<TABLE>
FORM 13F INFORMATION TABLE
VALUE SHARES/ SH/ PUT/ INVSTMT OTHER VOTING AUTHORITY
NAME OF ISSUER TITLE OF CLASS CUSIP (x$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
------------------------------ ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- --------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
ABM, Inc. Common Stock 000957100 1724 74950.000SH SOLE 74950.000 450.000
23 1000.000 SH DEFINED 1000.000
Agilent Technologies Inc. Common Stock 00846U101 1212 16434.000SH SOLE 16434.000 171.000 95.000
18 247.000 SH DEFINED 247.000
7 95.000 SH OTHER 95.000
Albertson's, Inc. Common Stock 013104104 1645 49473.000SH SOLE 49473.000
21 630.000 SH DEFINED 630.000
Ambassadors Int'l Inc. Common Stock 023178106 472 30000.000SH SOLE 30000.000
American Int'l Group Common Stock 026874107 5890 50127.000SH SOLE 50127.000 562.000 262.000
75 637.000 SH DEFINED 637.000
31 262.000 SH OTHER 262.000
Amgen Inc. Common Stock 031162100 9483 134993.000SH SOLE 134993.000 1000.000 500.000
133 1900.000 SH DEFINED 1900.000
35 500.000 SH OTHER 500.000
Applied Micro Circuits Corp. Common Stock 03822W109 257 2600.000 SH SOLE 2600.000
Ariba Inc. Common Stock 04033V104 262 2674.000 SH SOLE 2674.000
Automatic Data Processing Common Stock 053015103 4688 87520.000SH SOLE 87520.000 1000.000 500.000
59 1100.000 SH DEFINED 1100.000
27 500.000 SH OTHER 500.000
B Square Corp. Common Stock 11776U102 5609 250000.000SH SOLE 250000.000
Bankamerica Corp. Common Stock 06605F102 3441 80028.000SH SOLE 80028.000 1150.000 500.000
30 700.000 SH DEFINED 700.000
21 500.000 SH OTHER 500.000
Berkshire Hathaway Inc Common Stock 084670108 968 180.000 SH SOLE 180.000
Bristol-Myers Squibb Co. Common Stock 110122108 412 7068.000 SH SOLE 7068.000
Chase Manhattan Corp Common Stock 16161A108 268 5817.000 SH SOLE 5817.000
Cisco Systems Inc. Common Stock 17275R102 8953 140847.000SH SOLE 140847.000 1050.000 500.000
114 1800.000 SH DEFINED 1800.000
32 500.000 SH OTHER 500.000
Citigroup -- NEW Common Stock 172967101 273 4525.000 SH SOLE 4525.000
Coca-Cola Common Stock 191216100 1143 19903.000SH SOLE 19903.000
17 300.000 SH DEFINED 300.000
Computer Sciences Corp Common Stock 205363104 5498 73610.000SH SOLE 73610.000 600.000 300.000
52 700.000 SH DEFINED 700.000
22 300.000 SH OTHER 300.000
Costco Wholesale Corp. Common Stock 22160k105 4490 136055.000SH SOLE 136055.000 1300.000 700.000
69 2100.000 SH DEFINED 2100.000
23 700.000 SH OTHER 700.000
Dell Computer Corp. Common Stock 247025109 5630 114167.000SH SOLE 114167.000 1475.000 700.000
79 1600.000 SH DEFINED 1600.000
35 700.000 SH OTHER 700.000
Digital Insight Common Stock 25385P106 845 24853.000SH SOLE 24853.000
EMC Corp./Mass Common Stock 268648102 435 5648.000 SH SOLE 5648.000
Elan Corp PLC Common Stock 284131208 7839 161840.000SH SOLE 161840.000 1350.000 600.000
82 1700.000 SH DEFINED 1700.000
29 600.000 SH OTHER 600.000
Emerson Electric Common Stock 291011104 2902 48060.000SH SOLE 48060.000
12 200.000 SH DEFINED 200.000
Extreme Networks Common Stock 30226d106 369 3500.000 SH SOLE 3500.000
Federal Nat'l Mtg Assn. Common Stock 313586109 245 4700.000 SH SOLE 4700.000
First Tennessee Int'l Common Stock 337162101 200 12087.000SH SOLE 12087.000
Freddie Mac Common Stock 313400301 3967 97940.000SH SOLE 97940.000 1200.000 500.000
49 1200.000 SH DEFINED 1200.000
20 500.000 SH OTHER 500.000
General Electric Common Stock 369604103 6803 128356.000SH SOLE 128356.000 900.000 225.000
68 1275.000 SH DEFINED 1275.000
12 225.000 SH OTHER 225.000
Gold Reserve Glass A Common Stock 38068N108 14 19800.000SH SOLE 19800.000
Golden Rule Resources Common Stock 380910109 5 40000.000SH SOLE 40000.000
Hewlett Packard Co. Common Stock 428236103 5381 43090.000SH SOLE 43090.000 450.000 250.000
81 650.000 SH DEFINED 650.000
31 250.000 SH OTHER 250.000
Hooper Holmes Inc. Common Stock 439104100 512 64060.000SH SOLE 64060.000
Infospace Inc. Common Stock 45678T102 309 5594.000 SH SOLE 5594.000
Intel Corp. Common Stock 458140100 9527 71265.000SH SOLE 71265.000 700.000 400.000
134 1000.000 SH DEFINED 1000.000
53 400.000 SH OTHER 400.000
International Absorbents, Inc. Common Stock 45885E104 10 15000.000SH SOLE 15000.000
Intl Business Machine Common Stock 459200101 165 1505.000 SH SOLE 1505.000
JDS Uniphase Common Stock 46612j101 209 1740.000 SH SOLE 1740.000
Johnson & Johnson Common Stock 478160104 5687 55820.000SH SOLE 55820.000 700.000 300.000
61 600.000 SH DEFINED 600.000
31 300.000 SH OTHER 300.000
Juniper Networks Common Stock 48203R104 378 2600.000 SH SOLE 2600.000
Knight Ridder Common Stock 499040103 2327 43750.000SH SOLE 43750.000
27 500.000 SH DEFINED 500.000
Kroger Co. Common Stock 501044101 4958 224740.000SH SOLE 224740.000 3300.000 1500.000
76 3430.000 SH DEFINED 3430.000
33 1500.000 SH OTHER 1500.000
Kushner Locke Company Common Stock 501337406 122 60834.000SH SOLE 60834.000
Lucent Technologies Common Stock 549463107 256 4317.000 SH SOLE 4317.000
Marsh & Mclennan Cos Common Stock 571748102 5941 56890.000SH SOLE 56890.000 575.000 275.000
102 975.000 SH DEFINED 975.000
29 275.000 SH OTHER 275.000
Medtronic Inc. Common Stock 585055106 6112 122705.000SH SOLE 122705.000 1200.000 700.000
65 1300.000 SH DEFINED 1300.000
35 700.000 SH OTHER 700.000
Merck & Co. Common Stock 589331107 5360 69950.000SH SOLE 69950.000 850.000 400.000
61 800.000 SH DEFINED 800.000
31 400.000 SH OTHER 400.000
Microsoft Corp. Common Stock 594918104 32298 403730.000SH SOLE 403730.000 250.000 250.000
94 1170.000 SH DEFINED 1170.000
20 250.000 SH OTHER 250.000
Minuteman Int'l Inc. Common Stock 604540104 1535 191900.000SH SOLE 191900.000
Nokia Common Stock 654902204 403 8080.000 SH SOLE 8080.000
Nortel Networks Holdings NEW Common Stock 656581022 271 3970.000 SH SOLE 3970.000
Northern Bank of Commerce Common Stock 66476P100 216 96185.000SH SOLE 96185.000
Northern Trust Corp. Common Stock 665859104 4670 71775.000SH SOLE 71775.000 1100.000 800.000
85 1300.000 SH DEFINED 1300.000
52 800.000 SH OTHER 800.000
Oracle Corp Common Stock 68389X105 771 9175.000 SH SOLE 9175.000
25 300.000 SH DEFINED 300.000
PMC-Sierra Inc. Common Stock 69344F106 275 1550.000 SH SOLE 1550.000
Pentair, Inc. Common Stock 709631105 4466 125790.000SH SOLE 125790.000 1200.000 600.000
46 1300.000 SH DEFINED 1300.000
21 600.000 SH OTHER 600.000
PepsiCo Inc. Common Stock 713448108 3991 89815.000SH SOLE 89815.000 1175.000 600.000
53 1200.000 SH DEFINED 1200.000
27 600.000 SH OTHER 600.000
Pfizer Inc. Common Stock 717081103 5449 113523.000SH SOLE 113523.000 1450.000 650.000
60 1250.000 SH DEFINED 1250.000
31 650.000 SH OTHER 650.000
Pioneer Group Common Stock 723684106 1036 24450.000SH SOLE 24450.000
Pitney Bowes, Inc. Common Stock 724479100 2399 59975.000SH SOLE 59975.000 150.000
32 800.000 SH DEFINED 800.000
Platinum Entertainment Common Stock 727909103 30 80500.000SH SOLE 80500.000
Regis Corp. Common Stock 758932107 650 52000.000SH SOLE 52000.000
Ryan's Family Steak Houses, In Common Stock 783519101 746 88400.000SH SOLE 88400.000
SBC Communications, Inc. Common Stock 78387G103 2812 65022.000SH SOLE 65022.000
43 1000.000 SH DEFINED 1000.000
Safeway, Inc. Common Stock 786514208 209 4650.000 SH SOLE 4650.000
Schmitt Industries, Inc. Common Stock 806870101 212 78000.000SH SOLE 78000.000
Si Diamond Tech Inc Common Stock 784249104 88 53320.000SH SOLE 53320.000
Sonus Corp Common Stock 835691106 73 24800.000SH SOLE 24800.000
Starbucks Corp. Common Stock 855244109 5990 156870.000SH SOLE 156870.000 1450.000 600.000
69 1800.000 SH DEFINED 1800.000
23 600.000 SH OTHER 600.000
Sun Microsystems Common Stock 866810104 8446 92875.000SH SOLE 92875.000 300.000
64 700.000 SH DEFINED 700.000
SunGard Data Sys Inc. Common Stock 867363103 4930 159025.000SH SOLE 159025.000 2425.000 1500.000
77 2500.000 SH DEFINED 2500.000
46 1500.000 SH OTHER 1500.000
Sysco Corp. Common Stock 871829107 5772 137020.000SH SOLE 137020.000 1600.000 700.000
46 1100.000 SH DEFINED 1100.000
29 700.000 SH OTHER 700.000
Telefonica Common Stock 879382208 1677 26170.000SH SOLE 26170.000 650.000 350.000
22 350.000 SH DEFINED 350.000
22 350.000 SH OTHER 350.000
Tellabs Inc. Common Stock 879664100 4820 70430.000SH SOLE 70430.000 1150.000 600.000
62 900.000 SH DEFINED 900.000
41 600.000 SH OTHER 600.000
Textron, Inc. Common Stock 883203101 3770 69410.000SH SOLE 69410.000 1050.000 550.000
54 1000.000 SH DEFINED 1000.000
30 550.000 SH OTHER 550.000
Veritas Software Common Stock 923436109 250 2210.000 SH SOLE 2210.000
Vignette Corp. Common Stock 926734104 156 3000.000 SH SOLE 3000.000
Vodafone Airtouch Common Stock 92857t107 1799 43405.000SH SOLE 43405.000 1000.000 500.000
21 500.000 SH DEFINED 500.000
21 500.000 SH OTHER 500.000
Worldcom Inc. Common Stock 98157D106 3023 65904.000SH SOLE 65904.000 1000.000 500.000
46 1000.000 SH DEFINED 1000.000
23 500.000 SH OTHER 500.000
Yahoo Inc Com Common Stock 984332106 624 5035.000 SH SOLE 5035.000
H&Q IPO & Emerging Company Fun 87 6534.354 SH SOLE 6534.354
Harbor Fund Capital Appreciati 411511504 71 1351.036 SH SOLE 1351.036
Vanguard Index Trust 500 Portf 922908108 173 1290.022 SH SOLE 1290.022
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