BRENTON BANK
13F-HR, 2000-02-11
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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:  12-31-99

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:  28-4215

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:  Thomas G. Nelson
Title: Vice President/Fiduciary Manager
Phone:  515-237-5160

Signature, Place, and Date of Signing:

/s/ Thomas G. Nelson
[Signature]

Des Moines, Iowa
[City, State]

February 11, 2000
[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:
     174

Form 13F Information Table Value Total:
     $125,636 (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       Cusip    Value     # Of   SH  Investment   Other       Voting Authority
                            Class                 (x$1000)   Shares     Discretion  Managers   Sole  Shared  Other

<S>                           <C>       <C>        <C>      <C>     <C> <C>          <C>       <C>      <C>  <C>
ABBOTT LABORATORIES           Com       002824100      341    9,400 SH  Sole         None       9,400   0          0
ABBOTT LABORATORIES           Com       002824100       15      400 SH  Other        None           0   0        400
AES CORP                      Com       00130H105    2,019   27,007 SH  Sole         None      21,407   0      5,600
ALLIANT ENERGY CORP           Com       018802108      113    4,106 SH  Sole         None       4,106   0          0
ALLIANT ENERGY CORP           Com       018802108      870   31,653 SH  Other        None      31,653   0          0
ALLSTATE CORP                 Com       002000210      194    8,062 SH  Sole         None       8,062   0          0
ALLSTATE CORP                 Com       002000210       31    1,296 SH  Other        None       1,296   0          0
AMERICA ONLINE INC            Com       002364J10      956   12,600 SH  Sole         None      10,700   0      1,900
AMERICAN EXPRESS COMPANY      Com       025816109       67      400 SH  Sole         None         400   0          0
AMERICAN EXPRESS COMPANY      Com       025816109      183    1,100 SH  Other        None       1,100   0          0
AMERICAN HOME PRODUCTS CO     Com       026609107       80    2,050 SH  Sole         None       2,050   0          0
AMERICAN HOME PRODUCTS CO     Com       026609107      157    4,000 SH  Other        None       4,000   0          0
AMERICAN INTERNATIONAL GR     Com       026874107    1,042    9,639 SH  Sole         None       8,139   0      1,500
AMGEN INC                     Com       031162100      400    6,660 SH  Sole         None       1,460   0      5,200
ANHEUSER BUSCH COS INC        Com       035229103    1,066   15,040 SH  Sole         None      15,040   0          0
ANHEUSER BUSCH COS INC        Com       035229103      340    4,800 SH  Other        None       1,400   0      3,400
ARCHER DANIELS MIDLAND        Com       039483102      184   15,179 SH  Sole         None      15,179   0          0
ARCHER DANIELS MIDLAND        Com       039483102        8      628 SH  Other        None         628   0          0
ARROW ELECTRONICS INC         Com       042735100    1,050   41,360 SH  Sole         None      32,960   0      8,400
ARROW ELECTRONICS INC         Com       042735100        8      300 SH  Other        None           0   0        300
AT & T CORP                   Com       001957109    1,545   30,410 SH  Sole         None      30,410   0          0
AT & T CORP                   Com       001957109      365    7,189 SH  Other        None         889   0      6,300
AVERY-DENNISON CORP           Com       053611109      934   12,810 SH  Sole         None       8,610   0      4,200
BANC ONE CORP                 Com       06423A103      226    7,052 SH  Sole         None       6,622   0        430
BANC ONE CORP                 Com       06423A103       32    1,000 SH  Other        None           0   0      1,000
BANK OF AMERICA CORP          Com       060505104    1,192   23,749 SH  Sole         None      22,372   0      1,377
BANK OF AMERICA CORP          Com       060505104       30      600 SH  Other        None           0   0        600
BELLSOUTH CORP                Com       079860102      305    6,520 SH  Sole         None       6,520   0          0
BELLSOUTH CORP                Com       079860102      258    5,508 SH  Other        None       5,508   0          0
BERKSHIRE HATHAWAY INC CL     Com       084670207      210      115 SH  Sole         None         115   0          0
BERKSHIRE HATHAWAY INC CL     Com       084670207      192      105 SH  Other        None         105   0          0
BP AMOCO PLC ADR              Com       055622104    1,131   19,066 SH  Sole         None      15,586   0      3,480
BP AMOCO PLC ADR              Com       055622104      100    1,678 SH  Other        None           0   0      1,678
BRENTON BANKS INC             Com       107211104      527   52,066 SH  Sole         None      52,066   0          0
BRISTOL MYERS SQUIBB CO       Com       110122108    1,970   30,690 SH  Sole         None      30,690   0          0
BRISTOL MYERS SQUIBB CO       Com       110122108    1,144   17,824 SH  Other        None      16,214   0      1,610
BURLINGTON RESOURCES INC      Com       122014103      581   17,580 SH  Sole         None      17,213   0        367
BURLINGTON RESOURCES INC      Com       122014103       54    1,633 SH  Other        None           0   0      1,633
CASEY'S GENERAL STORES IN     Com       147528103      758   72,600 SH  Sole         None      62,216   0     10,384
CASEY'S GENERAL STORES IN     Com       147528103       37    3,500 SH  Other        None           0   0      3,500
CHASE MANHATTAN CORP          Com       16161A108    1,183   15,230 SH  Sole         None      11,625   0      3,605
CISCO SYSTEMS                 Com       17275R102    2,218   20,705 SH  Sole         None      20,705   0          0
CISCO SYSTEMS                 Com       17275R102       75      700 SH  Other        None           0   0        700
CITIGROUP INC                 Com       172967101    1,907   34,236 SH  Sole         None      34,236   0          0
CITIGROUP INC                 Com       172967101       98    1,768 SH  Other        None           0   0      1,768
COCA COLA CO                  Com       191216100      799   13,713 SH  Sole         None      10,598   0      3,115
COCA COLA CO                  Com       191216100       17      285 SH  Other        None           0   0        285
CONAGRA INC                   Com       205887102      683   30,090 SH  Sole         None      24,790   0      5,300
CONAGRA INC                   Com       205887102       11      500 SH  Other        None           0   0        500
CONOCO INC CL B               Com       208251405      400   16,097 SH  Sole         None      15,217   0        880
CONOCO INC CL B               Com       208251405       82    3,292 SH  Other        None           0   0      3,292
COSTCO WHOLESALE CORP         Com       22160K105    1,358   14,885 SH  Sole         None      11,685   0      3,200
CROWN CORK & SEAL             Com       228255105      213    9,516 SH  Sole         None       5,816   0      3,700
CROWN CORK & SEAL             Com       228255105       36    1,600 SH  Other        None           0   0      1,600
CVS CORP                      Com       126650100      538   13,500 SH  Sole         None      13,500   0          0
CVS CORP                      Com       126650100       20      500 SH  Other        None         500   0          0
DELL COMPUTER                 Com       247025109      525   10,295 SH  Sole         None       9,295   0      1,000
DOW CHEMICAL CO               Com       260543103      347    2,600 SH  Sole         None       2,600   0          0
DU PONT (EI) DE NEMOURS       Com       263534109    6,223   94,466 SH  Sole         None      94,466   0          0
DU PONT (EI) DE NEMOURS       Com       263534109    6,875  104,358 SH  Other        None       2,106   0    102,252
EL PASO ENERGY CORP           Com       283905107      677   17,453 SH  Sole         None      14,545   0      2,908
EL PASO ENERGY CORP           Com       283905107       21      542 SH  Other        None           0   0        542
ELECTRONIC DATA SYSTEMS C     Com       285661104    1,042   15,570 SH  Sole         None      12,220   0      3,350
ELECTRONIC DATA SYSTEMS C     Com       285661104       17      250 SH  Other        None           0   0        250
EMC CORPORATION               Com       268648102    2,495   22,836 SH  Sole         None      16,236   0      6,600
EMERSON ELECTRIC CO           Com       291011104      651   11,353 SH  Sole         None       8,871   0      2,482
EMERSON ELECTRIC CO           Com       291011104       34      600 SH  Other        None           0   0        600
ENRON CORP                    Com       293561106      163    3,680 SH  Sole         None       3,680   0          0
ENRON CORP                    Com       293561106      124    2,800 SH  Other        None       1,650   0      1,150
EXXON MOBIL CORP              Com       30231G102    3,457   42,907 SH  Sole         None      42,907   0          0
EXXON MOBIL CORP              Com       30231G102      532    6,608 SH  Other        None           0   0      6,608
FEDERAL HOME LOAN MORTGAG     Com       313400301      618   13,124 SH  Sole         None       8,474   0      4,650
FIRST UNION CORP              Com       337358105      538   16,329 SH  Sole         None      11,629   0      4,700
FORD MOTOR COMPANY            Com       345370100      275    5,163 SH  Sole         None       5,163   0          0
FORD MOTOR COMPANY            Com       345370100        5      100 SH  Other        None         100   0          0
GENERAL ELECTRIC COMPANY      Com       369604103    5,166   33,384 SH  Sole         None      33,384   0          0
GENERAL ELECTRIC COMPANY      Com       369604103    1,305    8,433 SH  Other        None       2,008   0      6,425
GENERAL MOTORS CORP           Com       370442105      637    8,761 SH  Sole         None       8,761   0          0
GENERAL MOTORS CORP           Com       370442105       34      462 SH  Other        None         262   0        200
GENERAL MOTORS CORP CL H      Com       370442832    1,267   13,195 SH  Sole         None       8,045   0      5,150
GILLETTE COMPANY              Com       375766102    1,321   32,062 SH  Sole         None      30,552   0      1,510
GILLETTE COMPANY              Com       375766102      116    2,815 SH  Other        None           0   0      2,815
GTE CORPORATION               Com       362320103    1,998   28,309 SH  Sole         None      28,309   0          0
GTE CORPORATION               Com       362320103       99    1,400 SH  Other        None           0   0      1,400
HEWLETT PACKARD CO            Com       428236103      768    6,750 SH  Sole         None       6,750   0          0
HOME DEPOT INC                Com       437076102    1,862   27,090 SH  Sole         None      21,165   0      5,925
ILLINOIS TOOL WORKS INC       Com       452308109      963   14,260 SH  Sole         None      11,610   0      2,650
ILLINOIS TOOL WORKS INC       Com       452308109      108    1,600 SH  Other        None           0   0      1,600
INTEL CORP                    Com       458140100    2,337   28,392 SH  Sole         None      26,592   0      1,800
INTEL CORP                    Com       458140100       49      600 SH  Other        None           0   0        600
INTERNATIONAL BUSINESS MA     Com       459200101    1,914   17,745 SH  Sole         None      17,745   0          0
INTERNATIONAL BUSINESS MA     Com       459200101       97      900 SH  Other        None           0   0        900
JOHNSON & JOHNSON             Com       478160104    1,830   19,630 SH  Sole         None      18,530   0      1,100
KIMBERLY CLARK CORP           Com       494368103    1,002   15,312 SH  Sole         None      12,612   0      2,700
KIMBERLY CLARK CORP           Com       494368103       49      750 SH  Other        None           0   0        750
LILLY (ELI) & COMPANY         Com       532457108      336    5,047 SH  Sole         None       3,423   0      1,624
LILLY (ELI) & COMPANY         Com       532457108      145    2,184 SH  Other        None           0   0      2,184
LOWES COMPANIES               Com       548661107    1,198   20,046 SH  Sole         None      16,296   0      3,750
LOWES COMPANIES               Com       548661107      114    1,900 SH  Other        None           0   0      1,900
LUCENT TECHNOLOGIES INC       Com       549463107    1,196   15,945 SH  Sole         None      15,945   0          0
MAYTAG CORP                   Com       578592107       30      626 SH  Sole         None         626   0          0
MAYTAG CORP                   Com       578592107      221    4,600 SH  Other        None       4,600   0          0
MC DONALD'S CORPORATION       Com       580135101      705   17,491 SH  Sole         None      15,351   0      2,140
MC DONALD'S CORPORATION       Com       580135101      119    2,948 SH  Other        None           0   0      2,948
MCI WORLDCOM INC              Com       55268B106    1,910   35,991 SH  Sole         None      32,685   0      3,306
MCI WORLDCOM INC              Com       55268B106      111    2,100 SH  Other        None           0   0      2,100
MEDTRONIC INC                 Com       585055106    1,036   28,440 SH  Sole         None      24,646   0      3,794
MEDTRONIC INC                 Com       585055106       15      400 SH  Other        None           0   0        400
MERCK & COMPANY INC           Com       589331107    1,798   26,755 SH  Sole         None      26,755   0          0
MERCK & COMPANY INC           Com       589331107      262    3,902 SH  Other        None       1,556   0      2,346
MGIC INVESTMENT               Com       552848103    1,589   26,395 SH  Sole         None      22,145   0      4,250
MGIC INVESTMENT               Com       552848103        9      150 SH  Other        None           0   0        150
MICROSOFT CORP                Com       594918104    3,035   25,995 SH  Sole         None      21,620   0      4,375
MICROSOFT CORP                Com       594918104       93      800 SH  Other        None           0   0        800
MINNESOTA MINING & MFG CO     Com       604059105    1,623   16,580 SH  Sole         None      14,586   0      1,994
MINNESOTA MINING & MFG CO     Com       604059105       34      350 SH  Other        None           0   0        350
MONSANTO COMPANY              Com       611662107      409   11,535 SH  Sole         None      11,535   0          0
MORGAN STANLEY DEAN WITTE     Com       617446448    1,573   11,016 SH  Sole         None      10,084   0        932
MORGAN STANLEY DEAN WITTE     Com       617446448      163    1,140 SH  Other        None           0   0      1,140
MOTOROLA INC                  Com       620076109    2,231   15,150 SH  Sole         None      15,150   0          0
MOTOROLA INC                  Com       620076109      799    5,425 SH  Other        None       1,975   0      3,450
NEWELL RUBBERMAID INC         Com       651229106      606   20,905 SH  Sole         None      16,105   0      4,800
NSTAR                         Com       67019E107      594   14,675 SH  Sole         None      11,725   0      2,950
NSTAR                         Com       67019E107       16      400 SH  Other        None           0   0        400
NUCOR CORP                    Com       670346105      367    6,700 SH  Sole         None       6,300   0        400
PEPSICO INC                   Com       713448108    1,005   28,510 SH  Sole         None      25,100   0      3,410
PEPSICO INC                   Com       713448108      104    2,940 SH  Other        None           0   0      2,940
PFIZER INC                    Com       717081103      662   20,400 SH  Sole         None      20,400   0          0
PFIZER INC                    Com       717081103      257    7,925 SH  Other        None       5,466   0      2,459
PHILIP MORRIS COS INC         Com       718154107      311   13,510 SH  Sole         None      13,510   0          0
PHILIP MORRIS COS INC         Com       718154107      375   16,300 SH  Other        None      12,450   0      3,850
PITNEY BOWES INC              Com       724479100      645   13,350 SH  Sole         None      10,700   0      2,650
PITNEY BOWES INC              Com       724479100       17      350 SH  Other        None           0   0        350
PROCTER & GAMBLE COMPANY      Com       742718109    1,522   13,891 SH  Sole         None      13,891   0          0
PROCTER & GAMBLE COMPANY      Com       742718109      167    1,525 SH  Other        None       1,525   0          0
QUAKER OATS COMPANY           Com       747402105      251    3,825 SH  Sole         None       3,825   0          0
QUAKER OATS COMPANY           Com       747402105       98    1,500 SH  Other        None       1,500   0          0
RELIANT ENERGY                Com       75952J108      165    7,220 SH  Sole         None       5,270   0      1,950
RELIANT ENERGY                Com       75952J108       34    1,500 SH  Other        None           0   0      1,500
RELIASTAR FINANCIAL CORP      Com       75952U103      543   13,850 SH  Sole         None       8,750   0      5,100
SAFECO CORP                   Com       786429100      199    8,000 SH  Sole         None       5,000   0      3,000
SAFECO CORP                   Com       786429100       32    1,300 SH  Other        None           0   0      1,300
SARA LEE CORP                 Com       803111103      270   12,224 SH  Sole         None      12,224   0          0
SARA LEE CORP                 Com       803111103      225   10,200 SH  Other        None         850   0      9,350
SBC COMMUNICATIONS INC        Com       78387G103    1,447   29,683 SH  Sole         None      29,683   0          0
SBC COMMUNICATIONS INC        Com       78387G103      409    8,380 SH  Other        None       1,530   0      6,850
SCHERING PLOUGH CORP          Com       806605101      908   21,433 SH  Sole         None      21,433   0          0
SCHERING PLOUGH CORP          Com       806605101       95    2,250 SH  Other        None         750   0      1,500
SCHLUMBERGER LIMITED          Com       806857108    1,256   22,387 SH  Sole         None      20,887   0      1,500
SCHLUMBERGER LIMITED          Com       806857108      121    2,150 SH  Other        None           0   0      2,150
SIGMA - ALDRICH CORP          Com       826552101      205    6,814 SH  Sole         None       1,064   0      5,750
SUPER VALU STORES             Com       868536103      240   12,000 SH  Sole         None      12,000   0          0
SUPER VALU STORES             Com       868536103       66    3,285 SH  Other        None       3,285   0          0
SYSCO CORP                    Com       871829107    1,131   28,580 SH  Sole         None      27,580   0      1,000
SYSCO CORP                    Com       871829107      245    6,200 SH  Other        None           0   0      6,200
TENET HEALTHCARE CORP         Com       88033G100      831   35,362 SH  Sole         None      28,478   0      6,884
TEXAS INSTRUMENTS             Com       882508104      232    2,400 SH  Other        None       2,400   0          0
TIME WARNER INC               Com       887315109      724   10,015 SH  Sole         None       9,700   0        315
TYCO INTL LTD                 Com       902124106    1,624   41,630 SH  Sole         None      36,234   0      5,396
TYCO INTL LTD                 Com       902124106      103    2,642 SH  Other        None           0   0      2,642
U S BANCORP                   Com       902973106      449   18,850 SH  Sole         None      18,850   0          0
UNION PACIFIC CORP            Com       907818108       85    1,946 SH  Sole         None       1,946   0          0
UNION PACIFIC CORP            Com       907818108      152    3,475 SH  Other        None       3,475   0          0
WALMART STORES INC            Com       931142103    1,505   21,766 SH  Sole         None      21,766   0          0
WALMART STORES INC            Com       931142103      912   13,196 SH  Other        None       8,996   0      4,200
WARNER-LAMBERT COMPANY        Com       934488107      462    5,636 SH  Sole         None       5,636   0          0
WASHINGTON MUTUAL INC         Com       939322103      656   25,352 SH  Sole         None      22,802   0      2,550
WASHINGTON MUTUAL INC         Com       939322103       72    2,800 SH  Other        None           0	  0      2,800
WELLS FARGO & CO              Com       949746101    1,411   34,904 SH  Sole         None      34,904   0          0
WELLS FARGO & CO              Com       949746101      493   12,192 SH  Other        None       9,642   0      2,550
WENDYS INTERNATIONAL INC      Com       950590109      187    9,000 SH  Sole         None       9,000   0          0
WENDYS INTERNATIONAL INC      Com       950590109       10      500 SH  Other        None         500   0          0
XILINX INC                    Com       983919101    2,366   52,038 SH  Sole         None      43,638   0      8,400
XILINX INC                    Com       983919101      127    2,800 SH  Other        None           0   0      2,800
                              174 		               125,636


</TABLE>


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