BROWN BROTHERS HARRIMAN & CO
13F-HR, 1999-07-08
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I represent that I am authorized to submit this form and that all
information in this form and the attachments to it is true, correct
and complete and I understand that all required items, statements
and schedules are integral parts of this form and that the submission
of any amendment represents that all unamended items, statements
and schedules remain true, correct, and complete as previously
submitted.
I am signing this report as required by the Securities Exchange
Commission Act of 1934.

Name:  Brown Brothers Harriman & Co.
By:    Richard Stork
Title: Manager - Compliance
Phone: 212-493-8200
Dated: July 8, 1999    New York, NY

<TABLE>
<S>                                                                          <S>
1
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 PAGE      1  OF     64        FORM 13F       NAME OF REPORTING MANAGER - BROWN
BROTHERS HARRIMAN, AND COMPANY   FILE NUMBER 28-408
- -ITEM 1                         ITEM 2   ITEM 3       ITEM 4      ITEM 5
ITEM 6           ITEM 7           ITEM 8
0

INVESTMENT   DISCRETION             VOTING     AUTHORITY
                                                        FAIR
(B)
                                                      MARKET
SHARED AS          MGRS
                                TITLE                  VALUE   SHARES OR     (A)
DEFINED    (C)     SEE      (A)     (B)       (C)
                                OF       CUSIP          (000   PRINCIPAL
IN      SHARED  INSTR
 NAME  OF  ISSUER               CLASS    NUMBER     OMITTED)      AMOUNT
SOLE  INSTR V   OTHER     V      SOLE    SHARED     NONE
0ABBOTT LABORATORIES            COMMON   002824100    42,410     934,647      X
NONE  462,459         0  472,188
0ABBOTT LABORATORIES            COMMON   002824100     4,801     105,800
X              0001  105,800         0        0
0ABBOTT LABORATORIES            COMMON   002824100     6,734     148,400
X              0007  148,400         0        0
0ABBOTT LABORATORIES            COMMON   002824100       787      17,346
X              0012   17,346         0        0
0ABIOMED INC                    COMMON   003654100       199      14,500      X
NONE   12,500         0    2,000
0ABM INDUSTRIES INC             COMMON   000957100       239       7,800      X
NONE        0         0    7,800
0ACNIELSEN CORP                 COMMON   004833109       105       3,460      X
NONE      202         0    3,257
0ACNIELSEN CORP                 COMMON   004833109       101       3,334
X              0001    3,334         0        0
0ACNIELSEN CORP                 COMMON   004833109         0           0
X              0012        0         0        0
0ACXIOM CORP                    COMMON   005125109       648      26,000      X
NONE        0         0   26,000
0ACXIOM CORP                    COMMON   005125109        12         500
X              0003      500         0        0
0AES CORP                       COMMON   00130H105    13,532     232,817      X
NONE  141,510         0   91,307
0AES CORP                       COMMON   00130H105       430       7,400
X              0001    7,400         0        0
0AES CORP                       COMMON   00130H105        29         500
X              0007      500         0        0
0AES CORP                       COMMON   00130H105       174       3,000
X              0012    3,000         0        0
0AES CORP /REST/                COMMON   00130H105       634      10,900      X
NONE   10,900         0        0
0AES CORP CV 4.50% 8/15/05      CON BOND 00130HAN5    22,140     180,000      X
NONE        0         0  180,000
0AES CORP CV 4.50% 8/15/05      CON BOND 00130HAN5     9,225      75,000
X              0001   75,000         0        0
0AETNA INC                      COMMON   008117103     1,048      11,718      X
NONE    6,943         0    4,775
0AETNA INC                      COMMON   008117103        23         258
X              0003      258         0        0
- -  COLUMN  TOTALS                                    103,272
06/30/99
1
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 PAGE      2  OF     64        FORM 13F       NAME OF REPORTING MANAGER - BROWN
BROTHERS HARRIMAN, AND COMPANY   FILE NUMBER 28-408
- -ITEM 1                         ITEM 2   ITEM 3       ITEM 4      ITEM 5
ITEM 6           ITEM 7           ITEM 8
0

INVESTMENT   DISCRETION             VOTING     AUTHORITY
                                                        FAIR
(B)
                                                      MARKET
SHARED AS          MGRS
                                TITLE                  VALUE   SHARES OR     (A)
DEFINED    (C)     SEE      (A)     (B)       (C)
                                OF       CUSIP          (000   PRINCIPAL
IN      SHARED  INSTR
 NAME  OF  ISSUER               CLASS    NUMBER     OMITTED)      AMOUNT
SOLE  INSTR V   OTHER     V      SOLE    SHARED     NONE
0AGRIUM INC                     COMMON   008916108       394      44,700      X
NONE    2,000         0   42,700
0AGRIUM INC                     COMMON   008916108       119      13,450
X              0001   13,450         0        0
0AGRIUM INC                     COMMON   008916108         4         400
X              0012      400         0        0
0AIR PRODUCTS & CHEMICALS       COMMON   009158106     2,100      52,176      X
NONE   31,972         0   20,204
0AIR PRODUCTS & CHEMICALS       COMMON   009158106       225       5,578
X              0001    5,578         0        0
0AIRTOUCH B CNV PFD 6% 08/16/99 CON BOND 00949T209       580       6,700      X
NONE    2,300         0    4,400
0AIRTOUCH COMMUNICATIONS INC    COMMON   00949T100    16,377     152,123      X
NONE   49,005         0  103,118
0AIRTOUCH COMMUNICATIONS INC    COMMON   00949T100     5,686      52,820
X              0001   52,820         0        0
0AIRTOUCH COMMUNICATIONS INC    COMMON   00949T100       248       2,300
X              0007    2,300         0        0
0AIRTOUCH COMMUNICATIONS INC    COMMON   00949T100       607       5,636
X              0012    5,636         0        0
0ALASKA AIR GROUP INC           COMMON   011659109       217       5,200      X
NONE    5,200         0        0
0ALBERTSONS INC                 COMMON   013104104     2,065      40,056      X
NONE   20,231         0   19,825
0ALBERTSONS INC                 COMMON   013104104       273       5,300
X              0001    5,300         0        0
0ALCATEL SPONSORED ADR          COMMON   013904305    15,606     550,000      X
NONE        0         0  550,000
0ALCOA INC                      COMMON   013817101    20,559     332,265      X
NONE  188,000         0  144,265
0ALCOA INC                      COMMON   013817101       650      10,500
X              0001   10,500         0        0
0ALLEGHENY TELEDYNE INC         COMMON   017415100    12,089     534,302      X
NONE  197,312         0  336,990
0ALLEGHENY TELEDYNE INC         COMMON   017415100       520      23,000
X              0001   23,000         0        0
0ALLEGHENY TELEDYNE INC         COMMON   017415100    14,761     652,419
X              0007  652,419         0        0
0ALLEGHENY TELEDYNE INC         COMMON   017415100        91       4,000
X              0012    4,000         0        0
- -  COLUMN  TOTALS                                     93,169
06/30/99
1
(SEC USE ONLY)
 PAGE      3  OF     64        FORM 13F       NAME OF REPORTING MANAGER - BROWN
BROTHERS HARRIMAN, AND COMPANY   FILE NUMBER 28-408
- -ITEM 1                         ITEM 2   ITEM 3       ITEM 4      ITEM 5
ITEM 6           ITEM 7           ITEM 8
0

INVESTMENT   DISCRETION             VOTING     AUTHORITY
                                                        FAIR
(B)
                                                      MARKET
SHARED AS          MGRS
                                TITLE                  VALUE   SHARES OR     (A)
DEFINED    (C)     SEE      (A)     (B)       (C)
                                OF       CUSIP          (000   PRINCIPAL
IN      SHARED  INSTR
 NAME  OF  ISSUER               CLASS    NUMBER     OMITTED)      AMOUNT
SOLE  INSTR V   OTHER     V      SOLE    SHARED     NONE
0ALLIED SIGNAL INC              COMMON   019512102    10,481     166,360      X
NONE   90,695         0   75,665
0ALLIED SIGNAL INC              COMMON   019512102       882      14,000
X              0001   14,000         0        0
0ALLIED SIGNAL INC              COMMON   019512102       101       1,600
X              0012    1,600         0        0
0ALLSTATE CORP                  COMMON   020002101    10,234     285,264      X
NONE  133,241         0  152,023
0ALLSTATE CORP                  COMMON   020002101     1,860      51,838
X              0001   51,838         0        0
0ALLSTATE CORP                  COMMON   020002101        98       2,740
X              0007    2,740         0        0
0ALLSTATE CORP                  COMMON   020002101       353       9,826
X              0012    9,826         0        0
0ALLTEL CORP                    COMMON   020039103       829      11,600      X
NONE      300         0   11,300
0ALLTEL CORP                    COMMON   020039103       100       1,400
X              0012    1,400         0        0
0AMER EXPRESS                   COMMON   025816109    41,282     317,250      X
NONE  157,083         0  160,167
0AMER EXPRESS                   COMMON   025816109     9,319      71,615
X              0001   71,615         0        0
0AMER EXPRESS                   COMMON   025816109        33         250
X              0003      250         0        0
0AMER EXPRESS                   COMMON   025816109     2,069      15,900
X              0007   15,900         0        0
0AMER EXPRESS                   COMMON   025816109       423       3,250
X              0012    3,250         0        0
0AMER HOME PRODUCTS             COMMON   026609107     8,611     150,081      X
NONE   41,278         0  108,803
0AMER HOME PRODUCTS             COMMON   026609107     8,855     154,332
X              0001  154,332         0        0
0AMER HOME PRODUCTS             COMMON   026609107        46         800
X              0007      800         0        0
0AMER HOME PRODUCTS             COMMON   026609107     2,043      35,600
X              0012   35,600         0        0
0AMER INTNATL GROUP             COMMON   026874107   111,042   1,195,609      X
NONE  515,713         0  679,895
0AMER INTNATL GROUP             COMMON   026874107    13,573     146,147
X              0001  146,147         0        0
- -  COLUMN  TOTALS                                    222,233
06/30/99
1
(SEC USE ONLY)
 PAGE      4  OF     64        FORM 13F       NAME OF REPORTING MANAGER - BROWN
BROTHERS HARRIMAN, AND COMPANY   FILE NUMBER 28-408
- -ITEM 1                         ITEM 2   ITEM 3       ITEM 4      ITEM 5
ITEM 6           ITEM 7           ITEM 8
0

INVESTMENT   DISCRETION             VOTING     AUTHORITY
                                                        FAIR
(B)
                                                      MARKET
SHARED AS          MGRS
                                TITLE                  VALUE   SHARES OR     (A)
DEFINED    (C)     SEE      (A)     (B)       (C)
                                OF       CUSIP          (000   PRINCIPAL
IN      SHARED  INSTR
 NAME  OF  ISSUER               CLASS    NUMBER     OMITTED)      AMOUNT
SOLE  INSTR V   OTHER     V      SOLE    SHARED     NONE
0AMER INTNATL GROUP             COMMON   026874107     1,301      14,013
X              0007   14,013         0        0
0AMER INTNATL GROUP             COMMON   026874107     3,182      34,265
X              0012   34,265         0        0
0AMERADA HESS CORP              COMMON   023551104       454       7,637      X
NONE       38         0    7,599
0AMERICA ONLINE INC DEL         COMMON   02364J104    40,940     372,184      X
NONE  213,822         0  158,362
0AMERICA ONLINE INC DEL         COMMON   02364J104     6,653      60,480
X              0001   60,480         0        0
0AMERICA ONLINE INC DEL         COMMON   02364J104       495       4,500
X              0012    4,500         0        0
0AMERICA ONLINE INC DEL /REST/  COMMON   02364J104     1,073       9,756      X
NONE        0         0    9,756
0AMERICAN BANKERS INS GROUP INC COMMON   024456105       488       8,960      X
NONE    5,760         0    3,200
0AMERICAN ELEC PWR INC          COMMON   025537101       231       6,145      X
NONE    4,445         0    1,700
0AMERICAN GEN CORP              COMMON   026351106    14,670     194,632      X
NONE    1,039         0  193,593
0AMERICAN GEN CORP              COMMON   026351106        49         647
X              0001      647         0        0
0AMERICAN GEN CORP              COMMON   026351106     1,884      25,000
X              0007   25,000         0        0
0AMERICAN GENERAL CORP /REST/   COMMON   026351106    39,112     518,905      X
NONE        0         0  518,905
0AMERICAN INTL GROUP INC /REST/ COMMON   026874107       906       9,760      X
NONE        0         0    9,760
0AMERICAN STANDARD COMPANIES    COMMON   029712106       240       5,000
X              0001    5,000         0        0
0AMERICAN STORES CO             COMMON   030096101     6,912     210,250      X
NONE  161,120         0   49,130
0AMERICAN STORES CO             COMMON   030096101       434      13,200
X              0001   13,200         0        0
0AMERICAN STORES CO             COMMON   030096101        23         700
X              0012      700         0        0
0AMERICAN TOWER SYSTEMS CL A    COMMON   029912201     4,675     194,800      X
NONE   73,300         0  121,500
0AMERICAN TOWER SYSTEMS CL A    COMMON   029912201       245      10,200
X              0001   10,200         0        0
- -  COLUMN  TOTALS                                    123,969
06/30/99
1
(SEC USE ONLY)
 PAGE      5  OF     64        FORM 13F       NAME OF REPORTING MANAGER - BROWN
BROTHERS HARRIMAN, AND COMPANY   FILE NUMBER 28-408
- -ITEM 1                         ITEM 2   ITEM 3       ITEM 4      ITEM 5
ITEM 6           ITEM 7           ITEM 8
0

INVESTMENT   DISCRETION             VOTING     AUTHORITY
                                                        FAIR
(B)
                                                      MARKET
SHARED AS          MGRS
                                TITLE                  VALUE   SHARES OR     (A)
DEFINED    (C)     SEE      (A)     (B)       (C)
                                OF       CUSIP          (000   PRINCIPAL
IN      SHARED  INSTR
 NAME  OF  ISSUER               CLASS    NUMBER     OMITTED)      AMOUNT
SOLE  INSTR V   OTHER     V      SOLE    SHARED     NONE
0AMERICAN TOWER SYSTEMS CL A    COMMON   029912201     1,440      60,000
X              0007   60,000         0        0
0AMERICAN TOWER SYSTEMS CL A    COMMON   029912201        43       1,800
X              0012    1,800         0        0
0AMERITECH CORP                 COMMON   030954101    33,967     462,142      X
NONE  260,007         0  202,135
0AMERITECH CORP                 COMMON   030954101     6,181      84,100
X              0001   84,100         0        0
0AMERITECH CORP                 COMMON   030954101       664       9,032
X              0007    9,032         0        0
0AMERITECH CORP                 COMMON   030954101       250       3,400
X              0012    3,400         0        0
0AMGEN INC                      COMMON   031162100       584       9,592      X
NONE    8,282         0    1,310
0AMGEN INC                      COMMON   031162100       390       6,400
X              0001    6,400         0        0
0AMGEN INC                      COMMON   031162100        61       1,000
X              0012    1,000         0        0
0AMR CORP /DEL/                 COMMON   001765106     4,158      60,922      X
NONE   50,022         0   10,900
0AMR CORP /DEL/                 COMMON   001765106     1,188      17,400
X              0001   17,400         0        0
0AMSOUTH BANCORPORATION         COMMON   032165102    23,256   1,002,986      X
NONE  386,972         0  616,013
0AMSOUTH BANCORPORATION         COMMON   032165102     2,870     123,782
X              0001  123,782         0        0
0AMSOUTH BANCORPORATION         COMMON   032165102        21         900
X              0007      900         0        0
0AMSOUTH BANCORPORATION         COMMON   032165102       664      28,650
X              0012   28,650         0        0
0ANHEUSER BUSCH COS INC         COMMON   035229103     4,653      65,596      X
NONE   12,760         0   52,836
0ANHEUSER BUSCH COS INC         COMMON   035229103        25         350
X              0001      350         0        0
0ANHEUSER BUSCH COS INC         COMMON   035229103        19         267
X              0003      267         0        0
0ANHEUSER BUSCH COS INC         COMMON   035229103        79       1,120
X              0007    1,120         0        0
0ANHEUSER BUSCH COS INC         COMMON   035229103       624       8,800
X              0012    8,800         0        0
- -  COLUMN  TOTALS                                     81,138
06/30/99
1
(SEC USE ONLY)
 PAGE      6  OF     64        FORM 13F       NAME OF REPORTING MANAGER - BROWN
BROTHERS HARRIMAN, AND COMPANY   FILE NUMBER 28-408
- -ITEM 1                         ITEM 2   ITEM 3       ITEM 4      ITEM 5
ITEM 6           ITEM 7           ITEM 8
0

INVESTMENT   DISCRETION             VOTING     AUTHORITY
                                                        FAIR
(B)
                                                      MARKET
SHARED AS          MGRS
                                TITLE                  VALUE   SHARES OR     (A)
DEFINED    (C)     SEE      (A)     (B)       (C)
                                OF       CUSIP          (000   PRINCIPAL
IN      SHARED  INSTR
 NAME  OF  ISSUER               CLASS    NUMBER     OMITTED)      AMOUNT
SOLE  INSTR V   OTHER     V      SOLE    SHARED     NONE
0AON CORP                       COMMON   037389103       314       7,605      X
NONE        0         0    7,605
0AON CORP                       COMMON   037389103       116       2,812
X              0001    2,812         0        0
0APPLE COMPUTER INC             COMMON   037833100       190       4,100      X
NONE    4,100         0        0
0APPLE COMPUTER INC             COMMON   037833100        14         300
X              0001      300         0        0
0APPLIED MATERIALS INC          COMMON   038222105       283       3,837      X
NONE    1,624         0    2,213
0APPLIED MATERIALS INC          COMMON   038222105        74       1,000
X              0001    1,000         0        0
0AQUA ALLIANCE INC              COMMON   038367108        19      12,000
X              0012   12,000         0        0
0ARCHSTONE CMNTYS TR SH BEN INT COMMON   039581103     1,477      67,333      X
NONE   24,522         0   42,811
0ARCHSTONE CMNTYS TR SH BEN INT COMMON   039581103        35       1,600
X              0001    1,600         0        0
0ARKANSAS BEST CORP             COMMON   040790107       199      20,000
X              0001   20,000         0        0
0ARMSTRONG WORLD INDS INC       COMMON   042476101       237       4,100      X
NONE    2,400         0    1,700
0ARMSTRONG WORLD INDS INC       COMMON   042476101        29         500
X              0001      500         0        0
0ASCEND COMMUNICATIONS INC      COMMON   043491109    18,963     179,961      X
NONE   73,094         0  106,867
0ASCEND COMMUNICATIONS INC      COMMON   043491109     1,715      16,278
X              0001   16,278         0        0
0ASCEND COMMUNICATIONS INC      COMMON   043491109       285       2,700
X              0012    2,700         0        0
0ASPEN TECHNOLOGY INC           COMMON   045327103       423      36,000      X
NONE        0         0   36,000
0ASSOCIATES FIRST CAP CORP CL A COMMON   046008108    19,361     438,778      X
NONE  244,850         0  193,928
0ASSOCIATES FIRST CAP CORP CL A COMMON   046008108     2,254      51,088
X              0001   51,088         0        0
0ASSOCIATES FIRST CAP CORP CL A COMMON   046008108        94       2,124
X              0012    2,124         0        0
0ASTEA INTERNATIONAL INC        COMMON   04622E109        59      20,000
X              0001   20,000         0        0
- -  COLUMN  TOTALS                                     46,140
06/30/99
1
(SEC USE ONLY)
 PAGE      7  OF     64        FORM 13F       NAME OF REPORTING MANAGER - BROWN
BROTHERS HARRIMAN, AND COMPANY   FILE NUMBER 28-408
- -ITEM 1                         ITEM 2   ITEM 3       ITEM 4      ITEM 5
ITEM 6           ITEM 7           ITEM 8
0

INVESTMENT   DISCRETION             VOTING     AUTHORITY
                                                        FAIR
(B)
                                                      MARKET
SHARED AS          MGRS
                                TITLE                  VALUE   SHARES OR     (A)
DEFINED    (C)     SEE      (A)     (B)       (C)
                                OF       CUSIP          (000   PRINCIPAL
IN      SHARED  INSTR
 NAME  OF  ISSUER               CLASS    NUMBER     OMITTED)      AMOUNT
SOLE  INSTR V   OTHER     V      SOLE    SHARED     NONE
0AT HOME CORP SER A             COMMON   045919107    27,850     516,346      X
NONE  284,770         0  231,576
0AT HOME CORP SER A             COMMON   045919107       771      14,291
X              0001   14,291         0        0
0AT HOME CORP SER A             COMMON   045919107       324       6,000
X              0012    6,000         0        0
0AT HOME CORP SER A /REST/      COMMON   045919107        32         597      X
NONE        0         0      597
0AT&T CORP                      COMMON   001957109    22,556     404,141      X
NONE  236,917         0  167,224
0AT&T CORP                      COMMON   001957109     2,475      44,347
X              0001   44,347         0        0
0AT&T CORP                      COMMON   001957109       473       8,481
X              0007    8,481         0        0
0AT&T CORP                      COMMON   001957109       910      16,299
X              0012   16,299         0        0
0ATLANTIC RICHFIELD CO          COMMON   048825103     2,619      31,341      X
NONE   10,468         0   20,873
0ATLANTIC RICHFIELD CO          COMMON   048825103     1,974      23,620
X              0001   23,620         0        0
0ATLANTIC RICHFIELD CO          COMMON   048825103       277       3,312
X              0007    3,312         0        0
0AUTOMATIC DATA PROCESSING      COMMON   053015103    44,227   1,005,157      X
NONE  382,071         0  623,086
0AUTOMATIC DATA PROCESSING      COMMON   053015103     4,522     102,770
X              0001  102,770         0        0
0AUTOMATIC DATA PROCESSING      COMMON   053015103     4,509     102,473
X              0007  102,473         0        0
0AUTOMATIC DATA PROCESSING      COMMON   053015103     1,126      25,600
X              0012   25,600         0        0
0AUTOZONE INC                   COMMON   053332102     1,124      37,300      X
NONE   14,150         0   23,150
0AUTOZONE INC                   COMMON   053332102       144       4,785
X              0001    4,785         0        0
0AUTOZONE INC                   COMMON   053332102        75       2,500
X              0012    2,500         0        0
0AVERY DENNISON CORP            COMMON   053611109     1,337      22,138      X
NONE    3,666         0   18,472
0AVON PRODUCTS                  COMMON   054303102   117,506   2,117,233      X
NONE 1011,048         0 1106,185
- -  COLUMN  TOTALS                                    234,830
06/30/99
1
(SEC USE ONLY)
 PAGE      8  OF     64        FORM 13F       NAME OF REPORTING MANAGER - BROWN
BROTHERS HARRIMAN, AND COMPANY   FILE NUMBER 28-408
- -ITEM 1                         ITEM 2   ITEM 3       ITEM 4      ITEM 5
ITEM 6           ITEM 7           ITEM 8
0

INVESTMENT   DISCRETION             VOTING     AUTHORITY
                                                        FAIR
(B)
                                                      MARKET
SHARED AS          MGRS
                                TITLE                  VALUE   SHARES OR     (A)
DEFINED    (C)     SEE      (A)     (B)       (C)
                                OF       CUSIP          (000   PRINCIPAL
IN      SHARED  INSTR
 NAME  OF  ISSUER               CLASS    NUMBER     OMITTED)      AMOUNT
SOLE  INSTR V   OTHER     V      SOLE    SHARED     NONE
0AVON PRODUCTS                  COMMON   054303102     9,784     176,286
X              0001  176,286         0        0
0AVON PRODUCTS                  COMMON   054303102     4,440      80,000
X              0007   80,000         0        0
0AVON PRODUCTS                  COMMON   054303102     1,248      22,480
X              0012   22,480         0        0
0B J SERVICE CO                 COMMON   055482103     4,542     154,280      X
NONE   87,190         0   67,090
0B J SERVICE CO                 COMMON   055482103       368      12,500
X              0001   12,500         0        0
0B J SERVICE CO                 COMMON   055482103        24         800
X              0007      800         0        0
0B J SERVICE CO                 COMMON   055482103        25         850
X              0012      850         0        0
0BANK OF AMERICA CORP           COMMON   060505104       311       4,242      X
NONE    4,011         0      231
0BANK OF NEW YORK CO INC        COMMON   064057102    22,528     614,072      X
NONE  288,176         0  325,896
0BANK OF NEW YORK CO INC        COMMON   064057102     2,785      75,900
X              0001   75,900         0        0
0BANK OF NEW YORK CO INC        COMMON   064057102        18         500
X              0003      500         0        0
0BANK OF NEW YORK CO INC        COMMON   064057102        48       1,300
X              0007    1,300         0        0
0BANK OF NEW YORK CO INC        COMMON   064057102       139       3,800
X              0012    3,800         0        0
0BANK ONE CORP                  COMMON   06423A103     1,171      19,652      X
NONE   17,879         0    1,773
0BANK ONE CORP                  COMMON   06423A103        71       1,200
X              0001    1,200         0        0
0BANKBOSTON CORP                COMMON   06605R106    10,628     204,776      X
NONE   67,255         0  137,521
0BANKBOSTON CORP                COMMON   06605R106     2,109      41,245
X              0001   41,245         0        0
0BANKBOSTON CORP                COMMON   06605R106       140       2,740
X              0012    2,740         0        0
0BAUSCH & LOMB                  COMMON   071707103     9,569     125,080      X
NONE   53,380         0   71,700
0BAUSCH & LOMB                  COMMON   071707103       421       5,500
X              0001    5,500         0        0
- -  COLUMN  TOTALS                                     70,367
06/30/99
1
(SEC USE ONLY)
 PAGE      9  OF     64        FORM 13F       NAME OF REPORTING MANAGER - BROWN
BROTHERS HARRIMAN, AND COMPANY   FILE NUMBER 28-408
- -ITEM 1                         ITEM 2   ITEM 3       ITEM 4      ITEM 5
ITEM 6           ITEM 7           ITEM 8
0

INVESTMENT   DISCRETION             VOTING     AUTHORITY
                                                        FAIR
(B)
                                                      MARKET
SHARED AS          MGRS
                                TITLE                  VALUE   SHARES OR     (A)
DEFINED    (C)     SEE      (A)     (B)       (C)
                                OF       CUSIP          (000   PRINCIPAL
IN      SHARED  INSTR
 NAME  OF  ISSUER               CLASS    NUMBER     OMITTED)      AMOUNT
SOLE  INSTR V   OTHER     V      SOLE    SHARED     NONE
0BAUSCH & LOMB                  COMMON   071707103        15         200
X              0007      200         0        0
0BAUSCH & LOMB                  COMMON   071707103       539       7,050
X              0012    7,050         0        0
0BAXTER INTL INC                COMMON   071813109    18,013     295,129      X
NONE  117,865         0  177,264
0BAXTER INTL INC                COMMON   071813109     1,109      18,300
X              0001   18,300         0        0
0BAXTER INTL INC                COMMON   071813109       537       8,850
X              0007    8,850         0        0
0BAXTER INTL INC                COMMON   071813109       734      12,100
X              0012   12,100         0        0
0BECKMAN COULTER INC            COMMON   075811109     7,759     159,560      X
NONE   88,530         0   71,030
0BECKMAN COULTER INC            COMMON   075811109       211       4,345
X              0001    4,345         0        0
0BECKMAN COULTER INC            COMMON   075811109     5,358     110,200
X              0007  110,200         0        0
0BECTON DICKINSON & CO          COMMON   075887109    19,147     638,218      X
NONE  235,851         0  402,367
0BECTON DICKINSON & CO          COMMON   075887109     2,275      75,820
X              0001   75,820         0        0
0BECTON DICKINSON & CO          COMMON   075887109    12,984     432,800
X              0007  432,800         0        0
0BECTON DICKINSON & CO          COMMON   075887109       809      26,980
X              0012   26,980         0        0
0BELL ATLANTIC CORP             COMMON   077853109    11,310     173,002      X
NONE   59,451         0  113,551
0BELL ATLANTIC CORP             COMMON   077853109     1,184      18,107
X              0001   18,107         0        0
0BELL ATLANTIC CORP             COMMON   077853109        17         256
X              0003      256         0        0
0BELL ATLANTIC CORP             COMMON   077853109        41         624
X              0007      624         0        0
0BELL ATLANTIC CORP             COMMON   077853109       632       9,668
X              0012    9,668         0        0
0BELLSOUTH CORP                 COMMON   079860102    27,455     595,226      X
NONE  307,266         0  287,960
0BELLSOUTH CORP                 COMMON   079860102     2,859      61,990
X              0001   61,990         0        0
- -  COLUMN  TOTALS                                    112,988
06/30/99
1
(SEC USE ONLY)
 PAGE     10  OF     64        FORM 13F       NAME OF REPORTING MANAGER - BROWN
BROTHERS HARRIMAN, AND COMPANY   FILE NUMBER 28-408
- -ITEM 1                         ITEM 2   ITEM 3       ITEM 4      ITEM 5
ITEM 6           ITEM 7           ITEM 8
0

INVESTMENT   DISCRETION             VOTING     AUTHORITY
                                                        FAIR
(B)
                                                      MARKET
SHARED AS          MGRS
                                TITLE                  VALUE   SHARES OR     (A)
DEFINED    (C)     SEE      (A)     (B)       (C)
                                OF       CUSIP          (000   PRINCIPAL
IN      SHARED  INSTR
 NAME  OF  ISSUER               CLASS    NUMBER     OMITTED)      AMOUNT
SOLE  INSTR V   OTHER     V      SOLE    SHARED     NONE
0BELLSOUTH CORP                 COMMON   079860102        28         600
X              0003      600         0        0
0BELLSOUTH CORP                 COMMON   079860102     1,029      22,304
X              0012   22,304         0        0
0BELO /A H/ CORP SER A /REST/   COMMON   080555105     1,084      55,046      X
NONE   48,246         0    6,800
0BERKSHIRE HATHAWAY /DEL/ CL A  COMMON   084670108       172          25      X
NONE        7         0       18
0BERKSHIRE HATHAWAY /DEL/ CL A  COMMON   084670108     1,082         157
X              0001      157         0        0
0BERKSHIRE HATHAWAY INC CL B    COMMON   084670207       228         102      X
NONE       39         0       63
0BERKSHIRE HATHAWAY INC CL B    COMMON   084670207       258         115
X              0001      115         0        0
0BEST BUY INC                   COMMON   086516101     7,789     115,390      X
NONE   68,150         0   47,240
0BEST BUY INC                   COMMON   086516101     1,823      27,000
X              0001   27,000         0        0
0BESTFOODS                      COMMON   08658U101    15,184     306,754      X
NONE  130,566         0  176,188
0BESTFOODS                      COMMON   08658U101     1,572      31,750
X              0001   31,750         0        0
0BESTFOODS                      COMMON   08658U101        20         400
X              0012      400         0        0
0BIOGEN INC /DEL/               COMMON   090597105       514       7,990      X
NONE    7,454         0      536
0BIONX IMPLANTS INC /REST/      COMMON   09064Q106        74      13,500      X
NONE        0         0   13,500
0BITSTREAM INC CL A             COMMON   091736108        22      15,000
X              0001   15,000         0        0
0BLOCK /H & R/ INC              COMMON   093671105       955      19,094      X
NONE   10,958         0    8,136
0BLOCK /H & R/ INC              COMMON   093671105        80       1,600
X              0001    1,600         0        0
0BLOCK /H & R/ INC              COMMON   093671105         3          60
X              0007       60         0        0
0BLYTH INDUSTRIES INC           COMMON   09643P108       360      10,600      X
NONE        0         0   10,600
0BOEING CO                      COMMON   097023105    17,971     408,421      X
NONE  241,711         0  166,710
- -  COLUMN  TOTALS                                     50,246
06/30/99
1
(SEC USE ONLY)
 PAGE     11  OF     64        FORM 13F       NAME OF REPORTING MANAGER - BROWN
BROTHERS HARRIMAN, AND COMPANY   FILE NUMBER 28-408
- -ITEM 1                         ITEM 2   ITEM 3       ITEM 4      ITEM 5
ITEM 6           ITEM 7           ITEM 8
0

INVESTMENT   DISCRETION             VOTING     AUTHORITY
                                                        FAIR
(B)
                                                      MARKET
SHARED AS          MGRS
                                TITLE                  VALUE   SHARES OR     (A)
DEFINED    (C)     SEE      (A)     (B)       (C)
                                OF       CUSIP          (000   PRINCIPAL
IN      SHARED  INSTR
 NAME  OF  ISSUER               CLASS    NUMBER     OMITTED)      AMOUNT
SOLE  INSTR V   OTHER     V      SOLE    SHARED     NONE
0BOEING CO                      COMMON   097023105     1,118      25,410
X              0001   25,410         0        0
0BOEING CO                      COMMON   097023105       133       3,020
X              0007    3,020         0        0
0BOEING CO                      COMMON   097023105       250       5,686
X              0012    5,686         0        0
0BORDERS GROUP INC              COMMON   099709107     6,568     415,390      X
NONE  175,020         0  240,370
0BORDERS GROUP INC              COMMON   099709107     1,073      67,840
X              0001   67,840         0        0
0BOSTON COMMUNICATIONS GRP INC  COMMON   100582105       739      55,000      X
NONE        0         0   55,000
0BOSTON COMMUNICATIONS GRP INC  COMMON   100582105        27       2,000
X              0001    2,000         0        0
0BOSTON PROPERTIES INC          COMMON   101121101       816      22,750      X
NONE    4,600         0   18,150
0BOSTON PROPERTIES INC          COMMON   101121101        54       1,500
X              0001    1,500         0        0
0BOSTON SCIENTIFIC CORP         COMMON   101137107     8,635     196,521      X
NONE    4,114         0  192,407
0BOWATER INC                    COMMON   102183100     5,253     110,875      X
NONE   61,550         0   49,325
0BOWATER INC                    COMMON   102183100       307       6,475
X              0001    6,475         0        0
0BOWATER INC                    COMMON   102183100       410       8,650
X              0007    8,650         0        0
0BOWATER INC                    COMMON   102183100        28         600
X              0012      600         0        0
0BP AMOCO PLC SPONSORED ADR     COMMON   055622104     2,677      24,670      X
NONE    9,723         0   14,947
0BP AMOCO PLC SPONSORED ADR     COMMON   055622104       248       2,284
X              0001    2,284         0        0
0BRISTOL MYERS SQUIBB CO        COMMON   110122108   121,002   1,717,870      X
NONE  736,995         0  980,875
0BRISTOL MYERS SQUIBB CO        COMMON   110122108    16,976     241,014
X              0001  241,014         0        0
0BRISTOL MYERS SQUIBB CO        COMMON   110122108    12,148     172,470
X              0007  172,470         0        0
0BRISTOL MYERS SQUIBB CO        COMMON   110122108     2,684      38,108
X              0012   38,108         0        0
- -  COLUMN  TOTALS                                    181,145
06/30/99
1
(SEC USE ONLY)
 PAGE     12  OF     64        FORM 13F       NAME OF REPORTING MANAGER - BROWN
BROTHERS HARRIMAN, AND COMPANY   FILE NUMBER 28-408
- -ITEM 1                         ITEM 2   ITEM 3       ITEM 4      ITEM 5
ITEM 6           ITEM 7           ITEM 8
0

INVESTMENT   DISCRETION             VOTING     AUTHORITY
                                                        FAIR
(B)
                                                      MARKET
SHARED AS          MGRS
                                TITLE                  VALUE   SHARES OR     (A)
DEFINED    (C)     SEE      (A)     (B)       (C)
                                OF       CUSIP          (000   PRINCIPAL
IN      SHARED  INSTR
 NAME  OF  ISSUER               CLASS    NUMBER     OMITTED)      AMOUNT
SOLE  INSTR V   OTHER     V      SOLE    SHARED     NONE
0BURLINGTON NORTHN SANTA FE     COMMON   12189T104       799      25,770      X
NONE    9,902         0   15,868
0BURLINGTON NORTHN SANTA FE     COMMON   12189T104     1,116      36,000
X              0001   36,000         0        0
0BURLINGTON NORTHN SANTA FE     COMMON   12189T104        74       2,400
X              0012    2,400         0        0
0CABLEVISION SYS CL A           COMMON   12686C109       627       8,952      X
NONE    8,652         0      300
0CABOT CORP                     COMMON   127055101     2,550     105,428      X
NONE        0         0  105,428
0CABOT CORP                     COMMON   127055101       629      26,000
X              0001   26,000         0        0
0CADENCE DESIGN SYS INC         COMMON   127387108    45,641   3,615,142      X
NONE 1657,523         0 1957,619
0CADENCE DESIGN SYS INC         COMMON   127387108     5,394     427,287
X              0001  427,287         0        0
0CADENCE DESIGN SYS INC         COMMON   127387108     2,261     179,100
X              0007  179,100         0        0
0CADENCE DESIGN SYS INC         COMMON   127387108       219      17,338
X              0012   17,338         0        0
0CALYPTE BIOMEDICAL CORP        COMMON   131722100        88      50,000      X
NONE   50,000         0        0
0CAMPBELL RESOURCES INC         COMMON   134422104         6      20,000
X              0001   20,000         0        0
0CAMPBELL SOUP                  COMMON   134429109     3,879      83,646      X
NONE   19,630         0   64,016
0CAMPBELL SOUP                  COMMON   134429109       570      12,300
X              0001   12,300         0        0
0CAMPBELL SOUP                  COMMON   134429109     2,453      52,900
X              0007   52,900         0        0
0CAMPBELL SOUP                  COMMON   134429109       250       5,400
X              0012    5,400         0        0
0CANADIAN PACIFIC LTD           COMMON   135923100     1,475      61,950      X
NONE    8,600         0   53,350
0CANADIAN PACIFIC LTD           COMMON   135923100       206       8,650
X              0001    8,650         0        0
0CAPITAL ONE FINANCIAL CORP     COMMON   14040H105       294       5,284      X
NONE        0         0    5,284
0CARDINAL HEALTH INC            COMMON   14149Y108       130       2,025      X
NONE    1,462         0      563
- -  COLUMN  TOTALS                                     68,663
06/30/99
1
(SEC USE ONLY)
 PAGE     13  OF     64        FORM 13F       NAME OF REPORTING MANAGER - BROWN
BROTHERS HARRIMAN, AND COMPANY   FILE NUMBER 28-408
- -ITEM 1                         ITEM 2   ITEM 3       ITEM 4      ITEM 5
ITEM 6           ITEM 7           ITEM 8
0

INVESTMENT   DISCRETION             VOTING     AUTHORITY
                                                        FAIR
(B)
                                                      MARKET
SHARED AS          MGRS
                                TITLE                  VALUE   SHARES OR     (A)
DEFINED    (C)     SEE      (A)     (B)       (C)
                                OF       CUSIP          (000   PRINCIPAL
IN      SHARED  INSTR
 NAME  OF  ISSUER               CLASS    NUMBER     OMITTED)      AMOUNT
SOLE  INSTR V   OTHER     V      SOLE    SHARED     NONE
0CARDINAL HEALTH INC            COMMON   14149Y108        90       1,401
X              0001    1,401         0        0
0CARDINAL HEALTH INC            COMMON   14149Y108         8         129
X              0012      129         0        0
0CARNIVAL CORPORATION CL A      COMMON   143658102    67,783   1,397,586      X
NONE  679,452         0  718,134
0CARNIVAL CORPORATION CL A      COMMON   143658102     9,917     204,470
X              0001  204,470         0        0
0CARNIVAL CORPORATION CL A      COMMON   143658102     3,623      74,700
X              0007   74,700         0        0
0CARNIVAL CORPORATION CL A      COMMON   143658102       863      17,800
X              0012   17,800         0        0
0CATERPILLAR INC                COMMON   149123101     4,126      68,767      X
NONE   48,090         0   20,677
0CATERPILLAR INC                COMMON   149123101     1,992      33,200
X              0001   33,200         0        0
0CATERPILLAR INC                COMMON   149123101        72       1,200
X              0012    1,200         0        0
0CBS CORPORATION                COMMON   12490K107    29,080     667,550      X
NONE  262,196         0  405,354
0CBS CORPORATION                COMMON   12490K107     2,115      48,557
X              0001   48,557         0        0
0CBS CORPORATION                COMMON   12490K107     1,151      26,425
X              0007   26,425         0        0
0CBS CORPORATION                COMMON   12490K107       499      11,450
X              0012   11,450         0        0
0CELLSTAR CORP                  COMMON   150925105        79      10,000      X
NONE        0         0   10,000
0CENDANT CORPORATION            COMMON   151313103    12,489     609,228      X
NONE  180,788         0  428,440
0CENDANT CORPORATION            COMMON   151313103     1,038      50,630
X              0001   50,630         0        0
0CENDANT CORPORATION            COMMON   151313103     3,627     176,950
X              0007  176,950         0        0
0CENDANT CORPORATION            COMMON   151313103       173       8,450
X              0012    8,450         0        0
0CENTL & SOUTH WEST CORP        COMMON   152357109       276      11,790      X
NONE    1,196         0   10,594
0CENTL & SOUTH WEST CORP        COMMON   152357109        96       4,125
X              0001    4,125         0        0
- -  COLUMN  TOTALS                                    139,098
06/30/99
1
(SEC USE ONLY)
 PAGE     14  OF     64        FORM 13F       NAME OF REPORTING MANAGER - BROWN
BROTHERS HARRIMAN, AND COMPANY   FILE NUMBER 28-408
- -ITEM 1                         ITEM 2   ITEM 3       ITEM 4      ITEM 5
ITEM 6           ITEM 7           ITEM 8
0

INVESTMENT   DISCRETION             VOTING     AUTHORITY
                                                        FAIR
(B)
                                                      MARKET
SHARED AS          MGRS
                                TITLE                  VALUE   SHARES OR     (A)
DEFINED    (C)     SEE      (A)     (B)       (C)
                                OF       CUSIP          (000   PRINCIPAL
IN      SHARED  INSTR
 NAME  OF  ISSUER               CLASS    NUMBER     OMITTED)      AMOUNT
SOLE  INSTR V   OTHER     V      SOLE    SHARED     NONE
0CENTL & SOUTH WEST CORP        COMMON   152357109        56       2,400
X              0007    2,400         0        0
0CENTURY BANCORP INC N C        COMMON   156433104       123       9,000      X
NONE        0         0    9,000
0CENTURY BANCORP INC N C        COMMON   156433104       198      14,500
X              0001   14,500         0        0
0CHAMPION INTERNATIONAL CORP    COMMON   158525105       316       6,602      X
NONE        0         0    6,602
0CHAMPION INTERNATIONAL CORP    COMMON   158525105        14         300
X              0001      300         0        0
0CHASE MANHATTAN CORP           COMMON   16161A108    25,993     300,500      X
NONE  188,554         0  111,946
0CHASE MANHATTAN CORP           COMMON   16161A108     3,505      40,520
X              0001   40,520         0        0
0CHASE MANHATTAN CORP           COMMON   16161A108       170       1,962
X              0012    1,962         0        0
0CHESAPEAKE CORP                COMMON   165159104        75       2,000      X
NONE    2,000         0        0
0CHESAPEAKE CORP                COMMON   165159104       936      25,000
X              0007   25,000         0        0
0CHEVRON CORP                   COMMON   166751107    50,387     530,048      X
NONE  305,118         0  224,930
0CHEVRON CORP                   COMMON   166751107     4,860      51,128
X              0001   51,128         0        0
0CHEVRON CORP                   COMMON   166751107       938       9,868
X              0007    9,868         0        0
0CHEVRON CORP                   COMMON   166751107     1,283      13,500
X              0012   13,500         0        0
0CHOCK FULL O'NUTS S/D CV REGD  CON BOND 170268AB2     2,620      20,000      X
NONE        0         0   20,000
0CHUBB CORP                     COMMON   171232101     4,757      68,439      X
NONE   46,999         0   21,440
0CHUBB CORP                     COMMON   171232101       639       9,188
X              0001    9,188         0        0
0CHUBB CORP                     COMMON   171232101     9,174     132,000
X              0007  132,000         0        0
0CHUBB CORP                     COMMON   171232101        28         400
X              0012      400         0        0
0CIGNA CORP                     COMMON   125509109       200       2,248      X
NONE      768         0    1,480
- -  COLUMN  TOTALS                                    106,272
06/30/99
1
(SEC USE ONLY)
 PAGE     15  OF     64        FORM 13F       NAME OF REPORTING MANAGER - BROWN
BROTHERS HARRIMAN, AND COMPANY   FILE NUMBER 28-408
- -ITEM 1                         ITEM 2   ITEM 3       ITEM 4      ITEM 5
ITEM 6           ITEM 7           ITEM 8
0

INVESTMENT   DISCRETION             VOTING     AUTHORITY
                                                        FAIR
(B)
                                                      MARKET
SHARED AS          MGRS
                                TITLE                  VALUE   SHARES OR     (A)
DEFINED    (C)     SEE      (A)     (B)       (C)
                                OF       CUSIP          (000   PRINCIPAL
IN      SHARED  INSTR
 NAME  OF  ISSUER               CLASS    NUMBER     OMITTED)      AMOUNT
SOLE  INSTR V   OTHER     V      SOLE    SHARED     NONE
0CIGNA CORP                     COMMON   125509109        53         600
X              0001      600         0        0
0CIGNA CORP                     COMMON   125509109       169       1,902
X              0012    1,902         0        0
0CIGNA HIGH INCOME SB BEN INT   COMMON   12551D109       170      23,000      X
NONE   23,000         0        0
0CINAR CORP LTD VTG SHS CL B    COMMON   171905300     2,301      93,924      X
NONE   93,924         0        0
0CINCINNATI BELL INC            COMMON   171870108     3,723     149,315      X
NONE   51,665         0   97,650
0CINCINNATI BELL INC            COMMON   171870108       946      37,954
X              0001   37,954         0        0
0CINCINNATI BELL INC            COMMON   171870108       100       4,000
X              0007    4,000         0        0
0CINCINNATI BELL INC            COMMON   171870108       262      10,500
X              0012   10,500         0        0
0CINERGY CORP                   COMMON   172474108     5,411     169,105      X
NONE  123,725         0   45,380
0CINERGY CORP                   COMMON   172474108       277       8,661
X              0001    8,661         0        0
0CINERGY CORP                   COMMON   172474108        83       2,600
X              0007    2,600         0        0
0CINERGY CORP                   COMMON   172474108        77       2,400
X              0012    2,400         0        0
0CIRCUIT CITY STORES - CIR CITY COMMON   172737108       114       1,221      X
NONE    1,138         0       83
0CIRCUIT CITY STORES - CIR CITY COMMON   172737108       558       6,000
X              0001    6,000         0        0
0CISCO SYSTEMS INC              COMMON   17275R102   149,106   2,311,721      X
NONE 1102,862         0 1208,859
0CISCO SYSTEMS INC              COMMON   17275R102    22,171     343,733
X              0001  343,733         0        0
0CISCO SYSTEMS INC              COMMON   17275R102     1,722      26,700
X              0007   26,700         0        0
0CISCO SYSTEMS INC              COMMON   17275R102     5,283      81,900
X              0012   81,900         0        0
0CITIGROUP INC                  COMMON   172967101    15,075     308,360      X
NONE  142,175         0  166,184
0CITIGROUP INC                  COMMON   172967101     1,266      26,650
X              0001   26,650         0        0
- -  COLUMN  TOTALS                                    208,867
06/30/99
1
(SEC USE ONLY)
 PAGE     16  OF     64        FORM 13F       NAME OF REPORTING MANAGER - BROWN
BROTHERS HARRIMAN, AND COMPANY   FILE NUMBER 28-408
- -ITEM 1                         ITEM 2   ITEM 3       ITEM 4      ITEM 5
ITEM 6           ITEM 7           ITEM 8
0

INVESTMENT   DISCRETION             VOTING     AUTHORITY
                                                        FAIR
(B)
                                                      MARKET
SHARED AS          MGRS
                                TITLE                  VALUE   SHARES OR     (A)
DEFINED    (C)     SEE      (A)     (B)       (C)
                                OF       CUSIP          (000   PRINCIPAL
IN      SHARED  INSTR
 NAME  OF  ISSUER               CLASS    NUMBER     OMITTED)      AMOUNT
SOLE  INSTR V   OTHER     V      SOLE    SHARED     NONE
0CITIGROUP INC                  COMMON   172967101       182       3,825
X              0012    3,825         0        0
0CLEAR CHANNEL COMM INC         COMMON   184502102    21,153     306,850      X
NONE  184,850         0  122,000
0CLEAR CHANNEL COMM INC         COMMON   184502102     1,613      23,400
X              0001   23,400         0        0
0CLEAR CHANNEL COMM INC         COMMON   184502102        83       1,200
X              0012    1,200         0        0
0CLOROX CO                      COMMON   189054109       440       4,120      X
NONE    2,720         0    1,400
0CLOROX CO                      COMMON   189054109        96         900
X              0001      900         0        0
0CLOROX CO                      COMMON   189054109       316       2,960
X              0007    2,960         0        0
0CLOROX CO                      COMMON   189054109       203       1,902
X              0012    1,902         0        0
0CNB FINANCIAL CORP             COMMON   125921106       586      39,060      X
NONE        0         0   39,060
0CNB FINANCIAL CORP             COMMON   125921106        39       2,622
X              0001    2,622         0        0
0COCA COLA CO                   COMMON   191216100    45,474     733,446      X
NONE  271,492         0  461,954
0COCA COLA CO                   COMMON   191216100     4,677      75,435
X              0001   75,435         0        0
0COCA COLA CO                   COMMON   191216100     2,481      40,022
X              0007   40,022         0        0
0COCA COLA CO                   COMMON   191216100     2,596      41,870
X              0012   41,870         0        0
0COCA COLA ENTERPRISES INC      COMMON   191219104       619      20,804      X
NONE   20,804         0        0
0COEUR D ALENE CNV6.375%1/31/04 CON BOND 192108AE8     3,119      50,000
X              0001   50,000         0        0
0COLGATE PALMOLIVE              COMMON   194162103    17,361     351,102      X
NONE  159,378         0  191,724
0COLGATE PALMOLIVE              COMMON   194162103     1,942      39,425
X              0001   39,425         0        0
0COLGATE PALMOLIVE              COMMON   194162103       227       4,600
X              0007    4,600         0        0
0COLGATE PALMOLIVE              COMMON   194162103       726      14,750
X              0012   14,750         0        0
- -  COLUMN  TOTALS                                    103,933
06/30/99
1
(SEC USE ONLY)
 PAGE     17  OF     64        FORM 13F       NAME OF REPORTING MANAGER - BROWN
BROTHERS HARRIMAN, AND COMPANY   FILE NUMBER 28-408
- -ITEM 1                         ITEM 2   ITEM 3       ITEM 4      ITEM 5
ITEM 6           ITEM 7           ITEM 8
0

INVESTMENT   DISCRETION             VOTING     AUTHORITY
                                                        FAIR
(B)
                                                      MARKET
SHARED AS          MGRS
                                TITLE                  VALUE   SHARES OR     (A)
DEFINED    (C)     SEE      (A)     (B)       (C)
                                OF       CUSIP          (000   PRINCIPAL
IN      SHARED  INSTR
 NAME  OF  ISSUER               CLASS    NUMBER     OMITTED)      AMOUNT
SOLE  INSTR V   OTHER     V      SOLE    SHARED     NONE
0COMCAST CORP CL A              COMMON   200300101       803      22,410      X
NONE   13,400         0    9,010
0COMCAST CORP CL A SPECIAL      COMMON   200300200       815      21,200      X
NONE   12,000         0    9,200
0COMCAST CORP CL A SPECIAL      COMMON   200300200        12         300
X              0001      300         0        0
0COMMONWEALTH ENERGY SYS SBI    COMMON   202800108       294       7,002      X
NONE        0         0    7,002
0COMMONWEALTH ENERGY SYS SBI    COMMON   202800108       131       3,120
X              0001    3,120         0        0
0COMPAQ COMPUTER CORP           COMMON   204493100     2,858     120,666      X
NONE   51,115         0   69,551
0COMPAQ COMPUTER CORP           COMMON   204493100       112       4,710
X              0001    4,710         0        0
0COMPAQ COMPUTER CORP           COMMON   204493100        24       1,000
X              0007    1,000         0        0
0COMPAQ COMPUTER CORP           COMMON   204493100        12         500
X              0012      500         0        0
0COMPUTER ASSOC INTL INC        COMMON   204912109   156,316   2,855,088      X
NONE 1127,825         0 1727,262
0COMPUTER ASSOC INTL INC        COMMON   204912109    16,142     294,828
X              0001  294,828         0        0
0COMPUTER ASSOC INTL INC        COMMON   204912109    11,306     206,498
X              0007  206,498         0        0
0COMPUTER ASSOC INTL INC        COMMON   204912109     2,183      39,875
X              0012   39,875         0        0
0COMPUTER HORIZONS CORP         COMMON   205908106       276      20,000      X
NONE   20,000         0        0
0CONAGRA INC                    COMMON   205887102       167       6,266      X
NONE    1,000         0    5,266
0CONAGRA INC                    COMMON   205887102        43       1,600
X              0001    1,600         0        0
0CONCURRENT COMPUTER CORP NEW   COMMON   206710204        63      10,000      X
NONE    9,000         0    1,000
0CONS NAT GAS                   COMMON   209615103     1,861      30,630      X
NONE   18,387         0   12,243
0CONS NAT GAS                   COMMON   209615103       210       3,450
X              0001    3,450         0        0
0CONS NAT GAS                   COMMON   209615103        12         200
X              0007      200         0        0
- -  COLUMN  TOTALS                                    193,638
06/30/99
1
(SEC USE ONLY)
 PAGE     18  OF     64        FORM 13F       NAME OF REPORTING MANAGER - BROWN
BROTHERS HARRIMAN, AND COMPANY   FILE NUMBER 28-408
- -ITEM 1                         ITEM 2   ITEM 3       ITEM 4      ITEM 5
ITEM 6           ITEM 7           ITEM 8
0

INVESTMENT   DISCRETION             VOTING     AUTHORITY
                                                        FAIR
(B)
                                                      MARKET
SHARED AS          MGRS
                                TITLE                  VALUE   SHARES OR     (A)
DEFINED    (C)     SEE      (A)     (B)       (C)
                                OF       CUSIP          (000   PRINCIPAL
IN      SHARED  INSTR
 NAME  OF  ISSUER               CLASS    NUMBER     OMITTED)      AMOUNT
SOLE  INSTR V   OTHER     V      SOLE    SHARED     NONE
0CONSOLIDATED PAPERS INC        COMMON   209759109     4,851     181,360      X
NONE  122,940         0   58,420
0CONSOLIDATED PAPERS INC        COMMON   209759109     1,198      44,800
X              0001   44,800         0        0
0CONSOLIDATED PAPERS INC        COMMON   209759109     5,810     217,200
X              0007  217,200         0        0
0CONTIFINANCIAL CORP            COMMON   21075V107        89      25,000
X              0001   25,000         0        0
0COOPER INDUSTRIES              COMMON   216669101        55       1,051      X
NONE       58         0      993
0COOPER INDUSTRIES              COMMON   216669101        16         300
X              0001      300         0        0
0COOPER INDUSTRIES              COMMON   216669101       161       3,100
X              0012    3,100         0        0
0COORS /ADOLPH/ CO CLASS B      COMMON   217016104       272       5,500      X
NONE    5,500         0        0
0CORN PRODUCTS INTL INC         COMMON   219023108     3,880     127,465      X
NONE   60,788         0   66,677
0CORN PRODUCTS INTL INC         COMMON   219023108        67       2,200
X              0001    2,200         0        0
0CORN PRODUCTS INTL INC         COMMON   219023108        15         500
X              0012      500         0        0
0CORNING INC                    COMMON   219350105     5,409      77,135      X
NONE   30,785         0   46,350
0CORNING INC                    COMMON   219350105     1,105      15,757
X              0001   15,757         0        0
0CORNING INC                    COMMON   219350105        98       1,400
X              0007    1,400         0        0
0CORNING INC                    COMMON   219350105       449       6,400
X              0012    6,400         0        0
0COSTCO COMPANIES INC           COMMON   22160Q102    56,139     701,189      X
NONE  417,478         0  283,711
0COSTCO COMPANIES INC           COMMON   22160Q102     4,808      60,050
X              0001   60,050         0        0
0COSTCO COMPANIES INC           COMMON   22160Q102       673       8,400
X              0012    8,400         0        0
0COX COMMUNICATIONS INC CL A    COMMON   224044107    58,065   1,577,337      X
NONE  646,197         0  931,140
0COX COMMUNICATIONS INC CL A    COMMON   224044107     8,393     227,992
X              0001  227,992         0        0
- -  COLUMN  TOTALS                                    151,552
06/30/99
1
(SEC USE ONLY)
 PAGE     19  OF     64        FORM 13F       NAME OF REPORTING MANAGER - BROWN
BROTHERS HARRIMAN, AND COMPANY   FILE NUMBER 28-408
- -ITEM 1                         ITEM 2   ITEM 3       ITEM 4      ITEM 5
ITEM 6           ITEM 7           ITEM 8
0

INVESTMENT   DISCRETION             VOTING     AUTHORITY
                                                        FAIR
(B)
                                                      MARKET
SHARED AS          MGRS
                                TITLE                  VALUE   SHARES OR     (A)
DEFINED    (C)     SEE      (A)     (B)       (C)
                                OF       CUSIP          (000   PRINCIPAL
IN      SHARED  INSTR
 NAME  OF  ISSUER               CLASS    NUMBER     OMITTED)      AMOUNT
SOLE  INSTR V   OTHER     V      SOLE    SHARED     NONE
0COX COMMUNICATIONS INC CL A    COMMON   224044107       769      20,900
X              0007   20,900         0        0
0COX COMMUNICATIONS INC CL A    COMMON   224044107       309       8,400
X              0012    8,400         0        0
0CROWN CORK & SEAL CO INC       COMMON   228255105     3,523     123,601      X
NONE   53,095         0   70,506
0CROWN CORK & SEAL CO INC       COMMON   228255105       274       9,600
X              0001    9,600         0        0
0CROWN CORK & SEAL CO INC       COMMON   228255105       125       4,400
X              0012    4,400         0        0
0CTC COMMUNICATIONS CORP        COMMON   126418102        98       5,000      X
NONE        0         0    5,000
0CTC COMMUNICATIONS CORP        COMMON   126418102       390      20,000
X              0001   20,000         0        0
0CVS CORPORATION                COMMON   126650100     4,791      94,395      X
NONE   36,655         0   57,740
0CVS CORPORATION                COMMON   126650100       991      19,524
X              0001   19,524         0        0
0CVS CORPORATION                COMMON   126650100       180       3,550
X              0012    3,550         0        0
0DATA TRANSLATION INC II        COMMON   238016109       119      35,000
X              0001   35,000         0        0
0DAVOX CORPORATION              COMMON   239208101       217      18,200      X
NONE        0         0   18,200
0DAYTON-HUDSON CORP             COMMON   239753106    93,517   1,438,726      X
NONE  723,921         0  714,805
0DAYTON-HUDSON CORP             COMMON   239753106    10,838     166,737
X              0001  166,737         0        0
0DAYTON-HUDSON CORP             COMMON   239753106     1,531      23,550
X              0007   23,550         0        0
0DAYTON-HUDSON CORP             COMMON   239753106     1,086      16,700
X              0012   16,700         0        0
0DEERE & CO                     COMMON   244199105    15,324     391,037      X
NONE  167,555         0  223,482
0DEERE & CO                     COMMON   244199105     1,688      43,070
X              0001   43,070         0        0
0DEERE & CO                     COMMON   244199105         8         200
X              0007      200         0        0
0DEERE & CO                     COMMON   244199105        63       1,600
X              0012    1,600         0        0
- -  COLUMN  TOTALS                                    135,839
06/30/99
1
(SEC USE ONLY)
 PAGE     20  OF     64        FORM 13F       NAME OF REPORTING MANAGER - BROWN
BROTHERS HARRIMAN, AND COMPANY   FILE NUMBER 28-408
- -ITEM 1                         ITEM 2   ITEM 3       ITEM 4      ITEM 5
ITEM 6           ITEM 7           ITEM 8
0

INVESTMENT   DISCRETION             VOTING     AUTHORITY
                                                        FAIR
(B)
                                                      MARKET
SHARED AS          MGRS
                                TITLE                  VALUE   SHARES OR     (A)
DEFINED    (C)     SEE      (A)     (B)       (C)
                                OF       CUSIP          (000   PRINCIPAL
IN      SHARED  INSTR
 NAME  OF  ISSUER               CLASS    NUMBER     OMITTED)      AMOUNT
SOLE  INSTR V   OTHER     V      SOLE    SHARED     NONE
0DELIA*S INC                    COMMON   246885107       135      10,000      X
NONE        0         0   10,000
0DELL COMPUTER CORP             COMMON   247025109    38,637   1,044,253      X
NONE  598,041         0  446,212
0DELL COMPUTER CORP             COMMON   247025109     7,512     203,015
X              0001  203,015         0        0
0DELL COMPUTER CORP             COMMON   247025109       422      11,400
X              0007   11,400         0        0
0DELL COMPUTER CORP             COMMON   247025109       544      14,700
X              0012   14,700         0        0
0DELTEK SYSTEMS INC             COMMON   24785A108    17,891   1,811,700      X
NONE        0         0 1811,700
0DELTEK SYSTEMS INC             COMMON   24785A108        10       1,000
X              0001    1,000         0        0
0DEVELOPERS DIVERS RLTY CORP    COMMON   251591103     1,318      78,080      X
NONE   50,000         0   28,080
0DEVELOPERS DIVERS RLTY CORP    COMMON   251591103        74       4,400
X              0001    4,400         0        0
0DIGITAL LINK CORP              COMMON   253856108       139      18,500
X              0001   18,500         0        0
0DIONEX CORP                    COMMON   254546104       486      12,000      X
NONE        0         0   12,000
0DISNEY /THE WALT/ CO HLDG CO   COMMON   254687106    41,228   1,338,048      X
NONE  478,405         0  859,643
0DISNEY /THE WALT/ CO HLDG CO   COMMON   254687106     6,535     212,093
X              0001  212,093         0        0
0DISNEY /THE WALT/ CO HLDG CO   COMMON   254687106     1,042      33,810
X              0007   33,810         0        0
0DISNEY /THE WALT/ CO HLDG CO   COMMON   254687106     1,038      33,690
X              0012   33,690         0        0
0DOMINION RESOURCES INC /VA/    COMMON   257470104       334       7,717      X
NONE    3,084         0    4,633
0DOMINION RESOURCES INC /VA/    COMMON   257470104        65       1,500
X              0001    1,500         0        0
0DONNELLEY /R R/ & SONS         COMMON   257867101     5,637     152,100      X
NONE   75,185         0   76,915
0DONNELLEY /R R/ & SONS         COMMON   257867101     1,324      35,720
X              0001   35,720         0        0
0DONNELLEY /R R/ & SONS         COMMON   257867101       237       6,400
X              0007    6,400         0        0
- -  COLUMN  TOTALS                                    124,607
06/30/99
1
(SEC USE ONLY)
 PAGE     21  OF     64        FORM 13F       NAME OF REPORTING MANAGER - BROWN
BROTHERS HARRIMAN, AND COMPANY   FILE NUMBER 28-408
- -ITEM 1                         ITEM 2   ITEM 3       ITEM 4      ITEM 5
ITEM 6           ITEM 7           ITEM 8
0

INVESTMENT   DISCRETION             VOTING     AUTHORITY
                                                        FAIR
(B)
                                                      MARKET
SHARED AS          MGRS
                                TITLE                  VALUE   SHARES OR     (A)
DEFINED    (C)     SEE      (A)     (B)       (C)
                                OF       CUSIP          (000   PRINCIPAL
IN      SHARED  INSTR
 NAME  OF  ISSUER               CLASS    NUMBER     OMITTED)      AMOUNT
SOLE  INSTR V   OTHER     V      SOLE    SHARED     NONE
0DONNELLEY /R R/ & SONS         COMMON   257867101         7         200
X              0012      200         0        0
0DOUBLECLICK INC                COMMON   258609304        28         300
X              0012      300         0        0
0DOUBLECLICK INC /RESTRICTED/   COMMON   258609304       533       5,810      X
NONE    1,616         0    4,194
0DOVER CORP                     COMMON   260003108    19,440     555,431      X
NONE  207,494         0  347,937
0DOVER CORP                     COMMON   260003108     2,262      64,640
X              0001   64,640         0        0
0DOVER CORP                     COMMON   260003108     1,230      35,150
X              0007   35,150         0        0
0DOVER CORP                     COMMON   260003108       102       2,900
X              0012    2,900         0        0
0DOW CHEM CO                    COMMON   260543103       992       7,819      X
NONE    3,675         0    4,144
0DOW CHEM CO                    COMMON   260543103        15         118
X              0007      118         0        0
0DOW CHEM CO                    COMMON   260543103        76         600
X              0012      600         0        0
0DQE                            COMMON   23329J104       263       6,549      X
NONE    4,299         0    2,250
0DQE                            COMMON   23329J104        32         800
X              0001      800         0        0
0DST SYSTEMS INC                COMMON   233326107     5,475      87,070      X
NONE   32,095         0   54,975
0DST SYSTEMS INC                COMMON   233326107       975      15,505
X              0001   15,505         0        0
0DST SYSTEMS INC                COMMON   233326107       214       3,400
X              0007    3,400         0        0
0DST SYSTEMS INC                COMMON   233326107       341       5,425
X              0012    5,425         0        0
0DTE ENERGY CO                  COMMON   233331107     4,064      99,720      X
NONE   46,450         0   53,270
0DTE ENERGY CO                  COMMON   233331107       270       6,625
X              0001    6,625         0        0
0DTE ENERGY CO                  COMMON   233331107     1,510      37,060
X              0007   37,060         0        0
0DTE ENERGY CO                  COMMON   233331107         4         100
X              0012      100         0        0
- -  COLUMN  TOTALS                                     37,832
06/30/99
1
(SEC USE ONLY)
 PAGE     22  OF     64        FORM 13F       NAME OF REPORTING MANAGER - BROWN
BROTHERS HARRIMAN, AND COMPANY   FILE NUMBER 28-408
- -ITEM 1                         ITEM 2   ITEM 3       ITEM 4      ITEM 5
ITEM 6           ITEM 7           ITEM 8
0

INVESTMENT   DISCRETION             VOTING     AUTHORITY
                                                        FAIR
(B)
                                                      MARKET
SHARED AS          MGRS
                                TITLE                  VALUE   SHARES OR     (A)
DEFINED    (C)     SEE      (A)     (B)       (C)
                                OF       CUSIP          (000   PRINCIPAL
IN      SHARED  INSTR
 NAME  OF  ISSUER               CLASS    NUMBER     OMITTED)      AMOUNT
SOLE  INSTR V   OTHER     V      SOLE    SHARED     NONE
0DU PONT /E I/ DE NEMOURS & CO  COMMON   263534109    41,465     606,988      X
NONE  260,157         0  346,831
0DU PONT /E I/ DE NEMOURS & CO  COMMON   263534109     6,676      97,729
X              0001   97,729         0        0
0DU PONT /E I/ DE NEMOURS & CO  COMMON   263534109       727      10,638
X              0007   10,638         0        0
0DU PONT /E I/ DE NEMOURS & CO  COMMON   263534109       912      13,350
X              0012   13,350         0        0
0DUKE ENERGY CO                 COMMON   264399106    10,558     193,954      X
NONE   74,666         0  119,288
0DUKE ENERGY CO                 COMMON   264399106       966      17,740
X              0001   17,740         0        0
0DUKE ENERGY CO                 COMMON   264399106       565      10,375
X              0007   10,375         0        0
0DUKE ENERGY CO                 COMMON   264399106       317       5,825
X              0012    5,825         0        0
0E G & G INC                    COMMON   268457108       339       9,516      X
NONE        0         0    9,516
0EASTMAN KODAK                  COMMON   277461109    17,900     264,201      X
NONE  137,232         0  126,969
0EASTMAN KODAK                  COMMON   277461109     1,587      23,420
X              0001   23,420         0        0
0EASTMAN KODAK                  COMMON   277461109    10,528     155,400
X              0007  155,400         0        0
0EASTMAN KODAK                  COMMON   277461109       227       3,350
X              0012    3,350         0        0
0ECOLAB INC                     COMMON   278865100    11,777     269,970      X
NONE  269,822         0      148
0EDIFY CORP                     COMMON   280599101       455      34,000      X
NONE        0         0   34,000
0EDISON INTERNATIONAL           COMMON   281020107       327      12,234      X
NONE      500         0   11,734
0ELAN PLC SPONSORED ADR         COMMON   284131208       758      27,332      X
NONE    6,000         0   21,332
0ELECTRONIC DATA SYS CORP       COMMON   285661104    10,876     192,068      X
NONE  139,633         0   52,435
0ELECTRONIC DATA SYS CORP       COMMON   285661104       309       5,465
X              0001    5,465         0        0
0ELECTRONIC DATA SYS CORP       COMMON   285661104       707      12,480
X              0007   12,480         0        0
- -  COLUMN  TOTALS                                    117,976
06/30/99
1
(SEC USE ONLY)
 PAGE     23  OF     64        FORM 13F       NAME OF REPORTING MANAGER - BROWN
BROTHERS HARRIMAN, AND COMPANY   FILE NUMBER 28-408
- -ITEM 1                         ITEM 2   ITEM 3       ITEM 4      ITEM 5
ITEM 6           ITEM 7           ITEM 8
0

INVESTMENT   DISCRETION             VOTING     AUTHORITY
                                                        FAIR
(B)
                                                      MARKET
SHARED AS          MGRS
                                TITLE                  VALUE   SHARES OR     (A)
DEFINED    (C)     SEE      (A)     (B)       (C)
                                OF       CUSIP          (000   PRINCIPAL
IN      SHARED  INSTR
 NAME  OF  ISSUER               CLASS    NUMBER     OMITTED)      AMOUNT
SOLE  INSTR V   OTHER     V      SOLE    SHARED     NONE
0ELECTRONIC DATA SYS CORP       COMMON   285661104       277       4,888
X              0012    4,888         0        0
0ELECTRONICS FOR IMAGING INC    COMMON   286082102       256       4,975      X
NONE    2,425         0    2,550
0ELF AQUITAINE SPON ADR         COMMON   286269105       257       3,500      X
NONE        0         0    3,500
0EMC CORP MASS                  COMMON   268648102    77,651   1,411,843      X
NONE  728,317         0  683,526
0EMC CORP MASS                  COMMON   268648102     8,709     158,348
X              0001  158,348         0        0
0EMC CORP MASS                  COMMON   268648102       646      11,750
X              0007   11,750         0        0
0EMC CORP MASS                  COMMON   268648102     1,518      27,600
X              0012   27,600         0        0
0EMERSON ELEC CO                COMMON   291011104    27,975     444,494      X
NONE   94,518         0  349,976
0EMERSON ELEC CO                COMMON   291011104     4,393      69,800
X              0001   69,800         0        0
0EMERSON ELEC CO                COMMON   291011104     2,165      34,400
X              0007   34,400         0        0
0EMERSON ELEC CO                COMMON   291011104     1,108      17,600
X              0012   17,600         0        0
0ENERGY EAST CORP               COMMON   29266M109       312      12,000
X              0001   12,000         0        0
0ENRON CORP                     COMMON   293561106    18,916     231,390      X
NONE  100,453         0  130,937
0ENRON CORP                     COMMON   293561106       781       9,550
X              0001    9,550         0        0
0ENRON CORP                     COMMON   293561106       278       3,400
X              0007    3,400         0        0
0ENRON CORP                     COMMON   293561106       273       3,342
X              0012    3,342         0        0
0ENTERGY CORP                   COMMON   29364G103        66       2,112      X
NONE    1,666         0      446
0ENTERGY CORP                   COMMON   29364G103        92       2,955
X              0001    2,955         0        0
0ENTERGY CORP                   COMMON   29364G103        16         510
X              0007      510         0        0
0ENTERGY CORP                   COMMON   29364G103        63       2,000
X              0012    2,000         0        0
- -  COLUMN  TOTALS                                    145,752
06/30/99
1
(SEC USE ONLY)
 PAGE     24  OF     64        FORM 13F       NAME OF REPORTING MANAGER - BROWN
BROTHERS HARRIMAN, AND COMPANY   FILE NUMBER 28-408
- -ITEM 1                         ITEM 2   ITEM 3       ITEM 4      ITEM 5
ITEM 6           ITEM 7           ITEM 8
0

INVESTMENT   DISCRETION             VOTING     AUTHORITY
                                                        FAIR
(B)
                                                      MARKET
SHARED AS          MGRS
                                TITLE                  VALUE   SHARES OR     (A)
DEFINED    (C)     SEE      (A)     (B)       (C)
                                OF       CUSIP          (000   PRINCIPAL
IN      SHARED  INSTR
 NAME  OF  ISSUER               CLASS    NUMBER     OMITTED)      AMOUNT
SOLE  INSTR V   OTHER     V      SOLE    SHARED     NONE
0EQUIFAX INC                    COMMON   294429105       512      14,344      X
NONE    2,800         0   11,544
0EQUIFAX INC                    COMMON   294429105        44       1,220
X              0001    1,220         0        0
0EQUITY INCOME FD UNIT 1ST      COMMON   294700703       552       2,663      X
NONE        0         0    2,663
0ERICSSON LM TEL ADR CL B       COMMON   294821400       650      19,748      X
NONE    2,548         0   17,200
0EVEREST REINSURANCE HLDGS INC  COMMON   299808105     4,691     143,780      X
NONE   57,980         0   85,800
0EVEREST REINSURANCE HLDGS INC  COMMON   299808105     1,445      44,300
X              0001   44,300         0        0
0EVEREST REINSURANCE HLDGS INC  COMMON   299808105     6,473     198,400
X              0007  198,400         0        0
0EXXON CORP                     COMMON   302290101    88,169   1,143,196      X
NONE  117,844         0 1025,352
0EXXON CORP                     COMMON   302290101    29,433     381,622
X              0001  381,622         0        0
0EXXON CORP                     COMMON   302290101     1,328      17,220
X              0007   17,220         0        0
0EXXON CORP                     COMMON   302290101     2,067      26,796
X              0012   26,796         0        0
0F M C CORP                     COMMON   302491303     4,509      66,005      X
NONE   43,590         0   22,415
0F M C CORP                     COMMON   302491303       502       7,350
X              0001    7,350         0        0
0F M C CORP                     COMMON   302491303        34         500
X              0012      500         0        0
0F P L GROUP INC                COMMON   302571104       506       9,265      X
NONE    3,450         0    5,815
0F P L GROUP INC                COMMON   302571104        82       1,500
X              0001    1,500         0        0
0F P L GROUP INC                COMMON   302571104       177       3,249
X              0012    3,249         0        0
0FACTSET RESH SYS INC           COMMON   303075105       354       6,250      X
NONE        0         0    6,250
0FANNIE MAE                     COMMON   313586109   111,351   1,631,520      X
NONE  817,249         0  814,271
0FANNIE MAE                     COMMON   313586109    10,752     157,535
X              0001  157,535         0        0
- -  COLUMN  TOTALS                                    263,630
06/30/99
1
(SEC USE ONLY)
 PAGE     25  OF     64        FORM 13F       NAME OF REPORTING MANAGER - BROWN
BROTHERS HARRIMAN, AND COMPANY   FILE NUMBER 28-408
- -ITEM 1                         ITEM 2   ITEM 3       ITEM 4      ITEM 5
ITEM 6           ITEM 7           ITEM 8
0

INVESTMENT   DISCRETION             VOTING     AUTHORITY
                                                        FAIR
(B)
                                                      MARKET
SHARED AS          MGRS
                                TITLE                  VALUE   SHARES OR     (A)
DEFINED    (C)     SEE      (A)     (B)       (C)
                                OF       CUSIP          (000   PRINCIPAL
IN      SHARED  INSTR
 NAME  OF  ISSUER               CLASS    NUMBER     OMITTED)      AMOUNT
SOLE  INSTR V   OTHER     V      SOLE    SHARED     NONE
0FANNIE MAE                     COMMON   313586109     5,416      79,350
X              0007   79,350         0        0
0FANNIE MAE                     COMMON   313586109     2,279      33,390
X              0012   33,390         0        0
0FDX CORP                       COMMON   31304N107       224       4,134      X
NONE    1,216         0    2,918
0FDX CORP                       COMMON   31304N107        16         300
X              0001      300         0        0
0FEDERAL SIGNAL CORP            COMMON   313855108       799      37,700      X
NONE        0         0   37,700
0FIDELITY NATL FINL/REST/       COMMON   316326107     6,550     327,523      X
NONE        0         0  327,523
0FIFTH THIRD BANCORP            COMMON   316773100       208       3,132      X
NONE    1,907         0    1,225
0FIFTH THIRD BANCORP            COMMON   316773100     1,236      18,562
X              0001   18,562         0        0
0FIRST DATA CORP                COMMON   319963104     4,049      82,737      X
NONE   40,594         0   42,143
0FIRST DATA CORP                COMMON   319963104     1,674      34,210
X              0001   34,210         0        0
0FIRST DATA CORP                COMMON   319963104        51       1,034
X              0003    1,034         0        0
0FIRST DATA CORP                COMMON   319963104     2,202      45,000
X              0007   45,000         0        0
0FIRST DATA CORP                COMMON   319963104       147       3,000
X              0012    3,000         0        0
0FIRST ESSEX BANCORP INC        COMMON   320103104       924      56,856      X
NONE        0         0   56,856
0FIRST UNION CORP               COMMON   337358105    12,797     271,555      X
NONE   27,622         0  243,933
0FIRST UNION CORP               COMMON   337358105       210       4,460
X              0001    4,460         0        0
0FIRST UNION CORP               COMMON   337358105       113       2,400
X              0012    2,400         0        0
0FIRST VIRGINIA BANKS INC       COMMON   337477103     1,498      30,500      X
NONE    1,800         0   28,700
0FLEET FINANCIAL GROUP INC      COMMON   338915101     2,491      56,144      X
NONE   22,876         0   33,268
0FLEET FINANCIAL GROUP INC      COMMON   338915101       102       2,300
X              0001    2,300         0        0
- -  COLUMN  TOTALS                                     42,987
06/30/99
1
(SEC USE ONLY)
 PAGE     26  OF     64        FORM 13F       NAME OF REPORTING MANAGER - BROWN
BROTHERS HARRIMAN, AND COMPANY   FILE NUMBER 28-408
- -ITEM 1                         ITEM 2   ITEM 3       ITEM 4      ITEM 5
ITEM 6           ITEM 7           ITEM 8
0

INVESTMENT   DISCRETION             VOTING     AUTHORITY
                                                        FAIR
(B)
                                                      MARKET
SHARED AS          MGRS
                                TITLE                  VALUE   SHARES OR     (A)
DEFINED    (C)     SEE      (A)     (B)       (C)
                                OF       CUSIP          (000   PRINCIPAL
IN      SHARED  INSTR
 NAME  OF  ISSUER               CLASS    NUMBER     OMITTED)      AMOUNT
SOLE  INSTR V   OTHER     V      SOLE    SHARED     NONE
0FLEET FINANCIAL GROUP INC      COMMON   338915101       262       5,904
X              0012    5,904         0        0
0FLOWERS INDUSTRIES INC         COMMON   343496105       235      10,839      X
NONE    9,096         0    1,743
0FORD MOTOR CO                  COMMON   345370100    23,370     414,085      X
NONE  250,337         0  163,748
0FORD MOTOR CO                  COMMON   345370100     3,469      61,475
X              0001   61,475         0        0
0FORD MOTOR CO                  COMMON   345370100       243       4,300
X              0012    4,300         0        0
0FOREST CITY ENTERPRISES INC A  COMMON   345550107       294      10,500
X              0007   10,500         0        0
0FORT JAMES CORP                COMMON   347471104     3,409      90,000
X              0007   90,000         0        0
0FREDDIE MAC                    COMMON   313400301       242       4,164      X
NONE    1,900         0    2,264
0FREDDIE MAC                    COMMON   313400301     3,870      66,725
X              0001   66,725         0        0
0FREDDIE MAC                    COMMON   313400301        64       1,100
X              0012    1,100         0        0
0GANNETT CO                     COMMON   364730101     4,052      56,772      X
NONE   13,832         0   42,940
0GANNETT CO                     COMMON   364730101     2,470      34,600
X              0001   34,600         0        0
0GANNETT CO                     COMMON   364730101       178       2,500
X              0012    2,500         0        0
0GAP INC                        COMMON   364760108     2,297      45,597      X
NONE   20,756         0   24,841
0GAP INC                        COMMON   364760108       567      11,250
X              0001   11,250         0        0
0GAP INC                        COMMON   364760108       113       2,250
X              0012    2,250         0        0
0GARTNER GROUP INC CL A         COMMON   366651107       228      11,100      X
NONE        0         0   11,100
0GEN DYNAMICS                   COMMON   369550108       840      12,200      X
NONE      200         0   12,000
0GEN MILLS                      COMMON   370334104       723       8,996      X
NONE    1,666         0    7,330
0GEN MILLS                      COMMON   370334104       442       5,500
X              0001    5,500         0        0
- -  COLUMN  TOTALS                                     47,367
06/30/99
1
(SEC USE ONLY)
 PAGE     27  OF     64        FORM 13F       NAME OF REPORTING MANAGER - BROWN
BROTHERS HARRIMAN, AND COMPANY   FILE NUMBER 28-408
- -ITEM 1                         ITEM 2   ITEM 3       ITEM 4      ITEM 5
ITEM 6           ITEM 7           ITEM 8
0

INVESTMENT   DISCRETION             VOTING     AUTHORITY
                                                        FAIR
(B)
                                                      MARKET
SHARED AS          MGRS
                                TITLE                  VALUE   SHARES OR     (A)
DEFINED    (C)     SEE      (A)     (B)       (C)
                                OF       CUSIP          (000   PRINCIPAL
IN      SHARED  INSTR
 NAME  OF  ISSUER               CLASS    NUMBER     OMITTED)      AMOUNT
SOLE  INSTR V   OTHER     V      SOLE    SHARED     NONE
0GEN MILLS                      COMMON   370334104       287       3,575
X              0007    3,575         0        0
0GEN MILLS                      COMMON   370334104       209       2,600
X              0012    2,600         0        0
0GENERAL CIGAR HLDGS INC CL A   COMMON   36933P100       156      20,000
X              0001   20,000         0        0
0GENERAL ELECTRIC CO            COMMON   369604103   238,806   2,113,331      X
NONE  880,810         0 1232,521
0GENERAL ELECTRIC CO            COMMON   369604103    52,967     468,736
X              0001  468,736         0        0
0GENERAL ELECTRIC CO            COMMON   369604103        75         667
X              0003      667         0        0
0GENERAL ELECTRIC CO            COMMON   369604103     6,458      57,150
X              0007   57,150         0        0
0GENERAL ELECTRIC CO            COMMON   369604103     9,947      88,024
X              0012   88,024         0        0
0GENERAL MAGIC INC              COMMON   370253106        52      14,840
X              0001   14,840         0        0
0GENERAL MOTORS CORP            COMMON   370442105    17,071     258,656      X
NONE  140,034         0  118,622
0GENERAL MOTORS CORP            COMMON   370442105       987      14,960
X              0001   14,960         0        0
0GENERAL MOTORS CORP            COMMON   370442105        46         700
X              0007      700         0        0
0GENERAL MOTORS CORP            COMMON   370442105       535       8,100
X              0012    8,100         0        0
0GENERAL MTRS CORP CL H         COMMON   370442832     8,559     151,995      X
NONE   30,380         0  121,615
0GENERAL MTRS CORP CL H         COMMON   370442832       655      11,640
X              0001   11,640         0        0
0GENERAL MTRS CORP CL H         COMMON   370442832        37         650
X              0012      650         0        0
0GENTEX CORP                    COMMON   371901109     2,380      85,000      X
NONE   41,500         0   43,500
0GENTEX CORP                    COMMON   371901109       154       5,500
X              0001    5,500         0        0
0GENTEX CORP                    COMMON   371901109        28       1,000
X              0012    1,000         0        0
0GENUINE PARTS CO               COMMON   372460105       279       7,983      X
NONE      586         0    7,397
- -  COLUMN  TOTALS                                    339,691
06/30/99
1
(SEC USE ONLY)
 PAGE     28  OF     64        FORM 13F       NAME OF REPORTING MANAGER - BROWN
BROTHERS HARRIMAN, AND COMPANY   FILE NUMBER 28-408
- -ITEM 1                         ITEM 2   ITEM 3       ITEM 4      ITEM 5
ITEM 6           ITEM 7           ITEM 8
0

INVESTMENT   DISCRETION             VOTING     AUTHORITY
                                                        FAIR
(B)
                                                      MARKET
SHARED AS          MGRS
                                TITLE                  VALUE   SHARES OR     (A)
DEFINED    (C)     SEE      (A)     (B)       (C)
                                OF       CUSIP          (000   PRINCIPAL
IN      SHARED  INSTR
 NAME  OF  ISSUER               CLASS    NUMBER     OMITTED)      AMOUNT
SOLE  INSTR V   OTHER     V      SOLE    SHARED     NONE
0GENUINE PARTS CO               COMMON   372460105       376      10,750
X              0001   10,750         0        0
0GENUINE PARTS CO               COMMON   372460105        41       1,165
X              0007    1,165         0        0
0GEORGIA PAC /GEORGIA PAC GP/   COMMON   373298108       519      10,950      X
NONE        0         0   10,950
0GEORGIA PAC /GEORGIA PAC GP/   COMMON   373298108        47       1,000
X              0012    1,000         0        0
0GILLETTE CO                    COMMON   375766102    56,953   1,389,089      X
NONE  591,775         0  797,313
0GILLETTE CO                    COMMON   375766102     4,810     117,321
X              0001  117,321         0        0
0GILLETTE CO                    COMMON   375766102     2,014      49,118
X              0007   49,118         0        0
0GILLETTE CO                    COMMON   375766102     1,080      26,336
X              0012   26,336         0        0
0GLAXO WELLCOME PLC SPON ADR    COMMON   37733W105       850      15,012      X
NONE    2,200         0   12,812
0GLAXO WELLCOME PLC SPON ADR    COMMON   37733W105        93       1,650
X              0001    1,650         0        0
0GLAXO WELLCOME PLC SPON ADR    COMMON   37733W105        11         200
X              0012      200         0        0
0GLENBOROUGH RLTY TR INC        COMMON   37803P105       523      29,900      X
NONE    1,800         0   28,100
0GLENBOROUGH RLTY TR INC        COMMON   37803P105       340      19,400
X              0001   19,400         0        0
0GLENBOROUGH RLTY TR INC        COMMON   37803P105        53       3,000
X              0012    3,000         0        0
0GLOBALSTAR TELECOMMUNICATIONS  COMMON   G3930H104       274      11,800      X
NONE        0         0   11,800
0GOODNOISE CORPORATION          COMMON   38238R104       227      11,000      X
NONE        0         0   11,000
0GOODRICH /B F/ CO              COMMON   382388106       203       4,776      X
NONE    3,576         0    1,200
0GOODYEAR TIRE & RUBBER         COMMON   382550101       331       5,628      X
NONE       88         0    5,540
0GPU INC                        COMMON   36225X100     1,783      42,274      X
NONE   17,749         0   24,525
0GPU INC                        COMMON   36225X100       810      19,200
X              0001   19,200         0        0
- -  COLUMN  TOTALS                                     71,338
06/30/99
1
(SEC USE ONLY)
 PAGE     29  OF     64        FORM 13F       NAME OF REPORTING MANAGER - BROWN
BROTHERS HARRIMAN, AND COMPANY   FILE NUMBER 28-408
- -ITEM 1                         ITEM 2   ITEM 3       ITEM 4      ITEM 5
ITEM 6           ITEM 7           ITEM 8
0

INVESTMENT   DISCRETION             VOTING     AUTHORITY
                                                        FAIR
(B)
                                                      MARKET
SHARED AS          MGRS
                                TITLE                  VALUE   SHARES OR     (A)
DEFINED    (C)     SEE      (A)     (B)       (C)
                                OF       CUSIP          (000   PRINCIPAL
IN      SHARED  INSTR
 NAME  OF  ISSUER               CLASS    NUMBER     OMITTED)      AMOUNT
SOLE  INSTR V   OTHER     V      SOLE    SHARED     NONE
0GPU INC                        COMMON   36225X100       245       5,800
X              0012    5,800         0        0
0GRACE W R & CO DEL             COMMON   38388F108       720      37,886      X
NONE        0         0   37,886
0GRAINGER /W W/ INC             COMMON   384802104       210       3,894      X
NONE    2,058         0    1,836
0GRAINGER /W W/ INC             COMMON   384802104       215       4,000
X              0001    4,000         0        0
0GREAT CENT MINES LTD SPON ADR  COMMON   390290104        29      10,200      X
NONE   10,200         0        0
0GREAT LAKES CHEM CORP/DEL/     COMMON   390568103        11         248      X
NONE        0         0      248
0GREAT LAKES CHEM CORP/DEL/     COMMON   390568103       461      10,000
X              0001   10,000         0        0
0GSI LUMONICS INC               COMMON   36229U102       119      31,250      X
NONE   31,250         0        0
0GTE CORP                       COMMON   362320103    49,190     651,520      X
NONE  300,418         0  351,102
0GTE CORP                       COMMON   362320103     6,173      81,762
X              0001   81,762         0        0
0GTE CORP                       COMMON   362320103    14,577     193,075
X              0007  193,075         0        0
0GTE CORP                       COMMON   362320103       979      12,964
X              0012   12,964         0        0
0GUIDANT CORP                   COMMON   401698105    88,208   1,723,745      X
NONE  632,984         0 1090,761
0GUIDANT CORP                   COMMON   401698105    10,285     201,182
X              0001  201,182         0        0
0GUIDANT CORP                   COMMON   401698105     5,870     114,816
X              0007  114,816         0        0
0GUIDANT CORP                   COMMON   401698105     1,324      25,900
X              0012   25,900         0        0
0HALLIBURTON CO HOLDING         COMMON   406216101    43,202     954,734      X
NONE  446,073         0  508,661
0HALLIBURTON CO HOLDING         COMMON   406216101     2,983      65,920
X              0001   65,920         0        0
0HALLIBURTON CO HOLDING         COMMON   406216101     1,106      24,450
X              0007   24,450         0        0
0HALLIBURTON CO HOLDING         COMMON   406216101       792      17,500
X              0012   17,500         0        0
- -  COLUMN  TOTALS                                    226,699
06/30/99
1
(SEC USE ONLY)
 PAGE     30  OF     64        FORM 13F       NAME OF REPORTING MANAGER - BROWN
BROTHERS HARRIMAN, AND COMPANY   FILE NUMBER 28-408
- -ITEM 1                         ITEM 2   ITEM 3       ITEM 4      ITEM 5
ITEM 6           ITEM 7           ITEM 8
0

INVESTMENT   DISCRETION             VOTING     AUTHORITY
                                                        FAIR
(B)
                                                      MARKET
SHARED AS          MGRS
                                TITLE                  VALUE   SHARES OR     (A)
DEFINED    (C)     SEE      (A)     (B)       (C)
                                OF       CUSIP          (000   PRINCIPAL
IN      SHARED  INSTR
 NAME  OF  ISSUER               CLASS    NUMBER     OMITTED)      AMOUNT
SOLE  INSTR V   OTHER     V      SOLE    SHARED     NONE
0HARCOURT GEN INC               COMMON   41163G101       203       3,941      X
NONE        0         0    3,941
0HARCOURT GEN INC               COMMON   41163G101       619      12,000
X              0001   12,000         0        0
0HARLEY DAVIDSON INC            COMMON   412822108       415       7,640      X
NONE    6,240         0    1,400
0HARLEY DAVIDSON INC            COMMON   412822108       544      10,000
X              0001   10,000         0        0
0HARLEY DAVIDSON INC            COMMON   412822108        92       1,700
X              0012    1,700         0        0
0HARRIS CORP /DEL/              COMMON   413875105       432      11,020      X
NONE        0         0   11,020
0HARRIS CORP /DEL/              COMMON   413875105        22         550
X              0003      550         0        0
0HARTE-HANKS INC                COMMON   416196103    35,118   1,294,668      X
NONE    3,000         0 1291,668
0HARTFORD FINL SVCS GROUP INC   COMMON   416515104       548       9,400      X
NONE    8,800         0      600
0HARTFORD FINL SVCS GROUP INC   COMMON   416515104        58       1,000
X              0001    1,000         0        0
0HASBRO INC                     COMMON   418056107     1,836      65,703      X
NONE   41,178         0   24,525
0HEALTHSOUTH CORPORATION        COMMON   421924101     7,375     495,797      X
NONE  289,468         0  206,329
0HEALTHSOUTH CORPORATION        COMMON   421924101     1,449      97,400
X              0001   97,400         0        0
0HEALTHSOUTH CORPORATION        COMMON   421924101       161      10,800
X              0007   10,800         0        0
0HEALTHSOUTH CORPORATION        COMMON   421924101       141       9,450
X              0012    9,450         0        0
0HEINZ /H J/ CO                 COMMON   423074103    25,186     502,456      X
NONE  178,779         0  323,677
0HEINZ /H J/ CO                 COMMON   423074103     4,369      87,157
X              0001   87,157         0        0
0HEINZ /H J/ CO                 COMMON   423074103     1,266      25,250
X              0007   25,250         0        0
0HEINZ /H J/ CO                 COMMON   423074103       489       9,750
X              0012    9,750         0        0
0HERSHEY FOODS CORP             COMMON   427866108       641      10,788      X
NONE    2,488         0    8,300
- -  COLUMN  TOTALS                                     80,961
06/30/99
1
(SEC USE ONLY)
 PAGE     31  OF     64        FORM 13F       NAME OF REPORTING MANAGER - BROWN
BROTHERS HARRIMAN, AND COMPANY   FILE NUMBER 28-408
- -ITEM 1                         ITEM 2   ITEM 3       ITEM 4      ITEM 5
ITEM 6           ITEM 7           ITEM 8
0

INVESTMENT   DISCRETION             VOTING     AUTHORITY
                                                        FAIR
(B)
                                                      MARKET
SHARED AS          MGRS
                                TITLE                  VALUE   SHARES OR     (A)
DEFINED    (C)     SEE      (A)     (B)       (C)
                                OF       CUSIP          (000   PRINCIPAL
IN      SHARED  INSTR
 NAME  OF  ISSUER               CLASS    NUMBER     OMITTED)      AMOUNT
SOLE  INSTR V   OTHER     V      SOLE    SHARED     NONE
0HERSHEY FOODS CORP             COMMON   427866108        48         800
X              0001      800         0        0
0HEWLETT-PACKARD                COMMON   428236103    80,725     803,233      X
NONE  422,827         0  380,406
0HEWLETT-PACKARD                COMMON   428236103     9,887      98,379
X              0001   98,379         0        0
0HEWLETT-PACKARD                COMMON   428236103     1,839      18,300
X              0007   18,300         0        0
0HEWLETT-PACKARD                COMMON   428236103     1,988      19,780
X              0012   19,780         0        0
0HIGHWOODS PPTYS INC            COMMON   431284108       447      16,300      X
NONE    4,700         0   11,600
0HILTON HOTELS                  COMMON   432848109     2,376     167,450      X
NONE  100,900         0   66,550
0HILTON HOTELS                  COMMON   432848109       358      25,225
X              0001   25,225         0        0
0HILTON HOTELS                  COMMON   432848109       113       8,000
X              0007    8,000         0        0
0HILTON HOTELS                  COMMON   432848109       145      10,250
X              0012   10,250         0        0
0HILTON HOTELS CV 5% 5/15/06    CON BOND 432848AL3    41,288     450,000      X
NONE   50,000         0  400,000
0HILTON HOTELS CV 5% 5/15/06    CON BOND 432848AL3     9,175     100,000
X              0001  100,000         0        0
0HOLLY CORP $0.01 PAR           COMMON   435758305    24,600   1,839,268
X              0007 1839,268         0        0
0HOME DEPOT INC                 COMMON   437076102    54,497     845,743      X
NONE  386,975         0  458,768
0HOME DEPOT INC                 COMMON   437076102     4,789      74,319
X              0001   74,319         0        0
0HOME DEPOT INC                 COMMON   437076102       187       2,900
X              0007    2,900         0        0
0HOME DEPOT INC                 COMMON   437076102       631       9,800
X              0012    9,800         0        0
0HOMESTAKE MINING               COMMON   437614100     7,248     885,309      X
NONE        0         0  885,309
0HOMESTEAD VILLAGE PPTYS INC    COMMON   437851108        27      11,115      X
NONE    5,970         0    5,144
0HOMESTEAD VILLAGE PPTYS INC    COMMON   437851108        10       4,026
X              0001    4,026         0        0
- -  COLUMN  TOTALS                                    240,378
06/30/99
1
(SEC USE ONLY)
 PAGE     32  OF     64        FORM 13F       NAME OF REPORTING MANAGER - BROWN
BROTHERS HARRIMAN, AND COMPANY   FILE NUMBER 28-408
- -ITEM 1                         ITEM 2   ITEM 3       ITEM 4      ITEM 5
ITEM 6           ITEM 7           ITEM 8
0

INVESTMENT   DISCRETION             VOTING     AUTHORITY
                                                        FAIR
(B)
                                                      MARKET
SHARED AS          MGRS
                                TITLE                  VALUE   SHARES OR     (A)
DEFINED    (C)     SEE      (A)     (B)       (C)
                                OF       CUSIP          (000   PRINCIPAL
IN      SHARED  INSTR
 NAME  OF  ISSUER               CLASS    NUMBER     OMITTED)      AMOUNT
SOLE  INSTR V   OTHER     V      SOLE    SHARED     NONE
0HOMESTEAD VILLAGE PPTYS INC    COMMON   437851108         0          70
X              0007       70         0        0
0HONEYWELL INC                  COMMON   438506107     5,749      49,612      X
NONE        0         0   49,612
0HONEYWELL INC                  COMMON   438506107       514       4,436
X              0001    4,436         0        0
0HONEYWELL INC                  COMMON   438506107     3,882      33,500
X              0012   33,500         0        0
0HOST MARRIOTT SERVICES CORP    COMMON   440914109     1,207     148,570      X
NONE   23,724         0  124,846
0HOST MARRIOTT SERVICES CORP    COMMON   440914109       224      27,535
X              0001   27,535         0        0
0HOUSEHOLD INTNATL INC          COMMON   441815107     5,809     122,612      X
NONE  119,912         0    2,700
0HOUSEHOLD INTNATL INC          COMMON   441815107       171       3,600
X              0001    3,600         0        0
0HOUSEHOLD INTNATL INC          COMMON   441815107     8,891     187,677
X              0012  187,677         0        0
0HUNTINGTON BANCSHARES INC      COMMON   446150104    11,621     332,032      X
NONE        0         0  332,032
0ILLINOIS TOOL WORKS            COMMON   452308109    47,006     575,000      X
NONE  239,686         0  335,314
0ILLINOIS TOOL WORKS            COMMON   452308109     3,963      48,475
X              0001   48,475         0        0
0ILLINOIS TOOL WORKS            COMMON   452308109       601       7,350
X              0007    7,350         0        0
0ILLINOIS TOOL WORKS            COMMON   452308109       384       4,700
X              0012    4,700         0        0
0IMAGE SENSING SYSTEMS INC      COMMON   45244C104       626     154,200      X
NONE        0         0  154,200
0IMATION CORPORATION            COMMON   45245A107       121       4,885      X
NONE    1,349         0    3,535
0IMATION CORPORATION            COMMON   45245A107       176       7,108
X              0001    7,108         0        0
0IMATION CORPORATION            COMMON   45245A107         0           0
X              0007        0         0        0
0IMAX CORP                      COMMON   45245E109     2,598     115,450      X
NONE   41,800         0   73,650
0IMAX CORP                      COMMON   45245E109        18         800
X              0007      800         0        0
- -  COLUMN  TOTALS                                     93,561
06/30/99
1
(SEC USE ONLY)
 PAGE     33  OF     64        FORM 13F       NAME OF REPORTING MANAGER - BROWN
BROTHERS HARRIMAN, AND COMPANY   FILE NUMBER 28-408
- -ITEM 1                         ITEM 2   ITEM 3       ITEM 4      ITEM 5
ITEM 6           ITEM 7           ITEM 8
0

INVESTMENT   DISCRETION             VOTING     AUTHORITY
                                                        FAIR
(B)
                                                      MARKET
SHARED AS          MGRS
                                TITLE                  VALUE   SHARES OR     (A)
DEFINED    (C)     SEE      (A)     (B)       (C)
                                OF       CUSIP          (000   PRINCIPAL
IN      SHARED  INSTR
 NAME  OF  ISSUER               CLASS    NUMBER     OMITTED)      AMOUNT
SOLE  INSTR V   OTHER     V      SOLE    SHARED     NONE
0IMMUNEX CORPORATION            COMMON   452528102       255       2,000      X
NONE        0         0    2,000
0IMPERIAL CR COML MTG INVT CORP COMMON   45272T102       259      24,000      X
NONE   24,000         0        0
0INCO LTD DEB CONV 5.75% 7/1/04 CON BOND 453258AK1     4,556      50,000
X              0001   50,000         0        0
0INCYTE PHARMACEUTICALS INC     COMMON   45337C102     4,736     179,150      X
NONE  113,300         0   65,850
0INCYTE PHARMACEUTICALS INC     COMMON   45337C102       336      12,725
X              0001   12,725         0        0
0INCYTE PHARMACEUTICALS INC     COMMON   45337C102       312      11,800
X              0007   11,800         0        0
0INCYTE PHARMACEUTICALS INC     COMMON   45337C102       243       9,200
X              0012    9,200         0        0
0INGERSOLL RAND                 COMMON   456866102     5,880      90,992      X
NONE   74,017         0   16,975
0INGERSOLL RAND                 COMMON   456866102     2,068      32,000
X              0001   32,000         0        0
0INGERSOLL RAND                 COMMON   456866102       291       4,500
X              0012    4,500         0        0
0INTEGRATED HEALTH SERV /REST/  COMMON   45812C106       104      12,978      X
NONE        0         0   12,978
0INTEGRATED MEASUREMENT SYSTEMS COMMON   457923100     2,581     200,430      X
NONE  112,400         0   88,030
0INTEGRATED MEASUREMENT SYSTEMS COMMON   457923100       202      15,700
X              0001   15,700         0        0
0INTEGRATED MEASUREMENT SYSTEMS COMMON   457923100       196      15,200
X              0012   15,200         0        0
0INTEL CORP                     COMMON   458140100    41,477     697,079      X
NONE  395,302         0  301,777
0INTEL CORP                     COMMON   458140100     4,625      77,726
X              0001   77,726         0        0
0INTEL CORP                     COMMON   458140100       536       9,000
X              0007    9,000         0        0
0INTEL CORP                     COMMON   458140100     1,309      22,000
X              0012   22,000         0        0
0INTELECT COMMUNICATIONS INC    COMMON   458144102        41      28,572      X
NONE   28,572         0        0
0INTERPUBLIC GROUP COS INC      COMMON   460690100     8,482     205,000      X
NONE        0         0  205,000
- -  COLUMN  TOTALS                                     78,489
06/30/99
1
(SEC USE ONLY)
 PAGE     34  OF     64        FORM 13F       NAME OF REPORTING MANAGER - BROWN
BROTHERS HARRIMAN, AND COMPANY   FILE NUMBER 28-408
- -ITEM 1                         ITEM 2   ITEM 3       ITEM 4      ITEM 5
ITEM 6           ITEM 7           ITEM 8
0

INVESTMENT   DISCRETION             VOTING     AUTHORITY
                                                        FAIR
(B)
                                                      MARKET
SHARED AS          MGRS
                                TITLE                  VALUE   SHARES OR     (A)
DEFINED    (C)     SEE      (A)     (B)       (C)
                                OF       CUSIP          (000   PRINCIPAL
IN      SHARED  INSTR
 NAME  OF  ISSUER               CLASS    NUMBER     OMITTED)      AMOUNT
SOLE  INSTR V   OTHER     V      SOLE    SHARED     NONE
0INTERPUBLIC GROUP COS INC      COMMON   460690100       892      21,564
X              0001   21,564         0        0
0INTNATL BUSINESS MACHINES      COMMON   459200101    84,859     656,551      X
NONE  280,887         0  375,664
0INTNATL BUSINESS MACHINES      COMMON   459200101    12,110      93,696
X              0001   93,696         0        0
0INTNATL BUSINESS MACHINES      COMMON   459200101        60         466
X              0003      466         0        0
0INTNATL BUSINESS MACHINES      COMMON   459200101    28,630     221,508
X              0007  221,508         0        0
0INTNATL BUSINESS MACHINES      COMMON   459200101     2,659      20,570
X              0012   20,570         0        0
0INTNATL FLAVORS & FRAGRANCES   COMMON   459506101       352       7,998      X
NONE    2,700         0    5,298
0INTNATL PAPER CO               COMMON   460146103    16,982     337,949      X
NONE  196,700         0  141,249
0INTNATL PAPER CO               COMMON   460146103     1,357      27,000
X              0001   27,000         0        0
0ISS GROUP INC /REST/           COMMON   450306105       705      18,672      X
NONE    4,668         0   14,004
0JEFFERSON PILOT CORP           COMMON   475070108       179       2,700      X
NONE        0         0    2,700
0JEFFERSON PILOT CORP           COMMON   475070108       251       3,795
X              0007    3,795         0        0
0JEFFERSON PILOT CORP           COMMON   475070108        10         150
X              0012      150         0        0
0JOHNSON & JOHNSON              COMMON   478160104    33,550     342,342      X
NONE  189,097         0  153,245
0JOHNSON & JOHNSON              COMMON   478160104     1,702      17,368
X              0001   17,368         0        0
0JOHNSON & JOHNSON              COMMON   478160104        29         300
X              0003      300         0        0
0JOHNSON & JOHNSON              COMMON   478160104     1,474      15,042
X              0007   15,042         0        0
0JOHNSON & JOHNSON              COMMON   478160104     1,210      12,350
X              0012   12,350         0        0
0JOHNSON CONTROLS INC           COMMON   478366107       383       5,521      X
NONE    2,446         0    3,075
0K MART CORP                    COMMON   482584109     2,478     150,180      X
NONE  105,200         0   44,980
- -  COLUMN  TOTALS                                    189,872
06/30/99
1
(SEC USE ONLY)
 PAGE     35  OF     64        FORM 13F       NAME OF REPORTING MANAGER - BROWN
BROTHERS HARRIMAN, AND COMPANY   FILE NUMBER 28-408
- -ITEM 1                         ITEM 2   ITEM 3       ITEM 4      ITEM 5
ITEM 6           ITEM 7           ITEM 8
0

INVESTMENT   DISCRETION             VOTING     AUTHORITY
                                                        FAIR
(B)
                                                      MARKET
SHARED AS          MGRS
                                TITLE                  VALUE   SHARES OR     (A)
DEFINED    (C)     SEE      (A)     (B)       (C)
                                OF       CUSIP          (000   PRINCIPAL
IN      SHARED  INSTR
 NAME  OF  ISSUER               CLASS    NUMBER     OMITTED)      AMOUNT
SOLE  INSTR V   OTHER     V      SOLE    SHARED     NONE
0K MART CORP                    COMMON   482584109        17       1,000
X              0001    1,000         0        0
0KEANE INC                      COMMON   486665102       466      20,600      X
NONE   20,000         0      600
0KELLOGG CO                     COMMON   487836108     1,913      57,958      X
NONE   11,808         0   46,150
0KELLOGG CO                     COMMON   487836108     1,850      56,062
X              0001   56,062         0        0
0KELLOGG CO                     COMMON   487836108       152       4,600
X              0012    4,600         0        0
0KENNAMETAL INC                 COMMON   489170100     9,647     311,200      X
NONE  129,250         0  181,950
0KENNAMETAL INC                 COMMON   489170100       614      19,800
X              0001   19,800         0        0
0KENNAMETAL INC                 COMMON   489170100       158       5,100
X              0007    5,100         0        0
0KENNAMETAL INC                 COMMON   489170100        74       2,400
X              0012    2,400         0        0
0KENT ELECTRONICS CORP          COMMON   490553104       252      12,700      X
NONE      700         0   12,000
0KEYCORP                        COMMON   493267108       381      11,850      X
NONE   11,000         0      850
0KEYCORP                        COMMON   493267108        45       1,400
X              0001    1,400         0        0
0KEYCORP                        COMMON   493267108        31         964
X              0012      964         0        0
0KIMBERLY CLARK                 COMMON   494368103     7,466     130,977      X
NONE   22,340         0  108,637
0KIMBERLY CLARK                 COMMON   494368103       592      10,394
X              0001   10,394         0        0
0KIMBERLY CLARK                 COMMON   494368103     6,993     122,686
X              0007  122,686         0        0
0KIMBERLY CLARK                 COMMON   494368103       241       4,232
X              0012    4,232         0        0
0KINDER MORGAN ENERGY PARTN LP  COMMON   494550106       666      18,000      X
NONE        0         0   18,000
0KMART /TOPRS/CNV 7.75% 6/15/16 CON BOND 498778208        59       1,000      X
NONE    1,000         0        0
0KMART /TOPRS/CNV 7.75% 6/15/16 CON BOND 498778208       129       2,200
X              0001    2,200         0        0
- -  COLUMN  TOTALS                                     31,745
06/30/99
1
(SEC USE ONLY)
 PAGE     36  OF     64        FORM 13F       NAME OF REPORTING MANAGER - BROWN
BROTHERS HARRIMAN, AND COMPANY   FILE NUMBER 28-408
- -ITEM 1                         ITEM 2   ITEM 3       ITEM 4      ITEM 5
ITEM 6           ITEM 7           ITEM 8
0

INVESTMENT   DISCRETION             VOTING     AUTHORITY
                                                        FAIR
(B)
                                                      MARKET
SHARED AS          MGRS
                                TITLE                  VALUE   SHARES OR     (A)
DEFINED    (C)     SEE      (A)     (B)       (C)
                                OF       CUSIP          (000   PRINCIPAL
IN      SHARED  INSTR
 NAME  OF  ISSUER               CLASS    NUMBER     OMITTED)      AMOUNT
SOLE  INSTR V   OTHER     V      SOLE    SHARED     NONE
0KMART /TOPRS/CNV 7.75% 6/15/16 CON BOND 498778208        59       1,000
X              0012    1,000         0        0
0KN ENERGY INC                  COMMON   482620101     1,432     107,062      X
NONE   33,661         0   73,400
0KN ENERGY INC                  COMMON   482620101       158      11,832
X              0001   11,832         0        0
0KN ENERGY INC                  COMMON   482620101        13         975
X              0012      975         0        0
0KNIGHT RIDDER INC              COMMON   499040103    21,968     398,968      X
NONE  249,000         0  149,968
0KOHLS CORP                     COMMON   500255104    30,590     397,919      X
NONE  131,714         0  266,205
0KOHLS CORP                     COMMON   500255104     4,239      55,140
X              0001   55,140         0        0
0KOHLS CORP                     COMMON   500255104       988      12,850
X              0007   12,850         0        0
0KOHLS CORP                     COMMON   500255104       308       4,000
X              0012    4,000         0        0
0KROGER CO                      COMMON   501044101       268       9,601      X
NONE    1,725         0    7,876
0KROGER CO                      COMMON   501044101       240       8,600
X              0012    8,600         0        0
0LATIN AMERICAN CASINOS INC     COMMON   51827W103        34      25,000      X
NONE   25,000         0        0
0LAUDER ESTEE COS INC CL A      COMMON   518439104    40,504     808,065      X
NONE  317,733         0  490,332
0LAUDER ESTEE COS INC CL A      COMMON   518439104     7,275     145,145
X              0001  145,145         0        0
0LAUDER ESTEE COS INC CL A      COMMON   518439104       742      14,800
X              0007   14,800         0        0
0LAUDER ESTEE COS INC CL A      COMMON   518439104       697      13,900
X              0012   13,900         0        0
0LEAR CORP                      COMMON   521865105    15,631     314,190      X
NONE  120,550         0  193,640
0LEAR CORP                      COMMON   521865105     1,570      31,550
X              0001   31,550         0        0
0LEAR CORP                      COMMON   521865105       353       7,100
X              0007    7,100         0        0
0LEAR CORP                      COMMON   521865105        72       1,450
X              0012    1,450         0        0
- -  COLUMN  TOTALS                                    127,140
06/30/99
1
(SEC USE ONLY)
 PAGE     37  OF     64        FORM 13F       NAME OF REPORTING MANAGER - BROWN
BROTHERS HARRIMAN, AND COMPANY   FILE NUMBER 28-408
- -ITEM 1                         ITEM 2   ITEM 3       ITEM 4      ITEM 5
ITEM 6           ITEM 7           ITEM 8
0

INVESTMENT   DISCRETION             VOTING     AUTHORITY
                                                        FAIR
(B)
                                                      MARKET
SHARED AS          MGRS
                                TITLE                  VALUE   SHARES OR     (A)
DEFINED    (C)     SEE      (A)     (B)       (C)
                                OF       CUSIP          (000   PRINCIPAL
IN      SHARED  INSTR
 NAME  OF  ISSUER               CLASS    NUMBER     OMITTED)      AMOUNT
SOLE  INSTR V   OTHER     V      SOLE    SHARED     NONE
0LEGGETT & PLATT INC            COMMON   524660107       278       9,999      X
NONE    9,718         0      281
0LEXMARK INTL GROUP INC CL A    COMMON   529771107     6,416      97,950      X
NONE   57,950         0   40,000
0LEXMARK INTL GROUP INC CL A    COMMON   529771107       606       9,250
X              0001    9,250         0        0
0LEXMARK INTL GROUP INC CL A    COMMON   529771107        33         500
X              0012      500         0        0
0LIBBEY INC                     COMMON   529898108     1,344      46,350      X
NONE   13,200         0   33,150
0LIBBEY INC                     COMMON   529898108        23         800
X              0001      800         0        0
0LILLY /ELI/ & CO               COMMON   532457108    69,120     965,021      X
NONE  386,971         0  578,050
0LILLY /ELI/ & CO               COMMON   532457108     6,662      93,012
X              0001   93,012         0        0
0LILLY /ELI/ & CO               COMMON   532457108     1,098      15,328
X              0007   15,328         0        0
0LILLY /ELI/ & CO               COMMON   532457108     1,898      26,500
X              0012   26,500         0        0
0LITTON INDUSTRIES              COMMON   538021106       938      13,000      X
NONE        0         0   13,000
0LL&E ROYALTY TRUST UBI         COMMON   502003106        18      10,000      X
NONE        0         0   10,000
0LOCAL FINANCIAL CORP           COMMON   539553107     1,975     200,000
X              0007  200,000         0        0
0LOCKHEED MARTIN CORP           COMMON   539830109     5,211     139,885      X
NONE   85,006         0   54,879
0LOCKHEED MARTIN CORP           COMMON   539830109        59       1,586
X              0001    1,586         0        0
0LOEWS CORP                     COMMON   540424108       237       3,000      X
NONE        0         0    3,000
0LOEWS CORP CV 3.125% 09/15/07  CON BOND 540424AL2     4,250      50,000      X
NONE        0         0   50,000
0LORAL SPACE & COMMUN LTD       COMMON   G56462107       227      12,600      X
NONE        0         0   12,600
0LOWES COMPANIES                COMMON   548661107     6,369     112,355      X
NONE   79,878         0   32,477
0LOWES COMPANIES                COMMON   548661107       408       7,200
X              0001    7,200         0        0
- -  COLUMN  TOTALS                                    107,170
06/30/99
1
(SEC USE ONLY)
 PAGE     38  OF     64        FORM 13F       NAME OF REPORTING MANAGER - BROWN
BROTHERS HARRIMAN, AND COMPANY   FILE NUMBER 28-408
- -ITEM 1                         ITEM 2   ITEM 3       ITEM 4      ITEM 5
ITEM 6           ITEM 7           ITEM 8
0

INVESTMENT   DISCRETION             VOTING     AUTHORITY
                                                        FAIR
(B)
                                                      MARKET
SHARED AS          MGRS
                                TITLE                  VALUE   SHARES OR     (A)
DEFINED    (C)     SEE      (A)     (B)       (C)
                                OF       CUSIP          (000   PRINCIPAL
IN      SHARED  INSTR
 NAME  OF  ISSUER               CLASS    NUMBER     OMITTED)      AMOUNT
SOLE  INSTR V   OTHER     V      SOLE    SHARED     NONE
0LOWES COMPANIES                COMMON   548661107       187       3,300
X              0012    3,300         0        0
0LSI LOGIC CORP                 COMMON   502161102       371       8,050      X
NONE    6,300         0    1,750
0LSI LOGIC CORP                 COMMON   502161102        28         600
X              0001      600         0        0
0LSI LOGIC CORP                 COMMON   502161102        55       1,200
X              0012    1,200         0        0
0LUCENT TECHNOLOGIES INC        COMMON   549463107    37,669     558,582      X
NONE  350,831         0  207,751
0LUCENT TECHNOLOGIES INC        COMMON   549463107     6,006      89,060
X              0001   89,060         0        0
0LUCENT TECHNOLOGIES INC        COMMON   549463107     1,488      22,059
X              0007   22,059         0        0
0LUCENT TECHNOLOGIES INC        COMMON   549463107     1,552      23,011
X              0012   23,011         0        0
0LYCOS INC                      COMMON   550818108       539       5,870      X
NONE      400         0    5,470
0MAGELLAN HEALTH SVCS INC       COMMON   559079108       150      15,000      X
NONE   15,000         0        0
0MARSH & MCLENNAN COS INC       COMMON   571748102    38,809     512,755      X
NONE  335,296         0  177,459
0MARSH & MCLENNAN COS INC       COMMON   571748102       647       8,550
X              0001    8,550         0        0
0MARSH & MCLENNAN COS INC       COMMON   571748102        68         900
X              0012      900         0        0
0MARSH & MCLENNAN COS INC /REST COMMON   571748102    32,990     435,872      X
NONE  109,228         0  326,644
0MASCO CORP                     COMMON   574599106       269       9,320      X
NONE    4,704         0    4,616
0MASCOTECH INC /RESTRICTED/     COMMON   574670105    10,007     590,812      X
NONE  590,812         0        0
0MATTEL INC                     COMMON   577081102    10,932     418,445      X
NONE  273,131         0  145,314
0MATTEL INC                     COMMON   577081102     1,560      59,713
X              0001   59,713         0        0
0MATTEL INC                     COMMON   577081102        27       1,050
X              0003    1,050         0        0
0MATTEL INC                     COMMON   577081102       633      24,237
X              0007   24,237         0        0
- -  COLUMN  TOTALS                                    143,988
06/30/99
1
(SEC USE ONLY)
 PAGE     39  OF     64        FORM 13F       NAME OF REPORTING MANAGER - BROWN
BROTHERS HARRIMAN, AND COMPANY   FILE NUMBER 28-408
- -ITEM 1                         ITEM 2   ITEM 3       ITEM 4      ITEM 5
ITEM 6           ITEM 7           ITEM 8
0

INVESTMENT   DISCRETION             VOTING     AUTHORITY
                                                        FAIR
(B)
                                                      MARKET
SHARED AS          MGRS
                                TITLE                  VALUE   SHARES OR     (A)
DEFINED    (C)     SEE      (A)     (B)       (C)
                                OF       CUSIP          (000   PRINCIPAL
IN      SHARED  INSTR
 NAME  OF  ISSUER               CLASS    NUMBER     OMITTED)      AMOUNT
SOLE  INSTR V   OTHER     V      SOLE    SHARED     NONE
0MATTEL INC                     COMMON   577081102       202       7,726
X              0012    7,726         0        0
0MAY DEPT STORES                COMMON   577778103     2,586      63,258      X
NONE   17,823         0   45,435
0MAY DEPT STORES                COMMON   577778103       561      13,725
X              0001   13,725         0        0
0MAY DEPT STORES                COMMON   577778103       337       8,256
X              0012    8,256         0        0
0MAYTAG CORP                    COMMON   578592107       338       4,839      X
NONE      740         0    4,099
0MAYTAG CORP                    COMMON   578592107        49         700
X              0001      700         0        0
0MBNA CORP                      COMMON   55262L100     2,743      89,564      X
NONE   86,188         0    3,376
0MBNA CORP                      COMMON   55262L100        18         600
X              0001      600         0        0
0MBNA CORP                      COMMON   55262L100       163       5,321
X              0012    5,321         0        0
0MC DONALDS CORP                COMMON   580135101     8,788     213,691      X
NONE   71,744         0  141,947
0MC DONALDS CORP                COMMON   580135101     1,816      44,150
X              0001   44,150         0        0
0MC DONALDS CORP                COMMON   580135101        33         800
X              0003      800         0        0
0MC DONALDS CORP                COMMON   580135101     1,425      34,640
X              0012   34,640         0        0
0MC GRAW HILL COMPANIES INC     COMMON   580645109       245       4,536      X
NONE    4,536         0        0
0MCI WORLDCOM INC               COMMON   55268B106     1,332      15,472      X
NONE    4,610         0   10,862
0MCI WORLDCOM INC               COMMON   55268B106       169       1,960
X              0001    1,960         0        0
0MCI WORLDCOM INC               COMMON   55268B106       224       2,600
X              0012    2,600         0        0
0MCKESSON HBOC INC              COMMON   58155Q103     4,874     151,439      X
NONE   73,770         0   77,669
0MCKESSON HBOC INC              COMMON   58155Q103       479      14,885
X              0001   14,885         0        0
0MCKESSON HBOC INC              COMMON   58155Q103       328      10,200
X              0007   10,200         0        0
- -  COLUMN  TOTALS                                     26,709
06/30/99
1
(SEC USE ONLY)
 PAGE     40  OF     64        FORM 13F       NAME OF REPORTING MANAGER - BROWN
BROTHERS HARRIMAN, AND COMPANY   FILE NUMBER 28-408
- -ITEM 1                         ITEM 2   ITEM 3       ITEM 4      ITEM 5
ITEM 6           ITEM 7           ITEM 8
0

INVESTMENT   DISCRETION             VOTING     AUTHORITY
                                                        FAIR
(B)
                                                      MARKET
SHARED AS          MGRS
                                TITLE                  VALUE   SHARES OR     (A)
DEFINED    (C)     SEE      (A)     (B)       (C)
                                OF       CUSIP          (000   PRINCIPAL
IN      SHARED  INSTR
 NAME  OF  ISSUER               CLASS    NUMBER     OMITTED)      AMOUNT
SOLE  INSTR V   OTHER     V      SOLE    SHARED     NONE
0MCKESSON HBOC INC              COMMON   58155Q103        92       2,860
X              0012    2,860         0        0
0MCLEODUSA INC                  COMMON   582266102     3,356      61,025      X
NONE   28,550         0   32,475
0MCLEODUSA INC                  COMMON   582266102       337       6,125
X              0001    6,125         0        0
0MCN ENERGY GROUP INC           COMMON   55267J100     2,924     140,898      X
NONE   62,627         0   78,271
0MCN ENERGY GROUP INC           COMMON   55267J100       520      25,070
X              0001   25,070         0        0
0MCN ENERGY GROUP INC           COMMON   55267J100        56       2,700
X              0007    2,700         0        0
0MCN ENERGY GROUP INC           COMMON   55267J100       120       5,800
X              0012    5,800         0        0
0MEDIAONE GROUP INC             COMMON   58440J104    28,900     388,575      X
NONE  238,207         0  150,368
0MEDIAONE GROUP INC             COMMON   58440J104     2,440      32,800
X              0001   32,800         0        0
0MEDTRONIC INC                  COMMON   585055106   113,478   1,457,180      X
NONE  680,899         0  776,281
0MEDTRONIC INC                  COMMON   585055106     9,905     127,185
X              0001  127,185         0        0
0MEDTRONIC INC                  COMMON   585055106     5,936      76,225
X              0007   76,225         0        0
0MEDTRONIC INC                  COMMON   585055106     2,204      28,300
X              0012   28,300         0        0
0MELLON BANK CORP               COMMON   585509102     2,140      58,841      X
NONE   30,616         0   28,225
0MELLON BANK CORP               COMMON   585509102        25         700
X              0001      700         0        0
0MELLON BANK CORP               COMMON   585509102        65       1,800
X              0012    1,800         0        0
0MERCK & CO                     COMMON   589331107    61,684     837,813      X
NONE  188,600         0  649,213
0MERCK & CO                     COMMON   589331107    14,164     192,386
X              0001  192,386         0        0
0MERCK & CO                     COMMON   589331107     3,292      44,718
X              0007   44,718         0        0
0MERCK & CO                     COMMON   589331107     4,170      56,634
X              0012   56,634         0        0
- -  COLUMN  TOTALS                                    255,809
06/30/99
1
(SEC USE ONLY)
 PAGE     41  OF     64        FORM 13F       NAME OF REPORTING MANAGER - BROWN
BROTHERS HARRIMAN, AND COMPANY   FILE NUMBER 28-408
- -ITEM 1                         ITEM 2   ITEM 3       ITEM 4      ITEM 5
ITEM 6           ITEM 7           ITEM 8
0

INVESTMENT   DISCRETION             VOTING     AUTHORITY
                                                        FAIR
(B)
                                                      MARKET
SHARED AS          MGRS
                                TITLE                  VALUE   SHARES OR     (A)
DEFINED    (C)     SEE      (A)     (B)       (C)
                                OF       CUSIP          (000   PRINCIPAL
IN      SHARED  INSTR
 NAME  OF  ISSUER               CLASS    NUMBER     OMITTED)      AMOUNT
SOLE  INSTR V   OTHER     V      SOLE    SHARED     NONE
0MERITOR AUTOMOTIVE INC         COMMON   59000G100     1,291      50,625      X
NONE    1,718         0   48,907
0MERITOR AUTOMOTIVE INC         COMMON   59000G100       409      16,053
X              0001   16,053         0        0
0MERITOR AUTOMOTIVE INC         COMMON   59000G100        14         540
X              0007      540         0        0
0MERRILL LYNCH & CO             COMMON   590188108    13,950     175,470      X
NONE   85,770         0   89,700
0MERRILL LYNCH & CO             COMMON   590188108     3,311      41,650
X              0001   41,650         0        0
0MERRILL LYNCH & CO             COMMON   590188108       103       1,300
X              0007    1,300         0        0
0MERRILL LYNCH & CO             COMMON   590188108       310       3,900
X              0012    3,900         0        0
0METALS USA INC /REST/          COMMON   591324108     7,414     581,528      X
NONE        0         0  581,528
0METAMOR WORLDWIDE INC          COMMON   59133P100       421      17,500      X
NONE   17,500         0        0
0METHANEX CORP /CAD/            COMMON   59151K108        54      14,340      X
NONE      790         0   13,550
0METRO GOLDWYN MAYER INC        COMMON   591610100       183      10,000      X
NONE   10,000         0        0
0METTLER TOLEDO INTL            COMMON   592688105       181       7,097      X
NONE        0         0    7,097
0METTLER TOLEDO INTL            COMMON   592688105        28       1,100
X              0003    1,100         0        0
0MGI PHARMACEUTICALS INC        COMMON   552880106       123      11,700      X
NONE   11,000         0      700
0MICROCHIP TECHNOLOGY INC       COMMON   595017104       275       5,797      X
NONE        0         0    5,797
0MICROSOFT CORP                 COMMON   594918104   109,403   1,213,064      X
NONE  519,710         0  693,354
0MICROSOFT CORP                 COMMON   594918104    14,688     162,860
X              0001  162,860         0        0
0MICROSOFT CORP                 COMMON   594918104       685       7,600
X              0007    7,600         0        0
0MICROSOFT CORP                 COMMON   594918104     1,921      21,300
X              0012   21,300         0        0
0MICROSOFT CORP /REST/          COMMON   594918104     1,552      17,205      X
NONE        0         0   17,205
- -  COLUMN  TOTALS                                    156,315
06/30/99
1
(SEC USE ONLY)
 PAGE     42  OF     64        FORM 13F       NAME OF REPORTING MANAGER - BROWN
BROTHERS HARRIMAN, AND COMPANY   FILE NUMBER 28-408
- -ITEM 1                         ITEM 2   ITEM 3       ITEM 4      ITEM 5
ITEM 6           ITEM 7           ITEM 8
0

INVESTMENT   DISCRETION             VOTING     AUTHORITY
                                                        FAIR
(B)
                                                      MARKET
SHARED AS          MGRS
                                TITLE                  VALUE   SHARES OR     (A)
DEFINED    (C)     SEE      (A)     (B)       (C)
                                OF       CUSIP          (000   PRINCIPAL
IN      SHARED  INSTR
 NAME  OF  ISSUER               CLASS    NUMBER     OMITTED)      AMOUNT
SOLE  INSTR V   OTHER     V      SOLE    SHARED     NONE
0MICROSOFT CORP A CV PFD $2.196 CONV PFD 594918203       240       2,400      X
NONE      500         0    1,900
0MIDCAP SPDR TR UNIT 1 S&P 400  COMMON   595635103       406       5,176      X
NONE    5,176         0        0
0MILLIPORE CORP                 COMMON   601073109    12,899     318,011      X
NONE   95,967         0  222,044
0MILLIPORE CORP                 COMMON   601073109     2,373      58,500
X              0001   58,500         0        0
0MILLIPORE CORP                 COMMON   601073109    10,280     253,450
X              0007  253,450         0        0
0MILLIPORE CORP                 COMMON   601073109       122       3,000
X              0012    3,000         0        0
0MINNESOTA MINING & MFG         COMMON   604059105    15,023     172,801      X
NONE   45,281         0  127,520
0MINNESOTA MINING & MFG         COMMON   604059105    15,568     179,072
X              0001  179,072         0        0
0MINNESOTA MINING & MFG         COMMON   604059105    10,162     116,890
X              0007  116,890         0        0
0MINNESOTA MINING & MFG         COMMON   604059105     1,062      12,215
X              0012   12,215         0        0
0MOBIL CORP                     COMMON   607059102    50,742     513,844      X
NONE  279,538         0  234,306
0MOBIL CORP                     COMMON   607059102     4,196      42,490
X              0001   42,490         0        0
0MOBIL CORP                     COMMON   607059102       262       2,650
X              0007    2,650         0        0
0MOBIL CORP                     COMMON   607059102       912       9,236
X              0012    9,236         0        0
0MONSANTO CO                    COMMON   611662107    15,142     382,746      X
NONE  146,270         0  236,476
0MONSANTO CO                    COMMON   611662107     1,091      27,574
X              0001   27,574         0        0
0MONSANTO CO                    COMMON   611662107        20         500
X              0003      500         0        0
0MONSANTO CO                    COMMON   611662107       429      10,850
X              0007   10,850         0        0
0MONSANTO CO                    COMMON   611662107       504      12,750
X              0012   12,750         0        0
0MORGAN /J P/ & CO              COMMON   616880100     7,544      53,696      X
NONE    8,396         0   45,300
- -  COLUMN  TOTALS                                    148,977
06/30/99
1
(SEC USE ONLY)
 PAGE     43  OF     64        FORM 13F       NAME OF REPORTING MANAGER - BROWN
BROTHERS HARRIMAN, AND COMPANY   FILE NUMBER 28-408
- -ITEM 1                         ITEM 2   ITEM 3       ITEM 4      ITEM 5
ITEM 6           ITEM 7           ITEM 8
0

INVESTMENT   DISCRETION             VOTING     AUTHORITY
                                                        FAIR
(B)
                                                      MARKET
SHARED AS          MGRS
                                TITLE                  VALUE   SHARES OR     (A)
DEFINED    (C)     SEE      (A)     (B)       (C)
                                OF       CUSIP          (000   PRINCIPAL
IN      SHARED  INSTR
 NAME  OF  ISSUER               CLASS    NUMBER     OMITTED)      AMOUNT
SOLE  INSTR V   OTHER     V      SOLE    SHARED     NONE
0MORGAN /J P/ & CO              COMMON   616880100       976       6,950
X              0001    6,950         0        0
0MORGAN /J P/ & CO              COMMON   616880100        70         500
X              0007      500         0        0
0MORGAN /J P/ & CO              COMMON   616880100        84         600
X              0012      600         0        0
0MORGAN ST DEAN WITTER & CO     COMMON   617446448       759       7,398      X
NONE    4,968         0    2,430
0MORGAN ST DEAN WITTER & CO     COMMON   617446448        41         400
X              0001      400         0        0
0MORGAN STANLEY DEAN WTR ASIA   COMMON   61744U106     1,079     112,100      X
NONE   43,100         0   69,000
0MORGAN STANLEY DEAN WTR ASIA   COMMON   61744U106        96      10,000
X              0001   10,000         0        0
0MORGAN STANLEY DEAN WTR ASIA   COMMON   61744U106        18       1,867
X              0003    1,867         0        0
0MOTOROLA INC                   COMMON   620076109    11,126     117,424      X
NONE   67,635         0   49,789
0MOTOROLA INC                   COMMON   620076109     2,402      25,350
X              0001   25,350         0        0
0MOTOROLA INC                   COMMON   620076109       156       1,650
X              0007    1,650         0        0
0MOTOROLA INC                   COMMON   620076109       104       1,100
X              0012    1,100         0        0
0MOUNTAIN PROVINCE MINING /CAD/ COMMON   62426E402        47      25,000      X
NONE   25,000         0        0
0NCR CORPORATION                COMMON   62886E108       270       5,527      X
NONE    3,507         0    2,019
0NCR CORPORATION                COMMON   62886E108        10         213
X              0001      213         0        0
0NCR CORPORATION                COMMON   62886E108         2          43
X              0007       43         0        0
0NCR CORPORATION                COMMON   62886E108         5          94
X              0012       94         0        0
0NEOTHERAPEUTICS INC            COMMON   640656104        13       1,000      X
NONE        0         0    1,000
0NEOTHERAPEUTICS INC            COMMON   640656104       128      10,000
X              0001   10,000         0        0
0NEW ENGLAND ELECTRIC SYSTEM    COMMON   644001109     1,498      29,878      X
NONE    5,726         0   24,152
- -  COLUMN  TOTALS                                     18,885
06/30/99
1
(SEC USE ONLY)
 PAGE     44  OF     64        FORM 13F       NAME OF REPORTING MANAGER - BROWN
BROTHERS HARRIMAN, AND COMPANY   FILE NUMBER 28-408
- -ITEM 1                         ITEM 2   ITEM 3       ITEM 4      ITEM 5
ITEM 6           ITEM 7           ITEM 8
0

INVESTMENT   DISCRETION             VOTING     AUTHORITY
                                                        FAIR
(B)
                                                      MARKET
SHARED AS          MGRS
                                TITLE                  VALUE   SHARES OR     (A)
DEFINED    (C)     SEE      (A)     (B)       (C)
                                OF       CUSIP          (000   PRINCIPAL
IN      SHARED  INSTR
 NAME  OF  ISSUER               CLASS    NUMBER     OMITTED)      AMOUNT
SOLE  INSTR V   OTHER     V      SOLE    SHARED     NONE
0NEW ENGLAND ELECTRIC SYSTEM    COMMON   644001109       163       3,250
X              0001    3,250         0        0
0NEW ENGLAND ELECTRIC SYSTEM    COMMON   644001109       115       2,300
X              0007    2,300         0        0
0NEW ENGLAND ELECTRIC SYSTEM    COMMON   644001109       190       3,800
X              0012    3,800         0        0
0NEW YORK TIMES A               COMMON   650111107    11,078     300,934      X
NONE   69,922         0  231,012
0NEW YORK TIMES A               COMMON   650111107       994      27,000
X              0001   27,000         0        0
0NEW YORK TIMES A               COMMON   650111107       346       9,400
X              0007    9,400         0        0
0NEW YORK TIMES A               COMMON   650111107        44       1,200
X              0012    1,200         0        0
0NEWPARK RESOURCES INC          COMMON   651718504        89      10,000      X
NONE        0         0   10,000
0NEWS AMER HLDGS 0% 3/11/13     CON BOND 652478AS7         0      11,000      X
NONE        0         0   11,000
0NEWS CORP LTD SPONSORED ADR    COMMON   652487703     1,319      37,350      X
NONE   10,000         0   27,350
0NEWS CORP LTD SPONSORED ADR    COMMON   652487703       226       6,400
X              0001    6,400         0        0
0NICOR INC                      COMMON   654086107       293       7,708      X
NONE      208         0    7,500
0NIKE INC CLASS B               COMMON   654106103       347       5,471      X
NONE    2,718         0    2,753
0NIKE INC CLASS B               COMMON   654106103        70       1,100
X              0012    1,100         0        0
0NOBLE AFFILIATES INC           COMMON   654894104    33,111   1,174,673      X
NONE  526,707         0  647,966
0NOBLE AFFILIATES INC           COMMON   654894104     3,559     126,265
X              0001  126,265         0        0
0NOBLE AFFILIATES INC           COMMON   654894104     1,545      54,825
X              0007   54,825         0        0
0NOBLE AFFILIATES INC           COMMON   654894104       193       6,850
X              0012    6,850         0        0
0NOBLE DRILLING CORP            COMMON   655042109       450      22,847      X
NONE   18,664         0    4,183
0NOBLE DRILLING CORP            COMMON   655042109        20       1,000
X              0012    1,000         0        0
- -  COLUMN  TOTALS                                     54,152
06/30/99
1
(SEC USE ONLY)
 PAGE     45  OF     64        FORM 13F       NAME OF REPORTING MANAGER - BROWN
BROTHERS HARRIMAN, AND COMPANY   FILE NUMBER 28-408
- -ITEM 1                         ITEM 2   ITEM 3       ITEM 4      ITEM 5
ITEM 6           ITEM 7           ITEM 8
0

INVESTMENT   DISCRETION             VOTING     AUTHORITY
                                                        FAIR
(B)
                                                      MARKET
SHARED AS          MGRS
                                TITLE                  VALUE   SHARES OR     (A)
DEFINED    (C)     SEE      (A)     (B)       (C)
                                OF       CUSIP          (000   PRINCIPAL
IN      SHARED  INSTR
 NAME  OF  ISSUER               CLASS    NUMBER     OMITTED)      AMOUNT
SOLE  INSTR V   OTHER     V      SOLE    SHARED     NONE
0NOKIA CORP SPONSORED ADR       COMMON   654902204     6,345      69,300      X
NONE   31,770         0   37,530
0NOKIA CORP SPONSORED ADR       COMMON   654902204     1,039      11,350
X              0001   11,350         0        0
0NOKIA CORP SPONSORED ADR       COMMON   654902204        37         400
X              0007      400         0        0
0NOKIA CORP SPONSORED ADR       COMMON   654902204       348       3,800
X              0012    3,800         0        0
0NORAM ENERGY CONV 6.0% 3/15/12 CON BOND 655419AC3     4,563      50,000      X
NONE        0         0   50,000
0NORFOLK SOUTHERN CORP          COMMON   655844108     1,474      48,921      X
NONE   15,050         0   33,871
0NORFOLK SOUTHERN CORP          COMMON   655844108       166       5,526
X              0001    5,526         0        0
0NORFOLK SOUTHERN CORP          COMMON   655844108        90       3,000
X              0007    3,000         0        0
0NORTEL NETWORKS CORP           COMMON   656569100     1,895      21,830      X
NONE    3,430         0   18,400
0NORTEL NETWORKS CORP           COMMON   656569100        48         550
X              0001      550         0        0
0NORTHERN TRUST CORP            COMMON   665859104       809       8,336      X
NONE    2,000         0    6,336
0NORTHERN TRUST CORP            COMMON   665859104        45         467
X              0003      467         0        0
0NORTHROP GRUMMAN CORP          COMMON   666807102       909      13,715      X
NONE    3,065         0   10,650
0NUMBER NINE VISUAL TECHNOLOGY  COMMON   67052W105       213      85,000      X
NONE        0         0   85,000
0NUVEEN INSD MUN OPP FD INC     COMMON   670984103       153      10,120      X
NONE        0         0   10,120
0OCCIDENTAL PETROLEUM           COMMON   674599105       312      14,769      X
NONE    3,467         0   11,302
0OCCIDENTAL PETROLEUM           COMMON   674599105         7         348
X              0001      348         0        0
0OCWEN FINANCIAL CORP /REST/    COMMON   675746101     1,994     224,694
X              0001  224,694         0        0
0OCWEN FINANCIAL CORPORATION    COMMON   675746101    22,742   2,562,427      X
NONE        0         0 2562,427
0OCWEN FINANCIAL CORPORATION    COMMON   675746101     1,108     124,830
X              0001  124,830         0        0
- -  COLUMN  TOTALS                                     44,297
06/30/99
1
(SEC USE ONLY)
 PAGE     46  OF     64        FORM 13F       NAME OF REPORTING MANAGER - BROWN
BROTHERS HARRIMAN, AND COMPANY   FILE NUMBER 28-408
- -ITEM 1                         ITEM 2   ITEM 3       ITEM 4      ITEM 5
ITEM 6           ITEM 7           ITEM 8
0

INVESTMENT   DISCRETION             VOTING     AUTHORITY
                                                        FAIR
(B)
                                                      MARKET
SHARED AS          MGRS
                                TITLE                  VALUE   SHARES OR     (A)
DEFINED    (C)     SEE      (A)     (B)       (C)
                                OF       CUSIP          (000   PRINCIPAL
IN      SHARED  INSTR
 NAME  OF  ISSUER               CLASS    NUMBER     OMITTED)      AMOUNT
SOLE  INSTR V   OTHER     V      SOLE    SHARED     NONE
0ODS NETWORKS INC               COMMON   67082N109        59      15,000
X              0001   15,000         0        0
0OLD KENT FINANCIAL CORP        COMMON   679833103        64       1,533      X
NONE        0         0    1,533
0OLD KENT FINANCIAL CORP        COMMON   679833103     6,734     160,811
X              0001  160,811         0        0
0OLD REPUBLIC INTNATL           COMMON   680223104         6         350      X
NONE      350         0        0
0OLD REPUBLIC INTNATL           COMMON   680223104     5,952     343,804
X              0007  343,804         0        0
0OMNICOM GROUP INC              COMMON   681919106       472       5,898      X
NONE    4,298         0    1,600
0OMNICOM GROUP INC              COMMON   681919106       240       2,996
X              0001    2,996         0        0
0ORACLE CORP                    COMMON   68389X105     1,024      27,573      X
NONE   14,485         0   13,088
0ORACLE CORP                    COMMON   68389X105       446      12,000
X              0001   12,000         0        0
0OSHKOSH B GOSH INC CL A        COMMON   688222207       211      10,000      X
NONE        0         0   10,000
0OWENS ILL INC                  COMMON   690768403     5,443     166,525      X
NONE   34,050         0  132,475
0OWENS ILL INC                  COMMON   690768403       498      15,250
X              0001   15,250         0        0
0OWENS ILL INC                  COMMON   690768403        41       1,260
X              0003    1,260         0        0
0OWENS ILL INC                  COMMON   690768403        85       2,600
X              0007    2,600         0        0
0OWENS ILL INC CONV PFD 4.75%   CONV PFD 690768502       768      17,450      X
NONE      800         0   16,650
0OWENS ILL INC CONV PFD 4.75%   CONV PFD 690768502       110       2,500
X              0001    2,500         0        0
0P P & L RESOURCES INC          COMMON   693499105       289       9,400      X
NONE      389         0    9,011
0P P & L RESOURCES INC          COMMON   693499105        18         600
X              0001      600         0        0
0P P G INDUSTRIES INC           COMMON   693506107       387       6,558      X
NONE    4,738         0    1,820
0PARAMETRIC TECHNOLOGY CORP     COMMON   699173100       212      15,250      X
NONE        0         0   15,250
- -  COLUMN  TOTALS                                     23,059
06/30/99
1
(SEC USE ONLY)
 PAGE     47  OF     64        FORM 13F       NAME OF REPORTING MANAGER - BROWN
BROTHERS HARRIMAN, AND COMPANY   FILE NUMBER 28-408
- -ITEM 1                         ITEM 2   ITEM 3       ITEM 4      ITEM 5
ITEM 6           ITEM 7           ITEM 8
0

INVESTMENT   DISCRETION             VOTING     AUTHORITY
                                                        FAIR
(B)
                                                      MARKET
SHARED AS          MGRS
                                TITLE                  VALUE   SHARES OR     (A)
DEFINED    (C)     SEE      (A)     (B)       (C)
                                OF       CUSIP          (000   PRINCIPAL
IN      SHARED  INSTR
 NAME  OF  ISSUER               CLASS    NUMBER     OMITTED)      AMOUNT
SOLE  INSTR V   OTHER     V      SOLE    SHARED     NONE
0PARKER-HANNIFIN CORP           COMMON   701094104     4,297      93,920      X
NONE       66         0   93,854
0PAYLESS SHOESOURCE INC         COMMON   704379106       166       3,095      X
NONE    1,513         0    1,582
0PAYLESS SHOESOURCE INC         COMMON   704379106        47         880
X              0012      880         0        0
0PE CORP PE BIOSYSTEMS GROUP    COMMON   69332S102       665       5,792      X
NONE    1,120         0    4,672
0PE CORP PE BIOSYSTEMS GROUP    COMMON   69332S102       111         965
X              0001      965         0        0
0PENNEY /J C/ CO INC            COMMON   708160106       630      12,963      X
NONE   11,082         0    1,881
0PEOPLES BANK BRIDGEPORT CONN   COMMON   710198102     3,821     125,525      X
NONE   81,150         0   44,375
0PEOPLES BANK BRIDGEPORT CONN   COMMON   710198102       466      15,305
X              0001   15,305         0        0
0PEOPLES BANK BRIDGEPORT CONN   COMMON   710198102       248       8,150
X              0012    8,150         0        0
0PEOPLES ENERGY CORP            COMMON   711030106       222       5,883      X
NONE    1,283         0    4,600
0PEP BOYS MANNY MOE & JACK      COMMON   713278109         8         400      X
NONE        0         0      400
0PEP BOYS MANNY MOE & JACK      COMMON   713278109       294      14,000
X              0001   14,000         0        0
0PEPSICO INC                    COMMON   713448108    34,134     882,320      X
NONE  454,298         0  428,022
0PEPSICO INC                    COMMON   713448108     3,166      81,842
X              0001   81,842         0        0
0PEPSICO INC                    COMMON   713448108    13,708     354,329
X              0007  354,329         0        0
0PEPSICO INC                    COMMON   713448108       373       9,650
X              0012    9,650         0        0
0PFIZER INC                     COMMON   717081103     9,623     265,462      X
NONE  109,835         0  155,627
0PFIZER INC                     COMMON   717081103       805      20,405
X              0001   20,405         0        0
0PFIZER INC                     COMMON   717081103         8         234
X              0003      234         0        0
0PFIZER INC                     COMMON   717081103       294       8,100
X              0007    8,100         0        0
- -  COLUMN  TOTALS                                     73,085
06/30/99
1
(SEC USE ONLY)
 PAGE     48  OF     64        FORM 13F       NAME OF REPORTING MANAGER - BROWN
BROTHERS HARRIMAN, AND COMPANY   FILE NUMBER 28-408
- -ITEM 1                         ITEM 2   ITEM 3       ITEM 4      ITEM 5
ITEM 6           ITEM 7           ITEM 8
0

INVESTMENT   DISCRETION             VOTING     AUTHORITY
                                                        FAIR
(B)
                                                      MARKET
SHARED AS          MGRS
                                TITLE                  VALUE   SHARES OR     (A)
DEFINED    (C)     SEE      (A)     (B)       (C)
                                OF       CUSIP          (000   PRINCIPAL
IN      SHARED  INSTR
 NAME  OF  ISSUER               CLASS    NUMBER     OMITTED)      AMOUNT
SOLE  INSTR V   OTHER     V      SOLE    SHARED     NONE
0PFIZER INC                     COMMON   717081103       421      11,600
X              0012   11,600         0        0
0PHARMACIA & UPJOHN INC         COMMON   716941109       196       3,455      X
NONE      700         0    2,755
0PHARMACIA & UPJOHN INC         COMMON   716941109        82       1,450
X              0007    1,450         0        0
0PHARMACYCLICS INC              COMMON   716933106       420      15,000      X
NONE        0         0   15,000
0PHELPS DODGE CORP              COMMON   717265102       292       4,717      X
NONE    1,346         0    3,371
0PHELPS DODGE CORP              COMMON   717265102        12         200
X              0001      200         0        0
0PHILIP MORRIS COS INC          COMMON   718154107    16,635     413,929      X
NONE  194,381         0  219,548
0PHILIP MORRIS COS INC          COMMON   718154107     3,243      80,710
X              0001   80,710         0        0
0PHILIP MORRIS COS INC          COMMON   718154107       163       4,050
X              0007    4,050         0        0
0PHILIP MORRIS COS INC          COMMON   718154107       954      23,740
X              0012   23,740         0        0
0PHILLIPS PETROLEUM CO          COMMON   718507106       215       4,270      X
NONE    1,062         0    3,208
0PIA MERCHANDISING SERVICES INC COMMON   693360109       142      33,400      X
NONE   33,400         0        0
0PIONEER HI BRED INTL INC       COMMON   723686101     1,713      43,996      X
NONE   13,682         0   30,314
0PIONEER HI BRED INTL INC       COMMON   723686101       444      11,400
X              0001   11,400         0        0
0PITNEY BOWES                   COMMON   724479100     1,741      27,100      X
NONE   19,600         0    7,500
0PITNEY BOWES                   COMMON   724479100        39         600
X              0001      600         0        0
0PITNEY BOWES                   COMMON   724479100       771      12,000
X              0012   12,000         0        0
0PLACER DOME INC                COMMON   725906101       588      50,000      X
NONE        0         0   50,000
0PLACER DOME INC                COMMON   725906101         9         735
X              0003      735         0        0
0PLC SYS INC                    COMMON   69341D104        35      10,000      X
NONE   10,000         0        0
- -  COLUMN  TOTALS                                     28,114
06/30/99
1
(SEC USE ONLY)
 PAGE     49  OF     64        FORM 13F       NAME OF REPORTING MANAGER - BROWN
BROTHERS HARRIMAN, AND COMPANY   FILE NUMBER 28-408
- -ITEM 1                         ITEM 2   ITEM 3       ITEM 4      ITEM 5
ITEM 6           ITEM 7           ITEM 8
0

INVESTMENT   DISCRETION             VOTING     AUTHORITY
                                                        FAIR
(B)
                                                      MARKET
SHARED AS          MGRS
                                TITLE                  VALUE   SHARES OR     (A)
DEFINED    (C)     SEE      (A)     (B)       (C)
                                OF       CUSIP          (000   PRINCIPAL
IN      SHARED  INSTR
 NAME  OF  ISSUER               CLASS    NUMBER     OMITTED)      AMOUNT
SOLE  INSTR V   OTHER     V      SOLE    SHARED     NONE
0PLC SYS INC                    COMMON   69341D104         8       2,400
X              0001    2,400         0        0
0PMI GROUP INC                  COMMON   69344M101     8,937     142,282      X
NONE   92,170         0   50,112
0PMI GROUP INC                  COMMON   69344M101       548       8,720
X              0001    8,720         0        0
0PMI GROUP INC                  COMMON   69344M101       138       2,190
X              0012    2,190         0        0
0PNC BANK CORP                  COMMON   693475105     1,378      23,907      X
NONE   12,457         0   11,450
0PNC BANK CORP                  COMMON   693475105        92       1,600
X              0012    1,600         0        0
0POGO PRODUCING CO              COMMON   730448107       811      43,540      X
NONE   32,500         0   11,040
0POGO PRODUCING CO              COMMON   730448107       346      18,580
X              0001   18,580         0        0
0POHANG IRON & STEEL SPSD ADR   COMMON   730450103       841      25,000      X
NONE    9,500         0   15,500
0PRAXAIR INC                    COMMON   74005P104    31,536     644,428      X
NONE  271,259         0  373,169
0PRAXAIR INC                    COMMON   74005P104     3,532      72,179
X              0001   72,179         0        0
0PRAXAIR INC                    COMMON   74005P104       208       4,250
X              0007    4,250         0        0
0PRAXAIR INC                    COMMON   74005P104       262       5,350
X              0012    5,350         0        0
0PRICE COMMUNICATIONS CORP      COMMON   741437305       328      21,875      X
NONE   21,875         0        0
0PRIDE INTERNATIONAL INC        COMMON   741932107       793      75,080      X
NONE   36,630         0   38,450
0PRIDE INTERNATIONAL INC        COMMON   741932107       210      19,900
X              0001   19,900         0        0
0PRIME GROUP REALTY TR SBI      COMMON   74158J103       292      17,000      X
NONE        0         0   17,000
0PROCTER & GAMBLE               COMMON   742718109    63,234     708,506      X
NONE  294,358         0  414,148
0PROCTER & GAMBLE               COMMON   742718109     8,117      90,944
X              0001   90,944         0        0
0PROCTER & GAMBLE               COMMON   742718109     3,345      37,484
X              0007   37,484         0        0
- -  COLUMN  TOTALS                                    124,956
06/30/99
1
(SEC USE ONLY)
 PAGE     50  OF     64        FORM 13F       NAME OF REPORTING MANAGER - BROWN
BROTHERS HARRIMAN, AND COMPANY   FILE NUMBER 28-408
- -ITEM 1                         ITEM 2   ITEM 3       ITEM 4      ITEM 5
ITEM 6           ITEM 7           ITEM 8
0

INVESTMENT   DISCRETION             VOTING     AUTHORITY
                                                        FAIR
(B)
                                                      MARKET
SHARED AS          MGRS
                                TITLE                  VALUE   SHARES OR     (A)
DEFINED    (C)     SEE      (A)     (B)       (C)
                                OF       CUSIP          (000   PRINCIPAL
IN      SHARED  INSTR
 NAME  OF  ISSUER               CLASS    NUMBER     OMITTED)      AMOUNT
SOLE  INSTR V   OTHER     V      SOLE    SHARED     NONE
0PROCTER & GAMBLE               COMMON   742718109     1,394      15,620
X              0012   15,620         0        0
0PROGRESSIVE CORP /OHIO/        COMMON   743315103     2,645      18,239      X
NONE    4,239         0   14,000
0PROGRESSIVE CORP /OHIO/        COMMON   743315103     1,573      10,850
X              0001   10,850         0        0
0PROGRESSIVE CORP /OHIO/        COMMON   743315103     1,472      10,150
X              0007   10,150         0        0
0PROLOGIS TRUST                 COMMON   743410102     1,514      74,750      X
NONE   13,600         0   61,150
0PROLOGIS TRUST                 COMMON   743410102        34       1,700
X              0001    1,700         0        0
0PROVIDIAN FINL CORP            COMMON   74406A102     2,734      29,322      X
NONE    1,000         0   28,322
0PROVIDIAN FINL CORP            COMMON   74406A102       818       8,775
X              0001    8,775         0        0
0PROVIDIAN FINL CORP            COMMON   74406A102       103       1,100
X              0012    1,100         0        0
0PUBLIC SVC ENTERPRISE GRP INC  COMMON   744573106       169       4,139      X
NONE      180         0    3,959
0PUBLIC SVC ENTERPRISE GRP INC  COMMON   744573106       147       3,600
X              0001    3,600         0        0
0QUAKER OATS                    COMMON   747402105     3,772      56,833      X
NONE   40,214         0   16,619
0QUAKER OATS                    COMMON   747402105       133       2,000
X              0001    2,000         0        0
0QUAKER OATS                    COMMON   747402105       133       2,000
X              0007    2,000         0        0
0QUALCOMM INC                   COMMON   747525103       478       3,330      X
NONE      130         0    3,200
0QUALCOMM INC                   COMMON   747525103       498       3,470
X              0001    3,470         0        0
0QUALCOMM INC                   COMMON   747525103       172       1,200
X              0012    1,200         0        0
0QWEST COMMUNICATIONS INTL      COMMON   749121109    22,762     688,471      X
NONE  230,897         0  457,574
0QWEST COMMUNICATIONS INTL      COMMON   749121109     3,270      98,902
X              0001   98,902         0        0
0QWEST COMMUNICATIONS INTL      COMMON   749121109       274       8,300
X              0007    8,300         0        0
- -  COLUMN  TOTALS                                     44,095
06/30/99
1
(SEC USE ONLY)
 PAGE     51  OF     64        FORM 13F       NAME OF REPORTING MANAGER - BROWN
BROTHERS HARRIMAN, AND COMPANY   FILE NUMBER 28-408
- -ITEM 1                         ITEM 2   ITEM 3       ITEM 4      ITEM 5
ITEM 6           ITEM 7           ITEM 8
0

INVESTMENT   DISCRETION             VOTING     AUTHORITY
                                                        FAIR
(B)
                                                      MARKET
SHARED AS          MGRS
                                TITLE                  VALUE   SHARES OR     (A)
DEFINED    (C)     SEE      (A)     (B)       (C)
                                OF       CUSIP          (000   PRINCIPAL
IN      SHARED  INSTR
 NAME  OF  ISSUER               CLASS    NUMBER     OMITTED)      AMOUNT
SOLE  INSTR V   OTHER     V      SOLE    SHARED     NONE
0QWEST COMMUNICATIONS INTL      COMMON   749121109       602      18,212
X              0012   18,212         0        0
0RALSTON-RALSTON PURINA GROUP   COMMON   751277302       251       8,238      X
NONE        0         0    8,238
0RALSTON-RALSTON PURINA GROUP   COMMON   751277302        15         500
X              0001      500         0        0
0RALSTON-RALSTON PURINA GROUP   COMMON   751277302        21         700
X              0003      700         0        0
0RALSTON-RALSTON PURINA GROUP   COMMON   751277302       186       6,102
X              0007    6,102         0        0
0RANGER OIL LTD                 COMMON   752805101        52      10,500      X
NONE   10,500         0        0
0RANK GROUP PLC SPONSORED ADR   COMMON   753037100       152      19,027      X
NONE        0         0   19,027
0RAYCHEM CORP                   COMMON   754603108     4,773     129,000      X
NONE   29,300         0   99,700
0RAYCHEM CORP                   COMMON   754603108       628      16,980
X              0001   16,980         0        0
0RAYCHEM CORP                   COMMON   754603108     2,220      60,000
X              0007   60,000         0        0
0RAYCHEM CORP                   COMMON   754603108       148       4,000
X              0012    4,000         0        0
0RAYTHEON CO CL A               COMMON   755111309       912      13,242      X
NONE    5,896         0    7,346
0RAYTHEON CO CL A               COMMON   755111309        60         876
X              0001      876         0        0
0REGIONS FINANCIAL CORP         COMMON   758940100       180       4,670      X
NONE        0         0    4,670
0REGIONS FINANCIAL CORP         COMMON   758940100        82       2,140
X              0001    2,140         0        0
0RENAISSANCE WORLDWIDE INC      COMMON   75968A109       104      13,000      X
NONE   13,000         0        0
0REPLIGEN CORP                  COMMON   759916109        32      11,000      X
NONE   11,000         0        0
0REPLIGEN CORP                  COMMON   759916109         6       2,000
X              0012    2,000         0        0
0RF MICRO DEVICES INC           COMMON   749941100       299       4,000      X
NONE        0         0    4,000
0RITE AID                       COMMON   767754104       402      16,337      X
NONE        0         0   16,337
- -  COLUMN  TOTALS                                     11,124
06/30/99
1
(SEC USE ONLY)
 PAGE     52  OF     64        FORM 13F       NAME OF REPORTING MANAGER - BROWN
BROTHERS HARRIMAN, AND COMPANY   FILE NUMBER 28-408
- -ITEM 1                         ITEM 2   ITEM 3       ITEM 4      ITEM 5
ITEM 6           ITEM 7           ITEM 8
0

INVESTMENT   DISCRETION             VOTING     AUTHORITY
                                                        FAIR
(B)
                                                      MARKET
SHARED AS          MGRS
                                TITLE                  VALUE   SHARES OR     (A)
DEFINED    (C)     SEE      (A)     (B)       (C)
                                OF       CUSIP          (000   PRINCIPAL
IN      SHARED  INSTR
 NAME  OF  ISSUER               CLASS    NUMBER     OMITTED)      AMOUNT
SOLE  INSTR V   OTHER     V      SOLE    SHARED     NONE
0RITE AID                       COMMON   767754104        20         800
X              0001      800         0        0
0RLI CORP                       COMMON   749607107       288       7,445      X
NONE    7,445         0        0
0ROBOTIC VISION SYSTEMS /REST/  COMMON   771074101        41      11,000
X              0007   11,000         0        0
0ROCKWELL INTL CORP             COMMON   773903109     4,093      67,376      X
NONE   24,272         0   43,104
0ROCKWELL INTL CORP             COMMON   773903109       586       9,650
X              0001    9,650         0        0
0ROCKWELL INTL CORP             COMMON   773903109       425       7,000
X              0007    7,000         0        0
0ROCKWELL INTL CORP             COMMON   773903109        24         400
X              0012      400         0        0
0ROHM & HAAS                    COMMON   775371107       154       3,599      X
NONE    3,086         0      513
0ROHM & HAAS                    COMMON   775371107        96       2,250
X              0001    2,250         0        0
0ROUSE CO /THE/                 COMMON   779273101       203       8,000      X
NONE    1,700         0    6,300
0ROUSE CO /THE/                 COMMON   779273101        15         600
X              0007      600         0        0
0ROYAL DUTCH PET N Y SHS 1.25   COMMON   780257804    33,055     548,639      X
NONE  263,434         0  285,205
0ROYAL DUTCH PET N Y SHS 1.25   COMMON   780257804     2,817      46,763
X              0001   46,763         0        0
0ROYAL DUTCH PET N Y SHS 1.25   COMMON   780257804       687      11,400
X              0007   11,400         0        0
0ROYAL DUTCH PET N Y SHS 1.25   COMMON   780257804       645      10,700
X              0012   10,700         0        0
0RYLAND GROUP INC               COMMON   783764103       237       8,000      X
NONE    6,000         0    2,000
0S & P 500 DEPOSITARY RECEIPTS  COMMON   78462F103        67         489      X
NONE      489         0        0
0S & P 500 DEPOSITARY RECEIPTS  COMMON   78462F103       145       1,060
X              0012    1,060         0        0
0SABRE GROUP HOLDINGS INC CL A  COMMON   785905100    12,162     176,900      X
NONE   38,900         0  138,000
0SABRE GROUP HOLDINGS INC CL A  COMMON   785905100     2,405      34,975
X              0001   34,975         0        0
- -  COLUMN  TOTALS                                     58,168
06/30/99
1
(SEC USE ONLY)
 PAGE     53  OF     64        FORM 13F       NAME OF REPORTING MANAGER - BROWN
BROTHERS HARRIMAN, AND COMPANY   FILE NUMBER 28-408
- -ITEM 1                         ITEM 2   ITEM 3       ITEM 4      ITEM 5
ITEM 6           ITEM 7           ITEM 8
0

INVESTMENT   DISCRETION             VOTING     AUTHORITY
                                                        FAIR
(B)
                                                      MARKET
SHARED AS          MGRS
                                TITLE                  VALUE   SHARES OR     (A)
DEFINED    (C)     SEE      (A)     (B)       (C)
                                OF       CUSIP          (000   PRINCIPAL
IN      SHARED  INSTR
 NAME  OF  ISSUER               CLASS    NUMBER     OMITTED)      AMOUNT
SOLE  INSTR V   OTHER     V      SOLE    SHARED     NONE
0SABRE GROUP HOLDINGS INC CL A  COMMON   785905100        28         400
X              0007      400         0        0
0SABRE GROUP HOLDINGS INC CL A  COMMON   785905100        52         750
X              0012      750         0        0
0SAFEWAY INC                    COMMON   786514208       690      13,942      X
NONE   10,942         0    3,000
0SAFEWAY INC                    COMMON   786514208        99       2,000
X              0012    2,000         0        0
0SAKS INCORPORATED              COMMON   79377W108     1,342      46,475      X
NONE   13,850         0   32,625
0SAKS INCORPORATED              COMMON   79377W108       222       7,700
X              0001    7,700         0        0
0SAKS INCORPORATED              COMMON   79377W108        66       2,300
X              0012    2,300         0        0
0SAP AKTIENGESELLSCHAFT SPN ADR COMMON   803054204       959      27,700      X
NONE   19,700         0    8,000
0SARA LEE CORP                  COMMON   803111103    18,968     836,073      X
NONE  287,655         0  548,418
0SARA LEE CORP                  COMMON   803111103     2,208      97,316
X              0001   97,316         0        0
0SARA LEE CORP                  COMMON   803111103     1,773      78,150
X              0007   78,150         0        0
0SARA LEE CORP                  COMMON   803111103       196       8,650
X              0012    8,650         0        0
0SBC COMMUNICATIONS INC         COMMON   78387G103     5,614      96,791      X
NONE   45,956         0   50,835
0SBC COMMUNICATIONS INC         COMMON   78387G103       191       3,300
X              0001    3,300         0        0
0SBC COMMUNICATIONS INC         COMMON   78387G103       483       8,330
X              0007    8,330         0        0
0SBC COMMUNICATIONS INC         COMMON   78387G103       458       7,900
X              0012    7,900         0        0
0SCHERING PLOUGH                COMMON   806605101    44,374     845,214      X
NONE  394,761         0  450,453
0SCHERING PLOUGH                COMMON   806605101     7,442     141,750
X              0001  141,750         0        0
0SCHERING PLOUGH                COMMON   806605101       210       4,000
X              0007    4,000         0        0
0SCHERING PLOUGH                COMMON   806605101       368       7,000
X              0012    7,000         0        0
- -  COLUMN  TOTALS                                     85,743
06/30/99
1
(SEC USE ONLY)
 PAGE     54  OF     64        FORM 13F       NAME OF REPORTING MANAGER - BROWN
BROTHERS HARRIMAN, AND COMPANY   FILE NUMBER 28-408
- -ITEM 1                         ITEM 2   ITEM 3       ITEM 4      ITEM 5
ITEM 6           ITEM 7           ITEM 8
0

INVESTMENT   DISCRETION             VOTING     AUTHORITY
                                                        FAIR
(B)
                                                      MARKET
SHARED AS          MGRS
                                TITLE                  VALUE   SHARES OR     (A)
DEFINED    (C)     SEE      (A)     (B)       (C)
                                OF       CUSIP          (000   PRINCIPAL
IN      SHARED  INSTR
 NAME  OF  ISSUER               CLASS    NUMBER     OMITTED)      AMOUNT
SOLE  INSTR V   OTHER     V      SOLE    SHARED     NONE
0SCHLUMBERGER LTD               COMMON   806857108     6,277      98,557      X
NONE   23,520         0   75,037
0SCHLUMBERGER LTD               COMMON   806857108       911      14,300
X              0001   14,300         0        0
0SCHLUMBERGER LTD               COMMON   806857108        19         300
X              0003      300         0        0
0SCHLUMBERGER LTD               COMMON   806857108       509       8,000
X              0012    8,000         0        0
0SCHULMAN/A/ INC                COMMON   808194104     1,401      81,505      X
NONE   27,350         0   54,155
0SCHULMAN/A/ INC                COMMON   808194104       451      26,250
X              0001   26,250         0        0
0SCPIE HOLDINGS INC             COMMON   78402P104       623      19,100      X
NONE   19,100         0        0
0SCUDDER NEW ASIA FD            COMMON   811183102       538      36,600      X
NONE        0         0   36,600
0SEAGRAM LTD                    COMMON   811850106     1,315      26,100      X
NONE        0         0   26,100
0SEAGRAM LTD                    COMMON   811850106        10         200
X              0003      200         0        0
0SEALED AIR CORP                COMMON   81211K100     1,547      23,853      X
NONE    1,040         0   22,813
0SEALED AIR CORP                COMMON   81211K100        65       1,000
X              0001    1,000         0        0
0SEALED AIR CORP A CV PFD $2    CONV PFD 81211K209     1,258      20,133      X
NONE        0         0   20,133
0SEARS ROEBUCK & CO             COMMON   812387108       543      12,194      X
NONE    2,207         0    9,987
0SEARS ROEBUCK & CO             COMMON   812387108       412       9,248
X              0001    9,248         0        0
0SEARS ROEBUCK & CO             COMMON   812387108        36         800
X              0012      800         0        0
0SENSORMATIC ELECTRONICS CORP   COMMON   817265101       279      20,017      X
NONE        0         0   20,017
0SENTRY TECHNOLOGY CORP         COMMON   81731K101        21      41,590      X
NONE        0         0   41,590
0SEPRACOR INC                   COMMON   817315104       934      11,499      X
NONE   11,099         0      400
0SEPRACOR INC                   COMMON   817315104        16         200
X              0012      200         0        0
- -  COLUMN  TOTALS                                     17,166
06/30/99
1
(SEC USE ONLY)
 PAGE     55  OF     64        FORM 13F       NAME OF REPORTING MANAGER - BROWN
BROTHERS HARRIMAN, AND COMPANY   FILE NUMBER 28-408
- -ITEM 1                         ITEM 2   ITEM 3       ITEM 4      ITEM 5
ITEM 6           ITEM 7           ITEM 8
0

INVESTMENT   DISCRETION             VOTING     AUTHORITY
                                                        FAIR
(B)
                                                      MARKET
SHARED AS          MGRS
                                TITLE                  VALUE   SHARES OR     (A)
DEFINED    (C)     SEE      (A)     (B)       (C)
                                OF       CUSIP          (000   PRINCIPAL
IN      SHARED  INSTR
 NAME  OF  ISSUER               CLASS    NUMBER     OMITTED)      AMOUNT
SOLE  INSTR V   OTHER     V      SOLE    SHARED     NONE
0SHELL TRANS & TRDN NEW NY SPON COMMON   822703609       139       3,000      X
NONE        0         0    3,000
0SHELL TRANS & TRDN NEW NY SPON COMMON   822703609     1,391      30,000
X              0007   30,000         0        0
0SHERWIN WILLIAMS               COMMON   824348106       627      22,598      X
NONE    1,296         0   21,302
0SMITHKLINE BEECHAM PLC SP ADR  COMMON   832378301     3,859      58,420      X
NONE   25,828         0   32,592
0SMITHKLINE BEECHAM PLC SP ADR  COMMON   832378301     2,834      42,900
X              0001   42,900         0        0
0SMITHKLINE BEECHAM PLC SP ADR  COMMON   832378301        20         300
X              0012      300         0        0
0SOLA INTL INC                  COMMON   834092108     5,662     291,305      X
NONE   63,450         0  227,855
0SOLA INTL INC                  COMMON   834092108       388      19,950
X              0001   19,950         0        0
0SOLA INTL INC                  COMMON   834092108        82       4,200
X              0007    4,200         0        0
0SOLA INTL INC /RESTRICTED/     COMMON   834092108       112       5,778      X
NONE        0         0    5,778
0SOLECTRON CORP                 COMMON   834182107     7,282     109,200      X
NONE   62,350         0   46,850
0SOLECTRON CORP                 COMMON   834182107       667      10,000
X              0001   10,000         0        0
0SOLECTRON CORP                 COMMON   834182107       120       1,800
X              0012    1,800         0        0
0SONOCO PRODUCTS CO             COMMON   835495102       650      21,716      X
NONE        0         0   21,716
0SONOCO PRODUCTS CO             COMMON   835495102        63       2,110
X              0001    2,110         0        0
0SOUTHERN CO                    COMMON   842587107       645      24,329      X
NONE    4,579         0   19,750
0SOUTHERN CO                    COMMON   842587107       117       4,400
X              0001    4,400         0        0
0SOUTHERN CO                    COMMON   842587107        56       2,100
X              0007    2,100         0        0
0SOUTHERN CO                    COMMON   842587107         5         200
X              0012      200         0        0
0SOUTHN PAC PETE N L ADR        COMMON   843581307        78      26,110      X
NONE        0         0   26,110
- -  COLUMN  TOTALS                                     24,798
06/30/99
1
(SEC USE ONLY)
 PAGE     56  OF     64        FORM 13F       NAME OF REPORTING MANAGER - BROWN
BROTHERS HARRIMAN, AND COMPANY   FILE NUMBER 28-408
- -ITEM 1                         ITEM 2   ITEM 3       ITEM 4      ITEM 5
ITEM 6           ITEM 7           ITEM 8
0

INVESTMENT   DISCRETION             VOTING     AUTHORITY
                                                        FAIR
(B)
                                                      MARKET
SHARED AS          MGRS
                                TITLE                  VALUE   SHARES OR     (A)
DEFINED    (C)     SEE      (A)     (B)       (C)
                                OF       CUSIP          (000   PRINCIPAL
IN      SHARED  INSTR
 NAME  OF  ISSUER               CLASS    NUMBER     OMITTED)      AMOUNT
SOLE  INSTR V   OTHER     V      SOLE    SHARED     NONE
0SOUTHN PAC PETE N L ADR        COMMON   843581307        30      10,000
X              0001   10,000         0        0
0SOUTHWEST AIRLINES             COMMON   844741108       341      10,962      X
NONE    1,350         0    9,612
0SOUTHWEST GAS CORP             COMMON   844895102       361      12,600
X              0007   12,600         0        0
0SPRINT CORP /FON GROUP/        COMMON   852061100       739      13,944      X
NONE    2,308         0   11,636
0SPRINT CORP CV SER 1 PFD       CONV PFD 852061209       469       1,218      X
NONE    1,218         0        0
0SPRINT CORP PCS GROUP          COMMON   852061506    19,385     340,092      X
NONE  176,802         0  163,290
0SPRINT CORP PCS GROUP          COMMON   852061506     1,752      30,740
X              0001   30,740         0        0
0SPRINT CORP PCS GROUP          COMMON   852061506       262       4,600
X              0007    4,600         0        0
0SPRINT CORP PCS GROUP          COMMON   852061506       587      10,300
X              0012   10,300         0        0
0ST HELENA GOLD MINES LTD ADR   COMMON   789670205        33      12,500      X
NONE        0         0   12,500
0ST JUDE MEDICAL INC            COMMON   790849103     3,280      92,066      X
NONE   39,912         0   52,154
0ST JUDE MEDICAL INC            COMMON   790849103       271       7,621
X              0001    7,621         0        0
0ST JUDE MEDICAL INC            COMMON   790849103        11         300
X              0012      300         0        0
0STAPLES INC                    COMMON   855030102       715      23,125      X
NONE    5,237         0   17,888
0STAPLES INC                    COMMON   855030102        97       3,150
X              0012    3,150         0        0
0STARBUCKS CORP                 COMMON   855244109       560      14,921      X
NONE    1,676         0   13,245
0STATE STREET CORP              COMMON   857477103       160       1,870      X
NONE      370         0    1,500
0STATE STREET CORP              COMMON   857477103        26         300
X              0001      300         0        0
0STATE STREET CORP              COMMON   857477103       102       1,200
X              0012    1,200         0        0
0STRYKER CORP                   COMMON   863667101       299       4,972      X
NONE       38         0    4,934
- -  COLUMN  TOTALS                                     29,481
06/30/99
1
(SEC USE ONLY)
 PAGE     57  OF     64        FORM 13F       NAME OF REPORTING MANAGER - BROWN
BROTHERS HARRIMAN, AND COMPANY   FILE NUMBER 28-408
- -ITEM 1                         ITEM 2   ITEM 3       ITEM 4      ITEM 5
ITEM 6           ITEM 7           ITEM 8
0

INVESTMENT   DISCRETION             VOTING     AUTHORITY
                                                        FAIR
(B)
                                                      MARKET
SHARED AS          MGRS
                                TITLE                  VALUE   SHARES OR     (A)
DEFINED    (C)     SEE      (A)     (B)       (C)
                                OF       CUSIP          (000   PRINCIPAL
IN      SHARED  INSTR
 NAME  OF  ISSUER               CLASS    NUMBER     OMITTED)      AMOUNT
SOLE  INSTR V   OTHER     V      SOLE    SHARED     NONE
0SUMMIT BANCORP                 COMMON   866005101       561      13,425      X
NONE        0         0   13,425
0SUMMIT BANCORP                 COMMON   866005101        13         300
X              0001      300         0        0
0SUMMIT TECHNOLOGIES INC        COMMON   86627E101       814      37,000      X
NONE        0         0   37,000
0SUN MICROSYSTEMS INC           COMMON   866810104    32,048     465,310      X
NONE  185,341         0  279,969
0SUN MICROSYSTEMS INC           COMMON   866810104     2,940      42,685
X              0001   42,685         0        0
0SUN MICROSYSTEMS INC           COMMON   866810104       399       5,800
X              0007    5,800         0        0
0SUN MICROSYSTEMS INC           COMMON   866810104     1,355      19,675
X              0012   19,675         0        0
0SUNBEAM CORP                   COMMON   867071102     1,353     170,440      X
NONE  110,450         0   59,990
0SUNBEAM CORP                   COMMON   867071102        62       7,760
X              0001    7,760         0        0
0SUNRISE MEDICAL INC            COMMON   867910101       218      30,600      X
NONE   30,000         0      600
0SUNRISE MEDICAL INC            COMMON   867910101        29       4,000
X              0001    4,000         0        0
0SUNSTONE HOTEL INVESTORS INC   COMMON   867933103       319      37,500      X
NONE   37,500         0        0
0SUNTRUST BK INC                COMMON   867914103    55,578     800,403      X
NONE  364,520         0  435,883
0SUNTRUST BK INC                COMMON   867914103     6,462      93,061
X              0001   93,061         0        0
0SUNTRUST BK INC                COMMON   867914103       965      13,900
X              0007   13,900         0        0
0SUNTRUST BK INC                COMMON   867914103     1,561      22,480
X              0012   22,480         0        0
0SYLVAN LEARNING SYSTEMS INC    COMMON   871399101       238       8,750      X
NONE      150         0    8,600
0SYMBOL TECHNOLOGIES INC        COMMON   871508107         0      31,162      X
NONE   16,875         0   14,287
0SYMBOL TECHNOLOGIES INC        COMMON   871508107         0         562
X              0001      562         0        0
0SYSCO CORP                     COMMON   871829107    19,618     658,069      X
NONE  216,326         0  441,743
- -  COLUMN  TOTALS                                    124,532
06/30/99
1
(SEC USE ONLY)
 PAGE     58  OF     64        FORM 13F       NAME OF REPORTING MANAGER - BROWN
BROTHERS HARRIMAN, AND COMPANY   FILE NUMBER 28-408
- -ITEM 1                         ITEM 2   ITEM 3       ITEM 4      ITEM 5
ITEM 6           ITEM 7           ITEM 8
0

INVESTMENT   DISCRETION             VOTING     AUTHORITY
                                                        FAIR
(B)
                                                      MARKET
SHARED AS          MGRS
                                TITLE                  VALUE   SHARES OR     (A)
DEFINED    (C)     SEE      (A)     (B)       (C)
                                OF       CUSIP          (000   PRINCIPAL
IN      SHARED  INSTR
 NAME  OF  ISSUER               CLASS    NUMBER     OMITTED)      AMOUNT
SOLE  INSTR V   OTHER     V      SOLE    SHARED     NONE
0SYSCO CORP                     COMMON   871829107     6,512     218,430
X              0001  218,430         0        0
0SYSCO CORP                     COMMON   871829107        66       2,200
X              0007    2,200         0        0
0SYSCO CORP                     COMMON   871829107       376      12,600
X              0012   12,600         0        0
0TANDY CORP                     COMMON   875382103       266       5,446      X
NONE    5,272         0      174
0TCSI CORPORATION               COMMON   87233R106         1         450      X
NONE        0         0      450
0TCSI CORPORATION               COMMON   87233R106        51      20,000
X              0001   20,000         0        0
0TECO ENERGY INC                COMMON   872375100     1,191      52,338      X
NONE    6,000         0   46,338
0TECO ENERGY INC                COMMON   872375100     1,078      47,400
X              0001   47,400         0        0
0TECO ENERGY INC                COMMON   872375100       123       5,400
X              0007    5,400         0        0
0TELEFONICA S A SPON ADR        COMMON   879382208       470       3,197      X
NONE    1,259         0    1,938
0TELESPECTRUM WORLDWIDE /REST/  COMMON   87951U109     1,821     235,000      X
NONE        0         0  235,000
0TELLABS INC                    COMMON   879664100     1,727      25,555      X
NONE      273         0   25,282
0TELLABS INC                    COMMON   879664100        64         950
X              0001      950         0        0
0TELLABS INC                    COMMON   879664100        88       1,300
X              0012    1,300         0        0
0TENNECO INC                    COMMON   88037E101     2,182      91,385      X
NONE   88,300         0    3,085
0TEXACO INC                     COMMON   881694103     3,130      50,184      X
NONE    8,480         0   41,704
0TEXACO INC                     COMMON   881694103       556       8,910
X              0001    8,910         0        0
0TEXACO INC                     COMMON   881694103       120       1,926
X              0007    1,926         0        0
0TEXAS INDUSTRIES               COMMON   882491103       233       6,000      X
NONE        0         0    6,000
0TEXAS INSTRUMENTS INC          COMMON   882508104    10,712      74,390      X
NONE   32,150         0   42,240
- -  COLUMN  TOTALS                                     30,766
06/30/99
1
(SEC USE ONLY)
 PAGE     59  OF     64        FORM 13F       NAME OF REPORTING MANAGER - BROWN
BROTHERS HARRIMAN, AND COMPANY   FILE NUMBER 28-408
- -ITEM 1                         ITEM 2   ITEM 3       ITEM 4      ITEM 5
ITEM 6           ITEM 7           ITEM 8
0

INVESTMENT   DISCRETION             VOTING     AUTHORITY
                                                        FAIR
(B)
                                                      MARKET
SHARED AS          MGRS
                                TITLE                  VALUE   SHARES OR     (A)
DEFINED    (C)     SEE      (A)     (B)       (C)
                                OF       CUSIP          (000   PRINCIPAL
IN      SHARED  INSTR
 NAME  OF  ISSUER               CLASS    NUMBER     OMITTED)      AMOUNT
SOLE  INSTR V   OTHER     V      SOLE    SHARED     NONE
0TEXAS INSTRUMENTS INC          COMMON   882508104       731       5,074
X              0001    5,074         0        0
0TEXAS INSTRUMENTS INC          COMMON   882508104       144       1,000
X              0007    1,000         0        0
0TEXAS INSTRUMENTS INC          COMMON   882508104       418       2,900
X              0012    2,900         0        0
0TEXAS UTILITIES                COMMON   882848104     1,292      31,170      X
NONE    4,100         0   27,070
0TEXAS UTILITIES                COMMON   882848104       181       4,380
X              0001    4,380         0        0
0TEXAS UTILITIES                COMMON   882848104        50       1,198
X              0007    1,198         0        0
0TEXAS UTILITIES                COMMON   882848104        17         400
X              0012      400         0        0
0TEXTRON INC                    COMMON   883203101       415       5,040      X
NONE    3,840         0    1,200
0THERMO ELECTRON CORP           COMMON   883556102       614      30,599      X
NONE    5,200         0   25,398
0THERMO ELECTRON CORP           COMMON   883556102       108       5,376
X              0001    5,376         0        0
0THERMO ELECTRON CORP           COMMON   883556102        60       3,000
X              0012    3,000         0        0
0THISTLE GRP HOLDINGS CO/REST/  COMMON   88431E103       220      25,000
X              0001   25,000         0        0
0TIME WARNER INC                COMMON   887315109    83,864   1,154,754      X
NONE  664,108         0  490,646
0TIME WARNER INC                COMMON   887315109     5,490      75,594
X              0001   75,594         0        0
0TIME WARNER INC                COMMON   887315109        63         866
X              0003      866         0        0
0TIME WARNER INC                COMMON   887315109       439       6,050
X              0007    6,050         0        0
0TIME WARNER INC                COMMON   887315109     2,727      37,550
X              0012   37,550         0        0
0TITAN CORP                     COMMON   888266103       131      11,889      X
NONE   11,206         0      683
0TJX COS INC /NEW/              COMMON   872540109       319       9,581      X
NONE      140         0    9,441
0TOMMY HILFIGER CORP            COMMON   G8915Z102     3,463      95,200      X
NONE   53,100         0   42,100
- -  COLUMN  TOTALS                                    100,745
06/30/99
1
(SEC USE ONLY)
 PAGE     60  OF     64        FORM 13F       NAME OF REPORTING MANAGER - BROWN
BROTHERS HARRIMAN, AND COMPANY   FILE NUMBER 28-408
- -ITEM 1                         ITEM 2   ITEM 3       ITEM 4      ITEM 5
ITEM 6           ITEM 7           ITEM 8
0

INVESTMENT   DISCRETION             VOTING     AUTHORITY
                                                        FAIR
(B)
                                                      MARKET
SHARED AS          MGRS
                                TITLE                  VALUE   SHARES OR     (A)
DEFINED    (C)     SEE      (A)     (B)       (C)
                                OF       CUSIP          (000   PRINCIPAL
IN      SHARED  INSTR
 NAME  OF  ISSUER               CLASS    NUMBER     OMITTED)      AMOUNT
SOLE  INSTR V   OTHER     V      SOLE    SHARED     NONE
0TOMMY HILFIGER CORP            COMMON   G8915Z102       304       8,350
X              0001    8,350         0        0
0TOSCO CORP                     COMMON   891490302       243       9,361      X
NONE      104         0    9,257
0TOWER AIR INC                  COMMON   891697104        27      10,000      X
NONE        0         0   10,000
0TOYS R US INC                  COMMON   892335100     2,594     125,377      X
NONE   53,865         0   71,512
0TOYS R US INC                  COMMON   892335100     1,019      49,250
X              0001   49,250         0        0
0TOYS R US INC                  COMMON   892335100       145       7,000
X              0007    7,000         0        0
0TOYS R US INC                  COMMON   892335100        48       2,300
X              0012    2,300         0        0
0TRANS WORLD AIRLINES INC       COMMON   893349837        51      10,300      X
NONE        0         0   10,300
0TRIBUNE CO                     COMMON   896047107     8,076      92,694      X
NONE   72,334         0   20,360
0TRIBUNE CO                     COMMON   896047107       932      10,700
X              0001   10,700         0        0
0TRIBUNE CO                     COMMON   896047107        44         500
X              0003      500         0        0
0TRITON ENERGY LTD CL A         COMMON   G90751101       372      35,000
X              0007   35,000         0        0
0TYCO INTERNATIONAL LTD         COMMON   902124106    11,276     119,011      X
NONE   64,772         0   54,239
0TYCO INTERNATIONAL LTD         COMMON   902124106     1,512      15,954
X              0001   15,954         0        0
0TYCO INTERNATIONAL LTD         COMMON   902124106       109       1,150
X              0012    1,150         0        0
0U S TRUST CORP                 COMMON   91288L105     2,692      29,100      X
NONE   12,000         0   17,100
0U S TRUST CORP                 COMMON   91288L105       370       4,000
X              0012    4,000         0        0
0U S WEST INC                   COMMON   91273H101       283       4,822      X
NONE    2,232         0    2,590
0U S WEST INC                   COMMON   91273H101        24         400
X              0007      400         0        0
0UICI                           COMMON   902737105     1,189      43,050      X
NONE   32,250         0   10,800
- -  COLUMN  TOTALS                                     31,307
06/30/99
1
(SEC USE ONLY)
 PAGE     61  OF     64        FORM 13F       NAME OF REPORTING MANAGER - BROWN
BROTHERS HARRIMAN, AND COMPANY   FILE NUMBER 28-408
- -ITEM 1                         ITEM 2   ITEM 3       ITEM 4      ITEM 5
ITEM 6           ITEM 7           ITEM 8
0

INVESTMENT   DISCRETION             VOTING     AUTHORITY
                                                        FAIR
(B)
                                                      MARKET
SHARED AS          MGRS
                                TITLE                  VALUE   SHARES OR     (A)
DEFINED    (C)     SEE      (A)     (B)       (C)
                                OF       CUSIP          (000   PRINCIPAL
IN      SHARED  INSTR
 NAME  OF  ISSUER               CLASS    NUMBER     OMITTED)      AMOUNT
SOLE  INSTR V   OTHER     V      SOLE    SHARED     NONE
0UICI                           COMMON   902737105       276      10,000
X              0007   10,000         0        0
0UNICOM CORP                    COMMON   904911104       869      22,535      X
NONE   21,494         0    1,041
0UNICOM CORP                    COMMON   904911104         5         135
X              0012      135         0        0
0UNION CARBIDE CORP             COMMON   905581104    15,542     318,801      X
NONE  131,758         0  187,043
0UNION CARBIDE CORP             COMMON   905581104       892      18,300
X              0001   18,300         0        0
0UNION CARBIDE CORP             COMMON   905581104       702      14,400
X              0007   14,400         0        0
0UNION CARBIDE CORP             COMMON   905581104        20         400
X              0012      400         0        0
0UNION PACIFIC CORP             COMMON   907818108    19,914     341,514      X
NONE  123,818         0  217,696
0UNION PACIFIC CORP             COMMON   907818108     9,235     158,365
X              0001  158,365         0        0
0UNION PACIFIC CORP             COMMON   907818108        12         200
X              0003      200         0        0
0UNION PACIFIC CORP             COMMON   907818108        90       1,550
X              0007    1,550         0        0
0UNION PACIFIC CORP             COMMON   907818108       328       5,623
X              0012    5,623         0        0
0UNION PACIFIC RESOURCES GROUP  COMMON   907834105     5,697     349,273      X
NONE  104,072         0  245,200
0UNION PACIFIC RESOURCES GROUP  COMMON   907834105       789      48,371
X              0001   48,371         0        0
0UNION PACIFIC RESOURCES GROUP  COMMON   907834105        21       1,300
X              0003    1,300         0        0
0UNION PACIFIC RESOURCES GROUP  COMMON   907834105       122       7,499
X              0007    7,499         0        0
0UNION PACIFIC RESOURCES GROUP  COMMON   907834105       108       6,590
X              0012    6,590         0        0
0UNION PLANTERS CORP            COMMON   908068109       295       6,608      X
NONE    6,608         0        0
0UNION PLANTERS CORP            COMMON   908068109        89       2,000
X              0001    2,000         0        0
0UNITED DOMINION RLTY TR INC    COMMON   910197102     1,572     133,800      X
NONE   77,300         0   56,500
- -  COLUMN  TOTALS                                     56,579
06/30/99
1
(SEC USE ONLY)
 PAGE     62  OF     64        FORM 13F       NAME OF REPORTING MANAGER - BROWN
BROTHERS HARRIMAN, AND COMPANY   FILE NUMBER 28-408
- -ITEM 1                         ITEM 2   ITEM 3       ITEM 4      ITEM 5
ITEM 6           ITEM 7           ITEM 8
0

INVESTMENT   DISCRETION             VOTING     AUTHORITY
                                                        FAIR
(B)
                                                      MARKET
SHARED AS          MGRS
                                TITLE                  VALUE   SHARES OR     (A)
DEFINED    (C)     SEE      (A)     (B)       (C)
                                OF       CUSIP          (000   PRINCIPAL
IN      SHARED  INSTR
 NAME  OF  ISSUER               CLASS    NUMBER     OMITTED)      AMOUNT
SOLE  INSTR V   OTHER     V      SOLE    SHARED     NONE
0UNITED DOMINION RLTY TR INC    COMMON   910197102       203      17,300
X              0001   17,300         0        0
0UNITED DOMINION RLTY TR INC    COMMON   910197102        29       2,500
X              0012    2,500         0        0
0UNITED TECHNOLOGIES CORP       COMMON   913017109    29,714     412,695      X
NONE  218,407         0  194,288
0UNITED TECHNOLOGIES CORP       COMMON   913017109     4,813      66,850
X              0001   66,850         0        0
0UNITED TECHNOLOGIES CORP       COMMON   913017109       123       1,710
X              0007    1,710         0        0
0UNITED TECHNOLOGIES CORP       COMMON   913017109       763      10,600
X              0012   10,600         0        0
0UNITIL CORP                    COMMON   913259107       384      15,236      X
NONE        0         0   15,236
0UNOCAL CORP                    COMMON   915289102       413      10,434      X
NONE    5,250         0    5,184
0UNOCAL CORP                    COMMON   915289102        24         600
X              0003      600         0        0
0UNUM CORP                      COMMON   903192102       274       5,000      X
NONE      400         0    4,600
0UNUM CORP                      COMMON   903192102        66       1,200
X              0001    1,200         0        0
0US AIRWAYS GROUP INC           COMMON   911905107       967      22,200      X
NONE    5,200         0   17,000
0US BANCORP DEL                 COMMON   902973106       285       8,545      X
NONE    1,467         0    7,078
0US BANCORP DEL                 COMMON   902973106         3         100
X              0001      100         0        0
0USF&G CORP CNV 0% 3/3/09       CON BOND 903290AD6       458       7,000      X
NONE        0         0    7,000
0USLIFE INCOME FUND INC         COMMON   917324105       167      17,398      X
NONE        0         0   17,398
0V F CORP                       COMMON   918204108       223       5,227      X
NONE       62         0    5,165
0VARI LITE INTERNATIONAL /REST/ COMMON   922152103        19       8,764      X
NONE        0         0    8,764
0VARI LITE INTERNATIONAL INC    COMMON   922152103       204      95,895
X              0007   95,895         0        0
0VASTAR RESOURCES INC           COMMON   922380100     1,994      38,030      X
NONE    8,305         0   29,725
- -  COLUMN  TOTALS                                     41,127
06/30/99
1
(SEC USE ONLY)
 PAGE     63  OF     64        FORM 13F       NAME OF REPORTING MANAGER - BROWN
BROTHERS HARRIMAN, AND COMPANY   FILE NUMBER 28-408
- -ITEM 1                         ITEM 2   ITEM 3       ITEM 4      ITEM 5
ITEM 6           ITEM 7           ITEM 8
0

INVESTMENT   DISCRETION             VOTING     AUTHORITY
                                                        FAIR
(B)
                                                      MARKET
SHARED AS          MGRS
                                TITLE                  VALUE   SHARES OR     (A)
DEFINED    (C)     SEE      (A)     (B)       (C)
                                OF       CUSIP          (000   PRINCIPAL
IN      SHARED  INSTR
 NAME  OF  ISSUER               CLASS    NUMBER     OMITTED)      AMOUNT
SOLE  INSTR V   OTHER     V      SOLE    SHARED     NONE
0VASTAR RESOURCES INC           COMMON   922380100       552      10,520
X              0001   10,520         0        0
0VIACOM INC CLASS A             COMMON   925524100       841      19,060      X
NONE    4,200         0   14,860
0VIACOM INC CLASS A             COMMON   925524100         9         208
X              0007      208         0        0
0VIACOM INC CLASS B NON-VOTING  COMMON   925524308    18,039     409,967      X
NONE  184,926         0  225,041
0VIACOM INC CLASS B NON-VOTING  COMMON   925524308       314       7,137
X              0001    7,137         0        0
0VIACOM INC CLASS B NON-VOTING  COMMON   925524308        22         502
X              0007      502         0        0
0VINTAGE PETROLEUM INC          COMMON   927460105       301      28,000      X
NONE    3,000         0   25,000
0VIVID TECHNOLOGIES INC         COMMON   928538107       136      38,980      X
NONE        0         0   38,980
0VOCALTEC COMMUNICATIONS LTD    COMMON   M97601104       188      15,000
X              0007   15,000         0        0
0VOCALTEC COMMUNICATIONS LTD    COMMON   M97601104         6         500
X              0012      500         0        0
0VODAFONE AIRTOUCH PLC SPON ADR COMMON   92857T107       276       1,400
X              0001    1,400         0        0
0VORNADO RLTY SER A CONV PFD    CONV PFD 929042208       202       4,000      X
NONE        0         0    4,000
0VORNADO RLTY TRUST             COMMON   929042109    22,636     641,015      X
NONE  279,712         0  361,303
0VORNADO RLTY TRUST             COMMON   929042109     3,264      92,430
X              0001   92,430         0        0
0VORNADO RLTY TRUST             COMMON   929042109        71       2,000
X              0007    2,000         0        0
0VORNADO RLTY TRUST             COMMON   929042109       282       8,000
X              0012    8,000         0        0
0VULCAN MATERIALS               COMMON   929160109       474       9,814      X
NONE    5,760         0    4,054
0WACHOVIA CORP                  COMMON   929771103     2,576      30,102      X
NONE    8,999         0   21,103
0WAL-MART STORES INC            COMMON   931142103    42,406     878,885      X
NONE  460,316         0  418,569
0WAL-MART STORES INC            COMMON   931142103     6,779     140,500
X              0001  140,500         0        0
- -  COLUMN  TOTALS                                     99,372
06/30/99
1
(SEC USE ONLY)
 PAGE     64  OF     64        FORM 13F       NAME OF REPORTING MANAGER - BROWN
BROTHERS HARRIMAN, AND COMPANY   FILE NUMBER 28-408
- -ITEM 1                         ITEM 2   ITEM 3       ITEM 4      ITEM 5
ITEM 6           ITEM 7           ITEM 8
0

INVESTMENT   DISCRETION             VOTING     AUTHORITY
                                                        FAIR
(B)
                                                      MARKET
SHARED AS          MGRS
                                TITLE                  VALUE   SHARES OR     (A)
DEFINED    (C)     SEE      (A)     (B)       (C)
                                OF       CUSIP          (000   PRINCIPAL
IN      SHARED  INSTR
 NAME  OF  ISSUER               CLASS    NUMBER     OMITTED)      AMOUNT
SOLE  INSTR V   OTHER     V      SOLE    SHARED     NONE
0WAL-MART STORES INC            COMMON   931142103        75       1,560
X              0007    1,560         0        0
0WAL-MART STORES INC            COMMON   931142103     1,558      32,300
X              0012   32,300         0        0
0WALGREEN CO                    COMMON   931422109     8,465     288,176      X
NONE  169,076         0  119,100
0WALGREEN CO                    COMMON   931422109       875      29,800
X              0001   29,800         0        0
0WALGREEN CO                    COMMON   931422109       194       6,600
X              0012    6,600         0        0
0WALTER INDUSTRIES INC /REST/   COMMON   93317Q105    70,774   5,470,662      X
NONE        0         0 5470,662
0WARNER-LAMBERT CO              COMMON   934488107     5,172      74,822      X
NONE   21,878         0   52,944
0WARNER-LAMBERT CO              COMMON   934488107     1,092      15,800
X              0001   15,800         0        0
0WARNER-LAMBERT CO              COMMON   934488107        17         250
X              0003      250         0        0
0WARNER-LAMBERT CO              COMMON   934488107        62         900
X              0012      900         0        0
0WASHINGTON POST CO CL B        COMMON   939640108       530         985      X
NONE      385         0      600
0WASHINGTON POST CO CL B        COMMON   939640108     2,151       4,000
X              0001    4,000         0        0
0WATERS CORP /RESTRICTED/       COMMON   941848103       187       3,513      X
NONE        0         0    3,513
0WATERS CORPORATION             COMMON   941848103        21         400
X              0003      400         0        0
0WATSON PHARMACEUTICALS INC     COMMON   942683103        53       1,500      X
NONE      800         0      700
0WATSON PHARMACEUTICALS INC     COMMON   942683103       154       4,400
X              0001    4,400         0        0
0WELLMAN INC                    COMMON   949702104       159      10,000
X              0001   10,000         0        0
0WESTBANK CORP                  COMMON   957116106       168      16,223      X
NONE   16,223         0        0
0WESTVACO CORP                  COMMON   961548104       184       6,350      X
NONE    5,000         0    1,350
0WESTVACO CORP                  COMMON   961548104        38       1,300
X              0001    1,300         0        0
- -  COLUMN  TOTALS                                     91,931
06/30/99
1
(SEC USE ONLY)
 PAGE     65  OF     64        FORM 13F       NAME OF REPORTING MANAGER - BROWN
BROTHERS HARRIMAN, AND COMPANY   FILE NUMBER 28-408
- -ITEM 1                         ITEM 2   ITEM 3       ITEM 4      ITEM 5
ITEM 6           ITEM 7           ITEM 8
0

INVESTMENT   DISCRETION             VOTING     AUTHORITY
                                                        FAIR
(B)
                                                      MARKET
SHARED AS          MGRS
                                TITLE                  VALUE   SHARES OR     (A)
DEFINED    (C)     SEE      (A)     (B)       (C)
                                OF       CUSIP          (000   PRINCIPAL
IN      SHARED  INSTR
 NAME  OF  ISSUER               CLASS    NUMBER     OMITTED)      AMOUNT
SOLE  INSTR V   OTHER     V      SOLE    SHARED     NONE
0WESTVACO CORP                  COMMON   961548104       105       3,633
X              0012    3,633         0        0
0WEYERHAEUSER CO                COMMON   962166104     1,487      21,625      X
NONE      500         0   21,125
0WEYERHAEUSER CO                COMMON   962166104        76       1,100
X              0001    1,100         0        0
0WEYERHAEUSER CO                COMMON   962166104     4,125      60,000
X              0007   60,000         0        0
0WHIRLPOOL CORP                 COMMON   963320106       354       4,783      X
NONE       42         0    4,741
0WILLAMETTE INDS INC            COMMON   969133107     5,646     122,580      X
NONE   67,860         0   54,720
0WILLAMETTE INDS INC            COMMON   969133107       334       7,260
X              0001    7,260         0        0
0WILLAMETTE INDS INC            COMMON   969133107       313       6,800
X              0007    6,800         0        0
0WILLIAMS COS INC /DEL/         COMMON   969457100    34,013     799,149      X
NONE  259,892         0  539,257
0WILLIAMS COS INC /DEL/         COMMON   969457100     3,737      87,800
X              0001   87,800         0        0
0WILLIAMS COS INC /DEL/         COMMON   969457100        21         500
X              0003      500         0        0
0WILLIAMS COS INC /DEL/         COMMON   969457100    15,654     367,800
X              0007  367,800         0        0
0WILLIAMS COS INC /DEL/         COMMON   969457100       138       3,250
X              0012    3,250         0        0
0WORKGROUP TECHNOLOGY CORP      COMMON   980903108        36      20,000
X              0001   20,000         0        0
0WORLD ACCESS INC               COMMON   98141A101       170      12,000      X
NONE   10,000         0    2,000
0WORLD COLOR PRESS CV 6%10/1/07 CON BOND 981443AA2    70,875     750,000      X
NONE        0         0  750,000
0WORLD COLOR PRESS CV 6%10/1/07 CON BOND 981443AA2    12,758     135,000
X              0001  135,000         0        0
0WORLD COLOR PRESS INC          COMMON   981443104     2,278      82,845      X
NONE   15,241         0   67,604
0WORLD COLOR PRESS INC          COMMON   981443104       275      10,000
X              0001   10,000         0        0
0WORLD COLOR PRESS INC          COMMON   981443104       121       4,400
X              0012    4,400         0        0
- -  COLUMN  TOTALS                                    152,517
06/30/99
1
(SEC USE ONLY)
 PAGE     66  OF     64        FORM 13F       NAME OF REPORTING MANAGER - BROWN
BROTHERS HARRIMAN, AND COMPANY   FILE NUMBER 28-408
- -ITEM 1                         ITEM 2   ITEM 3       ITEM 4      ITEM 5
ITEM 6           ITEM 7           ITEM 8
0

INVESTMENT   DISCRETION             VOTING     AUTHORITY
                                                        FAIR
(B)
                                                      MARKET
SHARED AS          MGRS
                                TITLE                  VALUE   SHARES OR     (A)
DEFINED    (C)     SEE      (A)     (B)       (C)
                                OF       CUSIP          (000   PRINCIPAL
IN      SHARED  INSTR
 NAME  OF  ISSUER               CLASS    NUMBER     OMITTED)      AMOUNT
SOLE  INSTR V   OTHER     V      SOLE    SHARED     NONE
0WPI GROUP INC                  COMMON   92930K107        45      14,000
X              0012   14,000         0        0
0WPP GROUP PLC SPON ADR/R S/    COMMON   929309300       410       4,780      X
NONE        0         0    4,780
0XEROX CORP                     COMMON   984121103     1,197      20,266      X
NONE   10,220         0   10,046
0XEROX CORP                     COMMON   984121103       226       3,830
X              0001    3,830         0        0
0XEROX CORP                     COMMON   984121103       272       4,600
X              0007    4,600         0        0
0XEROX CORP                     COMMON   984121103        71       1,200
X              0012    1,200         0        0
0YAHOO INC                      COMMON   984332106     3,185      18,488      X
NONE    2,236         0   16,252
0ZIONS BANCORP                  COMMON   989701107    34,615     545,112      X
NONE  304,823         0  240,289
03COM CORP                      COMMON   885535104     3,240     121,409      X
NONE   94,634         0   26,775
03COM CORP                      COMMON   885535104       205       7,700
X              0001    7,700         0        0
03COM CORP                      COMMON   885535104       160       6,000
X              0012    6,000         0        0
- -  COLUMN  TOTALS                                     43,625
06/30/99
- -  GRAND   TOTALS                                  6,935,975

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