Gamble, Jones, Morphy & Bent
FORM 13F
December 31, 1999
FORM 13F COVER PAGE
Report for the Quarter Ended: December 31, 1999
Institutional Investment Manager Filing this Report:
Name: Gamble, Jones, Morphy & Bent
Address: 301 E. Colorado Boulevard, Suite 802
Pasadena, CA 91101
(626) 795-7583
13F File # 028-04501
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:
Reporting Manager: David M. Davis
Title: Principal
Phone: 626-795-7583
Signature, Place, and Date of Signing:
Report Type (Check only one.):
[ X ] 13F HOLDINGS REPORT.
[ ] 13F NOTICE.
[ ] 13F COMBINATION REPORT.
List of Other Managers Reporting for this Manager:
Investment Managers:
1. Christopher E. Morphy
2. James N. Gamble
3. Thomas S. Jones
4. Thomas W. Bent
5. David M. Davis, Reporting Manager
6. Russell K. Meacham
7. Dennis D. Slattery
8. Gary A. Pulford
12. Alison B. Jones
13. Ashley A. Jones
David M. Davis
Information contained herein is true and correct.
I AM SIGNING THIS REPORT AS REQUIRED BY THE SECURITIES EXCHANGE ACT OF 1934.
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FORM 13F SUMMARY PAGE
Report Summary:
Number of Other Included Managers: 10
Form 13F Information Table Entry Total: 192
Form 13F Information Table Value Total: $1235216
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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>
EuroPacific Growth 298706102 234 5473.571 SH DEFINED 01 12 05 5473.571
Franklin CA Tax Free Income 352518104 448 66570.941SH DEFINED 07 03 04 01 66570.941
GJMB Growth Fund 9519 761558.207SH DEFINED 03 12 01 04 761558.207
Investment Company of America 461308108 1199 36948.566SH DEFINED 01 12 03 06 36948.566
Loomis Sayles Int'l Equity Fun 543487409 450 20928.749SH DEFINED 05 20928.749
Loomis Sayles SM CAP VAL 543487300 527 29625.753SH DEFINED 05 29625.753
MCM Equity Investment 55267L105 691 22880.460SH DEFINED 05 22880.460
Putnam Diversified Income 746944206 77 10651.718SH DEFINED 03 10651.718
Scudder Calif Tax Free Fund 811115104 136 13120.495SH DEFINED 04 06 13120.495
USAA Income Fund 903288207 137 12098.243SH DEFINED 08 12098.243
USAA Income Stock Fund 903288603 213 11933.559SH DEFINED 08 11933.559
Vanguard Bond Index Fund 921937108 1603 167683.923SH DEFINED 04 07 03 167683.923
Vanguard CA Long Term Tax Free 922021100 519 48552.582SH DEFINED 07 05 48552.582
Vanguard High Yield Bond 922031208 228 30864.094SH DEFINED 06 07 30864.094
Vanguard Index 500 922908108 717 5298.517 SH DEFINED 01 12 08 5298.517
Vanguard Special REIT Index 921908703 372 37796.767SH DEFINED 07 37796.767
Vanguard Windsor II 922018205 280 11199.512SH DEFINED 06 08 11199.512
Vanguard/Wellesley Income 921938106 504 26748.102SH DEFINED 07 06 26748.102
Vanguard/Wellington 921935102 1665 59564.688SH DEFINED 07 05 59564.688
Washington Mutual Investors Fu 939330106 278 9389.978 SH DEFINED 04 05 9389.978
General Motors pfd G 370442790 236 9150 SH DEFINED 06 9150
AT&T Corp. COMM 001957109 5191 102156 SH DEFINED 03 01 08 07 102156
Abbott Laboratories COMM 002824100 25813 710854 SH DEFINED 07 03 01 12 710854
Adams Express COMM 006212104 1095 32626 SH DEFINED 07 04 32626
Alamitos Land Company COMM 420 4200 SH DEFINED 03 4200
Albemarle COMM 012653101 463 24118 SH DEFINED 01 03 24118
Albertson's, Inc. COMM 013104104 558 17295 SH DEFINED 05 06 03 04 17295
Alcoa Inc. COMM 013817101 453 5460 SH DEFINED 03 05 5460
Allstate Corp. COMM 020002101 480 19949 SH DEFINED 07 06 03 01 19949
America OnLine COMM 02364J104 260 3423 SH DEFINED 12 07 08 03 3423
American Express COMM 025816109 1672 10059 SH DEFINED 07 04 03 06 10059
American General Corp. COMM 026351106 379 5000 SH DEFINED 03 5000
American Home Products COMM 026609107 20092 511891 SH DEFINED 02 12 03 08 511891
American Intl Group COMM 026874107 5884 54414 SH DEFINED 07 01 05 06 54414
American South Bank Corporatio COMM 694 35930 SH DEFINED 01 35930
Amgen COMM 031162100 505 8400 SH DEFINED 12 01 07 08 8400
Anheuser Busch COMM 035229103 2103 29668 SH DEFINED 06 03 04 07 29668
Associates First Capital COMM 046008108 1050 38275 SH DEFINED 08 07 04 03 38275
Atlantic Richfield COMM 048825103 6595 76239 SH DEFINED 03 06 07 04 76239
Automatic Data Processing COMM 053015103 1827 33910 SH DEFINED 06 03 04 12 33910
Avery Dennison Corp. COMM 053611109 3556 48793 SH DEFINED 04 06 01 03 48793
BB&T Corp COMM 088906102 298 10872 SH DEFINED 03 10872
BMC Software COMM 055921100 4022 50320 SH DEFINED 03 01 12 05 50320
BP Amoco COMM 055622104 14221 239767 SH DEFINED 07 02 12 03 239767
Bank of New York COMM 064057102 428 10696 SH DEFINED 06 10696
BankAmerica Corp COMM 060505104 5471 109002 SH DEFINED 08 07 01 06 109002
Bell Atlantic COMM 077853109 2077 33732 SH DEFINED 07 12 06 03 33732
Bell South Corp COMM 079860102 1539 32876 SH DEFINED 07 01 04 03 32876
Berkshire Hathaway COMM 222 40 SH DEFINED 40
Berkshire Hathaway COMM 084670108 617 11 SH DEFINED 01 07 03 11
Berkshire Hathaway B COMM 084670207 427 233 SH DEFINED 07 12 04 08 233
Best Foods International COMM 08658U101 299 5680 SH DEFINED 06 04 03 5680
Block (H & R) COMM 093671105 563 12875 SH DEFINED 03 07 06 12 12875
Boeing COMM 097023105 1092 26361 SH DEFINED 07 03 05 12 26361
Boston Scientific Corp COMM 101137107 1234 56400 SH DEFINED 03 08 12 05 56400
Bristol-Myers Squibb COMM 110122108 40659 633440 SH DEFINED 03 02 01 12 633440
Burlington Northern COMM 12189T104 467 19262 SH DEFINED 01 02 05 19262
Burlington Resources COMM 122014103 441 13331 SH DEFINED 02 03 13331
CIGNA Corp COMM 125509109 3928 48761 SH DEFINED 03 13 02 01 48761
Cadence Design Systems COMM 626 26100 SH DEFINED 08 26100
Campbell Soup COMM 134429109 1713 44286 SH DEFINED 04 01 03 44286
Caterpillar Tractor COMM 149123101 885 18800 SH DEFINED 05 07 03 01 18800
Chase Manhattan Corp COMM 16161A108 399 5134 SH DEFINED 01 06 05 03 5134
Chevron Inc COMM 166751107 11075 127852 SH DEFINED 07 02 08 03 127852
Cisco Systems COMM 17275R102 28087 262189 SH DEFINED 03 01 07 12 262189
Citigroup COMM 172967101 220 3942 SH DEFINED 01 07 04 08 3942
Clorox COMM 189054109 2657 52748 SH DEFINED 04 07 08 03 52748
Coca Cola COMM 191216100 10018 171978 SH DEFINED 01 08 07 04 171978
Colgate-Palmolive COMM 194162103 2330 35848 SH DEFINED 06 04 03 07 35848
Compaq Computer COMM 204493100 1029 38010 SH DEFINED 03 12 01 04 38010
Comparator Systems COMM 8 766667 SH DEFINED 08 766667
Computer Associates Intl COMM 204912109 519 7422 SH DEFINED 03 04 7422
Conagra Inc. COMM 205887102 318 14000 SH DEFINED 12 14000
Consolidated Natural Gas COMM 209615103 507 7804 SH DEFINED 03 07 06 12 7804
Cooper Industries COMM 216669101 1073 26537 SH DEFINED 04 26537
Costco Companies COMM 22160Q102 409 4482 SH DEFINED 01 04 08 12 4482
Deere & Company COMM 244199105 1661 38300 SH DEFINED 03 38300
Dell Computer COMM 247025109 254 4975 SH DEFINED 07 01 12 13 4975
Disney, Walt COMM 254687106 3390 115901 SH DEFINED 03 01 08 06 115901
Dow Chemical COMM 260543103 5591 41843 SH DEFINED 07 03 01 04 41843
DuPont, E.I. COMM 263534109 5821 88367 SH DEFINED 07 01 05 03 88367
Duke Energy COMM 264399106 201 4019 SH DEFINED 07 12 4019
Dun & Bradstreet COMM 26483B106 1351 45811 SH DEFINED 03 01 06 07 45811
EMC Corp. Mass COMM 268648102 13018 119158 SH DEFINED 03 01 06 12 119158
Earthlink COMM 270322100 254 5965 SH DEFINED 01 03 12 5965
Eastman Chemical Co. COMM 277432100 248 5206 SH DEFINED 03 01 02 12 5206
Eastman Kodak COMM 277461109 3479 52511 SH DEFINED 02 03 04 07 52511
Edison International COMM 281020107 1881 71844 SH DEFINED 07 03 04 05 71844
Emerson Electric COMM 291011104 17719 308835 SH DEFINED 03 01 12 04 308835
Ethyl Corp COMM 297659104 169 48236 SH DEFINED 01 03 48236
Exxon Mobil COMM 302290101 35706 443204 SH DEFINED 07 03 02 12 443204
Fannie Mae COMM 313586109 3006 48150 SH DEFINED 07 04 03 05 48150
Fedex Corp COMM 31304N107 1191 29100 SH DEFINED 07 04 06 03 29100
FleetBoston Financial Corp. COMM 339030108 882 25325 SH DEFINED 04 03 12 05 25325
Ford Motor Co. COMM 345370100 2480 46520 SH DEFINED 08 07 01 05 46520
Freddie Mac COMM 313400301 905 19220 SH DEFINED 06 07 04 05 19220
GTE Corp COMM 362320103 1595 22608 SH DEFINED 07 01 03 04 22608
Gannett Inc. COMM 364730101 2176 26679 SH DEFINED 01 07 02 26679
General American Investors COMM 368802104 215 5784 SH DEFINED 07 5784
General Electric COMM 369604103 104833 677433 SH DEFINED 03 07 02 12 677433
General Motors COMM 370442105 807 11098 SH DEFINED 07 02 01 08 11098
Genuine Parts COMM 372460105 2141 86274 SH DEFINED 03 07 12 06 86274
Gillette Co COMM 375766102 1450 35203 SH DEFINED 08 06 01 03 35203
Gulf Canada Resources COMM 40218L305 675 200000 SH DEFINED 03 200000
Heinz, H.J. COMM 423074103 4200 105492 SH DEFINED 01 06 02 03 105492
Hewlett-Packard COMM 428236103 11547 101515 SH DEFINED 07 03 08 04 101515
Home Depot COMM 437076102 502 7296 SH DEFINED 07 05 08 01 7296
Honeywell International, Inc. COMM 438516106 5715 99069 SH DEFINED 07 05 12 04 99069
Huntington Bancshares Inc. COMM 446150104 470 19702 SH DEFINED 12 03 19702
IMS Health Inc. COMM 449934108 1200 44144 SH DEFINED 03 01 06 44144
Illinois Tool Works COMM 452308109 737 10909 SH DEFINED 04 03 10909
Ingram Micro Inc. COMM 457153104 345 26250 SH DEFINED 08 26250
Intel Corp COMM 458140100 13602 165245 SH DEFINED 07 03 01 08 165245
Interpublic Group COMM 460690100 1721 29834 SH DEFINED 06 04 03 29834
Intl Bus Machines COMM 459200101 14852 137676 SH DEFINED 07 02 03 12 137676
Intl Flavors/Fragrances COMM 459506101 273 7264 SH DEFINED 01 06 07 05 7264
JG Boswell COMM 101205102 550 500 SH DEFINED 01 500
Johnson & Johnson COMM 478160104 22473 240993 SH DEFINED 03 07 01 08 240993
Kimberly Clark COMM 494368103 3066 46851 SH DEFINED 07 04 05 01 46851
Lilly, Eli & Co COMM 532457108 4715 70899 SH DEFINED 03 04 07 12 70899
Lincoln National Corp. COMM 534187109 273 6816 SH DEFINED 01 05 6816
Liz Claiborne COMM 539320101 450 11950 SH DEFINED 04 12 03 11950
Lucent Technologies COMM 549463107 9657 128754 SH DEFINED 01 03 07 06 128754
MCI Worldcom Inc. COMM 55268B106 1738 32754 SH DEFINED 07 03 04 05 32754
Marsh & McLennan COMM 571748102 317 3308 SH DEFINED 07 04 3308
McDonalds COMM 580135101 2742 68029 SH DEFINED 06 01 04 03 68029
Media One COMM 58440J104 357 4646 SH DEFINED 01 08 03 06 4646
Medtronic Inc. COMM 585055106 1996 54775 SH DEFINED 08 06 07 04 54775
Merck COMM 589331107 26386 392729 SH DEFINED 07 03 01 08 392729
Microsoft Corp. COMM 594918104 22262 190679 SH DEFINED 07 01 03 08 190679
Minn Mining & Mfg COMM 604059105 16734 170971 SH DEFINED 02 03 12 07 170971
Monsanto Co COMM 611662107 2009 56690 SH DEFINED 03 04 12 01 56690
Morgan Stanley Dean Witter COMM 617446448 668 4680 SH DEFINED 03 01 07 02 4680
Morgan, J.P. COMM 616880100 1498 11829 SH DEFINED 07 01 06 03 11829
Motorola Inc COMM 620076109 7113 48303 SH DEFINED 08 06 03 07 48303
Nasdaq 100 Shares COMM 330 1806 SH DEFINED 07 04 1806
Navigant COMM 1172 50000 SH DEFINED 03 50000
Nordstrom COMM 655664100 1211 46020 SH DEFINED 03 01 02 46020
Norfolk Southern Corp COMM 655844108 230 11235 SH DEFINED 07 03 01 02 11235
Omnicom Group COMM 681919106 246 2460 SH DEFINED 07 08 2460
Oracle Corp. COMM 68389X105 15502 138335 SH DEFINED 03 01 08 04 138335
PACCAR, Inc. COMM 693718108 730 16464 SH DEFINED 06 16464
PNC Bank Corp. COMM 693475105 254 5700 SH DEFINED 07 03 5700
PPG Industries COMM 693506107 1568 25070 SH DEFINED 04 05 03 01 25070
Pacific American Income Shares COMM 693796104 144 12125 SH DEFINED 07 04 12125
Pacific Gas & Electric COMM 69331C108 370 18044 SH DEFINED 03 12 01 04 18044
Penney (J.C.) COMM 708160106 511 25621 SH DEFINED 02 03 01 07 25621
PepsiCo COMM 713448108 4394 124641 SH DEFINED 03 02 01 08 124641
Pfizer, Inc COMM 717081103 18952 584276 SH DEFINED 07 03 01 08 584276
Philip Morris COMM 718154107 3343 145336 SH DEFINED 01 03 06 07 145336
Phillips Petroleum COMM 718507106 505 10752 SH DEFINED 06 04 03 02 10752
Procter & Gamble COMM 742718109 428515 3911148 SH DEFINED 03 02 01 12 3911148
Provident Financial COMM 743868101 165 10000 SH DEFINED 08 10000
Quaker Oats COMM 747402105 776 11822 SH DEFINED 04 01 07 11822
Quintiles Transnational Corp COMM 460 25000 SH DEFINED 03 25000
Raytheon Co COMM 755111408 316 11900 SH DEFINED 05 01 02 11900
Reuters Group COMM 76132M102 6165 76290 SH DEFINED 01 03 12 04 76290
Royal Dutch Petroleum COMM 780257804 2741 45259 SH DEFINED 07 05 06 04 45259
SBC Communications COMM 78387G103 3760 77125 SH DEFINED 08 07 03 05 77125
Salomon Brothers Fund COMM 795477108 894 43892 SH DEFINED 04 07 13 43892
Sara Lee Corporation COMM 803111103 1048 47520 SH DEFINED 05 01 04 03 47520
Schering Plough COMM 806605101 3340 78818 SH DEFINED 03 01 12 07 78818
Schlumberger Ltd COMM 806857108 8336 148534 SH DEFINED 07 03 01 08 148534
Sears, Roebuck COMM 812387108 254 8358 SH DEFINED 01 03 02 06 8358
SmithKline Beecham COMM 832378301 5067 79015 SH DEFINED 04 03 12 01 79015
Standard & Poor's Dep Receipts COMM 78462F103 1399 9525 SH DEFINED 07 08 9525
State Street Corp. COMM 857477103 2927 40058 SH DEFINED 03 06 12 01 40058
Sun Microsystems COMM 866810104 16635 214822 SH DEFINED 03 01 12 04 214822
Sysco Corp COMM 871829107 1764 44587 SH DEFINED 04 05 06 03 44587
Systems of Excellence, Inc. COMM 87203C105 0 10350 SH DEFINED 06 10350
TCW/DW Term Trust 2000 COMM 87234V106 177 18488 SH DEFINED 08 04 18488
Texaco COMM 881694103 477 8788 SH DEFINED 07 06 01 12 8788
Texas Instruments COMM 882508104 755 7818 SH DEFINED 07 06 03 7818
Three Com COMM 885535104 1227 26110 SH DEFINED 08 12 01 04 26110
Times Mirror COMM 887364107 366 5470 SH DEFINED 03 06 05 5470
Transamerican Income Shares COMM 264 12560 SH DEFINED 07 04 06 01 12560
Transocean Sedco Forex Inc. COMM 958 28761 SH DEFINED 07 03 01 08 28761
Tri-Continental Corp. COMM 895436103 818 29359 SH DEFINED 04 07 29359
Tribune, Inc COMM 896047107 469 8516 SH DEFINED 12 03 8516
Tyco Intl COMM 902124106 696 17857 SH DEFINED 06 07 04 03 17857
US Bancorp COMM 531 22294 SH DEFINED 08 01 03 22294
Unilever New York Shares COMM 904784709 542 9960 SH DEFINED 07 01 04 03 9960
Union Pacific COMM 907818108 404 9240 SH DEFINED 01 06 03 02 9240
United Technologies COMM 913017109 326 5014 SH DEFINED 07 01 05 5014
Unocal Corp COMM 915289102 1902 56682 SH DEFINED 03 01 12 02 56682
Utics Corp. COMM 918004102 0 10000 SH DEFINED 07 10000
Vodafone AirTouch COMM 92857T107 12032 243075 SH DEFINED 01 06 03 07 243075
Wal-Mart Stores COMM 931142103 3217 46536 SH DEFINED 06 03 07 01 46536
Walgreen COMM 931422109 8290 283428 SH DEFINED 03 12 08 283428
Warner-Lambert COMM 934488107 32801 400314 SH DEFINED 02 12 03 06 400314
Wells Fargo COMM 949746101 1278 31611 SH DEFINED 08 07 04 12 31611
Wesco Financial Corp. COMM 950817106 759 3100 SH DEFINED 04 3100
Weyerhaeuser COMM 962166104 1543 21491 SH DEFINED 02 03 06 05 21491
Xerox COMM 984121103 1174 51764 SH DEFINED 03 06 01 12 51764
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