 1000 sh Sole 100%
Pacificorp Com 695114108 4 250 sh Sole 100%
COLUMN TOTALS 18,625
FORM 13F INFORMATION TABLE
Name Title of CUS Value Shares/ Sh/Invstmt Oth Voting Authority
(x1000) Prn Amt PrnDscretn Manage Sole Shared None
Pepsico Com 713448108 135 3450 sh Sole 100%
Pfizer Com 717081103 14 100 sh Sole 100%
Pier 1 Imports Com 720279108 50 6130 sh Sole 100%
Plum Creek Timber Com 729237107 29 1000 sh Sole 100%
Potash Corp Com 73755L107 515 9635 sh Sole 100%
Procter & Gamble Com 742718109 2,361 24109 sh Sole 100%
Protective Life CorpCom 743674103 30 800 sh Sole 100%
Raytheon Class A Com 755111309 5 84 sh Sole 100%
Read-Rite Corp Com 755246105 5 700 sh Sole 100%
Regis Corp Com 758932107 32 1200 sh Sole 100%
Ross Stores Com 778296103 9 210 sh Sole 100%
Royal Dutch Petrol Com 780257804 973 18714 sh Sole 100%
SPDR Trust Unit1 Com 78462F103 137 1065 sh Sole 100%
Safeco Corp Com 786429100 1,416 35025 sh Sole 100%
Schlumberger Com 806857108 292 4850 sh Sole 100%
Service Corp Com 817565104 11 800 sh Sole 100%
Southwest Airlines Com 844741108 14 450 sh Sole 100%
St John Knits Com 790289102 2,023 76718 sh Sole 100%
St. Jude Medical Com 790849103 2,072 85000 sh Sole 100%
Sun Microsystems Com 866810104 2,289 18300 sh Sole 100%
Sungard Data SystemsCom 867363103 12 300 sh Sole 100%
TJ International Com 872534102 719 29800 sh Sole 100%
TJX Companies Com 872540109 245 7200 sh Sole 100%
Telefonica De EspanaCom 879382208 339 2656 sh Sole 100%
Telxon Com 879700102 351 37150 sh Sole 100%
Tenneco Com 88037E101 173 6200 sh Sole 100%
Texaco Inc Com 881694103 641 11290 sh Sole 100%
Thermospectra Corp Com 883660102 92 9200 sh Sole 100%
Time Warner Com 887315109 605 8550 sh Sole 100%
Tommy Hilfiger Com G8915Z102 7 100 sh Sole 100%
COLUMN TOTALS 15,596
FORM 13F INFORMATION TABLE
Name Title of CUS Value Shares/ Sh/Invstmt Oth Voting Authority
(x1000) Prn Amt PrnDscretn Manage Sole Shared None
Torchmark Corp Com 891027104 38 1200 sh Sole 100%
Transatlantic HoldinCom 893521104 25 337 sh Sole 100%
Trico Marine Svcs Com 896106101 11 2000 sh Sole 100%
Tyco Intl Com 902124106 4 50 sh Sole 100%
US Bancorp Com 902973106 233 500 sh Sole 100%
USG Corp Com 903293405 26 500 sh Sole 100%
Union Pacific Com 907818108 11 200 sh Sole 100%
Unisys Com 909214108 37 1329 sh Sole 100%
Unisys Corp Pfd Pfd Conv$3909214207 118 2272 sh Sole 100%
United Asset ManagemCom 909420101 249 11000 sh Sole 100%
United Health Group Com 910581107 1,971 37450 sh Sole 100%
Vencor Com 92260R102 17 13271 sh Sole 100%
Ventas Com 92276F100 1,633 272175 sh Sole 100%
Vitro Sociedo SA ADSCom 928502301 103 17700 sh Sole 100%
Wal-mart Stores Com 931142103 5 50 sh Sole 100%
Walt Disney Com 254687106 5 150 sh Sole 100%
Warner Lambert Com 934488107 2,930 44225 sh Sole 100%
Wells Fargo Com 949746101 1,111 31700 sh Sole 100%
Werner Industries Com 950755108 203 12900 sh Sole 100%
Willamette Indus Com 969133107 208 5500 sh Sole 100%
Woodhead Industries Com 979438108 13 1300 sh Sole 100%
COLUMN TOTALS 8,951
GRAND TOTAL 114,092
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