WELLS FARGO BANK NEVADA NA
13F-HR, 2000-05-12
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<PAGE>

                                  UNITED STATES
                       SECURITIES AND EXCHANGE COMMISSION
                             WASHINGTON, D.C. 20549

                                    FORM 13F
                               FORM 13F COVER PAGE


Report for the Calendar Year or Quarter Ended:       March 31, 2000

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:    Wells Fargo Bank Nevada, N.A.

Address: 3300 W. Sahara

         Las Vegas, NV  89102

Form 13F File Number:

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:

Name:   Janet Hansen

Title:  Vice President

Phone:  (702) 765-3924

Signature, Place, and Date of Signing:

/s/ Janet M. Hansen                 Las Vegas            05/02/00
- ---------------------------    -------------------     ------------
[Signature]                       [City, State]           [Date]

Report Type (Check only one.):

[X]  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).)

List of Other Managers Reporting for this Manager:

None.
<PAGE>

                              FORM 13F SUMMARY PAGE


Report Summary:

Number of Other Included Managers:  0

Form 13F Information Table Entry Total:     188

Form 13F Information Table Value Total:     151,082
                                            (thousands)

List of Other Included Managers:

     Provide a numbered list of the name(s) and Form 13F file number(s) of all
     institutional investment managers with respect to which this report is
     filed, other than the manager filing this report.

None.
<PAGE>

WELLS FARGO BANK NEVADA, N.A.
<TABLE>
<CAPTION>

                                 TITLE                   VALUE    SHARES/   SH/
NAME OF ISSUER                   OF CLASS       CUSIP   (X $1000) PRN       PRN    INVSTMT OTHER            VOTING AUTHORITY
                                                                  AMOUNT           DISCRTN MANAGERS     SOLE      SHARED    NONE
<S>                              <C>            <C>       <C>     <C>       <C>    <C>     <C>       <C>          <C>       <C>
ADC TELECOMMUNICATIONS INC       COMMON STOCK   000886101  1239       23000 SH     DEF/OTH             23000
AT&T CORP                        COMMON STOCK   001957109   239        4251 SH     SOLE                 4251
AT&T CORP                        COMMON STOCK   001957109   127        2250 SH     OTHER                2250
AT&T CORP                        COMMON STOCK   001957109   304        5400 SH     DEF/OTH              5400
ABBOTT LABORATORIES              COMMON STOCK   002824100   359       10200 SH     DEF/OTH             10200
ALBANY INTERNATIONAL CORP        COMMON STOCK   012348108   691       46673 SH     OTHER               46673
ALBANY INTERNATIONAL CORP        COMMON STOCK   012348108 16630     1122703 SH     DEF/OTH           1122703
ALLSTATE CORP                    COMMON STOCK   020002101    45        1898 SH     OTHER                1898
ALLSTATE CORP                    COMMON STOCK   020002101   405       17012 SH     DEF/OTH             17012
AMERICA ONLINE INC               COMMON STOCK   02364J104   175        2600 SH     SOLE                 2600
AMERICA ONLINE INC               COMMON STOCK   02364J104     7         100 SH     OTHER                 100
AMERICA ONLINE INC               COMMON STOCK   02364J104    88        1300 SH     DEF/OTH              1300
AMERICAN EXPRESS CO              COMMON STOCK   025816109   819        5500 SH     DEF/OTH              5500
AMERICAN HOME PRODUCTS CORP      COMMON STOCK   026609107   155        2880 SH     SOLE                 2880
AMERICAN HOME PRODUCTS CORP      COMMON STOCK   026609107    13         250 SH     OTHER                 250
AMERICAN HOME PRODUCTS CORP      COMMON STOCK   026609107  1580       29400 SH     DEF/OTH             29400
AMERICAN INTERNATIONAL GROUP INC COMMON STOCK   026874107   156        1421 SH     SOLE                 1421
AMERICAN INTERNATIONAL GROUP INC COMMON STOCK   026874107    11         100 SH     OTHER                 100
AMERICAN INTERNATIONAL GROUP INC COMMON STOCK   026874107   893        8155 SH     DEF/OTH              8155
ANHEUSER BUSCH COS               COMMON STOCK   035229103    50         800 SH     SOLE                  800
ANHEUSER BUSCH COS               COMMON STOCK   035229103  1643       26400 SH     DEF/OTH             26400
APPLIED MATERIALS INC            COMMON STOCK   038222105  2262       24000 SH     DEF/OTH             24000
ASSOCIATED BANC-CORP             COMMON STOCK   045487105   217        7250 SH     DEF/OTH              7250
ASTRAZENECA PLC                  FOREIGN STOCK  046353108   226        5590 SH     DEF/OTH              5590
BP AMOCO                         FOREIGN STOCK  055622104   160        2998 SH     SOLE                 2998
BP AMOCO                         FOREIGN STOCK  055622104   197        3700 SH     OTHER                3700
BP AMOCO                         FOREIGN STOCK  055622104    99        1852 SH     DEF/OTH              1852
BAYER AG                         FOREIGN STOCK  072730302   213        4750 SH     DEF/OTH              4750
BELLSOUTH CORP                   COMMON STOCK   079860102   150        3200 SH     SOLE                 3200
BELLSOUTH CORP                   COMMON STOCK   079860102    70        1500 SH     OTHER                1500
BRISTOL MYERS SQUIBB CO          COMMON STOCK   110122108    23         400 SH     SOLE                  400
BRISTOL MYERS SQUIBB CO          COMMON STOCK   110122108   278        4800 SH     OTHER                4800
BRISTOL MYERS SQUIBB CO          COMMON STOCK   110122108  1966       33900 SH     DEF/OTH             33900
CHASE MANHATTAN CORPORATION      COMMON STOCK   16161A108    17         200 SH     OTHER                 200
CHASE MANHATTAN CORPORATION      COMMON STOCK   16161A108   840        9632 SH     DEF/OTH              9632
CISCO SYSTEMS INC                COMMON STOCK   17275R102   932       12050 SH     SOLE                12050
CISCO SYSTEMS INC                COMMON STOCK   17275R102    54         700 SH     OTHER                 700
CISCO SYSTEMS INC                COMMON STOCK   17275R102  5280       68300 SH     DEF/OTH             68300
CITIGROUP INC                    COMMON STOCK   172967101    54         900 SH     SOLE                  900
CITIGROUP INC                    COMMON STOCK   172967101    24         400 SH     OTHER                 400
CITIGROUP INC                    COMMON STOCK   172967101   207        3450 SH     DEF/OTH              3450
CLEAR CHANNEL COMMUNICATIONS INC COMMON STOCK   184502102   311        4500 SH     DEF/OTH              4500
COCA COLA CO                     COMMON STOCK   191216100   505       10750 SH     OTHER               10750
COCA COLA CO                     COMMON STOCK   191216100  4590       97800 SH     DEF/OTH             97800
COLGATE PALMOLIVE CO             COMMON STOCK   194162103  1252       22200 SH     DEF/OTH             22200
CORNING INCORPORATED             COMMON STOCK   219350105   999        5150 SH     DEF/OTH              5150
DELL COMPUTER CORP               COMMON STOCK   247025109    11         200 SH     OTHER                 200
DELL COMPUTER CORP               COMMON STOCK   247025109   917       17000 SH     DEF/OTH             17000
WALT DISNEY                      COMMON STOCK   254687106    17         400 SH     SOLE                  400
WALT DISNEY                      COMMON STOCK   254687106    29         700 SH     OTHER                 700
WALT DISNEY                      COMMON STOCK   254687106  1324       32100 SH     DEF/OTH             32100
DU PONT E I DE NEMOURS & CO      COMMON STOCK   263534109   115        2175 SH     SOLE                 2175
DU PONT E I DE NEMOURS & CO      COMMON STOCK   263534109    54        1025 SH     OTHER                1025
DU PONT E I DE NEMOURS & CO      COMMON STOCK   263534109   472        8909 SH     DEF/OTH              8909
EMC CORPORATION                  COMMON STOCK   268648102    88         700 SH     OTHER                 700
EMC CORPORATION                  COMMON STOCK   268648102  1865       14800 SH     DEF/OTH             14800
ELAN PHARMACEUTICAL RESEARCH     FOREIGN STOCK  284131208   523       11000 SH     DEF/OTH             11000
EMERSON ELECTRIC CO              COMMON STOCK   291011104   112        2100 SH     SOLE                 2100
EMERSON ELECTRIC CO              COMMON STOCK   291011104    21         400 SH     OTHER                 400
EMERSON ELECTRIC CO              COMMON STOCK   291011104   178        3350 SH     DEF/OTH              3350
EQUANT                           COMMON STOCK   294409107   298        3500 SH     DEF/OTH              3500
ERICSSON (LM) TEL                FOREIGN STOCK  294821400   403        4300 SH     SOLE                 4300
ERICSSON (LM) TEL                FOREIGN STOCK  294821400   657        7000 SH     DEF/OTH              7000
EXXON MOBIL CORP                 COMMON STOCK   30231G102   165        2112 SH     SOLE                 2112
EXXON MOBIL CORP                 COMMON STOCK   30231G102   327        4194 SH     OTHER                4194
EXXON MOBIL CORP                 COMMON STOCK   30231G102    78        1000 SH     DEF/OTH              1000
FEDERAL HOME LOAN MORTGAGE CORP  COMMON STOCK   313400301   552       12500 SH     DEF/OTH             12500
FIFTH THIRD BANCORP              COMMON STOCK   316773100   241        3825 SH     DEF/OTH              3825
GENERAL DYNAMICS CORP            COMMON STOCK   369550108   378        7600 SH     DEF/OTH              7600
GENERAL ELECTRIC CO              COMMON STOCK   369604103   560        3600 SH     SOLE                 3600
GENERAL ELECTRIC CO              COMMON STOCK   369604103   899        5775 SH     OTHER                5775
GENERAL ELECTRIC CO              COMMON STOCK   369604103  5758       37000 SH     DEF/OTH             37000
GILLETTE CO                      COMMON STOCK   375766102   115        3063 SH     SOLE                 3063
GILLETTE CO                      COMMON STOCK   375766102   942       25008 SH     DEF/OTH             25008
HEWLETT PACKARD CO               COMMON STOCK   428236103   258        1950 SH     SOLE                 1950
HEWLETT PACKARD CO               COMMON STOCK   428236103    27         200 SH     OTHER                 200
HEWLETT PACKARD CO               COMMON STOCK   428236103  1591       12000 SH     DEF/OTH             12000
HOME DEPOT INC                   COMMON STOCK   437076102   555        8600 SH     SOLE                 8600
HOME DEPOT INC                   COMMON STOCK   437076102    40         625 SH     OTHER                 625
HOME DEPOT INC                   COMMON STOCK   437076102  2201       34125 SH     DEF/OTH             34125
HONEYWELL INTERNATIONAL INC.     COMMON STOCK   438516106    79        1498 SH     SOLE                 1498
HONEYWELL INTERNATIONAL INC.     COMMON STOCK   438516106    17         327 SH     OTHER                 327
HONEYWELL INTERNATIONAL INC.     COMMON STOCK   438516106   543       10312 SH     DEF/OTH             10312
IMS HEALTH INC                   COMMON STOCK   449934108     2         100 SH     SOLE                  100
IMS HEALTH INC                   COMMON STOCK   449934108     3         150 SH     OTHER                 150
IMS HEALTH INC                   COMMON STOCK   449934108   279       16500 SH     DEF/OTH             16500
INTEL CORP                       COMMON STOCK   458140100   528        4000 SH     SOLE                 4000
INTEL CORP                       COMMON STOCK   458140100   275        2086 SH     OTHER                2086
INTEL CORP                       COMMON STOCK   458140100  3905       29600 SH     DEF/OTH             29600
INTERNATIONAL BUSINESS MACHINES  COMMON STOCK   459200101   201        1700 SH     SOLE                 1700
INTERPUBLIC GROUP CO INC         COMMON STOCK   460690100  1134       24000 SH     DEF/OTH             24000
JOHNSON & JOHNSON                COMMON STOCK   478160104   117        1668 SH     SOLE                 1668
JOHNSON & JOHNSON                COMMON STOCK   478160104   197        2800 SH     OTHER                2800
JOHNSON & JOHNSON                COMMON STOCK   478160104   541        7700 SH     DEF/OTH              7700
KIMBERLY CLARK CORP              COMMON STOCK   494368103    10         175 SH     OTHER                 175
KIMBERLY CLARK CORP              COMMON STOCK   494368103   519        9250 SH     DEF/OTH              9250
KONINKLIJKE PHILIPS EL           COMMON STOCK   500472204   473        2760 SH     DEF/OTH              2760
LILLY ELI & CO                   COMMON STOCK   532457108   795       12700 SH     DEF/OTH             12700
LITTLEFUSE INC                   COMMON STOCK   537008104   382       10400 SH     DEF/OTH             10400
LOWES COMPANY INC                COMMON STOCK   548661107    29         500 SH     SOLE                  500
LOWES COMPANY INC                COMMON STOCK   548661107   660       11300 SH     DEF/OTH             11300
LUCENT TECHNOLOGIES INC          COMMON STOCK   549463107   175        2824 SH     SOLE                 2824
LUCENT TECHNOLOGIES INC          COMMON STOCK   549463107   166        2672 SH     OTHER                2672
LUCENT TECHNOLOGIES INC          COMMON STOCK   549463107  1244       20060 SH     DEF/OTH             20060
MBNA CORP                        COMMON STOCK   55262L100   669       26250 SH     DEF/OTH             26250
MCI WORLDCOM INC                 COMMON STOCK   55268B106    76        1681 SH     SOLE                 1681
MCI WORLDCOM INC                 COMMON STOCK   55268B106    10         225 SH     OTHER                 225
MCI WORLDCOM INC                 COMMON STOCK   55268B106  1527       33699 SH     DEF/OTH             33699
MCDONALDS CORP                   COMMON STOCK   580135101   105        2800 SH     SOLE                 2800
MCDONALDS CORP                   COMMON STOCK   580135101    13         350 SH     OTHER                 350
MCDONALDS CORP                   COMMON STOCK   580135101  1093       29250 SH     DEF/OTH             29250
MEDTRONIC INC                    COMMON STOCK   585055106    46         900 SH     SOLE                  900
MEDTRONIC INC                    COMMON STOCK   585055106  2592       50400 SH     DEF/OTH             50400
MERCK & CO                       COMMON STOCK   589331107   416        6700 SH     SOLE                 6700
MERCK & CO                       COMMON STOCK   589331107   391        6300 SH     OTHER                6300
MERCK & CO                       COMMON STOCK   589331107  2926       47100 SH     DEF/OTH             47100
MEREDITH CORPORATION             COMMON STOCK   589433101 10590      382496 SH     SOLE               382496
MEREDITH CORPORATION             COMMON STOCK   589433101  3471      125378 SH     OTHER              125378
MICROSOFT CORP                   COMMON STOCK   594918104   550        5175 SH     SOLE                 5175
MICROSOFT CORP                   COMMON STOCK   594918104    16         150 SH     OTHER                 150
MICROSOFT CORP                   COMMON STOCK   594918104  2454       23100 SH     DEF/OTH             23100
MOLEX INC                        COMMON STOCK   608554200   271        6102 SH     DEF/OTH              6102
MOTOROLA INC                     COMMON STOCK   620076109   281        1925 SH     SOLE                 1925
MOTOROLA INC                     COMMON STOCK   620076109    88         600 SH     OTHER                 600
NESTLE S A SPONSORED ADR REPRES  FOREIGN STOCK  641069406   224        2500 SH     DEF/OTH              2500
NEWPORT NEWSSHIP INC             COMMON STOCK   652228107   520       17200 SH     DEF/OTH             17200
NOKIA                            FOREIGN STOCK  654902204  2331       10500 SH     DEF/OTH             10500
NORSK HYDRO AS SPONSORED ADR     FOREIGN STOCK  656531605   266        7000 SH     DEF/OTH              7000
ORACLE CORP                      COMMON STOCK   68389X105   648        8300 SH     DEF/OTH              8300
PFIZER INC                       COMMON STOCK   717081103    55        1500 SH     SOLE                 1500
PFIZER INC                       COMMON STOCK   717081103    11         300 SH     OTHER                 300
PFIZER INC                       COMMON STOCK   717081103  1459       39900 SH     DEF/OTH             39900
PROCTER & GAMBLE CO              COMMON STOCK   742718109   158        2800 SH     SOLE                 2800
PROCTER & GAMBLE CO              COMMON STOCK   742718109   203        3600 SH     DEF/OTH              3600
REPSOL SPONSORED ADR             FOREIGN STOCK  76026T205   416       19500 SH     DEF/OTH             19500
SBC COMMUNICATIONS INC           COMMON STOCK   78387G103   237        5628 SH     OTHER                5628
SBC COMMUNICATIONS INC           COMMON STOCK   78387G103   472       11200 SH     DEF/OTH             11200
SARA LEE                         COMMON STOCK   803111103    14         800 SH     SOLE                  800
SARA LEE                         COMMON STOCK   803111103    54        3000 SH     OTHER                3000
SARA LEE                         COMMON STOCK   803111103  2315      128600 SH     DEF/OTH            128600
SCHLUMBERGER LTD                 COMMON STOCK   806857108   184        2400 SH     SOLE                 2400
SCHLUMBERGER LTD                 COMMON STOCK   806857108    11         150 SH     OTHER                 150
SCHLUMBERGER LTD                 COMMON STOCK   806857108   727        9500 SH     DEF/OTH              9500
CHARLES SCHWAB CORP              COMMON STOCK   808513105  2401       42500 SH     DEF/OTH             42500
SEALED AIR CORP NEW              COMMON STOCK   81211K100   975       17947 SH     DEF/OTH             17947
SEARS ROEBUCK & CO               COMMON STOCK   812387108   281        9179 SH     DEF/OTH              9179
SERVICE MASTER CO                COMMON STOCK   81760N109   540       48000 SH     DEF/OTH             48000
STATE STREET CORP                COMMON STOCK   857477103   160        1650 SH     SOLE                 1650
STATE STREET CORP                COMMON STOCK   857477103   446        4600 SH     DEF/OTH              4600
STMICROELECTRONICS NV            COMMON STOCK   861012102  1310        7000 SH     DEF/OTH              7000
SUN MICROSYSTEMS INC             COMMON STOCK   866810104   187        2000 SH     SOLE                 2000
SUN MICROSYSTEMS INC             COMMON STOCK   866810104    28         300 SH     OTHER                 300
SUN MICROSYSTEMS INC             COMMON STOCK   866810104  3479       37125 SH     DEF/OTH             37125
SUNGARD DATA SYSTEMS INC         COMMON STOCK   867363103   238        6300 SH     DEF/OTH              6300
TARGET CORP                      COMMON STOCK   87612E106    67         900 SH     SOLE                  900
TARGET CORP                      COMMON STOCK   87612E106  1488       19900 SH     DEF/OTH             19900
TELEFONICA DE ESPANA SA          FOREIGN STOCK  879382208   982       13209 SH     DEF/OTH             13209
TEXACO INC                       COMMON STOCK   881694103    27         500 SH     SOLE                  500
TEXACO INC                       COMMON STOCK   881694103     8         150 SH     OTHER                 150
TEXACO INC                       COMMON STOCK   881694103   548       10200 SH     DEF/OTH             10200
TYCO INTERNATIONAL LTD (NEW)     COMMON STOCK   902124106  1113       22200 SH     DEF/OTH             22200
UNITED PARCEL SERVICE            COMMON STOCK   911312106   680       10800 SH     DEF/OTH             10800
U.S. TRUST CORP                  COMMON STOCK   91288L105   246        1300 SH     DEF/OTH              1300
VODAFONE AIRTOUCH PLC            FOREIGN STOCK  92857T107    63        1142 SH     OTHER                1142
VODAFONE AIRTOUCH PLC            FOREIGN STOCK  92857T107  3167       57000 SH     DEF/OTH             57000
WAL MART STORES INC              COMMON STOCK   931142103   260        4600 SH     SOLE                 4600
WAL MART STORES INC              COMMON STOCK   931142103   113        2000 SH     OTHER                2000
WAL MART STORES INC              COMMON STOCK   931142103   305        5400 SH     DEF/OTH              5400
WALGREEN CO                      COMMON STOCK   931422109   184        7150 SH     SOLE                 7150
WALGREEN CO                      COMMON STOCK   931422109   278       10800 SH     DEF/OTH             10800
WARNER LAMBERT CO                COMMON STOCK   934488107   249        2550 SH     DEF/OTH              2550
WATSON PHARMACEUTICALS INC       COMMON STOCK   942683103   429       10800 SH     DEF/OTH             10800
WELLS FARGO COMPANY              COMMON STOCK   949746101    41        1000 SH     SOLE                 1000
WELLS FARGO COMPANY              COMMON STOCK   949746101   106        2600 SH     OTHER                2600
WELLS FARGO COMPANY              COMMON STOCK   949746101  9373      230000 SH     DEF/OTH                                  230000
WELLS FARGO EQUITY INCOME        MUTUAL FUNDS - 980123MF7  1496       34824 SH     SOLE                34824
WELLS FARGO EQUITY INCOME        MUTUAL FUNDS - 980123MF7   158        3686 SH     DEFINED              3686
WELLS FARGO EQUITY INCOME        MUTUAL FUNDS - 980123MF7   533       12402 SH     OTHER               12402
WELLS FARGO EQUITY INCOME        MUTUAL FUNDS - 980124MF5    81        1894 SH     SOLE                 1894
WELLS FARGO EQUITY INCOME        MUTUAL FUNDS - 980124MF5   221        5143 SH     OTHER                5143
WELLS FARGO GROWTH FUND (I)-EC   MUTUAL FUNDS - 980125MF2   233        8340 SH     SOLE                 8340
WELLS FARGO GROWTH FUND (I)-EC   MUTUAL FUNDS - 980125MF2    98        3520 SH     OTHER                3520
</TABLE>


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