BABSON UNITED INVESTMENT ADVISORS INC/MA
13F-HR, 1999-05-18
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                             U N I T E D    I N V E S T M E N T    C O U N S E L                                                    

20-APR-99                                   Form 13F as of     04-16-99                                                   PAGE    1 


         Item 1                     Item 2             Item 3   Item 4     Item 5   Item 6 Inv Discr     Item 8    Item 9 Vtng Authr
      Name of Issue              Title or Class        CUSIP   Mkt value    Shares  Sole Shrd Shrd/Oth   Manager    Sole Shared None
<S>                                                  <C>
AT&T CORP                                            00195710  2,177,280     38,880    X                                         X  
ABBOTT LABS                                          00282410  4,674,970     95,287    X                                         X  
AEGON N V ORD AMER REG                               00792410    296,732      3,384    X                                         X  
AIR PRODS & CHEMS INC                                00915810    891,750     20,500    X                                         X  
AIRTOUCH COMMUNICATIONS INC                          00949T10    775,119      8,235    X                                         X  
ALBERTSONS INC                                       01310410    902,862     18,171    X                                         X  
ALLIEDSIGNAL INC                                     01951210    348,944      6,176    X                                         X  
ALLTEL CORP                                          02003910    638,924      8,936    X                                         X  
AMERICA ONLINE INC DEL                               02364J10  1,032,612      7,389    X                                         X  
AMERICAN HOME PRODS CORP                             02660910  1,671,611     26,666    X                                         X  
AMERICAN INTL GROUP INC                              02687410  2,177,336     18,154    X                                         X  
AMERICAN WTR WKS INC                                 03041110  1,199,721     42,375    X                                         X  
AMERITECH CORP                                       03095410  1,586,611     24,986    X                                         X  
ANHEUSER BUSCH COS INC                               03522910    604,307      8,194    X                                         X  
ATLANTIC RICHFIELD CO                                04882510    751,179      9,064    X                                         X  
AUTOMATIC DATA PROCESSING INC                        05301510  1,232,359     30,335    X                                         X  
AVERY DENNISON CORP                                  05361110  1,040,604     16,600    X                                         X  
BP AMOCO P L C SPONSORED       ADR                   05562210  5,500,909     50,525    X                                         X  
BALTIMORE GAS & ELEC CO                              05916510    231,691      8,890    X                                         X  
BANK NEW YORK INC                                    06405710    272,624      7,258    X                                         X  
BANK ONE CORP                                        06423A10  3,854,090     64,911    X                                         X  
BANKAMERICA CORP NEW                                 06605F10  1,826,168     25,016    X                                         X  
BANYAN SYS INC                                       06690810    158,750     10,000    X                                         X  
BELL ATLANTIC CORP                                   07785310  4,222,897     72,652    X                                         X  
BELLSOUTH CORP                                       07986010  1,332,564     32,354    X                                         X  
BOEING CO                                            09702310    850,392     21,461    X                                         X  
BOSTON SCIENTIFIC CORP                               10113710    253,140      6,900    X                                         X  
BRISTOL MYERS SQUIBB                                 11012210  7,006,017    114,151    X                                         X  
BURLINGTON NORTHN SANTA FE     CORP                  12189T10  4,243,965    117,480    X                                         X  
BURLINGTON RES INC                                   12201410    627,994     14,733    X                                         X  
CLECO CORP                                           12561M10  1,443,346     48,927    X                                         X  
C S X CORP                                           12640810  1,037,211     23,810    X                                         X  
CAMPBELL SOUP CO                                     13442910  3,150,206     76,024    X                                         X  
CAROLINA PWR & LT CO                                 14414110    428,561     11,334    X                                         X  
CENTURY TEL ENTERPRISES INC                          15668610    236,962      5,325    X                                         X  
CHASE MANHATTAN CORP NEW                             16161A10  1,182,233     13,737    X                                         X  
CHEVRON CORP                                         16675110  2,884,974     29,178    X                                         X  
CISCO SYS INC                                        17275R10  3,735,929     35,349    X                                         X  
CITIGROUP INC                                        17296710  1,584,345     22,120    X                                         X  
COCA COLA CO                                         19121610  6,054,108     92,166    X                                         X  
COLGATE PALMOLIVE CO                                 19416210    505,234      5,400    X                                         X  
COMPAQ COMPUTER CORP                                 20449310    722,665     30,589    X                                         X  
CONAGRA INC                                          20588710    274,525     11,234    X                                         X  
CORNING INC                                          21935010    201,092      3,300    X                                         X  
D P L INC                                            23329310    438,783     26,393    X                                         X  
DQE INC                                              23329J10    333,913      8,361    X                                         X  
DANAHER CORP                                         23585110    254,083      3,894    X                                         X  
DAYTON HUDSON CORP                                   23975310    245,700      3,600    X                                         X  
DELL COMPUTER CORP                                   24702510    810,135     21,180    X                                         X  
DISNEY WALT HLDG CORP                                25468710  4,976,579    149,111    X                                         X  
DOLLAR GEN CORP                                      25666910  1,116,695     33,397    X                                         X  
DOMINION RES INC VA                                  25747010    241,693      6,350    X                                         X  
DOVER CORP                                           26000310    702,271     19,373    X                                         X  
DU PONT E I DE NEMOURS & CO                          26353410  5,932,664     87,567    X                                         X  
DUKE ENERGY CORP                                     26439910  2,674,010     49,865    X                                         X  
E M C CORP MASS                                      26864810    986,700      9,200    X                                         X  
EATON VANCE OHIO MUN INCOME    TR AUCTION RATE PFD   27826G20    300,000      1,200    X                                         X  
EL PASO ENERGY CORP DEL                              28390510    402,430     11,498    X                                         X  
EMERSON ELEC CO                                      29101110  3,567,254     58,182    X                                         X  
EQUIFAX INC                                          29442910  2,145,024     59,584    X                                         X  
EQUITY OFFICE PPTYS TR                               29474110    232,644      8,697    X                                         X  
EXXON CORP                                           30229010  7,295,210     91,262    X                                         X  
F P L GROUP INC                                      30257110    317,299      5,822    X                                         X  
FEDERAL RLTY INVT TR           SH BEN INT            31374720    255,741     11,658    X                                         X  
FIDELITY EQUITY-INCOME FD INC                        31613810    537,523      9,066    X                                         X  
FIDELITY FD INC                                      31615310    345,629      8,779    X                                         X  
FIDELITY MAGELLAN FD INC                             31618410    433,750      3,284    X                                         X  
FIDELITY SECS FD BLUE CHIP     GROWTH FD             31638930    266,656      5,018    X                                         X  
FIFTH THIRD BANCORP                                  31677310    264,201      3,829    X                                         X  
FIRST UN CORP                                        33735810  1,170,582     20,997    X                                         X  
FIRSTAR CORP NEW WIS                                 33763V10    858,849     25,782    X                                         X  
FLEET FINL GROUP INC NEW                             33891510    712,470     16,262    X                                         X  
FORD MTR CO DEL                                      34537010    635,515      9,796    X                                         X  
FRANKLIN CALIF TAX FREE INCOME FD INC                35251810    171,152     23,160    X                                         X  
G T E CORP                                           36232010  6,775,843    101,989    X                                         X  
GENERAL ELECTRIC CO                                  36960410 17,064,637    153,390    X                                         X  
GENERAL MILLS INC                                    37033410    205,886      2,600    X                                         X  
GILLETTE CO                                          37576610  1,931,150     38,623    X                                         X  
HANNAFORD BROS CO                                    41055010    204,596      4,466    X                                         X  
HEINZ H J CO                                         42307410  3,845,956     80,650    X                                         X  
HEWLETT PACKARD CO                                   42823610  2,211,252     31,421    X                                         X  
HOME DEPOT INC                                       43707610    569,997      9,003    X                                         X  
INGERSOLL RAND CO                                    45686610    298,570      4,629    X                                         X  
INTEL CORP                                           45814010  2,144,356     37,456    X                                         X  
INTERNATIONAL BUSINESS MACHS   CORP                  45920010  3,227,584     18,944    X                                         X  
INTERPUBLIC GROUP COS INC                            46069010    574,281      7,990    X                                         X  
JANUS FD INC                                         47102310    450,270     11,843    X                                         X  
JOHNSON & JOHNSON                                    47816010  5,431,981     58,330    X                                         X  
KEYCORP NEW                                          49326710  2,681,784     90,144    X                                         X  
LG&E ENERGY CORP                                     50191710    463,475     21,557    X                                         X  
LILLY ELI & CO                                       53245710  1,185,292     14,400    X                                         X  
LUCENT TECHNOLOGIES INC                              54946310  8,886,840    156,082    X                                         X  
MCI WORLDCOM INC                                     55268B10  1,410,240     16,640    X                                         X  
MARRIOTT INTL INC NEW CL A                           57190320  1,493,100     37,800    X                                         X  
MCCORMICK & CO INC NON VTG                           57978020    298,051     10,300    X                                         X  
MEDIAONE GROUP INC                                   58440J10    250,340      3,844    X                                         X  
MERCK & CO INC                                       58933110 10,342,755    133,240    X                                         X  
MICROSOFT CORP                                       59491810 10,753,627    124,140    X                                         X  
MINNESOTA MNG & MFG CO                               60405910    693,373      8,674    X                                         X  
MOBIL CORP                                           60705910  4,825,256     47,481    X                                         X  
MORGAN J P & CO INC                                  61688010  1,004,827      7,548    X                                         X  
MOTOROLA INC                                         62007610    471,262      5,900    X                                         X  
NEW ENGLAND ELEC SYS                                 64400110    641,844     13,016    X                                         X  
NISOURCE INC                                         65473P10  2,529,587     94,564    X                                         X  
NORFOLK SOUTHN CORP                                  65584410    761,379     25,975    X                                         X  
NORTHERN STS PWR CO MINN                             66577210    669,904     28,659    X                                         X  
PACIFICORP                                           69511410  1,719,350    103,813    X                                         X  
PEPSICO INC                                          71344810  2,928,988     80,385    X                                         X  
PFIZER INC                                           71708110  2,961,434     23,307    X                                         X  
PHILIP MORRIS COS INC                                71815410    361,400     10,400    X                                         X  
PITNEY BOWES INC                                     72447910  1,374,300     21,600    X                                         X  
POTOMAC ELEC PWR CO                                  73767910    394,200     14,600    X                                         X  
PROCTER & GAMBLE CO                                  74271810  4,771,200     48,593    X                                         X  
PROVIDIAN FINL CORP                                  74406A10  2,844,112     23,850    X                                         X  
QWEST COMMUNICATIONS INTL      INC                   74912110    205,000      2,500    X                                         X  
RAYTHEON CO NEW CL B                                 75511140  2,116,793     30,186    X                                         X  
REALNETWORKS INC                                     75605L10    255,750      1,500    X                                         X  
REGIONS FINL CORP                                    75894010  4,693,486    131,747    X                                         X  
ROCKWELL INTL CORP NEW                               77390310    219,922      4,494    X                                         X  
ROYAL DUTCH PETE CO N Y        REGISTRY SH PAR N GLD 78025780  2,223,439     39,749    X                                         X  
SBC COMMUNICATIONS INC                               78387G10  1,504,238     28,824    X                                         X  
SARA LEE CORP                                        80311110    664,162     26,700    X                                         X  
SCHERING PLOUGH CORP                                 80660510  2,226,420     42,408    X                                         X  
SCHLUMBERGER LTD                                     80685710    263,348      4,304    X                                         X  
SCHWAB CHARLES CORP                                  80851310    358,787      3,125    X                                         X  
SOUTHERN CO                                          84258710  1,546,474     62,801    X                                         X  
SPRINT CORP                                          85206110    469,300      4,693    X                                         X  
STAPLES INC                                          85503010    659,257     21,615    X                                         X  
STATE STR CORP                                       85747710    244,823      2,800    X                                         X  
SUN MICROSYSTEMS INC                                 86681010    747,143     13,600    X                                         X  
SUNSHINE MNG & REFNG CO                              86783310      7,021     16,067    X                                         X  
SUNTRUST BKS INC                                     86791410    275,520      3,936    X                                         X  
SYSCO CORP                                           87182910    594,089     20,800    X                                         X  
TECO ENERGY INC                                      87237510  1,816,425     89,700    X                                         X  
TELLABS INC                                          87966410    428,538      4,050    X                                         X  
US BANCORP DEL                                       90297310    304,616      8,596    X                                         X  
UNION PACIFIC CORP                                   90781810  3,864,280     68,546    X                                         X  
VANGUARD MUN BD FD INC         INTER TERM PORTFOLIO  92290720    135,717     10,098    X                                         X  
VANGUARD MUN BD FD INC         HIGH YIELD PORTFOLIO  92290740    112,233     10,259    X                                         X  
WACHOVIA CORP                                        92977110    544,049      6,501    X                                         X  
WAL-MART STORES INC                                  93114210    457,140      4,812    X                                         X  
WALGREEN CO                                          93142210  2,263,076     88,102    X                                         X  
WASHINGTON MUT INC                                   93932210    236,460      5,884    X                                         X  
WEINGARTEN RLTY INVS           SH BEN INT            94874110    685,294     16,895    X                                         X  
WELLS FARGO & CO                                     94974610  2,673,451     66,114    X                                         X  
WESTERN RES INC                                      95942510    434,842     16,874    X                                         X  
WILLIAMS COS INC                                     96945710    675,548     15,054    X                                         X  
WILMINGTON TR CORP                                   97180710    407,150      6,800    X                                         X  
WISCONSIN ENERGY CORP                                97665710    381,939     14,978    X                                         X  
YAHOO INC                                            98433210    264,861      1,400    X                                         X  
                                                            	$261,065,538                 
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