UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
FORM 13F
FORM 13F COVER PAGE
Report for the Calendar Year Ended December 31, 1999
Check Here if an Amendment [ ] Amendment Number:
This Amendment (Check One Only): [ ] is a restatement
[ ] Adds new holdings
Institutional Investment Manager Filing this Report:
Name: Webster Trust Company N.A.
Address: 346 Main Street
Kensington CT. 06037
13F File Number 28-
The institutional investment manager filing this report
and the person by whom 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 is understood that
all required items, statements, lists and tables, are
considered integral parts of this form.
Person signing this report on Behalf of Reporting
Manager:
Name: Jerome Tabor
Title Senior Financial Officer
Phone 860-829-3904
Signature, Place, and Date of Signing
Jerome Tabor Kensington CT February 9, 2000.
Report Type (Check One Only):
[X] 13FHR Holdings Report
[ ] 13F Notice.
[ ] 13F Combination Report
List of Other Managers reporting for this Manager:
FORM 13F SUMMARY PAGE
Report Summary:
Number of Other Included Managers: 0
Form 13FHR Information Table Entry Total: 201
Form 13FHR Information Table Value Total: $282,016
List of Other Included Managers:
NO. 13F File Number Name
NONE
<PAGE>
<TABLE> <C> <C>
FORM 13F INFORMATION TABLE
Item 5 Item 6Item Item 8
Item 1 Item Item 3 Item 4 ShrShrMgrs Voting
Authority
Name ClassCUSIP Market Sh/PV SoleInsOth Sole
Share None
Domestic Common Stocks
Abbott Labs Inc Com 00282410 710 19546X 19546
0 0
Abbott Labs Inc Com 00282410 512 14100 X 8200
5900 0
Aetna Inc Com 00811710 1783 31938X 31938
0 0
Aetna Inc Com 00811710 395 7080 X 5980
1100 0
Alltel Corp Com 02003910 194 2350X 2350
0 0
Alltel Corp Com 02003910 33 400 X 400
0 0
American Express Co Com 02581610 1233 7417X 7417
0 0
American Express Co Com 02581610 33 200 X 200
0 0
American Home Products Inc Com 02660910 4587 116863X 113543
1120 2200
American Home Products Inc Com 02660910 1338 34077 X 20955
10272 2850
American Int'l Group Inc Com 02687410 555 5136X 5136
0 0
American Int'l Group Inc Com 02687410 321 2966 X 1695
265 1006
Archer Daniels Midland Co Com 03948310 1 59X 59
0 0
Archer Daniels Midland Co Com 03948310 530 43750 X 1680
42070 0
AT&T Corp Com 00195710 3751 73817X 73467
150 200
AT&T Corp Com 00195710 1008 19836 X 12501
5010 2325
Automatic Data Processing InCom 05301510 421 7820X 7820
0 0
Automatic Data Processing InCom 05301510 259 4800 X 3100
500 1200
Bank of New York Com 06405710 2012 50302X 50302
0 0
Bank of New York Com 06405710 160 3994 X 3994
0 0
Bank of America Com 06050510 210 4177X 3977
0 200
Bank of America Com 06050510 147 2922 X 1010
712 1200
Baxter International Inc Com 07181310 426 6782X 6782
0 0
Baxter International Inc Com 07181310 75 1200 X 1200
0 0
Bell Atlantic Corp Com 07785310 564 9156X 8696
460 0
Bell Atlantic Corp Com 07785310 754 12248 X 5956
6292 0
BellSouth Corp Com 07986010 980 20927X 17727
200 3000
BellSouth Corp Com 07986010 749 16007 X 7082
8200 725
BestFoods Inc Com Com 08658U10 732 13920X 13920
0 0
BestFoods Inc Com Com 08658U10 246 4672 X 4172
0 500
BP Amoco PLC Spnsr ADR Com 05562210 721 12148X 12148
0 0
BP Amoco PLC Spnsr ADR Com 05562210 7095 119622 X 0
119622 0
Bristol Myers Squibb Co Com 11012210 5079 79121X 76401
1920 800
Bristol Myers Squibb Co Com 11012210 4378 68202 X 41127
24400 2675
Chase Manhattan Corp New ComCom 16161A10 1961 25242X 25242
0 0
Chase Manhattan Corp New ComCom 16161A10 637 8202 X 4096
3274 832
Chevron Corp Com 16675110 948 10944X 10944
0 0
Chevron Corp Com 16675110 754 8700 X 700
8000 0
Cigna Corp Com 12550910 5282 65570X 65570
0 0
Cigna Corp Com 12550910 342 4239 X 1734
2505 0
Cisco Systems Inc Com 17275R10 764 7132X 7132
0 0
Cisco Systems Inc Com 17275R10 241 2250 X 2250
0 0
Citigroup Inc Com 17296710 5532 99343X 99343
0 0
Citigroup Inc Com 17296710 841 15100 X 11230
2025 1845
Coca Cola Co Com Com 19121610 2461 42250X 35185
7065 0
Coca Cola Co Com Com 19121610 1305 22400 X 16000
5600 800
Colgate-Palmolive Com 19416210 438 6740X 6740
0 0
Colgate-Palmolive Com 19416210 65 1000 X 1000
0 0
Compaq Computer Corp Com 20449310 220 8130X 8130
0 0
Compaq Computer Corp Com 20449310 84 3100 X 0
0 3100
Conexant Sys Inc Com 20714210 232 3500X 3500
0 0
Costco Whls Corp New Com 22160K10 319 3500X 3500
0 0
Crown Cork & Seal Inc Com 22825510 284 12700X 12700
0 0
Dow Chem Company Com 26054310 1644 12301X 12001
300 0
Dow Chem Company Com 26054310 6750 50512 X 212
50300 0
Du Pont E I De Memours & Co Com 26353410 1499 22751X 21951
600 200
Du Pont E I De Memours & Co Com 26353410 276 4183 X 3208
0 975
E M C Corp Mass Com 26864810 550 5030X 5030
0 0
E M C Corp Mass Com 26864810 109 1000 X 1000
0 0
Eastman Kodak Company Com Com 27746110 532 8033X 8033
0 0
Eastman Kodak Company Com Com 27764110 97 1462 X 1237
225 0
Eaton Corp Com 27805810 306 4210X 4210
0 0
Electronic Data Systems Com 28566110 224 3350X 3350
0 0
Electronic Data Systems Com 28566110 34 512 X 512
0 0
Eli Lilly & Co Com 53245710 82 1230X 930
300 0
Eli Lilly & Co Com 53245710 250 3760 X 2160
1600 0
Emerson Electric Corp Com 29101110 374 6520X 5320
0 1200
Emerson Electric Corp Com 29101110 63 1100 X 1100
0 0
Exxon Mobil Com Com 30231G10 12074 149868X 145740
2328 1800
Exxon Mobil Com Com 30231G10 46192 573371 X 34943
535264 3164
Federal National Mortgage CoCom 31358610 485 7775X 7775
0 0
Federal National Mortgage CoCom 31358610 204 3261 X 1436
0 1825
Fleet Boston Financial Corp Com 33903010 972 27932X 27932
0 0
Fleet Boston Financial Corp Com 33903010 678 19488 X 15582
2230 1676
Ford Mtr Co Del Com 34537010 123 2308X 2308
0 0
Ford Mtr Co Del Com 34537010 280 5260 X 5260
0 0
FPL Group Inc Com 30257110 206 4800X 4800
0 0
FPL Group Inc Com 30257110 66 1550 X 1150
400 0
Gannett Co Inc Com 36473010 224 2750X 1100
850 800
Gannett Co Inc Com 34673010 65 800 X 600
200 0
General Electric Corp Com 36960410 20717 133873X 130613
1110 2150
General Electric Corp Com 36960410 38707 250125 X 35685
210290 4150
General Mtrs Corp Com Com 37044210 562 7738X 7538
200 0
General Mtrs Corp Com Com 37044210 166 2285 X 1410
875 0
GTE Corp Com 36232010 4307 61035X 60435
600 0
GTE Corp Com 36230103 1011 14321 X 8445
3276 2600
Halliburton Co Com Com 40621610 169 4200X 4200
0 0
Halliburton Co Com Com 40621610 68 1700 X 1700
0 0
Hartford Finl Svcs Group IncCom 41651510 679 14328X 14328
0 0
Hartford Finl Svcs Group IncCom 41651510 107 2269 X 1893
376 0
Heinz H J Co Com 42307410 49 1220X 1220
0 0
Heinz H J Co Com 42307410 201 5040 X 2040
3000 0
Hertz Corp Com 42804010 361 7200X 7200
0 0
Hewlett-Packard Co Com 42823610 930 8175X 8075
100 0
Hewlett-Packard Co Com 42823610 808 7100 X 3200
3900 0
Home Depot Inc Com 43707610 870 12659X 12659
0 0
Home Depot Inc Com 43707610 191 2775 X 1425
0 1350
Honeywell International Inc Com 43851610 555 9625X 9625
0 0
Honeywell International Inc Com 43851610 484 8384 X 4980
2828 576
IBM Corporation Com 45920010 8318 77109X 76629
480 0
IBM Corporation Com 45920010 1665 15432 X 3482
11500 450
Ingersoll Rand Co Com Com 45686610 380 6895X 6895
0 0
Ingersoll Rand Co Com Com 45686610 107 1950 X 1950
0 0
Intel Corp Com 45814010 2349 28535X 28535
0 0
Intel Corp Com 45814010 263 3200 X 2100
0 1100
ITT Inds Inc Ind Com 45091110 209 6264X 6264
0 0
ITT Inds Inc Ind Com 45091110 39 1169 X 1169
0 0
Johnson & Johnson Com 47816010 1361 14595X 14595
0 0
Johnson & Johnson Com 47816010 732 7855 X 4420
1550 1885
KLA -Tencor Corp Com Com 48248010 555 4985X 4985
0 0
Lucent Technologies Inc Com 54946310 4470 59606X 59478
128 0
Lucent Technologies Inc Com 54946310 1400 18672 X 14884
3144 644
May Dept Stores Co Com 57777810 372 11550X 11550
0 0
MBNA Corporation Com 55262L10 417 15300X 15300
0 0
MBNA Corporation Com 55262L10 40 1450 X 450
0 1000
McDonalds Corp Com 58013510 165 4100X 4100
0 0
McDonalds Corp Com 58013510 157 3888 X 2088
600 1200
McGraw Hill Companies Inc Com 58064510 25 400X 400
0 0
McGraw Hill Companies Inc Com 58064510 247 4000 X 0
4000 0
MCI WorldCom Inc Com 55268810 663 12503X 12503
0 0
MCI WorldCom Inc Com 55268810 77 1455 X 1455
0 0
Mediaone Group Inc Com 58440J10 166 2167X 2167
0 0
Mediaone Group Inc Com 58440J10 56 732 X 690
42 0
Mellon Finl Corp Com 58551A10 293 8600X 8600
0 0
Mellon Finl Corp Com 58551A10 68 2000 X 2000
0 0
Merck & Co Inc Com 58933110 3744 55730X 53930
0 1800
Merck & Co Inc Com 58933110 668 9940 X 8090
1400 450
Minnesota Mining Com Com 60405910 1118 11425X 10925
100 400
Minnesota Mining Com Com 60405910 533 5450 X 4650
600 200
Monsanto Company Com 61166210 159 4475X 4475
0 0
Monsanto Company Com 61166210 78 2200 X 2200
0 0
Morgan J P & Co Inc Com 61688010 4638 36627X 36627
0 0
Morgan J P & Co Inc Com 61688010 2348 18540 X 10024
7416 1100
Motorola Inc Com 62007610 513 3485X 3485
0 0
Motorola Inc Com 62007610 214 1450 X 1150
0 300
Northeast Utilities Com 66439710 136 6610X 5805
805 0
Northeast Utilities Com 66439710 66 3233 X 1433
1000 800
Northern Trust Com 66585910 949 17904 X 17904
0 0
Oracle Corporation Com Com 68389K10 979 8732X 8732
0 0
Oracle Corporation Com Com 68389K10 28 250 X 250
0 0
Pepsico Inc Com 71344810 892 25315X 24890
0 425
Pepsico Inc Com 71344810 252 7154 X 5129
400 1625
Pfizer Inc Com 71708110 1618 49870X 44695
4800 375
Pfizer Inc Com 71708110 491 15140 X 9140
6000 0
Phillip Morris Companies IncCom 71815410 182 7900X 7900
0 0
Phillip Morris Companies IncCom 71815410 18 800 X 0
0 800
Pitney Bowes Inc Com 72447910 230 4770X 4770
0 0
Pitney Bowes Inc Com 72447910 41 850 X 850
0 0
PPG Inds Inc Com 69350610 300 4800X 4800
0 0
PPG Inds Inc Com 69350610 25 400 X 400
0 0
Proctor & Gamble Company Com 74271810 5887 53730X 53130
200 400
Proctor & Gamble Company Com 74271810 2134 19480 X 11880
6650 950
Sara Lee Corp Com Com 80311110 233 10570X 10570
0 0
Sara Lee Corp Com Com 80311110 66 3000 X 2400
600 0
SBC Communications nc Com 78387G10 2337 47941X 47464
477 0
SBC Communications nc Com 78387G10 1522 31214 X 26147
5067 0
Schering-Plough Corp Com 80660510 703 16600X 16600
0 0
Schering-Plough Corp Com 80660510 68 1600 X 1600
0 0
Schlumberger LTD Com 80685710 221 3930X 3930
0 0
Schlumberger LTD Com 80685710 242 4306 X 2980
226 1100
Sun Microsystems Inc Com 86681010 155 2000X 2000
0 0
Sun Microsystems Inc Com 86681010 186 2400 X 2400
0 0
Tandy Corp Com 87538210 307 6240X 6240
0 0
Texaco Inc Com 88169410 148 2732X 2732
0 0
Texaco Inc Com 88169410 62 1135 X 1135
0 0
Textron Inc Com 88320310 522 6805X 3885
550 2370
Textron Inc Com 88320310 67 880 X 880
0 0
The Stanley Works Com 85461610 1055 35016X 33040
1976 0
The Stanley Works Com 85461610 311 10308 X 10108
0 200
TRW Inc Com Com 87264910 270 5200X 5200
0 0
TRW Inc Com Com 87264910 15 296 X 296
0 0
US West Inc New Com 91273H10 232 3216X 3216
0 0
US West Inc New Com 91273H10 76 1053 X 1010
43 0
United Technologies Corp Com 91301710 387 5956X 5956
0 0
United Technologies Corp Com 91301710 247 3800 X 2800
1000 0
Walmart Stores Inc Com 93114210 833 12050X 11650
0 400
Walmart Stores Inc Com 93114210 178 2570 X 1920
0 650
Walt Disney Company Com 25468710 832 28450X 28450
0 0
Walt Disney Company Com 25468710 221 7555 X 5330
600 1625
Warner Lambert Phar Com 93448810 1109 13530X 13530
0 0
Warner Lambert Phar Com 93448810 1153 14070 X 500
11632 1938
Webster Finl Corp Waterbury Com 94789010 885 37560X 2000
0 35560
Webster Finl Corp Waterbury Com 94789010 175 7441 X 0
0 7441
Wells Fargo & Co New Com 94974610 503 12450X 12450
0 0
Wells Fargo & Co New Com 94974610 30 750 X 750
0 0
Wendys International Inc Com 95059010 171 8215X 8215
0 0
Wendys International Inc Com 95050910 38 1830 X 1830
0 0
Xerox Corporation Com 98412110 486 21410X 21410
0 0
Xerox Corporation Com 98412110 44 1950 X 1000
0 950
1st Union Corp Com 33735810 155 4720X 4720
0 0
1st Union Corp Com 33735810 62 1875 X 1150
0 725
Domestic Common Stk Total 2791453720062
24524751150800116787
Foreign Common Stocks
Aegon N V Ord Amer Reg 00792410 355 3720X 3720
0 0
British Telecommunications P L C 11102140 547 2300X 2300
0 0
British Telecommunications P L C 11102140 79 330 X 330
0 0
Nortel Networks Corp 65656910 222 2200X 2200
0 0
Nortel Networks Corp 65656910 20 200 X 200
0 0
Royal Dutch Petro NY Reg Sh Adr 78025780 452 7458X 7458
0 0
Royal Dutch Petro NY Reg Sh Adr 78025780 282 4664 X 3439
0 1225
Tyco International Limited Inc 90212410 300 7702X 7702
0 0
Vodafone Airtouch PLC 92857T10 380 7680X 7680
0 0
Vodafone Airtouch PLC 92857T10 234 4725 X 2120
105 2500
Subttl for Foreign Common Stock 2871 40979 37149
105 3725
Summary of Common Stocks 2820163761041
24896241150905120512
Preferred Stocks None
Other None
Grand Totals 2820163761041
24896241150905120512
</TABLE>