BRENTON BANK
13F-HR, 1999-05-13
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Form 13 F Information Table

FORM 13F

UNITED STATES SECURITIES AND EXCHANGE COMMISSION

WASHINGTON, D.C. 20549

Form 13F Cover Page

Report for the Calendar Year or Quarter Ended:  3-31-99

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:  Brenton Investments

Address:  2840 Ingersoll Avenue
          Des Moines, IA 50312

Form 13F File Number:  28-____________________________________________

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:

Name:  Douglas L. Brown
Title: Vice President/Senior Portfolio Manager
Phone:  515-237-5272

Signature, Place, and Date of Signing:

/s/ Douglas L. Brown
[Signature]

Des Moines, Iowa
[City, State]

May 10, 1999
[Date]

Report Type (Check only one):

[ XX ] 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).)

<PAGE>
Form 13F Summary Page

Report Summary:

Number of other Included Managers:
     -0-

Form 13F Information table Entry Total:
     181

Form 13F Information Table Value Total:
     $122,404 (thousands)

List of Other Included Managers:  None

<PAGE>
<TABLE>
<CAPTION>
Column 1                   Column 2   Column 3    Column 4    Column 5     Column 6   Column 7        Column 8

Name Of Issuer         Title Of Class  Cusip   Market Value # Of Share SH Investment   Other       Voting Authority
                                                    (000's)               Discretion  Managers    Sole Shared Other

<S>                           <C>    <C>        <C>        <C>         <C>   <C>      <C>      <C>      <C> <C>

ABBOTT LABORATORIES           Com    002824100      534       11,400   SH    Sole     None      10,800  0       600
ABBOTT LABORATORIES           Com    002824100      498       10,640   SH    Other    None      10,640  0         0
AES CORP                      Com    00130H105    1,228       32,960   SH    Sole     None      25,660  0     7,500
ALLSTATE CORP                 Com    002000210      299        8,062   SH    Sole     None       8,062  0         0
ALLSTATE CORP                 Com    002000210       48        1,296   SH    Other    None       1,296  0         0
AMERICAN HOME PRODUCTS CO     Com    026609107    1,323       20,280   SH    Sole     None      13,080  0     7,200
AMERICAN HOME PRODUCTS CO     Com    026609107      326        5,000   SH    Other    None       5,000  0         0
AMERICAN INTERNATIONAL GR     Com    026874107      917        7,600   SH    Sole     None       7,447  0     1,200
AMGEN INC                     Com    031162100      324        4,330   SH    Sole     None         730  0     3,600
AMP INC                       Com    031897101    1,138       21,277   SH    Sole     None      16,654  0     4,623
AMP INC                       Com    031897101       14          262   SH    Other    None         262  0         0
ANHEUSER BUSCH COS INC        Com    035229103    1,221       16,040   SH    Sole     None      11,640  0     4,400
ANHEUSER BUSCH COS INC        Com    035229103      365        4,800   SH    Other    None       4,800  0         0
ARCHER DANIELS MIDLAND        Com    039483102      213       14,495   SH    Sole     None      12,815  0     1,680
ARCHER DANIELS MIDLAND        Com    039483102       15        1,037   SH    Other    None       1,037  0         0
ARROW ELECTRONICS INC         Com    042735100      388       25,860   SH    Sole     None      17,160  0     8,700
ARROW ELECTRONICS INC         Com    042735100        5          300   SH    Other    None         300  0         0
AT & T CORP                   Com    001957109    1,597       20,006   SH    Sole     None      15,406  0     4,600
AT & T CORP                   Com    001957109      397        4,971   SH    Other    None       4,971  0         0
AVERY-DENNISON CORP           Com    053611109      737       12,810   SH    Sole     None       8,610  0     4,200
BAKER HUGHES INC              Com    057224107      532       21,900   SH    Sole     None      19,400  0     5,100
BANC ONE CORP                 Com    06423A103    1,208       21,939   SH    Sole     None      20,875  0     1,064
BANC ONE CORP                 Com    06423A103       55        1,000   SH    Other    None       1,000  0         0
BANKAMERICA CORP              Com    06605F102    1,602       22,684   SH    Sole     None      18,225  0     4,459
BANKAMERICA CORP              Com    06605F102      120        1,694   SH    Other    None       1,694  0         0
BEC ENERGY                    Com    05538M101      598       16,275   SH    Sole     None      10,875  0     5,400
BEC ENERGY                    Com    05538M101       15          400   SH    Other    None         400  0         0
BELLSOUTH CORP                Com    079860102      235        5,876   SH    Sole     None       5,876  0         0
BELLSOUTH CORP                Com    079860102      314        7,848   SH    Other    None       7,848  0         0
BERKSHIRE HATHAWAY INC CL     Com    084670207      270          115   SH    Sole     None         115  0         0
BERKSHIRE HATHAWAY INC CL     Com    084670207      247          105   SH    Other    None         105  0         0
BP AMOCO PLC ADR              Com    055622104    1,200       11,879   SH    Sole     None      10,997  0       882
BP AMOCO PLC ADR              Com    055622104      171        1,697   SH    Other    None       1,697  0         0
BRENTON BANKS INC             Com    107211104      535       41,150   SH    Sole     None      41,150  0         0
BRISTOL MYERS SQUIBB CO       Com    110122108    2,271       35,420   SH    Sole     None      30,820  0     4,600
BRISTOL MYERS SQUIBB CO       Com    110122108    1,143       17,824   SH    Other    None      17,824  0         0
BRUNSWICK CORP                Com    117043109      432       22,675   SH    Sole     None      15,875  0     6,800
BRUNSWICK CORP                Com    117043109       12          650   SH    Other    None         650  0         0
BURLINGTON NORTHERN SANTA     Com    12189T104      148        4,500   SH    Sole     None       4,500  0         0
BURLINGTON NORTHERN SANTA     Com    12189T104       64        1,950   SH    Other    None       1,950  0         0
BURLINGTON RESOURCES INC      Com    122014103    1,034       25,900   SH    Sole     None      25,400  0       500
BURLINGTON RESOURCES INC      Com    122014103       65        1,633   SH    Other    None       1,633  0         0
CASEY'S GENERAL STORES IN     Com    147528103    1,031       69,890   SH    Sole     None      55,006  0    14,884
CASEY'S GENERAL STORES IN     Com    147528103       66        4,500   SH    Other    None       4,500  0         0
CHASE MANHATTAN CORP          Com    16161A108    1,280       15,730   SH    Sole     None      12,900  0     4,280
CISCO SYSTEMS                 Com    17275R102      808        7,375   SH    Sole     None       9,850  0         0
CITIGROUP INC                 Com    172967101      835       13,075   SH    Sole     None      10,525  0     2,550
CITIGROUP INC                 Com    172967101       20          312   SH    Other    None         312  0         0
COCA COLA CO                  Com    191216100      764       12,450   SH    Sole     None       9,800  0     2,850
COMPAQ COMPUTER CORP          Com    204493100      488       15,400   SH    Sole     None      11,900  0     3,500
COMPAQ COMPUTER CORP          Com    204493100       41        1,300   SH    Other    None       1,300  0         0
CONAGRA INC                   Com    205887102    1,061       41,390   SH    Sole     None      34,890  0     6,500
CONAGRA INC                   Com    205887102       13          500   SH    Other    None         500  0         0
COSTCO COMPANIES INC          Com    22160Q102    1,454       15,885   SH    Sole     None      11,685  0     4,200
CROWN CORK & SEAL             Com    228255105      551       19,275   SH    Sole     None      13,175  0     6,100
CROWN CORK & SEAL             Com    228255105       20          700   SH    Other    None         700  0         0
DELL COMPUTER                 Com    247025109      349        8,550   SH    Sole     None       8,550  0         0
DISNEY (WALT) PRODUCTIONS     Com    254687106      535       17,200   SH    Sole     None      17,800  0         0
DOW CHEMICAL CO               Com    260543103      242        2,600   SH    Sole     None      10,500  0       300
DU PONT (EI) DE NEMOURS       Com    263534109      754       12,985   SH    Sole     None       9,585  0     3,400
DU PONT (EI) DE NEMOURS       Com    263534109      156        2,680   SH    Other    None       2,680  0         0
ELECTRONIC DATA SYSTEMS C     Com    285661104      807       16,570   SH    Sole     None      11,970  0     4,600
ELECTRONIC DATA SYSTEMS C     Com    285661104       12          250   SH    Other    None         250  0         0
EMC CORPORATION               Com    268648102    1,418       11,100   SH    Sole     None       7,725  0     3,375
EMERSON ELECTRIC CO           Com    291011104      594       11,225   SH    Sole     None       8,143  0     3,082
EMERSON ELECTRIC CO           Com    291011104        7          130   SH    Other    None         130  0         0
ENRON CORP                    Com    293561106      118        1,840   SH    Sole     None       1,840  0         0
ENRON CORP                    Com    293561106      103        1,600   SH    Other    None       1,600  0         0
EXXON CORPORATION             Com    302290101    1,802       25,536   SH    Sole     None      21,486  0     4,050
EXXON CORPORATION             Com    302290101      636        9,012   SH    Other    None       9,012  0         0
FEDERAL HOME LOAN MORTGAG     Com    313400301    1,165       20,325   SH    Sole     None      15,675  0     4,650
FIRST UNION CORP              Com    337358105      866       16,200   SH    Sole     None      12,450  0     5,800
FORD MOTOR COMPANY            Com    345370100      293        5,163   SH    Sole     None       5,163  0         0
FORD MOTOR COMPANY            Com    345370100        6          100   SH    Other    None         100  0         0
GENERAL ELECTRIC COMPANY      Com    369604103    3,614       32,670   SH    Sole     None      29,170  0     3,500
GENERAL ELECTRIC COMPANY      Com    369604103    1,866       16,868   SH    Other    None      16,868  0         0
GENERAL MOTORS CORP           Com    370442105      756        8,686   SH    Sole     None       8,486  0       200
GENERAL MOTORS CORP           Com    370442105       40          462   SH    Other    None         462  0         0
GENERAL MOTORS CORP CL H      Com    370442832      867       17,195   SH    Sole     None      12,045  0     5,150
GILLETTE COMPANY              Com    375766102    1,625       27,336   SH    Sole     None      25,286  0     2,050
GILLETTE COMPANY              Com    375766102      109        1,840   SH    Other    None       1,840  0         0
GTE CORPORATION               Com    362320103    1,746       28,859   SH    Sole     None      24,659  0     4,200
GTE CORPORATION               Com    362320103      127        2,100   SH    Other    None       2,100  0         0
HEWLETT PACKARD CO            Com    428236103      454        6,700   SH    Sole     None       6,300  0       400
HEWLETT PACKARD CO            Com    428236103       20          300   SH    Other    None         300  0         0
HOME DEPOT INC                Com    437076102    1,218       19,570   SH    Sole     None      16,570  0     7,000
ILLINOIS TOOL WORKS INC       Com    452308109    1,268       20,495   SH    Sole     None      17,045  0     3,450
INTEL CORP                    Com    458140100    1,223       10,285   SH    Sole     None       8,535  0     1,750
INTEL CORP                    Com    458140100      205        1,725   SH    Other    None       1,725  0         0
INTERNATIONAL BUSINESS MA     Com    459200101      808        4,560   SH    Sole     None       4,260  0       300
INTERNATIONAL BUSINESS MA     Com    459200101      121          680   SH    Other    None         680  0         0
INTERSTATE ENERGY CORP WI     Com    460845100      109        4,087   SH    Sole     None       4,087  0         0
INTERSTATE ENERGY CORP WI     Com    460845100      835       31,373   SH    Other    None      31,373  0         0
JOHNSON & JOHNSON             Com    478160104    1,829       19,560   SH    Sole     None      18,760  0       800
JOHNSON & JOHNSON             Com    478160104      318        3,400   SH    Other    None           0  0     3,400
KIMBERLY CLARK CORP           Com    494368103      904       18,855   SH    Sole     None      13,855  0     5,000
KIMBERLY CLARK CORP           Com    494368103       93        1,950   SH    Other    None       1,950  0         0
LILLY (ELI) & COMPANY         Com    532457108      755        8,900   SH    Sole     None       6,566  0     2,334
LILLY (ELI) & COMPANY         Com    532457108      211        2,488   SH    Other    None       2,488  0         0
LOWES COMPANIES               Com    548661107    1,101       18,200   SH    Sole     None      14,800  0     3,400
LOWES COMPANIES               Com    548661107       30          500   SH    Other    None         500  0         0
LUCENT TECHNOLOGIES INC       Com    549463107      814        7,541   SH    Sole     None       7,553  0       150
MAYTAG CORP                   Com    578592107       26          425   SH    Sole     None         425  0         0
MAYTAG CORP                   Com    578592107      217        3,600   SH    Other    None       3,600  0         0
MC DONALD'S CORPORATION       Com    580135101      872       19,250   SH    Sole     None      12,162  0     7,088
MC DONALD'S CORPORATION       Com    580135101       97        2,148   SH    Other    None       2,148  0         0
MCI WORLDCOM INC              Com    55268B106    2,199       24,835   SH    Sole     None      22,831  0     5,150
MERCK & COMPANY INC           Com    589331107    2,829       35,310   SH    Sole     None      30,310  0     5,000
MERCK & COMPANY INC           Com    589331107    2,200       27,452   SH    Other    None      27,452  0         0
MGIC INVESTMENT               Com    552848103    1,170       33,370   SH    Sole     None      28,970  0     4,400
MGIC INVESTMENT               Com    552848103        5          150   SH    Other    None         150  0         0
MICROSOFT CORP                Com    594918104    2,174       24,260   SH    Sole     None      22,860  0     4,600
MINNESOTA MINING & MFG CO     Com    604059105      975       13,780   SH    Sole     None      12,336  0     1,444
MINNESOTA MINING & MFG CO     Com    604059105      152        2,150   SH    Other    None       2,150  0         0
MOBIL CORP                    Com    607059102      831        9,440   SH    Sole     None       9,440  0         0
MOBIL CORP                    Com    607059102      250        2,838   SH    Other    None           0  0     2,838
MONSANTO COMPANY              Com    611662107      342        7,440   SH    Sole     None       7,440  0         0
MONSANTO COMPANY              Com    611662107      184        4,000   SH    Other    None       4,000  0         0
MORGAN STANLEY DEAN WITTE     Com    617446448    1,101       11,016   SH    Sole     None       9,672  0     1,344
MORGAN STANLEY DEAN WITTE     Com    617446448       59          590   SH    Other    None         590  0         0
MORTON INTERNATIONAL INC      Com    619335102      171        4,650   SH    Sole     None       4,650  0         0
MORTON INTERNATIONAL INC      Com    619335102       83        2,250   SH    Other    None       2,250  0         0
MOTOROLA INC                  Com    620076109    1,091       14,900   SH    Sole     None      10,700  0     4,200
MOTOROLA INC                  Com    620076109      407        5,550   SH    Other    None       5,550  0         0
NEWELL RUBBERMAID INC         Com    651229106    1,230       25,905   SH    Sole     None      23,155  0     5,600
NUCOR CORP                    Com    670346105      291        6,600   SH    Sole     None       6,200  0       400
PEPSICO INC                   Com    713448108      970       24,760   SH    Sole     None      20,510  0     4,250
PEPSICO INC                   Com    713448108      103        2,640   SH    Other    None       2,640  0         0
PFIZER INC                    Com    717081103      944        6,800   SH    Sole     None       5,500  0     1,300
PFIZER INC                    Com    717081103      378        2,725   SH    Other    None       2,725  0         0
PHILIP MORRIS COS INC         Com    718154107      903       25,660   SH    Sole     None      20,110  0     5,550
PHILIP MORRIS COS INC         Com    718154107      626       17,800   SH    Other    None      17,800  0         0
PIONEER HI-BRED INTERNATI     Com    723686101      884       23,500   SH    Sole     None      23,500  0         0
PIONEER HI-BRED INTERNATI     Com    723686101    7,050      187,377   SH    Other    None       7,370  0   180,007
PITNEY BOWES INC              Com    724479100    1,457       22,850   SH    Sole     None      18,450  0     4,400
PITNEY BOWES INC              Com    724479100       22          350   SH    Other    None         350  0         0
PROCTER & GAMBLE COMPANY      Com    742718109    1,130       11,535   SH    Sole     None       9,735  0     1,800
PROCTER & GAMBLE COMPANY      Com    742718109      120        1,225   SH    Other    None       1,225  0         0
QUAKER OATS COMPANY           Com    747402105       95        1,525   SH    Sole     None       1,525  0         0
QUAKER OATS COMPANY           Com    747402105      237        3,800   SH    Other    None       3,800  0         0
RAYTHEON CO CL A              Com    755111309    1,064       18,432   SH    Sole     None      14,113  0     4,319
RAYTHEON CO CL A              Com    755111309       41          716   SH    Other    None         716  0         0
RELIANT ENERGY                Com    75952J108      527       20,220   SH    Sole     None      12,620  0     7,600
RELIANT ENERGY                Com    75952J108       26        1,000   SH    Other    None       1,000  0         0
RELIASTAR FINANCIAL CORP      Com    75952U103      931       21,850   SH    Sole     None      16,750  0     5,100
ROYAL DUTCH PETRO NY          Com    780257804      553       10,625   SH    Sole     None      10,225  0       400
ROYAL DUTCH PETRO NY          Com    780257804       42          800   SH    Other    None         800  0         0
SAFECO CORP                   Com    786429100    1,104       27,300   SH    Sole     None      23,000  0     4,300
SAFECO CORP                   Com    786429100       53        1,300   SH    Other    None       1,300  0         0
SARA LEE CORP                 Com    803111103    1,060       42,830   SH    Sole     None      33,480  0     9,350
SARA LEE CORP                 Com    803111103      252       10,200   SH    Other    None      10,200  0         0
SBC COMMUNICATIONS INC        Com    78387G103    1,376       29,153   SH    Sole     None      23,485  0     5,668
SBC COMMUNICATIONS INC        Com    78387G103      165        3,490   SH    Other    None       3,490  0         0
SCHERING PLOUGH CORP          Com    806605101    1,236       22,380   SH    Sole     None      17,680  0     4,700
SCHERING PLOUGH CORP          Com    806605101       88        1,600   SH    Other    None       1,600  0         0
SCHLUMBERGER LIMITED          Com    806857108    1,695       28,165   SH    Sole     None      24,215  0     3,950
SCHLUMBERGER LIMITED          Com    806857108       96        1,600   SH    Other    None       1,600  0         0
SHERWIN WILLIAMS CO           Com    824348106      680       24,170   SH    Sole     None      17,270  0     6,900
SHERWIN WILLIAMS CO           Com    824348106       13          450   SH    Other    None         450  0         0
SIGMA - ALDRICH CORP          Com    826552101      600       20,525   SH    Sole     None      14,775  0     5,750
SONAT INC                     Com    835415100      618       20,615   SH    Sole     None      17,965  0     4,650
SUPER VALU STORES             Com    868536103      247       12,000   SH    Sole     None      12,000  0         0
SUPER VALU STORES             Com    868536103       68        3,285   SH    Other    None       3,285  0         0
SYSCO CORP                    Com    871829107      810       30,780   SH    Sole     None      26,180  0     4,600
SYSCO CORP                    Com    871829107      163        6,200   SH    Other    None           0  0     6,200
TENET HEALTHCARE CORP         Com    88033G100      610       32,225   SH    Sole     None      28,141  0     4,950
TIME WARNER INC               Com    887315109      567        8,000   SH    Sole     None       8,000  0         0
U S BANCORP                   Com    902973106      634       18,600   SH    Sole     None      18,600  0         0
UNION PACIFIC CORP            Com    907818108       54        1,014   SH    Sole     None       1,014  0         0
UNION PACIFIC CORP            Com    907818108      250        4,675   SH    Other    None       4,675  0         0
UNUM CORP                     Com    903192102    1,431       30,085   SH    Sole     None      25,235  0     4,850
UNUM CORP                     Com    903192102       19          400   SH    Other    None         400  0         0
WALMART STORES INC            Com    931142103      959       10,400   SH    Sole     None       9,900  0       500
WALMART STORES INC            Com    931142103      608        6,598   SH    Other    None       6,598  0         0
WARNER-LAMBERT COMPANY        Com    934488107      341        5,150   SH    Sole     None       5,150  0         0
WASHINGTON MUTUAL INC         Com    939322103      477       11,675   SH    Sole     None      12,375  0       400
WELLS FARGO & CO              Com    949746101    1,471       41,950   SH    Sole     None      41,150  0       800
WELLS FARGO & CO              Com    949746101      427       12,192   SH    Other    None      12,192  0         0
WENDYS INTERNATIONAL INC      Com    950590109      256        9,000   SH    Sole     None       9,000  0         0
WENDYS INTERNATIONAL INC      Com    950590109       14          500   SH    Other    None         500  0         0
XILINX INC                    Com    983919101    1,621       39,970   SH    Sole     None      27,770  0    12,200
XILINX INC                    Com    983919101       57        1,400   SH    Other    None       1,400  0         0
Totals:                           181           122,404    2,394,549

</TABLE>



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