BROWN BROTHERS HARRIMAN & CO
13F-HR, 2000-07-07
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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 6, 2000    New York, NY

<TABLE>
<S>                                                                          <S>

1
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 PAGE      1  OF     62        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    13,319     298,895      X
NONE   68,769         0  230,126
0ABBOTT LABORATORIES            COMMON   002824100     4,625     103,780
X              0001  103,780         0        0
0ABBOTT LABORATORIES            COMMON   002824100        98       2,200
X              0003    2,200         0        0
0ABBOTT LABORATORIES            COMMON   002824100     6,609     148,300
X              0007  148,300         0        0
0ABBOTT LABORATORIES            COMMON   002824100       515      11,546
X              0012   11,546         0        0
0ABIOMED INC                    COMMON   003654100       446      14,500      X
NONE   12,500         0    2,000
0ADOBE SYSTEMS INC              COMMON   00724F101       163       1,250
X              0007    1,250         0        0
0ADOBE SYSTEMS INC              COMMON   00724F101       130       1,000
X              0012    1,000         0        0
0AES CORP                       COMMON   00130H105    19,937     436,983      X
NONE  274,189         0  162,794
0AES CORP                       COMMON   00130H105     1,270      27,835
X              0001   27,835         0        0
0AES CORP                       COMMON   00130H105        37         800
X              0003      800         0        0
0AES CORP                       COMMON   00130H105        46       1,000
X              0007    1,000         0        0
0AES CORP                       COMMON   00130H105       563      12,350
X              0012   12,350         0        0
0AES CORP /REST/                COMMON   00130H105       497      10,900      X
NONE   10,900         0        0
0AES CORP CV 4.50% 8/15/05      CON BOND 00130HAN5    25,265     155,000      X
NONE        0         0  155,000
0AES CORP CV 4.50% 8/15/05      CON BOND 00130HAN5    12,225      75,000
X              0001   75,000         0        0
0AES TRUST III CV PFD 6.75%     CONV PFD 00808N202       289       4,000      X
NONE        0         0    4,000
0AGILENT TECHNOLOGIES INC       COMMON   00846U101    12,176     165,099      X
NONE   84,867         0   80,232
0AGILENT TECHNOLOGIES INC       COMMON   00846U101     2,213      30,012
X              0001   30,012         0        0
0AGILENT TECHNOLOGIES INC       COMMON   00846U101        20         277
X              0003      277         0        0
-  COLUMN  TOTALS                                    100,443
06/30/00
1
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 PAGE      2  OF     62        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
0AGILENT TECHNOLOGIES INC       COMMON   00846U101       330       4,469
X              0007    4,469         0        0
0AGILENT TECHNOLOGIES INC       COMMON   00846U101       411       5,578
X              0012    5,578         0        0
0AIR PRODUCTS & CHEMICALS       COMMON   009158106     1,042      33,619      X
NONE   16,704         0   16,915
0AIR PRODUCTS & CHEMICALS       COMMON   009158106       121       3,900
X              0001    3,900         0        0
0AIR PRODUCTS & CHEMICALS       COMMON   009158106        37       1,200
X              0003    1,200         0        0
0ALBERTSONS INC                 COMMON   013104104     1,654      49,738      X
NONE   41,368         0    8,370
0ALBERTSONS INC                 COMMON   013104104       150       4,520
X              0001    4,520         0        0
0ALCOA INC                      COMMON   013817101    16,273     561,131      X
NONE  217,655         0  343,476
0ALCOA INC                      COMMON   013817101     1,014      34,960
X              0001   34,960         0        0
0ALCOA INC                      COMMON   013817101        54       1,860
X              0003    1,860         0        0
0ALCOA INC                      COMMON   013817101       296      10,200
X              0007   10,200         0        0
0ALCOA INC                      COMMON   013817101        44       1,500
X              0012    1,500         0        0
0ALKERMES INC                   COMMON   01642T108       256       5,438      X
NONE        0         0    5,438
0ALKERMES INC                   COMMON   01642T108       493      10,466
X              0001   10,466         0        0
0ALLAIRE CORP                   COMMON   016714107     3,896     106,016      X
NONE        0         0  106,016
0ALLAIRE CORP                   COMMON   016714107       323       8,788
X              0001    8,788         0        0
0ALLEGHENY ENERGY INC           COMMON   017361106       226       8,058      X
NONE      760         0    7,298
0ALLEGHENY TECHNOLOGIES INC     COMMON   01741R102     1,936     107,540      X
NONE   37,840         0   69,700
0ALLEGHENY TECHNOLOGIES INC     COMMON   01741R102       122       6,800
X              0001    6,800         0        0
0ALLEGHENY TECHNOLOGIES INC     COMMON   01741R102     3,780     210,000
X              0007  210,000         0        0
-  COLUMN  TOTALS                                     32,457
06/30/00
1
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 PAGE      3  OF     62        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
0ALLERGAN INC                   COMMON   018490102       350       4,700      X
NONE        0         0    4,700
0ALLERGAN INC                   COMMON   018490102       112       1,500
X              0012    1,500         0        0
0ALLSTATE CORP                  COMMON   020002101     1,003      45,057      X
NONE   12,085         0   32,972
0ALLSTATE CORP                  COMMON   020002101       342      15,370
X              0001   15,370         0        0
0ALLSTATE CORP                  COMMON   020002101        16         740
X              0007      740         0        0
0ALLSTATE CORP                  COMMON   020002101        21         926
X              0012      926         0        0
0ALLTEL CORP                    COMMON   020039103     1,217      19,647      X
NONE        0         0   19,647
0ALLTEL CORP                    COMMON   020039103       197       3,180
X              0001    3,180         0        0
0AMER EXPRESS                   COMMON   025816109    38,742     743,257      X
NONE  333,206         0  410,051
0AMER EXPRESS                   COMMON   025816109     9,430     180,918
X              0001  180,918         0        0
0AMER EXPRESS                   COMMON   025816109       205       3,930
X              0003    3,930         0        0
0AMER EXPRESS                   COMMON   025816109       149       2,850
X              0007    2,850         0        0
0AMER EXPRESS                   COMMON   025816109     1,231      23,625
X              0012   23,625         0        0
0AMER HOME PRODUCTS             COMMON   026609107     7,098     120,812      X
NONE   49,164         0   71,648
0AMER HOME PRODUCTS             COMMON   026609107     8,224     139,976
X              0001  139,976         0        0
0AMER HOME PRODUCTS             COMMON   026609107       470       8,000
X              0003    8,000         0        0
0AMER HOME PRODUCTS             COMMON   026609107        47         800
X              0007      800         0        0
0AMER HOME PRODUCTS             COMMON   026609107     1,569      26,700
X              0012   26,700         0        0
0AMER INTNATL GROUP             COMMON   026874107   117,659   1,485,835      X
NONE  582,272         0  903,563
0AMER INTNATL GROUP             COMMON   026874107    19,989     252,427
X              0001  252,427         0        0
-  COLUMN  TOTALS                                    208,069
06/30/00
1
(SEC USE ONLY)
 PAGE      4  OF     62        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       152       1,925
X              0003    1,925         0        0
0AMER INTNATL GROUP             COMMON   026874107     6,012      75,927
X              0007   75,927         0        0
0AMER INTNATL GROUP             COMMON   026874107     3,252      41,072
X              0012   41,072         0        0
0AMERADA HESS CORP              COMMON   023551104       452       7,314      X
NONE        0         0    7,314
0AMERICA ONLINE INC DEL         COMMON   02364J104     6,240     118,583      X
NONE   49,873         0   68,710
0AMERICA ONLINE INC DEL         COMMON   02364J104       609      11,575
X              0001   11,575         0        0
0AMERICA ONLINE INC DEL         COMMON   02364J104        20         375
X              0003      375         0        0
0AMERICA ONLINE INC DEL         COMMON   02364J104        16         300
X              0007      300         0        0
0AMERICA ONLINE INC DEL         COMMON   02364J104       158       3,000
X              0012    3,000         0        0
0AMERICAN ELEC PWR INC          COMMON   025537101       350      11,800      X
NONE    5,108         0    6,692
0AMERICAN ELEC PWR INC          COMMON   025537101       167       5,640
X              0001    5,640         0        0
0AMERICAN ELEC PWR INC          COMMON   025537101        43       1,440
X              0007    1,440         0        0
0AMERICAN GEN CORP              COMMON   026351106    11,525     188,929      X
NONE      600         0  188,329
0AMERICAN GEN CORP              COMMON   026351106        35         575
X              0001      575         0        0
0AMERICAN GEN CORP              COMMON   026351106     1,525      25,000
X              0007   25,000         0        0
0AMERICAN GENERAL CORP /REST/   COMMON   026351106     2,434      39,901      X
NONE        0         0   39,901
0AMERICAN TOWER CORP CL A       COMMON   029912201     6,324     151,700      X
NONE   60,100         0   91,600
0AMERICAN TOWER CORP CL A       COMMON   029912201       370       8,870
X              0001    8,870         0        0
0AMGEN INC                      COMMON   031162100     1,320      18,786      X
NONE   13,186         0    5,600
0AMGEN INC                      COMMON   031162100       429       6,100
X              0001    6,100         0        0
-  COLUMN  TOTALS                                     41,432
06/30/00
1
(SEC USE ONLY)
 PAGE      5  OF     62        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
0AMSOUTH BANCORPORATION         COMMON   032165102     4,251     269,878      X
NONE   67,507         0  202,371
0AMSOUTH BANCORPORATION         COMMON   032165102       431      27,382
X              0001   27,382         0        0
0AMSOUTH BANCORPORATION         COMMON   032165102     1,903     120,825
X              0007  120,825         0        0
0AMSOUTH BANCORPORATION         COMMON   032165102        77       4,900
X              0012    4,900         0        0
0ANALOG DEVICES INC             COMMON   032654105     1,709      22,486      X
NONE        0         0   22,486
0ANALOG DEVICES INC             COMMON   032654105       175       2,300
X              0012    2,300         0        0
0ANHEUSER BUSCH COS INC         COMMON   035229103     4,202      56,255      X
NONE   14,310         0   41,945
0ANHEUSER BUSCH COS INC         COMMON   035229103       164       2,200
X              0001    2,200         0        0
0ANHEUSER BUSCH COS INC         COMMON   035229103        84       1,120
X              0007    1,120         0        0
0ANHEUSER BUSCH COS INC         COMMON   035229103       627       8,400
X              0012    8,400         0        0
0APPLE COMPUTER INC             COMMON   037833100       445       8,500      X
NONE    8,200         0      300
0APPLE COMPUTER INC             COMMON   037833100        21         400
X              0007      400         0        0
0APPLE COMPUTER INC             COMMON   037833100        84       1,600
X              0012    1,600         0        0
0APPLIED MATERIALS INC          COMMON   038222105    15,673     172,940      X
NONE   83,835         0   89,105
0APPLIED MATERIALS INC          COMMON   038222105     1,001      11,050
X              0001   11,050         0        0
0APPLIED MATERIALS INC          COMMON   038222105        27         300
X              0003      300         0        0
0APPLIED MATERIALS INC          COMMON   038222105       519       5,725
X              0012    5,725         0        0
0APPLIED MICRO CIRCUITS /REST/  COMMON   03822W109       695       7,040      X
NONE    2,192         0    4,848
0APPLIEDTHEORY CORP             COMMON   03828R104     3,030     202,023      X
NONE        0         0  202,023
0ARCHER DANIELS MIDLAND         COMMON   039483102     1,401     142,764      X
NONE  142,764         0        0
-  COLUMN  TOTALS                                     36,519
06/30/00
1
(SEC USE ONLY)
 PAGE      6  OF     62        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
0ARCHSTONE CMNTYS TR SH BEN INT COMMON   039581103       946      44,919      X
NONE   10,101         0   34,818
0ARCHSTONE CMNTYS TR SH BEN INT COMMON   039581103       184       8,750
X              0001    8,750         0        0
0ARKANSAS BEST CORP             COMMON   040790107       199      20,000
X              0001   20,000         0        0
0ARMSTRONG HOLDINGS INC         COMMON   042384107     1,338      87,359      X
NONE    2,400         0   84,959
0ARROW INTERNATIONAL INC        COMMON   042764100       714      21,300      X
NONE        0         0   21,300
0ASPEN TECHNOLOGY INC           COMMON   045327103       924      24,000      X
NONE        0         0   24,000
0ASSOCIATES FIRST CAP CORP CL A COMMON   046008108       204       3,340      X
NONE      238         0    3,578
0ASSOCIATES FIRST CAP CORP CL A COMMON   046008108        67       3,000
X              0001    3,000         0        0
0ASTEA INTERNATIONAL INC        COMMON   04622E109        68      20,000
X              0001   20,000         0        0
0ASTRAZENECA PLC SPONS ADR      COMMON   046353108       239       5,145      X
NONE      100         0    5,045
0AT & T CORP /LIBERTY MEDIA/ A  COMMON   001957208    11,571     474,706      X
NONE    1,200         0  473,506
0AT & T CORP /LIBERTY MEDIA/ A  COMMON   001957208        20         800
X              0001      800         0        0
0AT & T CORP /LIBERTY MEDIA/ A  COMMON   001957208       107       4,400
X              0012    4,400         0        0
0AT & T CORP LIBERTY MED GRP B  COMMON   001957307       170       5,232      X
NONE        0         0    5,232
0AT & T CORP LIBERTY MED GRP B  COMMON   001957307        33       1,000
X              0001    1,000         0        0
0AT HOME CORP SER A             COMMON   045919107     1,477      71,178      X
NONE   20,420         0   50,758
0AT HOME CORP SER A             COMMON   045919107        72       3,450
X              0001    3,450         0        0
0AT HOME CORP SER A             COMMON   045919107        46       2,200
X              0012    2,200         0        0
0AT HOME CORP SER A /REST/      COMMON   045919107        33       1,592      X
NONE      398         0    1,194
0AT&T CORP                      COMMON   001957109    13,012     393,198      X
NONE  166,535         0  226,663
-  COLUMN  TOTALS                                     31,422
06/30/00
1
(SEC USE ONLY)
 PAGE      7  OF     62        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&T CORP                      COMMON   001957109     1,642      49,751
X              0001   49,751         0        0
0AT&T CORP                      COMMON   001957109        85       2,583
X              0003    2,583         0        0
0AT&T CORP                      COMMON   001957109       366      11,101
X              0007   11,101         0        0
0AT&T CORP                      COMMON   001957109       773      23,412
X              0012   23,412         0        0
0AUTO DATA PROCES SUB LYON REGD CON BOND 053015AC7    26,175     200,000      X
NONE  170,000         0   30,000
0AUTOLIV INC                    COMMON   052800109       438      18,200      X
NONE        0         0   18,200
0AUTOMATIC DATA PROCESSING      COMMON   053015103    72,603   1,355,487      X
NONE  561,809         0  793,678
0AUTOMATIC DATA PROCESSING      COMMON   053015103     7,835     146,287
X              0001  146,287         0        0
0AUTOMATIC DATA PROCESSING      COMMON   053015103       357       6,670
X              0003    6,670         0        0
0AUTOMATIC DATA PROCESSING      COMMON   053015103     3,483      65,025
X              0007   65,025         0        0
0AUTOMATIC DATA PROCESSING      COMMON   053015103       777      14,500
X              0012   14,500         0        0
0AVERY DENNISON CORP            COMMON   053611109       259       3,857      X
NONE    1,957         0    1,900
0AVON PRODUCTS                  COMMON   054303102    52,292   1,175,110      X
NONE  483,769         0  691,341
0AVON PRODUCTS                  COMMON   054303102     5,938     133,436
X              0001  133,436         0        0
0AVON PRODUCTS                  COMMON   054303102       115       2,580
X              0003    2,580         0        0
0AVON PRODUCTS                  COMMON   054303102     2,276      51,150
X              0007   51,150         0        0
0AVON PRODUCTS                  COMMON   054303102       757      17,000
X              0012   17,000         0        0
0AZURIX CORP                    COMMON   05501M104       308      44,000      X
NONE        0         0   44,000
0B J SERVICE CO                 COMMON   055482103     1,020      16,325      X
NONE      450         0   15,875
0B J SERVICE CO                 COMMON   055482103       233       3,725
X              0001    3,725         0        0
-  COLUMN  TOTALS                                    177,731
06/30/00
1
(SEC USE ONLY)
 PAGE      8  OF     62        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
0BAKER HUGHES INC               COMMON   057224107       908      28,400      X
NONE        0         0   28,400
0BANCO SANTANDER CEN SPON ADR   COMMON   05964H105       218      21,000      X
NONE        0         0   21,000
0BANK OF AMERICA CORP           COMMON   060505104     6,688     154,186      X
NONE  101,165         0   53,021
0BANK OF AMERICA CORP           COMMON   060505104       434      10,015
X              0001   10,015         0        0
0BANK OF AMERICA CORP           COMMON   060505104        43       1,000
X              0003    1,000         0        0
0BANK OF AMERICA CORP           COMMON   060505104       174       4,000
X              0007    4,000         0        0
0BANK OF AMERICA CORP           COMMON   060505104        64       1,476
X              0012    1,476         0        0
0BANK OF NEW YORK CO INC        COMMON   064057102    51,922   1,116,593      X
NONE  523,061         0  593,532
0BANK OF NEW YORK CO INC        COMMON   064057102     4,538      97,585
X              0001   97,585         0        0
0BANK OF NEW YORK CO INC        COMMON   064057102       169       3,644
X              0003    3,644         0        0
0BANK OF NEW YORK CO INC        COMMON   064057102       570      12,250
X              0007   12,250         0        0
0BANK OF NEW YORK CO INC        COMMON   064057102       312       6,700
X              0012    6,700         0        0
0BANK ONE CORP                  COMMON   06423A103     2,015      75,861      X
NONE   35,753         0   40,108
0BANK ONE CORP                  COMMON   06423A103        26         968
X              0001      968         0        0
0BANK ONE CORP                  COMMON   06423A103         8         300
X              0012      300         0        0
0BAUSCH & LOMB                  COMMON   071707103     5,409      69,900      X
NONE   19,100         0   50,800
0BAUSCH & LOMB                  COMMON   071707103       425       5,495
X              0001    5,495         0        0
0BAUSCH & LOMB                  COMMON   071707103         2          20
X              0003       20         0        0
0BAUSCH & LOMB                  COMMON   071707103       248       3,200
X              0012    3,200         0        0
0BAXTER INTL INC                COMMON   071813109     9,183     130,608      X
NONE   38,497         0   92,111
-  COLUMN  TOTALS                                     83,354
06/30/00
1
(SEC USE ONLY)
 PAGE      9  OF     62        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
0BAXTER INTL INC                COMMON   071813109     1,059      15,066
X              0001   15,066         0        0
0BAXTER INTL INC                COMMON   071813109       155       2,200
X              0007    2,200         0        0
0BAXTER INTL INC                COMMON   071813109        56         800
X              0012      800         0        0
0BECKMAN COULTER INC            COMMON   075811109     7,853     134,519      X
NONE   46,069         0   88,450
0BECKMAN COULTER INC            COMMON   075811109       403       6,900
X              0001    6,900         0        0
0BECKMAN COULTER INC            COMMON   075811109     7,951     136,200
X              0007  136,200         0        0
0BECTON DICKINSON & CO          COMMON   075887109     6,401     223,136      X
NONE   44,546         0  178,590
0BECTON DICKINSON & CO          COMMON   075887109       759      26,450
X              0001   26,450         0        0
0BECTON DICKINSON & CO          COMMON   075887109        29       1,000
X              0003    1,000         0        0
0BECTON DICKINSON & CO          COMMON   075887109     5,164     180,000
X              0007  180,000         0        0
0BECTON DICKINSON & CO          COMMON   075887109       402      14,000
X              0012   14,000         0        0
0BELL ATLANTIC CORP             COMMON   077853109     7,498     147,199      X
NONE   55,781         0   91,418
0BELL ATLANTIC CORP             COMMON   077853109     1,222      23,986
X              0001   23,986         0        0
0BELL ATLANTIC CORP             COMMON   077853109        98       1,925
X              0003    1,925         0        0
0BELL ATLANTIC CORP             COMMON   077853109        32         624
X              0007      624         0        0
0BELL ATLANTIC CORP             COMMON   077853109       485       9,518
X              0012    9,518         0        0
0BELLSOUTH CORP                 COMMON   079860102     8,402     197,116      X
NONE   42,334         0  154,782
0BELLSOUTH CORP                 COMMON   079860102     3,030      71,080
X              0001   71,080         0        0
0BELLSOUTH CORP                 COMMON   079860102        27         631
X              0003      631         0        0
0BELLSOUTH CORP                 COMMON   079860102       883      20,704
X              0012   20,704         0        0
-  COLUMN  TOTALS                                     51,906
06/30/00
1
(SEC USE ONLY)
 PAGE     10  OF     62        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
0BELO /A H/ CORP SERIES A       COMMON   080555105       516      29,823      X
NONE   26,623         0    3,200
0BERKSHIRE HATHAWAY /DEL/ CL A  COMMON   084670108       495          92      X
NONE       24         0       68
0BERKSHIRE HATHAWAY /DEL/ CL A  COMMON   084670108       829         154
X              0001      154         0        0
0BERKSHIRE HATHAWAY /DEL/ CL A  COMMON   084670108         5           1
X              0003        1         0        0
0BERKSHIRE HATHAWAY INC CL B    COMMON   084670207       632         359      X
NONE      100         0      259
0BERKSHIRE HATHAWAY INC CL B    COMMON   084670207       121          69
X              0001       69         0        0
0BERKSHIRE HATHAWAY INC CL B    COMMON   084670207        30          17
X              0012       17         0        0
0BEST BUY INC                   COMMON   086516101    10,771     170,285      X
NONE   96,675         0   73,610
0BEST BUY INC                   COMMON   086516101       945      14,935
X              0001   14,935         0        0
0BEST BUY INC                   COMMON   086516101        54         850
X              0012      850         0        0
0BESTFOODS                      COMMON   08658U101    39,434     569,441      X
NONE  265,196         0  304,245
0BESTFOODS                      COMMON   08658U101     5,200      75,087
X              0001   75,087         0        0
0BESTFOODS                      COMMON   08658U101       168       2,425
X              0003    2,425         0        0
0BESTFOODS                      COMMON   08658U101       230       3,325
X              0007    3,325         0        0
0BESTFOODS                      COMMON   08658U101       365       5,275
X              0012    5,275         0        0
0BIO TECHNOLOGY GENERAL CORP    COMMON   090578105       145      11,000      X
NONE   11,000         0        0
0BIONX IMPLANTS INC             COMMON   09064Q106       168      69,108      X
NONE        0         0   69,108
0BLOCK /H & R/ INC              COMMON   093671105       168       5,200      X
NONE        0         0    5,200
0BLOCK /H & R/ INC              COMMON   093671105        74       2,300
X              0001    2,300         0        0
0BLYTH INC                      COMMON   09643P108       313      10,600      X
NONE        0         0   10,600
-  COLUMN  TOTALS                                     60,663
06/30/00
1
(SEC USE ONLY)
 PAGE     11  OF     62        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     4,234     100,851      X
NONE   12,441         0   88,410
0BOEING CO                      COMMON   097023105       358       8,558
X              0001    8,558         0        0
0BOEING CO                      COMMON   097023105       119       2,840
X              0007    2,840         0        0
0BORDERS GROUP INC              COMMON   099709107       100       6,400      X
NONE    4,400         0    2,000
0BORDERS GROUP INC              COMMON   099709107       103       6,600
X              0001    6,600         0        0
0BORDERS GROUP INC              COMMON   099709107         8         500
X              0012      500         0        0
0BOSTON PROPERTIES INC          COMMON   101121101     1,933      50,050      X
NONE    8,450         0   41,600
0BOSTON PROPERTIES INC          COMMON   101121101       108       2,800
X              0001    2,800         0        0
0BOSTON PROPERTIES INC          COMMON   101121101        89       2,300
X              0003    2,300         0        0
0BOSTON PROPERTIES INC          COMMON   101121101        39       1,000
X              0012    1,000         0        0
0BOSTON SCIENTIFIC CORP         COMMON   101137107     3,839     175,000      X
NONE    1,000         0  174,000
0BOWATER INC                    COMMON   102183100     2,255      51,100      X
NONE   18,900         0   32,200
0BOWATER INC                    COMMON   102183100        98       2,225
X              0001    2,225         0        0
0BOWATER INC                    COMMON   102183100     1,436      32,550
X              0007   32,550         0        0
0BP AMOCO PLC SPONSORED ADR     COMMON   055622104    39,595     699,251      X
NONE  214,807         0  484,444
0BP AMOCO PLC SPONSORED ADR     COMMON   055622104     8,992     158,796
X              0001  158,796         0        0
0BP AMOCO PLC SPONSORED ADR     COMMON   055622104        90       1,586
X              0003    1,586         0        0
0BP AMOCO PLC SPONSORED ADR     COMMON   055622104     6,172     109,003
X              0007  109,003         0        0
0BP AMOCO PLC SPONSORED ADR     COMMON   055622104       951      16,790
X              0012   16,790         0        0
0BRISTOL MYERS SQUIBB CO        COMMON   110122108    92,311   1,584,733      X
NONE  646,717         0  938,016
-  COLUMN  TOTALS                                    162,828
06/30/00
1
(SEC USE ONLY)
 PAGE     12  OF     62        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
0BRISTOL MYERS SQUIBB CO        COMMON   110122108    14,501     248,945
X              0001  248,945         0        0
0BRISTOL MYERS SQUIBB CO        COMMON   110122108       597      10,250
X              0003   10,250         0        0
0BRISTOL MYERS SQUIBB CO        COMMON   110122108     9,848     169,060
X              0007  169,060         0        0
0BRISTOL MYERS SQUIBB CO        COMMON   110122108     2,741      47,058
X              0012   47,058         0        0
0BROADCOM CORP CL A             COMMON   111320107       242       1,107      X
NONE      607         0      500
0BROADWING INC                  COMMON   111620100     4,886     187,465      X
NONE   73,040         0  114,425
0BROADWING INC                  COMMON   111620100       818      31,380
X              0001   31,380         0        0
0BROADWING INC                  COMMON   111620100       139       5,350
X              0012    5,350         0        0
0BROOKLINE BANCORP INC          COMMON   113739106       172      15,000      X
NONE        0         0   15,000
0BURLINGTON NORTHN SANTA FE     COMMON   12189T104       515      22,148      X
NONE    2,375         0   19,773
0BURLINGTON NORTHN SANTA FE     COMMON   12189T104       349      15,000
X              0001   15,000         0        0
0BURLINGTON NORTHN SANTA FE     COMMON   12189T104        28       1,200
X              0012    1,200         0        0
0CABOT CORP                     COMMON   127055101     4,040     148,263      X
NONE      382         0  147,881
0CABOT CORP                     COMMON   127055101       709      26,000
X              0001   26,000         0        0
0CADENCE DESIGN SYS INC         COMMON   127387108    17,801     873,660      X
NONE  281,413         0  592,247
0CADENCE DESIGN SYS INC         COMMON   127387108     5,797     283,530
X              0001  283,530         0        0
0CADENCE DESIGN SYS INC         COMMON   127387108     4,350     213,500
X              0007  213,500         0        0
0CADENCE DESIGN SYS INC         COMMON   127387108       248      12,150
X              0012   12,150         0        0
0CALYPTE BIOMEDICAL CORP        COMMON   131722100       119      50,000      X
NONE   50,000         0        0
0CAMPBELL SOUP                  COMMON   134429109       941      32,310      X
NONE   10,700         0   21,610
-  COLUMN  TOTALS                                     68,840
06/30/00
1
(SEC USE ONLY)
 PAGE     13  OF     62        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
0CAMPBELL SOUP                  COMMON   134429109        87       3,000
X              0001    3,000         0        0
0CANADIAN NATIONAL RAILWAY CO   COMMON   136375102       204       7,000      X
NONE    5,000         0    2,000
0CANADIAN NATIONAL RAILWAY CO   COMMON   136375102        88       3,000
X              0012    3,000         0        0
0CANADIAN PACIFIC LTD           COMMON   135923100       844      32,215      X
NONE      915         0   31,300
0CANADIAN PACIFIC LTD           COMMON   135923100        60       2,300
X              0001    2,300         0        0
0CAPITAL ONE FINANCIAL CORP     COMMON   14040H105       350       7,852      X
NONE    1,000         0    6,852
0CAPITAL ONE FINANCIAL CORP     COMMON   14040H105       250       5,600
X              0001    5,600         0        0
0CAPITAL ONE FINANCIAL CORP     COMMON   14040H105       402       9,000
X              0007    9,000         0        0
0CARDINAL HEALTH INC            COMMON   14149Y108       183       2,472      X
NONE    2,042         0      430
0CARDINAL HEALTH INC            COMMON   14149Y108       135       1,824
X              0001    1,824         0        0
0CARDINAL HEALTH INC            COMMON   14149Y108        84       1,140
X              0012    1,140         0        0
0CARNIVAL CORPORATION CL A      COMMON   143658102    17,169     880,442      X
NONE  360,241         0  520,201
0CARNIVAL CORPORATION CL A      COMMON   143658102     1,874      95,125
X              0001   95,125         0        0
0CARNIVAL CORPORATION CL A      COMMON   143658102        67       3,450
X              0003    3,450         0        0
0CARNIVAL CORPORATION CL A      COMMON   143658102       674      34,575
X              0007   34,575         0        0
0CARNIVAL CORPORATION CL A      COMMON   143658102       146       7,500
X              0012    7,500         0        0
0CASTELLE                       COMMON   147905103        41      30,000
X              0001   30,000         0        0
0CATERPILLAR INC                COMMON   149123101     1,606      47,410      X
NONE   26,685         0   20,725
0CATERPILLAR INC                COMMON   149123101       423      12,500
X              0001   12,500         0        0
0CCB FINANCIAL CORP             COMMON   124875105     2,154      58,224      X
NONE        0         0   58,224
-  COLUMN  TOTALS                                     26,843
06/30/00
1
(SEC USE ONLY)
 PAGE     14  OF     62        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
0CDW COMPUTER CENTERS INC       COMMON   125129106       325       5,200      X
NONE        0         0    5,200
0CENDANT CORPORATION            COMMON   151313103     2,988     211,571      X
NONE   43,884         0  167,687
0CENDANT CORPORATION            COMMON   151313103       174      12,300
X              0001   12,300         0        0
0CENDANT CORPORATION            COMMON   151313103     1,075      76,100
X              0007   76,100         0        0
0CENDANT CORPORATION            COMMON   151313103        37       2,600
X              0012    2,600         0        0
0CENTEX CORP                    COMMON   152312104       235      10,000
X              0007   10,000         0        0
0CENTURY BANCORP INC N C        COMMON   156433104       128       9,000      X
NONE        0         0    9,000
0CENTURY BANCORP INC N C        COMMON   156433104       207      14,500
X              0001   14,500         0        0
0CHARTERED SEMICONDUCTOR ADR    COMMON   16133R106       360       4,000      X
NONE      600         0    3,400
0CHARTERED SEMICONDUCTOR ADR    COMMON   16133R106        63         700
X              0001      700         0        0
0CHASE MANHATTAN CORP           COMMON   16161A108     4,256      92,387      X
NONE   45,980         0   46,407
0CHASE MANHATTAN CORP           COMMON   16161A108       606      13,150
X              0001   13,150         0        0
0CHASE MANHATTAN CORP           COMMON   16161A108       183       3,980
X              0012    3,980         0        0
0CHEVRON CORP                   COMMON   166751107    12,204     143,688      X
NONE   47,347         0   96,341
0CHEVRON CORP                   COMMON   166751107     2,316      27,262
X              0001   27,262         0        0
0CHEVRON CORP                   COMMON   166751107        51         600
X              0003      600         0        0
0CHEVRON CORP                   COMMON   166751107       872      10,268
X              0007   10,268         0        0
0CHEVRON CORP                   COMMON   166751107       760       8,950
X              0012    8,950         0        0
0CHUBB CORP                     COMMON   171232101     1,511      24,577      X
NONE    6,637         0   17,940
0CHUBB CORP                     COMMON   171232101       264       4,288
X              0001    4,288         0        0
-  COLUMN  TOTALS                                     28,615
06/30/00
1
(SEC USE ONLY)
 PAGE     15  OF     62        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
0CHUBB CORP                     COMMON   171232101        18         300
X              0003      300         0        0
0CHUBB CORP                     COMMON   171232101     8,118     132,000
X              0007  132,000         0        0
0CIENA CORP                     COMMON   171779101        67         400      X
NONE        0         0      400
0CIENA CORP                     COMMON   171779101       150         900
X              0012      900         0        0
0CIGNA CORP                     COMMON   125509109       342       3,660      X
NONE    1,680         0    1,980
0CIGNA CORP                     COMMON   125509109       178       1,902
X              0012    1,902         0        0
0CIGNA HIGH INCOME SB BEN INT   COMMON   12551D109        85      15,000      X
NONE   15,000         0        0
0CINERGY CORP                   COMMON   172474108       702      27,604      X
NONE   13,375         0   14,229
0CINERGY CORP                   COMMON   172474108        28       1,100
X              0001    1,100         0        0
0CINTAS CORP                    COMMON   172908105       163       4,439      X
NONE    2,039         0    2,400
0CINTAS CORP                    COMMON   172908105        11         299
X              0001      299         0        0
0CINTAS CORP                    COMMON   172908105        61       1,650
X              0012    1,650         0        0
0CISCO SYSTEMS INC              COMMON   17275R102   170,502   2,682,455      X
NONE 1058,161         0 1624,294
0CISCO SYSTEMS INC              COMMON   17275R102    27,679     435,464
X              0001  435,464         0        0
0CISCO SYSTEMS INC              COMMON   17275R102       434       6,832
X              0003    6,832         0        0
0CISCO SYSTEMS INC              COMMON   17275R102     3,437      54,075
X              0007   54,075         0        0
0CISCO SYSTEMS INC              COMMON   17275R102     5,936      93,386
X              0012   93,386         0        0
0CITIGROUP INC                  COMMON   172967101    99,404   1,644,762      X
NONE  700,317         0  944,445
0CITIGROUP INC                  COMMON   172967101    10,304     170,498
X              0001  170,498         0        0
0CITIGROUP INC                  COMMON   172967101       354       5,852
X              0003    5,852         0        0
-  COLUMN  TOTALS                                    327,974
06/30/00
1
(SEC USE ONLY)
 PAGE     16  OF     62        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     1,644      27,200
X              0007   27,200         0        0
0CITIGROUP INC                  COMMON   172967101     1,595      26,395
X              0012   26,395         0        0
0CLOROX CO                      COMMON   189054109       533      11,904      X
NONE    8,232         0    3,672
0CLOROX CO                      COMMON   189054109        91       2,040
X              0001    2,040         0        0
0CLOROX CO                      COMMON   189054109       216       4,820
X              0007    4,820         0        0
0CLOROX CO                      COMMON   189054109       170       3,804
X              0012    3,804         0        0
0CNB FINANCIAL CORP             COMMON   125921106       438      41,682
X              0001   41,682         0        0
0COASTAL CORP                   COMMON   190441105       561       9,210      X
NONE    9,210         0        0
0COCA COLA CO                   COMMON   191216100    55,169     960,509      X
NONE  408,879         0  551,630
0COCA COLA CO                   COMMON   191216100     7,480     130,234
X              0001  130,234         0        0
0COCA COLA CO                   COMMON   191216100       145       2,530
X              0003    2,530         0        0
0COCA COLA CO                   COMMON   191216100     2,052      35,732
X              0007   35,732         0        0
0COCA COLA CO                   COMMON   191216100     2,484      43,250
X              0012   43,250         0        0
0COEUR D ALENE CNV6.375%1/31/04 CON BOND 192108AE8     2,294      50,000
X              0001   50,000         0        0
0COLGATE PALMOLIVE              COMMON   194162103    29,271     488,867      X
NONE  212,897         0  275,970
0COLGATE PALMOLIVE              COMMON   194162103     5,957      99,484
X              0001   99,484         0        0
0COLGATE PALMOLIVE              COMMON   194162103        96       1,600
X              0003    1,600         0        0
0COLGATE PALMOLIVE              COMMON   194162103       497       8,300
X              0007    8,300         0        0
0COLGATE PALMOLIVE              COMMON   194162103       930      15,525
X              0012   15,525         0        0
0COMCAST CORP CL A              COMMON   200300101     1,007      25,900      X
NONE   16,400         0    9,500
-  COLUMN  TOTALS                                    112,630
06/30/00
1
(SEC USE ONLY)
 PAGE     17  OF     62        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        31         800
X              0003      800         0        0
0COMCAST CORP CL A SPECIAL      COMMON   200300200     3,125      77,150      X
NONE   46,100         0   31,050
0COMCAST CORP CL A SPECIAL      COMMON   200300200        57       1,400
X              0001    1,400         0        0
0COMCAST CORP CL A SPECIAL      COMMON   200300200        41       1,000
X              0003    1,000         0        0
0COMMERCE BANCSHARES INC        COMMON   200525103       390      13,098      X
NONE        0         0   13,098
0COMMERCE BANCSHARES INC        COMMON   200525103     1,800      60,501
X              0001   60,501         0        0
0COMPAQ COMPUTER CORP           COMMON   204493100     1,094      42,796      X
NONE   33,736         0    9,060
0COMPAQ COMPUTER CORP           COMMON   204493100        77       3,000
X              0001    3,000         0        0
0COMPAQ COMPUTER CORP           COMMON   204493100        10         400
X              0003      400         0        0
0COMPAQ COMPUTER CORP           COMMON   204493100        41       1,600
X              0012    1,600         0        0
0COMPUTER ASSOC INTL INC        COMMON   204912109    62,789   1,226,666      X
NONE  445,018         0  781,648
0COMPUTER ASSOC INTL INC        COMMON   204912109    12,841     250,871
X              0001  250,871         0        0
0COMPUTER ASSOC INTL INC        COMMON   204912109       165       3,215
X              0003    3,215         0        0
0COMPUTER ASSOC INTL INC        COMMON   204912109     5,048      98,620
X              0007   98,620         0        0
0COMPUTER ASSOC INTL INC        COMMON   204912109       787      15,378
X              0012   15,378         0        0
0CONE MLS CORP N C              COMMON   206814105       124      20,000
X              0001   20,000         0        0
0CONEXANT SYSTEMS /RESTRICTED/  COMMON   207142100       788      16,206      X
NONE    1,822         0   14,384
0CONEXANT SYSTEMS INC           COMMON   207142100       209       4,300
X              0007    4,300         0        0
0CONOCO INC                     COMMON   208251306     3,460     157,275      X
NONE   29,600         0  127,675
0CONOCO INC                     COMMON   208251306       165       7,500
X              0001    7,500         0        0
-  COLUMN  TOTALS                                     93,041
06/30/00
1
(SEC USE ONLY)
 PAGE     18  OF     62        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
0CONOCO INC                     COMMON   208251306        66       3,000
X              0003    3,000         0        0
0CONOCO INC                     COMMON   208251306         4         200
X              0012      200         0        0
0CONOCO INC CL B                COMMON   208251405     3,647     148,488      X
NONE   42,297         0  106,191
0CONOCO INC CL B                COMMON   208251405       351      14,308
X              0001   14,308         0        0
0CONOCO INC CL B                COMMON   208251405        42       1,691
X              0003    1,691         0        0
0CONOCO INC CL B                COMMON   208251405       209       8,500
X              0012    8,500         0        0
0CONSOLIDATED EDISON INC        COMMON   209115104       368      12,426      X
NONE    9,326         0    3,100
0CONSOLIDATED PAPERS INC        COMMON   209759109       232       6,350      X
NONE        0         0    6,350
0CONSOLIDATED PAPERS INC        COMMON   209759109       709      19,400
X              0001   19,400         0        0
0CONSOLIDATED PAPERS INC        COMMON   209759109     1,777      48,600
X              0007   48,600         0        0
0COPPER MOUNTAIN NETWORKS INC   COMMON   217510106       922      10,464      X
NONE    2,616         0    7,848
0CORN PRODUCTS INTL INC         COMMON   219023108       397      14,985      X
NONE    1,000         0   13,985
0CORN PRODUCTS INTL INC         COMMON   219023108        37       1,400
X              0001    1,400         0        0
0CORNING INC                    COMMON   219350105    19,940      73,885      X
NONE   30,585         0   43,300
0CORNING INC                    COMMON   219350105     3,347      12,402
X              0001   12,402         0        0
0CORNING INC                    COMMON   219350105       148         550
X              0003      550         0        0
0CORNING INC                    COMMON   219350105     1,727       6,400
X              0007    6,400         0        0
0CORNING INC                    COMMON   219350105     1,808       6,700
X              0012    6,700         0        0
0COSTCO WHOLESALE CORP          COMMON   22160K105    35,482   1,075,207      X
NONE  460,945         0  614,262
0COSTCO WHOLESALE CORP          COMMON   22160K105     3,091      93,659
X              0001   93,659         0        0
-  COLUMN  TOTALS                                     74,305
06/30/00
1
(SEC USE ONLY)
 PAGE     19  OF     62        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
0COSTCO WHOLESALE CORP          COMMON   22160K105       100       3,040
X              0003    3,040         0        0
0COSTCO WHOLESALE CORP          COMMON   22160K105       254       7,700
X              0007    7,700         0        0
0COSTCO WHOLESALE CORP          COMMON   22160K105       657      19,900
X              0012   19,900         0        0
0COX COMMUNICATIONS INC CL A    COMMON   224044107    52,147   1,144,520      X
NONE  432,282         0  712,238
0COX COMMUNICATIONS INC CL A    COMMON   224044107     6,738     147,890
X              0001  147,890         0        0
0COX COMMUNICATIONS INC CL A    COMMON   224044107        48       1,050
X              0003    1,050         0        0
0COX COMMUNICATIONS INC CL A    COMMON   224044107       827      18,150
X              0007   18,150         0        0
0COX COMMUNICATIONS INC CL A    COMMON   224044107       358       7,850
X              0012    7,850         0        0
0CRANE CO                       COMMON   224399105       304      12,487      X
NONE        0         0   12,487
0CROWN CASTLE INTL CORP         COMMON   228227104       214       5,864      X
NONE        0         0    5,864
0CROWN GROUP INC                COMMON   228359105       102      20,000
X              0001   20,000         0        0
0CTC COMMUNICATIONS GROUP INC   COMMON   126419100       270       7,500      X
NONE        0         0    7,500
0CTC COMMUNICATIONS GROUP INC   COMMON   126419100       540      15,000
X              0001   15,000         0        0
0CVS CORPORATION                COMMON   126650100    19,280     481,993      X
NONE  212,782         0  269,211
0CVS CORPORATION                COMMON   126650100     1,775      44,379
X              0001   44,379         0        0
0CVS CORPORATION                COMMON   126650100        42       1,050
X              0003    1,050         0        0
0CVS CORPORATION                COMMON   126650100       144       3,600
X              0007    3,600         0        0
0CVS CORPORATION                COMMON   126650100       216       5,410
X              0012    5,410         0        0
0CYRK INC                       COMMON   232817106       155      31,000      X
NONE        0         0   31,000
0DANA CORP                      COMMON   235811106       343      16,200      X
NONE        0         0   16,200
-  COLUMN  TOTALS                                     84,513
06/30/00
1
(SEC USE ONLY)
 PAGE     20  OF     62        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
0DANA CORP                      COMMON   235811106        21       1,000
X              0007    1,000         0        0
0DANIELSON HOLDINGS CORP        COMMON   236274106        89      18,340      X
NONE        0         0   18,340
0DATA TRANSLATION INC II        COMMON   238016109       155      35,000
X              0001   35,000         0        0
0DEERE & CO                     COMMON   244199105     6,070     164,050      X
NONE   63,250         0  100,800
0DEERE & CO                     COMMON   244199105     1,278      34,550
X              0001   34,550         0        0
0DEERE & CO                     COMMON   244199105         2          55
X              0003       55         0        0
0DEERE & CO                     COMMON   244199105       115       3,100
X              0012    3,100         0        0
0DELIA*S INC                    COMMON   246885107        24      10,000      X
NONE        0         0   10,000
0DELL COMPUTER CORP             COMMON   247025109    53,660   1,088,164      X
NONE  483,362         0  604,802
0DELL COMPUTER CORP             COMMON   247025109     5,479     111,108
X              0001  111,108         0        0
0DELL COMPUTER CORP             COMMON   247025109       277       5,615
X              0003    5,615         0        0
0DELL COMPUTER CORP             COMMON   247025109     1,584      32,125
X              0007   32,125         0        0
0DELL COMPUTER CORP             COMMON   247025109       912      18,500
X              0012   18,500         0        0
0DELPHI AUTOMOTIVE SYSTEMS      COMMON   247126105       203      13,937      X
NONE    3,598         0   10,339
0DELPHI AUTOMOTIVE SYSTEMS      COMMON   247126105        12         800
X              0003      800         0        0
0DELPHI AUTOMOTIVE SYSTEMS      COMMON   247126105       879      60,355
X              0007   60,355         0        0
0DELPHI AUTOMOTIVE SYSTEMS      COMMON   247126105        10         698
X              0012      698         0        0
0DELTEK SYSTEMS INC             COMMON   24785A108     5,402     914,600      X
NONE   66,600         0  848,000
0DESIGNS INC                    COMMON   25057L102        11       6,500      X
NONE    6,500         0        0
0DESIGNS INC                    COMMON   25057L102        16       9,500
X              0001    9,500         0        0
-  COLUMN  TOTALS                                     76,198
06/30/00
1
(SEC USE ONLY)
 PAGE     21  OF     62        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
0DIME BANCORP INC               COMMON   25429Q102     1,890     120,000
X              0007  120,000         0        0
0DIONEX CORP                    COMMON   254546104       321      12,016      X
NONE        0         0   12,016
0DISNEY /THE WALT/ CO HLDG CO   COMMON   254687106    28,206     726,737      X
NONE  289,256         0  437,481
0DISNEY /THE WALT/ CO HLDG CO   COMMON   254687106     5,008     129,020
X              0001  129,020         0        0
0DISNEY /THE WALT/ CO HLDG CO   COMMON   254687106       691      17,808
X              0007   17,808         0        0
0DISNEY /THE WALT/ CO HLDG CO   COMMON   254687106       324       8,340
X              0012    8,340         0        0
0DOMINION RESOURCES INC         COMMON   25746U109       370       8,640      X
NONE    2,485         0    6,155
0DOMINION RESOURCES INC         COMMON   25746U109        79       1,838
X              0001    1,838         0        0
0DONNELLEY /R R/ & SONS         COMMON   257867101       657      29,123      X
NONE    6,028         0   23,095
0DONNELLEY /R R/ & SONS         COMMON   257867101       575      25,500
X              0001   25,500         0        0
0DONNELLEY /R R/ & SONS         COMMON   257867101        32       1,400
X              0007    1,400         0        0
0DOUBLECLICK INC                COMMON   258609304     1,381      36,226      X
NONE   13,402         0   22,824
0DOUBLECLICK INC                COMMON   258609304       189       4,966
X              0001    4,966         0        0
0DOUBLECLICK INC                COMMON   258609304       151       3,950
X              0012    3,950         0        0
0DOVER CORP                     COMMON   260003108    27,829     686,084      X
NONE  291,759         0  394,325
0DOVER CORP                     COMMON   260003108     2,640      65,085
X              0001   65,085         0        0
0DOVER CORP                     COMMON   260003108        53       1,300
X              0003    1,300         0        0
0DOVER CORP                     COMMON   260003108       534      13,175
X              0007   13,175         0        0
0DOVER CORP                     COMMON   260003108       166       4,100
X              0012    4,100         0        0
0DOW CHEM CO                    COMMON   260543103     1,486      48,527      X
NONE   23,099         0   25,428
-  COLUMN  TOTALS                                     72,583
06/30/00
1
(SEC USE ONLY)
 PAGE     22  OF     62        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
0DOW CHEM CO                    COMMON   260543103        49       1,590
X              0001    1,590         0        0
0DOW CHEM CO                    COMMON   260543103        14         450
X              0003      450         0        0
0DOW CHEM CO                    COMMON   260543103        11         354
X              0007      354         0        0
0DOW CHEM CO                    COMMON   260543103        37       1,200
X              0012    1,200         0        0
0DOW JONES & CO                 COMMON   260561105       305       4,160      X
NONE    1,310         0    2,850
0DQE                            COMMON   23329J104    13,206     334,332      X
NONE  157,634         0  176,698
0DQE                            COMMON   23329J104     1,096      27,745
X              0001   27,745         0        0
0DQE                            COMMON   23329J104        36         915
X              0003      915         0        0
0DQE                            COMMON   23329J104         8         200
X              0007      200         0        0
0DQE                            COMMON   23329J104        38         950
X              0012      950         0        0
0DRKOOP.COM INC                 COMMON   262098106       922     500,000      X
NONE  500,000         0        0
0DST SYSTEMS INC                COMMON   233326107     4,623      60,730      X
NONE   19,450         0   41,280
0DST SYSTEMS INC                COMMON   233326107       457       6,005
X              0001    6,005         0        0
0DST SYSTEMS INC                COMMON   233326107        25         330
X              0003      330         0        0
0DST SYSTEMS INC                COMMON   233326107        91       1,200
X              0007    1,200         0        0
0DST SYSTEMS INC                COMMON   233326107       107       1,400
X              0012    1,400         0        0
0DTE ENERGY CO                  COMMON   233331107    17,347     567,590      X
NONE  274,750         0  292,840
0DTE ENERGY CO                  COMMON   233331107     1,338      43,790
X              0001   43,790         0        0
0DTE ENERGY CO                  COMMON   233331107        48       1,575
X              0003    1,575         0        0
0DTE ENERGY CO                  COMMON   233331107       609      19,935
X              0007   19,935         0        0
-  COLUMN  TOTALS                                     40,366
06/30/00
1
(SEC USE ONLY)
 PAGE     23  OF     62        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
0DTE ENERGY CO                  COMMON   233331107       107       3,500
X              0012    3,500         0        0
0DU PONT /E I/ DE NEMOURS & CO  COMMON   263534109    18,577     421,066      X
NONE  162,815         0  258,251
0DU PONT /E I/ DE NEMOURS & CO  COMMON   263534109     4,864     110,674
X              0001  110,674         0        0
0DU PONT /E I/ DE NEMOURS & CO  COMMON   263534109       540      12,282
X              0003   12,282         0        0
0DU PONT /E I/ DE NEMOURS & CO  COMMON   263534109       709      16,127
X              0007   16,127         0        0
0DU PONT /E I/ DE NEMOURS & CO  COMMON   263534109       393       8,950
X              0012    8,950         0        0
0DUFF & PHELPS UTILITIES INCOME COMMON   264324104         4         381      X
NONE        0         0      381
0DUFF & PHELPS UTILITIES INCOME COMMON   264324104       144      15,000
X              0001   15,000         0        0
0DUKE ENERGY CO                 COMMON   264399106     5,065      89,248      X
NONE   35,532         0   53,716
0DUKE ENERGY CO                 COMMON   264399106       873      15,380
X              0001   15,380         0        0
0DUKE ENERGY CO                 COMMON   264399106       115       2,031
X              0003    2,031         0        0
0DUKE ENERGY CO                 COMMON   264399106       289       5,100
X              0007    5,100         0        0
0DUKE ENERGY CO                 COMMON   264399106        13         225
X              0012      225         0        0
0EASTMAN KODAK                  COMMON   277461109     4,798      80,474      X
NONE   27,522         0   52,952
0EASTMAN KODAK                  COMMON   277461109       636      10,673
X              0001   10,673         0        0
0EASTMAN KODAK                  COMMON   277461109        12         200
X              0003      200         0        0
0EASTMAN KODAK                  COMMON   277461109     4,543      76,200
X              0007   76,200         0        0
0EATON VANCE CORP NON VTG       COMMON   278265103       364       7,860      X
NONE    2,600         0    5,260
0ECOLAB INC                     COMMON   278865100       231       5,915      X
NONE    5,915         0        0
0EDISON INTERNATIONAL           COMMON   281020107       461      22,500      X
NONE   12,500         0   10,000
-  COLUMN  TOTALS                                     42,740
06/30/00
1
(SEC USE ONLY)
 PAGE     24  OF     62        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
0EDISON INTERNATIONAL           COMMON   281020107        92       4,500
X              0001    4,500         0        0
0EDISON INTERNATIONAL           COMMON   281020107       103       5,000
X              0012    5,000         0        0
0EDWARDS LIFESCIENCES CORP      COMMON   28176E108       361      19,500      X
NONE    5,801         0   13,699
0EDWARDS LIFESCIENCES CORP      COMMON   28176E108       134       7,258
X              0001    7,258         0        0
0EDWARDS LIFESCIENCES CORP      COMMON   28176E108         1          40
X              0007       40         0        0
0EL PASO ENERGY CORP DEL        COMMON   283905107       357       7,000      X
NONE    5,100         0    1,900
0EL PASO ENERGY CORP DEL        COMMON   283905107        25         500
X              0001      500         0        0
0EL PASO ENERGY CORP DEL        COMMON   283905107        51       1,000
X              0007    1,000         0        0
0ELAN PLC SPONSORED ADR         COMMON   284131208       872      18,000      X
NONE    7,000         0   11,000
0ELAN PLC SPONSORED ADR         COMMON   284131208        10         200
X              0012      200         0        0
0ELECTRONIC DATA SYS CORP       COMMON   285661104     2,237      54,242      X
NONE   27,451         0   26,791
0ELECTRONIC DATA SYS CORP       COMMON   285661104        86       2,096
X              0001    2,096         0        0
0ELECTRONIC DATA SYS CORP       COMMON   285661104        17         400
X              0003      400         0        0
0ELECTRONIC DATA SYS CORP       COMMON   285661104       462      11,200
X              0007   11,200         0        0
0ELECTRONIC DATA SYS CORP       COMMON   285661104        61       1,472
X              0012    1,472         0        0
0EMC CORP MASS                  COMMON   268648102   119,892   1,557,037      X
NONE  626,609         0  930,428
0EMC CORP MASS                  COMMON   268648102    12,343     160,303
X              0001  160,303         0        0
0EMC CORP MASS                  COMMON   268648102       197       2,560
X              0003    2,560         0        0
0EMC CORP MASS                  COMMON   268648102     4,039      52,450
X              0007   52,450         0        0
0EMC CORP MASS                  COMMON   268648102     2,649      34,400
X              0012   34,400         0        0
-  COLUMN  TOTALS                                    143,988
06/30/00
1
(SEC USE ONLY)
 PAGE     25  OF     62        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
0EMERSON ELEC CO                COMMON   291011104    13,497     223,546      X
NONE   37,520         0  186,026
0EMERSON ELEC CO                COMMON   291011104     2,455      40,660
X              0001   40,660         0        0
0EMERSON ELEC CO                COMMON   291011104        30         500
X              0003      500         0        0
0EMERSON ELEC CO                COMMON   291011104       884      14,650
X              0007   14,650         0        0
0EMERSON ELEC CO                COMMON   291011104       253       4,185
X              0012    4,185         0        0
0EMUSIC.COM INC                 COMMON   292476108        42      17,500      X
NONE        0         0   17,500
0ENRON CORP                     COMMON   293561106    16,805     260,535      X
NONE   73,784         0  186,751
0ENRON CORP                     COMMON   293561106     1,178      18,258
X              0001   18,258         0        0
0ENRON CORP                     COMMON   293561106     1,032      16,000
X              0007   16,000         0        0
0ENRON CORP                     COMMON   293561106        65       1,000
X              0012    1,000         0        0
0ENTERCOM COMM CL A /REST/      COMMON   293639100    34,808     714,000      X
NONE   74,000         0  640,000
0EQUIFAX INC                    COMMON   294429105       343      13,059      X
NONE    2,515         0   10,544
0EQUIFAX INC                    COMMON   294429105        18         700
X              0001      700         0        0
0EQUITABLE RESOURCES INC        COMMON   294549100       241       5,000      X
NONE    5,000         0        0
0ERICSSON LM TEL ADR CL B       COMMON   294821400     1,496      74,800      X
NONE    9,200         0   65,600
0ERICSSON LM TEL ADR CL B       COMMON   294821400       140       7,000
X              0012    7,000         0        0
0EVEREST RE GROUP LTD           COMMON   G3223R108     1,539      46,800      X
NONE    7,000         0   39,800
0EVEREST RE GROUP LTD           COMMON   G3223R108       148       4,500
X              0001    4,500         0        0
0EVEREST RE GROUP LTD           COMMON   G3223R108     5,242     159,455
X              0007  159,455         0        0
0EXXON MOBIL CORP               COMMON   30231G102   111,627   1,422,003      X
NONE  723,921         0  698,082
-  COLUMN  TOTALS                                    191,841
06/30/00
1
(SEC USE ONLY)
 PAGE     26  OF     62        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
0EXXON MOBIL CORP               COMMON   30231G102    25,582     325,880
X              0001  325,880         0        0
0EXXON MOBIL CORP               COMMON   30231G102       384       4,888
X              0003    4,888         0        0
0EXXON MOBIL CORP               COMMON   30231G102     1,979      25,210
X              0007   25,210         0        0
0EXXON MOBIL CORP               COMMON   30231G102     2,601      33,128
X              0012   33,128         0        0
0F P L GROUP INC                COMMON   302571104     2,917      58,706      X
NONE   53,190         0    5,516
0F P L GROUP INC                COMMON   302571104        75       1,500
X              0001    1,500         0        0
0F P L GROUP INC                COMMON   302571104       157       3,150
X              0012    3,150         0        0
0FANNIE MAE                     COMMON   313586109    54,217   1,036,411      X
NONE  430,346         0  606,065
0FANNIE MAE                     COMMON   313586109     8,024     153,387
X              0001  153,387         0        0
0FANNIE MAE                     COMMON   313586109       102       1,950
X              0003    1,950         0        0
0FANNIE MAE                     COMMON   313586109     8,456     161,650
X              0007  161,650         0        0
0FANNIE MAE                     COMMON   313586109     1,486      28,400
X              0012   28,400         0        0
0FEDEX CORPORATION              COMMON   31428X106     1,256      33,058      X
NONE   25,558         0    7,500
0FEDEX CORPORATION              COMMON   31428X106        11         300
X              0001      300         0        0
0FEDEX CORPORATION              COMMON   31428X106        19         500
X              0012      500         0        0
0FIDELITY NATL FINANCE          COMMON   316326107        17         916      X
NONE        0         0      916
0FIDELITY NATL FINANCE          COMMON   316326107        15         845
X              0001      845         0        0
0FIDELITY NATL FINL/REST/       COMMON   316326107     4,323     236,063      X
NONE        0         0  236,063
0FIFTH THIRD BANCORP            COMMON   316773100       306       4,832      X
NONE    1,707         0    3,125
0FIFTH THIRD BANCORP            COMMON   316773100       753      11,900
X              0001   11,900         0        0
-  COLUMN  TOTALS                                    112,677
06/30/00
1
(SEC USE ONLY)
 PAGE     27  OF     62        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
0FIRST DATA CORP                COMMON   319963104     8,028     161,765      X
NONE   74,740         0   87,025
0FIRST DATA CORP                COMMON   319963104       796      16,050
X              0001   16,050         0        0
0FIRST DATA CORP                COMMON   319963104        30         600
X              0012      600         0        0
0FIRST UNION CORP               COMMON   337358105     3,594     144,849      X
NONE   33,640         0  111,209
0FIRST UNION CORP               COMMON   337358105       169       6,800
X              0001    6,800         0        0
0FIRST UNION CORP               COMMON   337358105         7         300
X              0012      300         0        0
0FIRSTAR CORPORATION            COMMON   33763V109     1,482      70,385      X
NONE   62,697         0    7,688
0FIRSTAR CORPORATION            COMMON   33763V109        33       1,568
X              0001    1,568         0        0
0FIRSTAR CORPORATION            COMMON   33763V109       171       8,124
X              0012    8,124         0        0
0FLEET BOSTON FINANCIAL CORP    COMMON   339030108    53,690   1,579,106      X
NONE  652,867         0  926,239
0FLEET BOSTON FINANCIAL CORP    COMMON   339030108     5,466     160,764
X              0001  160,764         0        0
0FLEET BOSTON FINANCIAL CORP    COMMON   339030108       128       3,754
X              0003    3,754         0        0
0FLEET BOSTON FINANCIAL CORP    COMMON   339030108     1,465      43,075
X              0007   43,075         0        0
0FLEET BOSTON FINANCIAL CORP    COMMON   339030108       617      18,149
X              0012   18,149         0        0
0FORD MOTOR CO                  COMMON   345370100       501      11,656      X
NONE    6,152         0    5,504
0FORD MOTOR CO                  COMMON   345370100        43       1,000
X              0001    1,000         0        0
0FORD MOTOR CO                  COMMON   345370100       460      10,700
X              0012   10,700         0        0
0FORT JAMES CORP                COMMON   347471104         9         400      X
NONE        0         0      400
0FORT JAMES CORP                COMMON   347471104     2,081      90,000
X              0007   90,000         0        0
0FORTUNE BRANDS INC             COMMON   349631101       382      16,574      X
NONE   14,800         0    1,774
-  COLUMN  TOTALS                                     79,152
06/30/00
1
(SEC USE ONLY)
 PAGE     28  OF     62        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
0FREDDIE MAC                    COMMON   313400301       247       6,094      X
NONE      505         0    5,589
0FREDDIE MAC                    COMMON   313400301     1,106      27,300
X              0001   27,300         0        0
0GALLAHER GROUP PLC SPON ADR    COMMON   363595109       227      10,600      X
NONE   10,000         0      600
0GANNETT CO                     COMMON   364730101     3,399      56,822      X
NONE   16,802         0   40,020
0GANNETT CO                     COMMON   364730101     1,603      26,800
X              0001   26,800         0        0
0GANNETT CO                     COMMON   364730101       150       2,500
X              0012    2,500         0        0
0GAP INC                        COMMON   364760108    10,315     330,077      X
NONE  162,377         0  167,700
0GAP INC                        COMMON   364760108     1,312      41,990
X              0001   41,990         0        0
0GAP INC                        COMMON   364760108        50       1,608
X              0003    1,608         0        0
0GAP INC                        COMMON   364760108        24         775
X              0007      775         0        0
0GAP INC                        COMMON   364760108       163       5,200
X              0012    5,200         0        0
0GARTNER GROUP INC CL A         COMMON   366651107       133      11,100      X
NONE        0         0   11,100
0GATEWAY INC                    COMMON   367626108       175       3,075      X
NONE      775         0    2,300
0GATEWAY INC                    COMMON   367626108       299       5,240
X              0001    5,240         0        0
0GEN DYNAMICS                   COMMON   369550108       784      15,000      X
NONE        0         0   15,000
0GEN MILLS                      COMMON   370334104       628      16,414      X
NONE    3,332         0   13,082
0GEN MILLS                      COMMON   370334104       566      14,800
X              0001   14,800         0        0
0GEN MILLS                      COMMON   370334104       250       6,532
X              0007    6,532         0        0
0GEN MILLS                      COMMON   370334104       184       4,800
X              0012    4,800         0        0
0GENENTECH INC                  COMMON   368710406     9,159      53,250      X
NONE   30,475         0   22,775
-  COLUMN  TOTALS                                     30,772
06/30/00
1
(SEC USE ONLY)
 PAGE     29  OF     62        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
0GENENTECH INC                  COMMON   368710406       667       3,875
X              0001    3,875         0        0
0GENENTECH INC                  COMMON   368710406     1,260       7,325
X              0007    7,325         0        0
0GENENTECH INC                  COMMON   368710406       344       2,000
X              0012    2,000         0        0
0GENERAL ELECTRIC CO            COMMON   369604103   264,770   5,051,670      X
NONE 2006,680         0 3044,990
0GENERAL ELECTRIC CO            COMMON   369604103    93,716   1,786,330
X              0001 1786,330         0        0
0GENERAL ELECTRIC CO            COMMON   369604103     1,658      31,665
X              0003   31,665         0        0
0GENERAL ELECTRIC CO            COMMON   369604103     9,207     175,796
X              0007  175,796         0        0
0GENERAL ELECTRIC CO            COMMON   369604103    11,466     218,925
X              0012  218,925         0        0
0GENERAL MAGIC INC              COMMON   370253106       107      13,020
X              0001   13,020         0        0
0GENERAL MOTORS CORP            COMMON   370442105     7,626     130,686      X
NONE   69,822         0   60,864
0GENERAL MOTORS CORP            COMMON   370442105       989      17,053
X              0001   17,053         0        0
0GENERAL MOTORS CORP            COMMON   370442105        28         482
X              0007      482         0        0
0GENERAL MOTORS CORP            COMMON   370442105       526       9,077
X              0012    9,077         0        0
0GENERAL MTRS CORP CL H         COMMON   370442832     5,400     182,271      X
NONE   69,324         0  112,947
0GENERAL MTRS CORP CL H         COMMON   370442832       342      11,540
X              0001   11,540         0        0
0GENERAL MTRS CORP CL H         COMMON   370442832        15         500
X              0003      500         0        0
0GENERAL MTRS CORP CL H         COMMON   370442832        45       1,535
X              0007    1,535         0        0
0GENERAL MTRS CORP CL H         COMMON   370442832        25         843
X              0012      843         0        0
0GENTEX CORP                    COMMON   371901109     3,213     127,875      X
NONE   27,100         0  100,775
0GENTEX CORP                    COMMON   371901109       519      20,640
X              0001   20,640         0        0
-  COLUMN  TOTALS                                    401,923
06/30/00
1
(SEC USE ONLY)
 PAGE     30  OF     62        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
0GILLETTE CO                    COMMON   375766102    19,699     563,846      X
NONE  202,284         0  361,562
0GILLETTE CO                    COMMON   375766102     2,829      80,963
X              0001   80,963         0        0
0GILLETTE CO                    COMMON   375766102     1,887      54,004
X              0007   54,004         0        0
0GILLETTE CO                    COMMON   375766102       168       4,808
X              0012    4,808         0        0
0GLAMIS GOLD LTD /CAD/          COMMON   376775102        41      21,100      X
NONE   21,100         0        0
0GLAXO WELLCOME PLC SPON ADR    COMMON   37733W105       660      11,412      X
NONE    2,500         0    8,912
0GLAXO WELLCOME PLC SPON ADR    COMMON   37733W105        29         500
X              0001      500         0        0
0GLAXO WELLCOME PLC SPON ADR    COMMON   37733W105        17         300
X              0012      300         0        0
0GLENAYRE TECHNOLOGIES INC      COMMON   377899109       460      43,520      X
NONE   43,520         0        0
0GLOBALSTAR TELECOMMUNICATIONS  COMMON   G3930H104       183      20,306      X
NONE        0         0   20,306
0GOLDMAN SACHS GROUP INC        COMMON   38141G104       332       3,500      X
NONE    1,300         0    2,200
0GOLDMAN SACHS GROUP INC        COMMON   38141G104        53         560
X              0001      560         0        0
0GOODYEAR TIRE & RUBBER         COMMON   382550101       236      11,813      X
NONE    8,143         0    3,670
0GPU INC                        COMMON   36225X100       447      16,518      X
NONE    7,693         0    8,825
0GPU INC                        COMMON   36225X100       480      17,750
X              0001   17,750         0        0
0GPU INC                        COMMON   36225X100        32       1,200
X              0012    1,200         0        0
0GRAND UNION CO                 COMMON   386532402         6      11,000      X
NONE   11,000         0        0
0GREAT LAKES CHEM CORP/DEL/     COMMON   390568103       280       8,900      X
NONE    6,200         0    2,700
0GTE CORP                       COMMON   362320103    26,462     425,094      X
NONE  166,039         0  259,055
0GTE CORP                       COMMON   362320103     5,271      84,667
X              0001   84,667         0        0
-  COLUMN  TOTALS                                     59,572
06/30/00
1
(SEC USE ONLY)
 PAGE     31  OF     62        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
0GTE CORP                       COMMON   362320103        75       1,200
X              0003    1,200         0        0
0GTE CORP                       COMMON   362320103     4,611      74,075
X              0007   74,075         0        0
0GTE CORP                       COMMON   362320103       864      13,875
X              0012   13,875         0        0
0GUIDANT CORP                   COMMON   401698105    66,634   1,346,138      X
NONE  551,568         0  794,570
0GUIDANT CORP                   COMMON   401698105     8,383     169,346
X              0001  169,346         0        0
0GUIDANT CORP                   COMMON   401698105        65       1,311
X              0003    1,311         0        0
0GUIDANT CORP                   COMMON   401698105     5,788     116,920
X              0007  116,920         0        0
0GUIDANT CORP                   COMMON   401698105       599      12,096
X              0012   12,096         0        0
0HAIN CELESTIAL GROUP INC       COMMON   405217100       444      12,104      X
NONE   10,900         0    1,204
0HALLIBURTON CO HOLDING         COMMON   406216101    12,615     267,331      X
NONE   78,093         0  189,238
0HALLIBURTON CO HOLDING         COMMON   406216101       699      14,816
X              0001   14,816         0        0
0HALLIBURTON CO HOLDING         COMMON   406216101     1,772      37,550
X              0007   37,550         0        0
0HALLIBURTON CO HOLDING         COMMON   406216101       274       5,800
X              0012    5,800         0        0
0HARCOURT GEN INC               COMMON   41163G101        65       1,200      X
NONE        0         0    1,200
0HARCOURT GEN INC               COMMON   41163G101     1,196      22,000
X              0001   22,000         0        0
0HARLEY DAVIDSON INC            COMMON   412822108       146       3,800      X
NONE    2,000         0    1,800
0HARLEY DAVIDSON INC            COMMON   412822108        23         600
X              0001      600         0        0
0HARLEY DAVIDSON INC            COMMON   412822108        96       2,500
X              0012    2,500         0        0
0HARRIS CORP /DEL/              COMMON   413875105       262       7,988      X
NONE        0         0    7,988
0HARTE-HANKS INC                COMMON   416196103    23,142     925,668      X
NONE    3,000         0  922,668
-  COLUMN  TOTALS                                    127,751
06/30/00
1
(SEC USE ONLY)
 PAGE     32  OF     62        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
0HARTFORD FINL SVCS GROUP INC   COMMON   416515104       310       5,540      X
NONE      640         0    4,900
0HARTFORD FINL SVCS GROUP INC   COMMON   416515104        56       1,006
X              0001    1,006         0        0
0HASBRO INC                     COMMON   418056107       697      43,563      X
NONE    5,774         0   37,789
0HEINZ /H J/ CO                 COMMON   423074103     7,669     175,292      X
NONE   50,815         0  124,477
0HEINZ /H J/ CO                 COMMON   423074103     1,578      36,067
X              0001   36,067         0        0
0HEINZ /H J/ CO                 COMMON   423074103        19         430
X              0003      430         0        0
0HEINZ /H J/ CO                 COMMON   423074103       182       4,150
X              0007    4,150         0        0
0HEINZ /H J/ CO                 COMMON   423074103        24         550
X              0012      550         0        0
0HERSHEY FOODS CORP             COMMON   427866108       484       9,988      X
NONE    3,188         0    6,800
0HEWLETT-PACKARD                COMMON   428236103    54,088     433,137      X
NONE  224,426         0  208,711
0HEWLETT-PACKARD                COMMON   428236103     9,975      79,882
X              0001   79,882         0        0
0HEWLETT-PACKARD                COMMON   428236103        91         730
X              0003      730         0        0
0HEWLETT-PACKARD                COMMON   428236103     1,802      14,427
X              0007   14,427         0        0
0HEWLETT-PACKARD                COMMON   428236103     1,515      12,130
X              0012   12,130         0        0
0HEXCEL CORP SUB DEB CONV REGD  CON BOND 428290AA8         0      20,000
X              0003   20,000         0        0
0HOLLY CORP $0.01 PAR           COMMON   435758305    21,841   1,839,268
X              0007 1839,268         0        0
0HOME DEPOT INC                 COMMON   437076102    73,062   1,463,085      X
NONE  689,483         0  773,602
0HOME DEPOT INC                 COMMON   437076102     7,486     149,917
X              0001  149,917         0        0
0HOME DEPOT INC                 COMMON   437076102       204       4,082
X              0003    4,082         0        0
0HOME DEPOT INC                 COMMON   437076102       888      17,775
X              0007   17,775         0        0
-  COLUMN  TOTALS                                    181,971
06/30/00
1
(SEC USE ONLY)
 PAGE     33  OF     62        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
0HOME DEPOT INC                 COMMON   437076102     1,329      26,615
X              0012   26,615         0        0
0HOMESTAKE MINING               COMMON   437614100        76      11,039      X
NONE    6,000         0    5,039
0HONEYWELL INTL INC             COMMON   438516106    16,514     490,223      X
NONE  180,027         0  310,196
0HONEYWELL INTL INC             COMMON   438516106     1,070      31,757
X              0001   31,757         0        0
0HONEYWELL INTL INC             COMMON   438516106        76       2,250
X              0003    2,250         0        0
0HONEYWELL INTL INC             COMMON   438516106       274       8,125
X              0007    8,125         0        0
0HONEYWELL INTL INC             COMMON   438516106     2,241      66,523
X              0012   66,523         0        0
0HOUSEHOLD INTNATL INC          COMMON   441815107     3,758      90,427      X
NONE   89,077         0    1,350
0HOUSEHOLD INTNATL INC          COMMON   441815107       185       4,446
X              0001    4,446         0        0
0HOUSEHOLD INTNATL INC          COMMON   441815107     7,855     189,000
X              0012  189,000         0        0
0HSB GROUP INC                  COMMON   40428N109       427      13,727      X
NONE   11,227         0    2,500
0HUNTINGTON BANCSHARES INC      COMMON   446150104     5,775     365,234      X
NONE        0         0  365,234
0HUNTINGTON BANCSHARES INC      COMMON   446150104         8         500
X              0012      500         0        0
0ILLINOIS TOOL WORKS            COMMON   452308109    45,167     792,399      X
NONE  344,912         0  447,487
0ILLINOIS TOOL WORKS            COMMON   452308109     4,838      84,873
X              0001   84,873         0        0
0ILLINOIS TOOL WORKS            COMMON   452308109       168       2,940
X              0003    2,940         0        0
0ILLINOIS TOOL WORKS            COMMON   452308109       547       9,600
X              0007    9,600         0        0
0ILLINOIS TOOL WORKS            COMMON   452308109       259       4,550
X              0012    4,550         0        0
0IMAGE SENSING SYSTEMS INC      COMMON   45244C104     1,935     300,600      X
NONE        0         0  300,600
0IMATION CORPORATION            COMMON   45245A107         9         300      X
NONE       40         0      260
-  COLUMN  TOTALS                                     92,510
06/30/00
1
(SEC USE ONLY)
 PAGE     34  OF     62        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
0IMATION CORPORATION            COMMON   45245A107       302      10,266
X              0001   10,266         0        0
0IMATION CORPORATION            COMMON   45245A107         6         200
X              0003      200         0        0
0IMAX CORP                      COMMON   45245E109     1,479      65,000      X
NONE   31,700         0   33,300
0IMMUNEX CORPORATION            COMMON   452528102       621      12,557      X
NONE    1,197         0   11,360
0IMS HEALTH INC                 COMMON   449934108       252      13,981      X
NONE    4,121         0    9,860
0INCYTE GENOMICS INC            COMMON   45337C102     1,490      18,125      X
NONE   11,150         0    6,975
0INCYTE GENOMICS INC            COMMON   45337C102       312       3,800
X              0001    3,800         0        0
0INCYTE GENOMICS INC            COMMON   45337C102        47         575
X              0007      575         0        0
0INCYTE GENOMICS INC            COMMON   45337C102       279       3,400
X              0012    3,400         0        0
0INDEPENDENCE FED SVGS BK WASH  COMMON   453432106       377      37,710      X
NONE        0         0   37,710
0INGERSOLL RAND                 COMMON   456866102       161       4,001      X
NONE    2,251         0    1,750
0INGERSOLL RAND                 COMMON   456866102       689      17,125
X              0001   17,125         0        0
0INGERSOLL RAND                 COMMON   456866102       121       3,000
X              0012    3,000         0        0
0INSITE VISION INC              COMMON   457660108        54      13,000
X              0001   13,000         0        0
0INSO CORPORATION               COMMON   457674109        52      10,000
X              0001   10,000         0        0
0INTEGRATED MEASUREMENT SYSTEMS COMMON   457923100       134       8,500      X
NONE    5,500         0    3,000
0INTEGRATED MEASUREMENT SYSTEMS COMMON   457923100       110       7,000
X              0001    7,000         0        0
0INTEL CORP                     COMMON   458140100    29,832     223,147      X
NONE  142,851         0   80,296
0INTEL CORP                     COMMON   458140100     6,289      47,046
X              0001   47,046         0        0
0INTEL CORP                     COMMON   458140100       234       1,750
X              0003    1,750         0        0
-  COLUMN  TOTALS                                     42,840
06/30/00
1
(SEC USE ONLY)
 PAGE     35  OF     62        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
0INTEL CORP                     COMMON   458140100       963       7,200
X              0007    7,200         0        0
0INTEL CORP                     COMMON   458140100     2,901      21,700
X              0012   21,700         0        0
0INTERNET CAPITAL GROUP INC     COMMON   46059C106     1,394      37,661      X
NONE      240         0   37,421
0INTERNET.COM CORP /REST/       COMMON   460967102     1,995     101,348      X
NONE   50,674         0   50,674
0INTERPUBLIC GROUP COS /REST/   COMMON   460690100    17,748     412,754      X
NONE    1,106         0  411,648
0INTERPUBLIC GROUP COS INC      COMMON   460690100     1,855      43,128
X              0001   43,128         0        0
0INTL BUSINESS MACHINES         COMMON   459200101   138,123   1,259,885      X
NONE  600,424         0  659,461
0INTL BUSINESS MACHINES         COMMON   459200101    26,505     241,921
X              0001  241,921         0        0
0INTL BUSINESS MACHINES         COMMON   459200101       254       2,314
X              0003    2,314         0        0
0INTL BUSINESS MACHINES         COMMON   459200101    46,035     420,175
X              0007  420,175         0        0
0INTL BUSINESS MACHINES         COMMON   459200101     3,095      28,250
X              0012   28,250         0        0
0INTL PAPER CO                  COMMON   460146103    12,616     423,202      X
NONE  198,441         0  224,761
0INTL PAPER CO                  COMMON   460146103       971      32,585
X              0001   32,585         0        0
0INTL PAPER CO                  COMMON   460146103        61       2,050
X              0003    2,050         0        0
0INTL PAPER CO                  COMMON   460146103         3         100
X              0007      100         0        0
0INTL PAPER CO                  COMMON   460146103       170       5,700
X              0012    5,700         0        0
0ISS GROUP INC                  COMMON   450306105       912       9,240      X
NONE    2,310         0    6,930
0JDS UNIPHASE CORP              COMMON   46612J101       366       3,057      X
NONE    2,557         0      500
0JDS UNIPHASE CORP              COMMON   46612J101        12         100
X              0001      100         0        0
0JDS UNIPHASE CORP              COMMON   46612J101        84         700
X              0012      700         0        0
-  COLUMN  TOTALS                                    256,065
06/30/00
1
(SEC USE ONLY)
 PAGE     36  OF     62        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
0JOHNSON & JOHNSON              COMMON   478160104    30,386     298,271      X
NONE  126,830         0  171,441
0JOHNSON & JOHNSON              COMMON   478160104     8,046      78,975
X              0001   78,975         0        0
0JOHNSON & JOHNSON              COMMON   478160104       713       7,000
X              0003    7,000         0        0
0JOHNSON & JOHNSON              COMMON   478160104     1,338      13,129
X              0007   13,129         0        0
0JOHNSON & JOHNSON              COMMON   478160104     1,513      14,850
X              0012   14,850         0        0
0KANSAS CITY SOUTHN INDUSTRIES  COMMON   485170104       129      23,276      X
NONE   21,776         0    1,500
0KANSAS CITY SOUTHN INDUSTRIES  COMMON   485170104       225      40,439
X              0001   40,439         0        0
0KANSAS CITY SOUTHN INDUSTRIES  COMMON   485170104         6       1,000
X              0012    1,000         0        0
0KELLOGG CO                     COMMON   487836108     1,194      40,150      X
NONE    5,932         0   34,218
0KELLOGG CO                     COMMON   487836108     1,438      48,350
X              0001   48,350         0        0
0KELLOGG CO                     COMMON   487836108        30       1,000
X              0012    1,000         0        0
0KENNAMETAL INC                 COMMON   489170100     2,508     117,000      X
NONE   39,350         0   77,650
0KENNAMETAL INC                 COMMON   489170100       222      10,350
X              0001   10,350         0        0
0KENNAMETAL INC                 COMMON   489170100       184       8,600
X              0007    8,600         0        0
0KERAVISION INC                 COMMON   492061106       120      25,000
X              0001   25,000         0        0
0KEYSPAN CORP                   COMMON   49337W100       114       3,693      X
NONE      419         0    3,274
0KEYSPAN CORP                   COMMON   49337W100       138       4,500
X              0001    4,500         0        0
0KIMBERLY CLARK                 COMMON   494368103     7,040     122,703      X
NONE   27,134         0   95,569
0KIMBERLY CLARK                 COMMON   494368103       264       4,600
X              0001    4,600         0        0
0KIMBERLY CLARK                 COMMON   494368103       422       7,360
X              0003    7,360         0        0
-  COLUMN  TOTALS                                     56,031
06/30/00
1
(SEC USE ONLY)
 PAGE     37  OF     62        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
0KIMBERLY CLARK                 COMMON   494368103     6,375     111,114
X              0007  111,114         0        0
0KIMBERLY CLARK                 COMMON   494368103       103       1,800
X              0012    1,800         0        0
0KINDER MORGAN ENERGY PARTN LP  COMMON   494550106       275       6,881      X
NONE    2,411         0    4,470
0KLA TENCOR CORP                COMMON   482480100     9,692     165,495      X
NONE   86,335         0   79,160
0KLA TENCOR CORP                COMMON   482480100       772      13,180
X              0001   13,180         0        0
0KNIGHT RIDDER INC              COMMON   499040103    15,265     287,000      X
NONE  267,000         0   20,000
0KNIGHT TRADING GROUP INC       COMMON   499063105       268       9,000      X
NONE    6,000         0    3,000
0KOHLS CORP                     COMMON   500255104    27,848     500,635      X
NONE  156,989         0  343,646
0KOHLS CORP                     COMMON   500255104     3,889      69,920
X              0001   69,920         0        0
0KOHLS CORP                     COMMON   500255104       834      15,000
X              0007   15,000         0        0
0KOHLS CORP                     COMMON   500255104       128       2,300
X              0012    2,300         0        0
0KONINKLIJE PHILIP SPON ADR     COMMON   500472204     1,269      26,724      X
NONE    2,576         0   24,148
0KROGER CO                      COMMON   501044101       380      17,245      X
NONE      245         0   17,000
0L 3 COMMUNICATIONS HLDG CORP   COMMON   502424104       228       4,000      X
NONE        0         0    4,000
0LATIN AMERICAN CASINOS INC     COMMON   51827W103        15      12,500      X
NONE   12,500         0        0
0LAUDER ESTEE COS INC CL A      COMMON   518439104    43,735     884,659      X
NONE  407,535         0  477,124
0LAUDER ESTEE COS INC CL A      COMMON   518439104     5,713     115,564
X              0001  115,564         0        0
0LAUDER ESTEE COS INC CL A      COMMON   518439104       105       2,130
X              0003    2,130         0        0
0LAUDER ESTEE COS INC CL A      COMMON   518439104       590      11,925
X              0007   11,925         0        0
0LAUDER ESTEE COS INC CL A      COMMON   518439104       760      15,375
X              0012   15,375         0        0
-  COLUMN  TOTALS                                    118,245
06/30/00
1
(SEC USE ONLY)
 PAGE     38  OF     62        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
0LEAR CORP                      COMMON   521865105     1,698      84,890      X
NONE   16,340         0   68,550
0LEAR CORP                      COMMON   521865105       184       9,200
X              0001    9,200         0        0
0LEAR CORP                      COMMON   521865105        15         740
X              0003      740         0        0
0LEAR CORP                      COMMON   521865105        16         800
X              0007      800         0        0
0LEVEL 3 COMMUNICATIONS INC     COMMON   52729N100       581       6,600      X
NONE        0         0    6,600
0LEXMARK INTL INC               COMMON   529771107     1,759      26,150      X
NONE   17,250         0    8,900
0LEXMARK INTL INC               COMMON   529771107        77       1,150
X              0001    1,150         0        0
0LEXMARK INTL INC               COMMON   529771107       222       3,300
X              0012    3,300         0        0
0LG & E ENERGY CORP             COMMON   501917108        61       2,550      X
NONE        0         0    2,550
0LG & E ENERGY CORP             COMMON   501917108       207       8,684
X              0001    8,684         0        0
0LIBERTY DIGITAL INC CL A       COMMON   530436104       258       8,600      X
NONE        0         0    8,600
0LILLY /ELI/ & CO               COMMON   532457108   101,689   1,018,165      X
NONE  450,982         0  567,183
0LILLY /ELI/ & CO               COMMON   532457108    11,415     114,293
X              0001  114,293         0        0
0LILLY /ELI/ & CO               COMMON   532457108       769       7,703
X              0003    7,703         0        0
0LILLY /ELI/ & CO               COMMON   532457108     1,135      11,361
X              0007   11,361         0        0
0LILLY /ELI/ & CO               COMMON   532457108     2,183      21,860
X              0012   21,860         0        0
0LITTON INDUSTRIES              COMMON   538021106       554      13,200      X
NONE      200         0   13,000
0LL&E ROYALTY TRUST UBI         COMMON   502003106        31      10,000      X
NONE        0         0   10,000
0LOCAL FINANCIAL CORP           COMMON   539553107     1,669     200,000
X              0007  200,000         0        0
0LOCKHEED MARTIN CORP           COMMON   539830109     1,085      43,732      X
NONE    1,000         0   42,732
-  COLUMN  TOTALS                                    125,608
06/30/00
1
(SEC USE ONLY)
 PAGE     39  OF     62        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
0LOCKHEED MARTIN CORP           COMMON   539830109        17         700
X              0001      700         0        0
0LOCKHEED MARTIN CORP           COMMON   539830109        10         400
X              0003      400         0        0
0LOEWS CORP CV 3.125% 09/15/07  CON BOND 540424AL2     4,000      50,000      X
NONE        0         0   50,000
0LOWES COMPANIES                COMMON   548661107     1,407      34,162      X
NONE   12,512         0   21,650
0LOWES COMPANIES                COMMON   548661107       177       4,300
X              0001    4,300         0        0
0LOWES COMPANIES                COMMON   548661107        82       2,000
X              0012    2,000         0        0
0LSI LOGIC CORP                 COMMON   502161102       224       4,132      X
NONE    1,000         0    3,132
0LSI LOGIC CORP                 COMMON   502161102       130       2,400
X              0012    2,400         0        0
0LSI LOGIC CORP /REST/          COMMON   502161102     1,864      34,431      X
NONE        0         0   34,431
0LUCENT TECHNOLOGIES INC        COMMON   549463107    80,491   1,370,063      X
NONE  582,829         0  787,234
0LUCENT TECHNOLOGIES INC        COMMON   549463107    10,359     176,319
X              0001  176,319         0        0
0LUCENT TECHNOLOGIES INC        COMMON   549463107       365       6,211
X              0003    6,211         0        0
0LUCENT TECHNOLOGIES INC        COMMON   549463107     2,068      35,208
X              0007   35,208         0        0
0LUCENT TECHNOLOGIES INC        COMMON   549463107     2,080      35,407
X              0012   35,407         0        0
0MANOR CARE INC                 COMMON   564055101        68       9,750      X
NONE    6,750         0    3,000
0MANOR CARE INC                 COMMON   564055101        19       2,700
X              0001    2,700         0        0
0MANULIFE FINANCIAL CORP        COMMON   56501R106       255      14,341      X
NONE    1,576         0   12,765
0MARRIOTT INTL CL A             COMMON   571903202     2,029      56,266      X
NONE   14,600         0   41,666
0MARRIOTT INTL CL A             COMMON   571903202       344       9,550
X              0001    9,550         0        0
0MARRIOTT INTL CL A             COMMON   571903202       108       3,000
X              0012    3,000         0        0
-  COLUMN  TOTALS                                    106,099
06/30/00
1
(SEC USE ONLY)
 PAGE     40  OF     62        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
0MARSH & MCLENNAN COS INC       COMMON   571748102    49,997     478,725      X
NONE  330,585         0  148,140
0MARSH & MCLENNAN COS INC       COMMON   571748102     1,008       9,650
X              0001    9,650         0        0
0MARSH & MCLENNAN COS INC       COMMON   571748102        63         600
X              0012      600         0        0
0MARSH & MCLENNAN COS INC /REST COMMON   571748102         0           1      X
NONE        0         0        1
0MARTIN MARIETTA MATERIALS INC  COMMON   573284106       181       4,483      X
NONE        0         0    4,483
0MARTIN MARIETTA MATERIALS INC  COMMON   573284106        74       1,826
X              0001    1,826         0        0
0MASCOTECH INC                  COMMON   574670105     6,407     592,562      X
NONE  592,562         0        0
0MATSUSHITA ELEC INDL LTD ADR   COMMON   576879209       257       1,000      X
NONE    1,000         0        0
0MATSUSHITA ELEC INDL LTD ADR   COMMON   576879209        77         300
X              0001      300         0        0
0MATTEL INC                     COMMON   577081102       294      22,276      X
NONE    9,749         0   12,527
0MATTEL INC                     COMMON   577081102       280      21,200
X              0001   21,200         0        0
0MATTEL INC                     COMMON   577081102         3         250
X              0007      250         0        0
0MAVESA S A SPONSORED ADR       COMMON   577717101     1,316     421,200      X
NONE  421,200         0        0
0MAY DEPT STORES                COMMON   577778103     1,421      59,207      X
NONE   19,109         0   40,098
0MAY DEPT STORES                COMMON   577778103       278      11,600
X              0001   11,600         0        0
0MAY DEPT STORES                COMMON   577778103       198       8,256
X              0012    8,256         0        0
0MAYTAG CORP                    COMMON   578592107     8,481     230,006      X
NONE    1,080         0  228,926
0MBNA CORP                      COMMON   55262L100     2,164      79,767      X
NONE   62,767         0   17,000
0MBNA CORP                      COMMON   55262L100         8         300
X              0001      300         0        0
0MBNA CORP                      COMMON   55262L100        18         675
X              0012      675         0        0
-  COLUMN  TOTALS                                     72,525
06/30/00
1
(SEC USE ONLY)
 PAGE     41  OF     62        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
0MC DONALDS CORP                COMMON   580135101     4,782     145,173      X
NONE   45,535         0   99,638
0MC DONALDS CORP                COMMON   580135101     1,328      40,330
X              0001   40,330         0        0
0MC DONALDS CORP                COMMON   580135101       296       9,000
X              0012    9,000         0        0
0MC GRAW HILL COMPANIES INC     COMMON   580645109       515       9,536      X
NONE    9,536         0        0
0MCKESSON HBOC INC              COMMON   58155Q103       106       5,077      X
NONE      825         0    4,252
0MCKESSON HBOC INC              COMMON   58155Q103       257      12,285
X              0001   12,285         0        0
0MCLEODUSA INC                  COMMON   582266102     4,922     237,925      X
NONE  107,450         0  130,475
0MCLEODUSA INC                  COMMON   582266102       915      44,220
X              0001   44,220         0        0
0MCLEODUSA INC                  COMMON   582266102       137       6,600
X              0012    6,600         0        0
0MCN ENERGY GROUP INC           COMMON   55267J100       230      10,738      X
NONE    2,150         0    8,588
0MCN ENERGY GROUP INC           COMMON   55267J100         7         325
X              0007      325         0        0
0MEAD CORP                      COMMON   582834107        78       3,047      X
NONE      383         0    2,664
0MEAD CORP                      COMMON   582834107     1,068      42,000
X              0007   42,000         0        0
0MEDIAONE GROUP INC             COMMON   58440J104    21,561     325,443      X
NONE  170,248         0  155,195
0MEDIAONE GROUP INC             COMMON   58440J104     2,081      31,406
X              0001   31,406         0        0
0MEDIAONE GROUP INC             COMMON   58440J104        53         800
X              0003      800         0        0
0MEDIAONE GROUP INC             COMMON   58440J104       232       3,500
X              0007    3,500         0        0
0MEDIAONE GROUP INC             COMMON   58440J104        49         736
X              0012      736         0        0
0MEDTRONIC INC                  COMMON   585055106    88,077   1,766,587      X
NONE  714,683         0 1051,904
0MEDTRONIC INC                  COMMON   585055106    13,224     265,478
X              0001  265,478         0        0
-  COLUMN  TOTALS                                    139,916
06/30/00
1
(SEC USE ONLY)
 PAGE     42  OF     62        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
0MEDTRONIC INC                  COMMON   585055106       121       2,436
X              0003    2,436         0        0
0MEDTRONIC INC                  COMMON   585055106     3,977      79,850
X              0007   79,850         0        0
0MEDTRONIC INC                  COMMON   585055106     1,467      29,450
X              0012   29,450         0        0
0MELLON FINANCIAL CORP          COMMON   58551A108     1,782      48,901      X
NONE   25,166         0   23,735
0MELLON FINANCIAL CORP          COMMON   58551A108       407      11,180
X              0001   11,180         0        0
0MELLON FINANCIAL CORP          COMMON   58551A108        36       1,000
X              0012    1,000         0        0
0MERCK & CO                     COMMON   589331107    53,946     704,028      X
NONE  238,443         0  465,585
0MERCK & CO                     COMMON   589331107    16,101     210,131
X              0001  210,131         0        0
0MERCK & CO                     COMMON   589331107       797      10,406
X              0003   10,406         0        0
0MERCK & CO                     COMMON   589331107     3,372      44,012
X              0007   44,012         0        0
0MERCK & CO                     COMMON   589331107     4,036      52,674
X              0012   52,674         0        0
0MERRILL LYNCH & CO             COMMON   590188108    42,194     366,901      X
NONE  176,166         0  190,735
0MERRILL LYNCH & CO             COMMON   590188108     5,594      48,640
X              0001   48,640         0        0
0MERRILL LYNCH & CO             COMMON   590188108       124       1,080
X              0003    1,080         0        0
0MERRILL LYNCH & CO             COMMON   590188108       334       2,900
X              0007    2,900         0        0
0MERRILL LYNCH & CO             COMMON   590188108       592       5,150
X              0012    5,150         0        0
0METALS USA INC                 COMMON   591324108     1,125     239,932      X
NONE        0         0  239,932
0METALS USA INC                 COMMON   591324108        24       5,200
X              0003    5,200         0        0
0METHODE ELECTRONICS INC CL A   COMMON   591520200       209       5,400      X
NONE        0         0    5,400
0METRO GOLDWYN MAYER INC        COMMON   591610100       261      10,000      X
NONE   10,000         0        0
-  COLUMN  TOTALS                                    136,501
06/30/00
1
(SEC USE ONLY)
 PAGE     43  OF     62        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
0METTLER TOLEDO INTL            COMMON   592688105       284       7,097      X
NONE        0         0    7,097
0MICROFINANCIAL INC             COMMON   595072109       660      66,000      X
NONE        0         0   66,000
0MICROSOFT CORP                 COMMON   594918104   113,684   1,420,448      X
NONE  589,211         0  831,237
0MICROSOFT CORP                 COMMON   594918104    14,462     180,774
X              0001  180,774         0        0
0MICROSOFT CORP                 COMMON   594918104       417       5,218
X              0003    5,218         0        0
0MICROSOFT CORP                 COMMON   594918104       814      10,175
X              0007   10,175         0        0
0MICROSOFT CORP                 COMMON   594918104     2,184      27,300
X              0012   27,300         0        0
0MICROVISION INC                COMMON   594960106       663      13,522      X
NONE        0         0   13,522
0MILLIPORE CORP                 COMMON   601073109     1,314      17,435      X
NONE    1,730         0   15,705
0MILLIPORE CORP                 COMMON   601073109       693       9,200
X              0001    9,200         0        0
0MILLIPORE CORP                 COMMON   601073109       264       3,500
X              0007    3,500         0        0
0MINNESOTA MINING & MFG         COMMON   604059105    10,799     130,599      X
NONE   37,811         0   92,788
0MINNESOTA MINING & MFG         COMMON   604059105    15,449     186,832
X              0001  186,832         0        0
0MINNESOTA MINING & MFG         COMMON   604059105       165       2,000
X              0003    2,000         0        0
0MINNESOTA MINING & MFG         COMMON   604059105     9,591     115,990
X              0007  115,990         0        0
0MINNESOTA MINING & MFG         COMMON   604059105       640       7,740
X              0012    7,740         0        0
0MOLEX INC NON-VTG CL A         COMMON   608554200       230       6,584      X
NONE        0         0    6,584
0MOORE CORP LTD                 COMMON   615785102        26      10,000      X
NONE        0         0   10,000
0MORGAN /J P/ & CO              COMMON   616880100     5,390      48,946      X
NONE   13,235         0   35,711
0MORGAN /J P/ & CO              COMMON   616880100       832       7,552
X              0001    7,552         0        0
-  COLUMN  TOTALS                                    178,561
06/30/00
1
(SEC USE ONLY)
 PAGE     44  OF     62        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        44         400
X              0003      400         0        0
0MORGAN /J P/ & CO              COMMON   616880100        66         600
X              0012      600         0        0
0MORGAN ST DEAN WITTER & CO     COMMON   617446448     3,828      45,986      X
NONE   17,036         0   28,950
0MORGAN ST DEAN WITTER & CO     COMMON   617446448     1,493      17,936
X              0001   17,936         0        0
0MORGAN ST DEAN WITTER & CO     COMMON   617446448       142       1,700
X              0012    1,700         0        0
0MORGAN STANLEY DEAN WTR ASIA   COMMON   61744U106     1,142     112,100      X
NONE   43,100         0   69,000
0MORGAN STANLEY DEAN WTR ASIA   COMMON   61744U106       102      10,000
X              0001   10,000         0        0
0MOTOROLA INC                   COMMON   620076109     6,992     233,062      X
NONE   88,671         0  144,391
0MOTOROLA INC                   COMMON   620076109     1,313      43,770
X              0001   43,770         0        0
0MOTOROLA INC                   COMMON   620076109        44       1,470
X              0003    1,470         0        0
0MOTOROLA INC                   COMMON   620076109       149       4,950
X              0007    4,950         0        0
0MOTOROLA INC                   COMMON   620076109        72       2,400
X              0012    2,400         0        0
0MTI TECHNOLOGY CORP            COMMON   553903105       157      19,675      X
NONE        0         0   19,675
0NABORS INDS INC                COMMON   629568106       526      12,662      X
NONE      315         0   12,347
0NASDAQ 100 SHARES              COMMON   631100104       690       7,380      X
NONE    4,370         0    3,010
0NASDAQ 100 SHARES              COMMON   631100104       243       2,600
X              0001    2,600         0        0
0NASDAQ 100 SHARES              COMMON   631100104        19         200
X              0012      200         0        0
0NEOTHERAPEUTICS INC            COMMON   640656104        11       1,000      X
NONE      500         0      500
0NEOTHERAPEUTICS INC            COMMON   640656104       128      12,000
X              0001   12,000         0        0
0NETCENTIVES INC                COMMON   64108P101       504      27,048      X
NONE   26,048         0    1,000
-  COLUMN  TOTALS                                     17,664
06/30/00
1
(SEC USE ONLY)
 PAGE     45  OF     62        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 YORK TIMES A               COMMON   650111107    23,990     607,336      X
NONE  272,086         0  335,250
0NEW YORK TIMES A               COMMON   650111107     2,171      54,950
X              0001   54,950         0        0
0NEW YORK TIMES A               COMMON   650111107       119       3,024
X              0003    3,024         0        0
0NEW YORK TIMES A               COMMON   650111107       295       7,475
X              0007    7,475         0        0
0NEW YORK TIMES A               COMMON   650111107        75       1,900
X              0012    1,900         0        0
0NEWELL RUBBERMAID INC          COMMON   651229106       340      13,216      X
NONE    8,107         0    5,109
0NEWELL RUBBERMAID INC          COMMON   651229106        81       3,153
X              0001    3,153         0        0
0NEWPORT CORP                   COMMON   651824104       966       9,000      X
NONE        0         0    9,000
0NEWS CORP LTD SPONSORED ADR    COMMON   652487703       921      16,900      X
NONE    3,000         0   13,900
0NEWS CORP LTD SPONSORED ADR    COMMON   652487703       245       4,500
X              0001    4,500         0        0
0NEXTEL COMMUNICATIONS INC CL A COMMON   65332V103     1,451      23,715      X
NONE    7,515         0   16,200
0NEXTEL COMMUNICATIONS INC CL A COMMON   65332V103       217       3,540
X              0001    3,540         0        0
0NEXTEL COMMUNICATIONS INC CL A COMMON   65332V103       110       1,800
X              0012    1,800         0        0
0NIKE INC CLASS B               COMMON   654106103       235       5,898      X
NONE    3,298         0    2,600
0NOBLE AFFILIATES INC           COMMON   654894104    12,765     342,675      X
NONE  101,575         0  241,100
0NOBLE AFFILIATES INC           COMMON   654894104     2,072      55,630
X              0001   55,630         0        0
0NOBLE AFFILIATES INC           COMMON   654894104       410      11,000
X              0007   11,000         0        0
0NOBLE AFFILIATES INC           COMMON   654894104       495      13,300
X              0012   13,300         0        0
0NOKIA CORP SPONSORED ADR       COMMON   654902204    16,532     327,838      X
NONE  146,091         0  181,747
0NOKIA CORP SPONSORED ADR       COMMON   654902204     5,177     103,407
X              0001  103,407         0        0
-  COLUMN  TOTALS                                     68,668
06/30/00
1
(SEC USE ONLY)
 PAGE     46  OF     62        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     1,806      36,080
X              0007   36,080         0        0
0NOKIA CORP SPONSORED ADR       COMMON   654902204       786      15,700
X              0012   15,700         0        0
0NORFOLK SOUTHERN CORP          COMMON   655844108       690      46,371      X
NONE   14,300         0   32,071
0NORFOLK SOUTHERN CORP          COMMON   655844108        80       5,400
X              0001    5,400         0        0
0NORTEL NETWORKS CORP           COMMON   656568102    68,198     990,172      X
NONE  315,192         0  674,980
0NORTEL NETWORKS CORP           COMMON   656568102     6,765      98,225
X              0001   98,225         0        0
0NORTEL NETWORKS CORP           COMMON   656568102        23         336
X              0003      336         0        0
0NORTEL NETWORKS CORP           COMMON   656568102     3,364      48,838
X              0007   48,838         0        0
0NORTEL NETWORKS CORP           COMMON   656568102       196       2,850
X              0012    2,850         0        0
0NORTHERN TRUST CORP            COMMON   665859104       260       4,000      X
NONE    3,000         0    1,000
0NORTHPOINT COMMUNICATIONS      COMMON   666610100       361      32,230      X
NONE    9,669         0   22,561
0NORTHPOINT COMMUNICATIONS      COMMON   666610100         6         500
X              0001      500         0        0
0NORTHROP GRUMMAN CORP          COMMON   666807102     1,024      15,450      X
NONE    1,800         0   13,650
0NOVELL INC                     COMMON   670006105       129      13,901      X
NONE   10,281         0    3,620
0NSTAR                          COMMON   67019E107       193       4,742      X
NONE        0         0    4,742
0NSTAR                          COMMON   67019E107       133       3,276
X              0001    3,276         0        0
0NUVEEN INSD MUN OPP FD INC     COMMON   670984103       132      10,120      X
NONE        0         0   10,120
0NUVEEN INSD MUN OPP FD INC     COMMON   670984103        10         800
X              0012      800         0        0
0OCCIDENTAL PETROLEUM           COMMON   674599105       284      13,502      X
NONE    2,200         0   11,302
0OCCIDENTAL PETROLEUM           COMMON   674599105         2         100
X              0001      100         0        0
-  COLUMN  TOTALS                                     84,442
06/30/00
1
(SEC USE ONLY)
 PAGE     47  OF     62        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
0OCWEN FINANCIAL CORPORATION    COMMON   675746101    10,331   1,857,474      X
NONE        0         0 1857,474
0OCWEN FINANCIAL CORPORATION    COMMON   675746101       926     166,440
X              0001  166,440         0        0
0OFFICEMAX INC                  COMMON   67622M108        74      14,700      X
NONE    4,700         0   10,000
0OLD KENT FINANCIAL CORP        COMMON   679833103        41       1,529      X
NONE        0         0    1,529
0OLD KENT FINANCIAL CORP        COMMON   679833103     2,980     111,405
X              0001  111,405         0        0
0OLD REPUBLIC INTNATL           COMMON   680223104        10         600      X
NONE      600         0        0
0OLD REPUBLIC INTNATL           COMMON   680223104     5,673     343,803
X              0007  343,803         0        0
0OMNICOM GROUP INC              COMMON   681919106       682       7,659      X
NONE    2,376         0    5,283
0OMNICOM GROUP INC              COMMON   681919106        71         800
X              0001      800         0        0
0OMNICOM GROUP INC              COMMON   681919106        71         800
X              0003      800         0        0
0OPEN MKT INC                   COMMON   68370M100       175      12,672      X
NONE    2,668         0   10,004
0OPEN MKT INC                   COMMON   68370M100        10         703
X              0001      703         0        0
0ORACLE CORP                    COMMON   68389X105     3,873      46,073      X
NONE   31,465         0   14,608
0ORACLE CORP                    COMMON   68389X105     1,814      21,585
X              0001   21,585         0        0
0ORACLE CORP                    COMMON   68389X105       214       2,550
X              0012    2,550         0        0
0OSHKOSH B GOSH INC CL A        COMMON   688222207       164      10,000      X
NONE        0         0   10,000
0OWENS ILL INC                  COMMON   690768403     1,660     142,000      X
NONE   22,950         0  119,050
0OWENS ILL INC                  COMMON   690768403       119      10,205
X              0001   10,205         0        0
0OWENS ILL INC                  COMMON   690768403        31       2,655
X              0003    2,655         0        0
0OWENS ILL INC                  COMMON   690768403        69       5,900
X              0007    5,900         0        0
-  COLUMN  TOTALS                                     28,988
06/30/00
1
(SEC USE ONLY)
 PAGE     48  OF     62        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
0OWENS ILL INC                  COMMON   690768403         1         100
X              0012      100         0        0
0OWENS ILL INC CONV PFD 4.75%   CONV PFD 690768502       387      17,400      X
NONE        0         0   17,400
0OWENS ILL INC CONV PFD 4.75%   CONV PFD 690768502        85       3,830
X              0001    3,830         0        0
0P P G INDUSTRIES INC           COMMON   693506107       153       3,448      X
NONE      648         0    2,800
0P P G INDUSTRIES INC           COMMON   693506107       206       4,650
X              0001    4,650         0        0
0PALL CORP                      COMMON   696429307        87       4,700      X
NONE      900         0    3,800
0PALL CORP                      COMMON   696429307       126       6,800
X              0001    6,800         0        0
0PARKER-HANNIFIN CORP           COMMON   701094104     3,138      91,615      X
NONE      387         0   91,228
0PARKER-HANNIFIN CORP           COMMON   701094104        21         600
X              0001      600         0        0
0PE CORP CELERA GENOMICS        COMMON   69332S201     3,399      36,249      X
NONE   10,199         0   26,050
0PE CORP CELERA GENOMICS        COMMON   69332S201       795       8,550
X              0001    8,550         0        0
0PE CORP CELERA GENOMICS        COMMON   69332S201       453       4,875
X              0007    4,875         0        0
0PE CORP PE BIOSYSTEMS GROUP    COMMON   69332S102    40,777     617,826      X
NONE  237,752         0  380,074
0PE CORP PE BIOSYSTEMS GROUP    COMMON   69332S102     4,988      75,570
X              0001   75,570         0        0
0PE CORP PE BIOSYSTEMS GROUP    COMMON   69332S102        66       1,000
X              0003    1,000         0        0
0PE CORP PE BIOSYSTEMS GROUP    COMMON   69332S102     2,153      32,625
X              0007   32,625         0        0
0PE CORP PE BIOSYSTEMS GROUP    COMMON   69332S102       371       5,625
X              0012    5,625         0        0
0PENN REAL ESTATE INV TRUST SBI COMMON   709102107     1,097      62,268      X
NONE        0         0   62,268
0PENN REAL ESTATE INV TRUST SBI COMMON   709102107       149       8,437
X              0003    8,437         0        0
0PEOPLES BANCORP INC OHIO       COMMON   709789101       291      20,760      X
NONE   20,760         0        0
-  COLUMN  TOTALS                                     58,743
06/30/00
1
(SEC USE ONLY)
 PAGE     49  OF     62        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
0PEOPLES BANK BRIDGEPORT CONN   COMMON   710198102       436      23,750      X
NONE    6,650         0   17,100
0PEOPLES BANK BRIDGEPORT CONN   COMMON   710198102        83       4,500
X              0001    4,500         0        0
0PEP BOYS MANNY MOE & JACK      COMMON   713278109        75      12,000
X              0001   12,000         0        0
0PEPSICO INC                    COMMON   713448108    14,947     336,353      X
NONE  123,448         0  212,905
0PEPSICO INC                    COMMON   713448108     2,862      64,400
X              0001   64,400         0        0
0PEPSICO INC                    COMMON   713448108        44       1,000
X              0003    1,000         0        0
0PEPSICO INC                    COMMON   713448108    12,290     276,563
X              0007  276,563         0        0
0PEPSICO INC                    COMMON   713448108       169       3,800
X              0012    3,800         0        0
0PERKINELMER INC                COMMON   714046109       838      12,680      X
NONE      535         0   12,145
0PERPETUAL FINL CORP REGD       CON BOND 714275AA2         0      10,000      X
NONE   10,000         0        0
0PETCO ANIMAL SUPPLIES /REST/   COMMON   716016100       751      38,280      X
NONE        0         0   38,280
0PFIZER INC                     COMMON   717081103    44,547     928,070      X
NONE  381,809         0  546,261
0PFIZER INC                     COMMON   717081103     6,736     140,325
X              0001  140,325         0        0
0PFIZER INC                     COMMON   717081103       230       4,800
X              0003    4,800         0        0
0PFIZER INC                     COMMON   717081103       936      19,500
X              0007   19,500         0        0
0PFIZER INC                     COMMON   717081103     1,099      22,900
X              0012   22,900         0        0
0PHARMACIA CORPORATION          COMMON   71713U102    67,721   1,309,026      X
NONE  543,530         0  765,496
0PHARMACIA CORPORATION          COMMON   71713U102     6,532     126,385
X              0001  126,385         0        0
0PHARMACIA CORPORATION          COMMON   71713U102       214       4,133
X              0003    4,133         0        0
0PHARMACIA CORPORATION          COMMON   71713U102     1,473      28,499
X              0007   28,499         0        0
-  COLUMN  TOTALS                                    161,984
06/30/00
1
(SEC USE ONLY)
 PAGE     50  OF     62        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
0PHARMACIA CORPORATION          COMMON   71713U102     1,529      29,579
X              0012   29,579         0        0
0PHILIP MORRIS COS INC          COMMON   718154107     3,629     136,614      X
NONE   37,934         0   98,680
0PHILIP MORRIS COS INC          COMMON   718154107     1,730      65,130
X              0001   65,130         0        0
0PHILLIPS PETROLEUM CO          COMMON   718507106       244       4,807      X
NONE    1,951         0    2,856
0PHONE.COM INC /REST/           COMMON   71920Q100       722      11,092      X
NONE    2,773         0    8,319
0PIERCING PAGODA INC            COMMON   720773100       232      16,000      X
NONE        0         0   16,000
0PITNEY BOWES                   COMMON   724479100       884      22,100      X
NONE   19,200         0    2,900
0PITNEY BOWES                   COMMON   724479100        24         600
X              0001      600         0        0
0PITNEY BOWES                   COMMON   724479100       320       8,000
X              0012    8,000         0        0
0PLACER DOME INC                COMMON   725906101       146      15,276      X
NONE      225         0   15,051
0PMI GROUP INC                  COMMON   69344M101       469       9,875      X
NONE      600         0    9,275
0PMI GROUP INC                  COMMON   69344M101        96       2,025
X              0001    2,025         0        0
0PNC FINANCIAL SERVICES GROUP   COMMON   693475105       759      16,200      X
NONE    4,825         0   11,375
0PNC FINANCIAL SERVICES GROUP   COMMON   693475105        19         412
X              0003      412         0        0
0PNC FINANCIAL SERVICES GROUP   COMMON   693475105        56       1,200
X              0012    1,200         0        0
0POHANG IRON & STEEL SPSD ADR   COMMON   730450103       754      31,400      X
NONE   12,400         0   19,000
0PRAXAIR INC                    COMMON   74005P104     5,802     154,979      X
NONE   30,900         0  124,079
0PRAXAIR INC                    COMMON   74005P104     1,473      39,338
X              0001   39,338         0        0
0PRAXAIR INC                    COMMON   74005P104        67       1,800
X              0007    1,800         0        0
0PRICE COMMUNICATIONS CORP      COMMON   741437305       507      21,518      X
NONE   21,518         0        0
-  COLUMN  TOTALS                                     19,462
06/30/00
1
(SEC USE ONLY)
 PAGE     51  OF     62        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
0PRICE COMMUNICATIONS CORP      COMMON   741437305        47       2,000
X              0001    2,000         0        0
0PRIDE INTERNATIONAL INC        COMMON   741932107       134       5,400      X
NONE    3,300         0    2,100
0PRIDE INTERNATIONAL INC        COMMON   741932107       124       5,000
X              0001    5,000         0        0
0PRISON REALTY TRUST INC        COMMON   74264N105        37      10,821      X
NONE        0         0   10,821
0PROCTER & GAMBLE               COMMON   742718109    56,661     989,110      X
NONE  443,813         0  545,297
0PROCTER & GAMBLE               COMMON   742718109    10,485     183,145
X              0001  183,145         0        0
0PROCTER & GAMBLE               COMMON   742718109       524       9,158
X              0003    9,158         0        0
0PROCTER & GAMBLE               COMMON   742718109     1,879      32,821
X              0007   32,821         0        0
0PROCTER & GAMBLE               COMMON   742718109     1,421      24,820
X              0012   24,820         0        0
0PROGRESSIVE CORP /OHIO/        COMMON   743315103     2,201      29,947      X
NONE    7,367         0   22,580
0PROGRESSIVE CORP /OHIO/        COMMON   743315103       628       8,550
X              0001    8,550         0        0
0PROGRESSIVE CORP /OHIO/        COMMON   743315103        44         600
X              0007      600         0        0
0PROLOGIS TRUST                 COMMON   743410102     2,671     124,956      X
NONE   23,664         0  101,292
0PROLOGIS TRUST                 COMMON   743410102       504      23,600
X              0001   23,600         0        0
0PROVIDIAN FINL CORP            COMMON   74406A102       744       8,272      X
NONE    1,050         0    7,222
0PROVIDIAN FINL CORP            COMMON   74406A102        20         225
X              0001      225         0        0
0PROVIDIAN FINL CORP            COMMON   74406A102        95       1,050
X              0007    1,050         0        0
0PUBLIC SVC ENTERPRISE GRP INC  COMMON   744573106       136       3,939      X
NONE      180         0    3,759
0PUBLIC SVC ENTERPRISE GRP INC  COMMON   744573106        73       2,100
X              0001    2,100         0        0
0QUAKER OATS                    COMMON   747402105       533       7,093      X
NONE      964         0    6,129
-  COLUMN  TOTALS                                     78,961
06/30/00
1
(SEC USE ONLY)
 PAGE     52  OF     62        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
0QUAKER OATS                    COMMON   747402105        38         500
X              0001      500         0        0
0QUALCOMM INC                   COMMON   747525103     1,297      21,615      X
NONE    2,620         0   18,995
0QUALCOMM INC                   COMMON   747525103       366       6,100
X              0001    6,100         0        0
0QWEST COMMUNICATIONS INTL      COMMON   749121109    74,576   1,496,250      X
NONE  574,575         0  921,675
0QWEST COMMUNICATIONS INTL      COMMON   749121109    10,779     216,940
X              0001  216,940         0        0
0QWEST COMMUNICATIONS INTL      COMMON   749121109       113       2,270
X              0003    2,270         0        0
0QWEST COMMUNICATIONS INTL      COMMON   749121109     1,297      26,100
X              0007   26,100         0        0
0QWEST COMMUNICATIONS INTL      COMMON   749121109     1,723      34,674
X              0012   34,674         0        0
0R & B FALCON CORP              COMMON   74912E101       565      23,972      X
NONE   22,922         0    1,050
0RADIOSHACK CORP                COMMON   750438103       259       5,462      X
NONE    5,462         0        0
0RADIOSHACK CORP                COMMON   750438103        14         300
X              0001      300         0        0
0RAINMAKER SYSTEM INC           COMMON   750875106        27      10,000      X
NONE   10,000         0        0
0RALSTON-RALSTON PURINA GROUP   COMMON   751277302       164       8,238      X
NONE    3,051         0    5,187
0RALSTON-RALSTON PURINA GROUP   COMMON   751277302        61       3,051
X              0007    3,051         0        0
0RAYTHEON CO CL A               COMMON   755111309       265      13,636      X
NONE    7,538         0    6,098
0RAYTHEON CO CL A               COMMON   755111309     1,750      90,019
X              0007   90,019         0        0
0RAYTHEON CO CL B               COMMON   755111408       243      12,600      X
NONE        0         0   12,600
0RAYTHEON CO CL B               COMMON   755111408       193      10,000
X              0001   10,000         0        0
0RAYTHEON CO CL B               COMMON   755111408        39       2,000
X              0007    2,000         0        0
0RCN CORP                       COMMON   749361101     1,907      75,160      X
NONE    3,960         0   71,200
-  COLUMN  TOTALS                                     95,673
06/30/00
1
(SEC USE ONLY)
 PAGE     53  OF     62        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
0RED HAT INC                    COMMON   756577102        95       3,500      X
NONE    2,000         0    1,500
0RED HAT INC                    COMMON   756577102         3         100
X              0003      100         0        0
0RED HAT INC /REST/             COMMON   756577102       405      14,972      X
NONE    4,491         0   10,481
0REGIONS FINANCIAL CORP         COMMON   758940100       130       6,566      X
NONE    2,200         0    4,366
0REGIONS FINANCIAL CORP         COMMON   758940100        94       4,750
X              0001    4,750         0        0
0RELIASTAR FINANCIAL CORP       COMMON   75952U103       210       4,000      X
NONE        0         0    4,000
0REPLIGEN CORP                  COMMON   759916109        69      11,000      X
NONE   11,000         0        0
0REPUBLIC SERVICES INC          COMMON   760759100       160      10,000      X
NONE        0         0   10,000
0REUTERS GROUP PLC SPON ADR     COMMON   76132M102     2,787      27,888      X
NONE   14,554         0   13,334
0REUTERS GROUP PLC SPON ADR     COMMON   76132M102       104       1,039
X              0001    1,039         0        0
0REUTERS GROUP PLC SPON ADR     COMMON   76132M102        17         173
X              0007      173         0        0
0RF MICRO DEVICES INC           COMMON   749941100       333       3,800      X
NONE        0         0    3,800
0RITE AID                       COMMON   767754104        79      12,200      X
NONE    1,500         0   10,700
0RITE AID                       COMMON   767754104         5         800
X              0001      800         0        0
0RITE AID                       COMMON   767754104        29       4,500
X              0012    4,500         0        0
0RLI CORP                       COMMON   749607107       259       7,445      X
NONE    7,445         0        0
0ROCKWELL INTL CORP             COMMON   773903109       844      26,794      X
NONE    2,803         0   23,991
0ROCKWELL INTL CORP             COMMON   773903109        16         500
X              0001      500         0        0
0ROCKWELL INTL CORP             COMMON   773903109       135       4,300
X              0007    4,300         0        0
0ROHM & HAAS                    COMMON   775371107       291       8,429      X
NONE    5,129         0    3,300
-  COLUMN  TOTALS                                      6,065
06/30/00
1
(SEC USE ONLY)
 PAGE     54  OF     62        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
0ROYAL DUTCH PET N Y SHS 1.25   COMMON   780257804    64,210   1,042,216      X
NONE  386,399         0  655,817
0ROYAL DUTCH PET N Y SHS 1.25   COMMON   780257804    15,380     249,836
X              0001  249,836         0        0
0ROYAL DUTCH PET N Y SHS 1.25   COMMON   780257804       582       9,447
X              0003    9,447         0        0
0ROYAL DUTCH PET N Y SHS 1.25   COMMON   780257804     1,701      27,625
X              0007   27,625         0        0
0ROYAL DUTCH PET N Y SHS 1.25   COMMON   780257804     2,583      41,960
X              0012   41,960         0        0
0SABRE HOLDINGS CORPORATION A   COMMON   785905100     3,334     115,786      X
NONE   24,936         0   90,850
0SABRE HOLDINGS CORPORATION A   COMMON   785905100       386      13,550
X              0001   13,550         0        0
0SABRE HOLDINGS CORPORATION A   COMMON   785905100        11         400
X              0007      400         0        0
0SABRE HOLDINGS CORPORATION A   COMMON   785905100       100       3,500
X              0012    3,500         0        0
0SAFEGUARD SCIENTIFICS INC      COMMON   786449108       414      12,900      X
NONE    5,500         0    7,400
0SAFEGUARD SCIENTIFICS INC      COMMON   786449108        19         600
X              0001      600         0        0
0SAFEWAY INC                    COMMON   786514208       135       3,000      X
NONE        0         0    3,000
0SAFEWAY INC                    COMMON   786514208       232       5,150
X              0001    5,150         0        0
0SAFEWAY INC                    COMMON   786514208       135       3,000
X              0012    3,000         0        0
0SAKS INCORPORATED              COMMON   79377W108       214      20,520      X
NONE    2,000         0   18,520
0SAKS INCORPORATED              COMMON   79377W108        42       4,000
X              0001    4,000         0        0
0SANMINA CORP                   COMMON   800907107       296       3,460      X
NONE        0         0    3,460
0SANMINA CORP                   COMMON   800907107        17         200
X              0003      200         0        0
0SAP AKTIENGESELLSCHAFT SPN ADR COMMON   803054204       578      12,400      X
NONE    8,800         0    3,600
0SARA LEE CORP                  COMMON   803111103     7,828     407,988      X
NONE  124,700         0  283,288
-  COLUMN  TOTALS                                     98,198
06/30/00
1
(SEC USE ONLY)
 PAGE     55  OF     62        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
0SARA LEE CORP                  COMMON   803111103     1,158      60,340
X              0001   60,340         0        0
0SARA LEE CORP                  COMMON   803111103        71       3,700
X              0007    3,700         0        0
0SARA LEE CORP                  COMMON   803111103        19       1,000
X              0012    1,000         0        0
0SBC COMMUNICATIONS INC         COMMON   78387G103    10,240     236,765      X
NONE   74,051         0  162,714
0SBC COMMUNICATIONS INC         COMMON   78387G103     2,996      69,282
X              0001   69,282         0        0
0SBC COMMUNICATIONS INC         COMMON   78387G103       257       5,950
X              0003    5,950         0        0
0SBC COMMUNICATIONS INC         COMMON   78387G103       866      20,014
X              0007   20,014         0        0
0SBC COMMUNICATIONS INC         COMMON   78387G103       705      16,292
X              0012   16,292         0        0
0SCHERING PLOUGH                COMMON   806605101    22,186     439,333      X
NONE  134,113         0  305,220
0SCHERING PLOUGH                COMMON   806605101     4,703      93,136
X              0001   93,136         0        0
0SCHERING PLOUGH                COMMON   806605101       152       3,000
X              0003    3,000         0        0
0SCHERING PLOUGH                COMMON   806605101     2,737      54,200
X              0007   54,200         0        0
0SCHERING PLOUGH                COMMON   806605101        30         600
X              0012      600         0        0
0SCHLUMBERGER LTD               COMMON   806857108     8,654     115,970      X
NONE   35,097         0   80,873
0SCHLUMBERGER LTD               COMMON   806857108     2,766      37,072
X              0001   37,072         0        0
0SCHLUMBERGER LTD               COMMON   806857108        45         600
X              0003      600         0        0
0SCHLUMBERGER LTD               COMMON   806857108       229       3,066
X              0007    3,066         0        0
0SCHLUMBERGER LTD               COMMON   806857108       392       5,250
X              0012    5,250         0        0
0SCHWAB /CHARLES/ CORP          COMMON   808513105     1,668      49,606      X
NONE    7,946         0   41,660
0SCHWAB /CHARLES/ CORP          COMMON   808513105       139       4,145
X              0001    4,145         0        0
-  COLUMN  TOTALS                                     60,014
06/30/00
1
(SEC USE ONLY)
 PAGE     56  OF     62        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
0SCHWAB /CHARLES/ CORP          COMMON   808513105       519      15,421
X              0012   15,421         0        0
0SCIENTIFIC ATLANTA INC         COMMON   808655104       745      10,000      X
NONE    1,000         0    9,000
0SCIENTIFIC ATLANTA INC         COMMON   808655104       373       5,000
X              0012    5,000         0        0
0SCPIE HOLDINGS INC             COMMON   78402P104       392      19,100      X
NONE   19,100         0        0
0SCUDDER NEW ASIA FD            COMMON   811183102       544      36,600      X
NONE        0         0   36,600
0SDL INC                        COMMON   784076101       285       1,000      X
NONE        0         0    1,000
0SEAGATE TECHNOLOGY             COMMON   811804103       314       5,700      X
NONE    4,000         0    1,700
0SEAGATE TECHNOLOGY             COMMON   811804103        17         300
X              0001      300         0        0
0SEAGATE TECHNOLOGY             COMMON   811804103        25         450
X              0012      450         0        0
0SEAGRAM LTD                    COMMON   811850106     1,531      26,400      X
NONE        0         0   26,400
0SEARS ROEBUCK & CO             COMMON   812387108       155       4,743      X
NONE    1,745         0    2,998
0SEARS ROEBUCK & CO             COMMON   812387108       294       9,000
X              0001    9,000         0        0
0SENSORMATIC ELECTRONICS CORP   COMMON   817265101     4,214     266,477      X
NONE        0         0  266,477
0SEPRACOR INC                   COMMON   817315104     2,130      17,660      X
NONE   17,260         0      400
0SERVICE CORP INTNATL           COMMON   817565104        64      20,000
X              0001   20,000         0        0
0SHELL TRANS & TRDN NEW NY SPON COMMON   822703609       243       4,875      X
NONE    1,875         0    3,000
0SHELL TRANS & TRDN NEW NY SPON COMMON   822703609     1,498      30,000
X              0007   30,000         0        0
0SHERWIN WILLIAMS               COMMON   824348106       306      14,423      X
NONE      623         0   13,800
0SIEBEL SYS INC                 COMMON   826170102       360       2,200      X
NONE        0         0    2,200
0SIEBEL SYS INC                 COMMON   826170102        65         400
X              0001      400         0        0
-  COLUMN  TOTALS                                     14,071
06/30/00
1
(SEC USE ONLY)
 PAGE     57  OF     62        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
0SILICONIX INC                  COMMON   827079203       203       3,000      X
NONE        0         0    3,000
0SK TELECOM LTD SPONSORED ADR   COMMON   78440P108     1,098      30,225      X
NONE   22,025         0    8,200
0SMITH GARDNER & ASSOCIATES     COMMON   832059109        60      12,500
X              0001   12,500         0        0
0SMITHKLINE BEECHAM PLC SP ADR  COMMON   832378301     1,282      19,672      X
NONE   14,318         0    5,354
0SMITHKLINE BEECHAM PLC SP ADR  COMMON   832378301       763      11,700
X              0001   11,700         0        0
0SMITHKLINE BEECHAM PLC SP ADR  COMMON   832378301        26         400
X              0003      400         0        0
0SNAP-ON INC HOLDING CO         COMMON   833034101       217       8,150      X
NONE        0         0    8,150
0SOLA INTL INC                  COMMON   834092108       311      63,800      X
NONE   23,500         0   40,300
0SOLA INTL INC                  COMMON   834092108        15       3,150
X              0001    3,150         0        0
0SOLECTRON CORP                 COMMON   834182107       570      13,602      X
NONE    4,447         0    9,155
0SOLECTRON CORP                 COMMON   834182107        54       1,300
X              0001    1,300         0        0
0SOLUTIA INC                    COMMON   834376105        78       5,692      X
NONE        0         0    5,692
0SOLUTIA INC                    COMMON   834376105       190      13,800
X              0001   13,800         0        0
0SONOCO PRODUCTS CO             COMMON   835495102    26,433   1,285,523      X
NONE 1277,049         0    8,474
0SONOCO PRODUCTS CO             COMMON   835495102       100       4,845
X              0001    4,845         0        0
0SOUTHERN CO                    COMMON   842587107     2,870     123,129      X
NONE  101,579         0   21,550
0SOUTHERN CO                    COMMON   842587107       326      14,000
X              0001   14,000         0        0
0SOUTHERN CO                    COMMON   842587107        49       2,100
X              0007    2,100         0        0
0SOUTHN PAC PETE N L ADR        COMMON   843581307        52      25,000      X
NONE        0         0   25,000
0SOUTHN PAC PETE N L ADR        COMMON   843581307        21      10,000
X              0001   10,000         0        0
-  COLUMN  TOTALS                                     34,717
06/30/00
1
(SEC USE ONLY)
 PAGE     58  OF     62        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
0SOUTHWEST AIRLINES             COMMON   844741108       239      12,636      X
NONE        0         0   12,636
0SOUTHWEST AIRLINES             COMMON   844741108         6         300
X              0001      300         0        0
0SPACEHAB INC                   COMMON   846243103        54      12,000      X
NONE   12,000         0        0
0SPAR GROUP INC                 COMMON   784933103        32      25,900      X
NONE   25,900         0        0
0SPORTS AUTH CONV 5.25% 9/15/01 CON BOND 849176AC6         0      10,000
X              0003   10,000         0        0
0SPRINT CORP /FON GROUP/        COMMON   852061100    25,404     498,124      X
NONE  248,094         0  250,030
0SPRINT CORP /FON GROUP/        COMMON   852061100     1,791      35,120
X              0001   35,120         0        0
0SPRINT CORP /FON GROUP/        COMMON   852061100        51       1,000
X              0003    1,000         0        0
0SPRINT CORP /FON GROUP/        COMMON   852061100       196       3,850
X              0007    3,850         0        0
0SPRINT CORP /FON GROUP/        COMMON   852061100        51       1,000
X              0012    1,000         0        0
0SPRINT CORP PCS GROUP          COMMON   852061506    33,359     559,055      X
NONE  269,775         0  289,280
0SPRINT CORP PCS GROUP          COMMON   852061506     2,957      49,695
X              0001   49,695         0        0
0SPRINT CORP PCS GROUP          COMMON   852061506        92       1,550
X              0003    1,550         0        0
0SPRINT CORP PCS GROUP          COMMON   852061506       571       9,600
X              0007    9,600         0        0
0SPRINT CORP PCS GROUP          COMMON   852061506     1,029      17,300
X              0012   17,300         0        0
0ST PAUL COS INC                COMMON   792860108       341      10,000      X
NONE   10,000         0        0
0ST PAUL COS INC                COMMON   792860108        19         564
X              0001      564         0        0
0STAPLES INC                    COMMON   855030102       245      15,934      X
NONE    8,070         0    7,864
0STARBUCKS CORP                 COMMON   855244109       233       6,102      X
NONE      502         0    5,600
0STATE STREET CORP              COMMON   857477103       700       6,601      X
NONE    3,501         0    3,100
-  COLUMN  TOTALS                                     67,372
06/30/00
1
(SEC USE ONLY)
 PAGE     59  OF     62        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
0STATE STREET CORP              COMMON   857477103        64         600
X              0001      600         0        0
0STATE STREET CORP              COMMON   857477103        85         800
X              0012      800         0        0
0STMICROELECTRONICS NV NY SHS   COMMON   861012102    17,805     276,185      X
NONE   95,165         0  181,020
0STMICROELECTRONICS NV NY SHS   COMMON   861012102     1,095      17,065
X              0001   17,065         0        0
0STMICROELECTRONICS NV NY SHS   COMMON   861012102        44         690
X              0003      690         0        0
0STMICROELECTRONICS NV NY SHS   COMMON   861012102       305       4,750
X              0007    4,750         0        0
0STMICROELECTRONICS NV NY SHS   COMMON   861012102        96       1,500
X              0012    1,500         0        0
0STRYKER CORP                   COMMON   863667101       748      17,088      X
NONE    3,416         0   13,672
0SUMMIT BANCORP                 COMMON   866005101       225       9,123      X
NONE        0         0    9,123
0SUMMIT BANCORP                 COMMON   866005101         7         300
X              0001      300         0        0
0SUN LIFE FINANCIAL SVCS        COMMON   866796105       185      10,973      X
NONE    9,511         0    1,462
0SUN MICROSYSTEMS INC           COMMON   866810104   101,241   1,113,312      X
NONE  491,502         0  621,810
0SUN MICROSYSTEMS INC           COMMON   866810104    11,871     130,541
X              0001  130,541         0        0
0SUN MICROSYSTEMS INC           COMMON   866810104       168       1,844
X              0003    1,844         0        0
0SUN MICROSYSTEMS INC           COMMON   866810104     1,232      13,550
X              0007   13,550         0        0
0SUN MICROSYSTEMS INC           COMMON   866810104     3,060      33,650
X              0012   33,650         0        0
0SUNGARD DATA SYSTEMS INC       COMMON   867363103       178       5,740      X
NONE      240         0    5,500
0SUNGARD DATA SYSTEMS INC       COMMON   867363103       112       3,600
X              0001    3,600         0        0
0SUNRISE TECHNOLOGIES INTL INC  COMMON   86769L103       100      10,000      X
NONE   10,000         0        0
0SUNTRUST BK INC                COMMON   867914103    30,721     671,815      X
NONE  261,957         0  409,858
-  COLUMN  TOTALS                                    169,341
06/30/00
1
(SEC USE ONLY)
 PAGE     60  OF     62        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
0SUNTRUST BK INC                COMMON   867914103     5,497     120,308
X              0001  120,308         0        0
0SUNTRUST BK INC                COMMON   867914103        74       1,630
X              0003    1,630         0        0
0SUNTRUST BK INC                COMMON   867914103       392       8,575
X              0007    8,575         0        0
0SUNTRUST BK INC                COMMON   867914103       809      17,710
X              0012   17,710         0        0
0SWIFT ENERGY CORP              COMMON   870738101       264       9,300      X
NONE    9,300         0        0
0SWISS HELVETIA FUND INC        COMMON   870875101       198      13,406      X
NONE        0         0   13,406
0SYMBOL TECHNOLOGIES INC        COMMON   871508107     2,159      39,981      X
NONE   25,631         0   14,350
0SYMBOL TECHNOLOGIES INC        COMMON   871508107        49         900
X              0001      900         0        0
0SYSCO CORP                     COMMON   871829107    17,557     416,780      X
NONE   92,260         0  324,520
0SYSCO CORP                     COMMON   871829107     7,575     179,820
X              0001  179,820         0        0
0SYSCO CORP                     COMMON   871829107       261       6,200
X              0007    6,200         0        0
0SYSCO CORP                     COMMON   871829107       510      12,100
X              0012   12,100         0        0
0TARGET CORP                    COMMON   87612E106    20,457     730,615      X
NONE  280,525         0  450,090
0TARGET CORP                    COMMON   87612E106     2,729      97,472
X              0001   97,472         0        0
0TARGET CORP                    COMMON   87612E106        80       2,840
X              0003    2,840         0        0
0TARGET CORP                    COMMON   87612E106       659      23,550
X              0007   23,550         0        0
0TARGET CORP                    COMMON   87612E106       381      13,600
X              0012   13,600         0        0
0TCI INTERNATIONAL INC          COMMON   872293105       206      30,000
X              0001   30,000         0        0
0TECO ENERGY INC                COMMON   872375100       661      32,969      X
NONE    5,800         0   27,169
0TECO ENERGY INC                COMMON   872375100       564      28,100
X              0001   28,100         0        0
-  COLUMN  TOTALS                                     61,081
06/30/00
1
(SEC USE ONLY)
 PAGE     61  OF     62        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
0TEKELEC                        COMMON   879101103       337       7,000      X
NONE    6,000         0    1,000
0TEKTRONIX INC                  COMMON   879131100       226       3,050      X
NONE    3,050         0        0
0TELEDYNE TECHNOLOGIES INC      COMMON   879360105        51       2,681      X
NONE    1,211         0    1,470
0TELEDYNE TECHNOLOGIES INC      COMMON   879360105         8         399
X              0001      399         0        0
0TELEDYNE TECHNOLOGIES INC      COMMON   879360105       421      22,284
X              0007   22,284         0        0
0TELEFLEX INC                   COMMON   879369106       234       6,546      X
NONE    6,546         0        0
0TELEFLEX INC                   COMMON   879369106        18         500
X              0001      500         0        0
0TELESPECTRUM WORLDWIDE /REST/  COMMON   87951U109     6,609   1,448,616      X
NONE        0         0 1448,616
0TELLABS INC                    COMMON   879664100     5,694      83,196      X
NONE   36,698         0   46,498
0TELLABS INC                    COMMON   879664100       127       1,850
X              0001    1,850         0        0
0TEMPLE INLAND INC              COMMON   879868107     1,260      30,000
X              0007   30,000         0        0
0TEXACO INC                     COMMON   881694103     2,318      43,477      X
NONE   11,078         0   32,399
0TEXACO INC                     COMMON   881694103       382       7,160
X              0001    7,160         0        0
0TEXACO INC                     COMMON   881694103       128       2,404
X              0003    2,404         0        0
0TEXACO INC                     COMMON   881694103        32         600
X              0007      600         0        0
0TEXAS INSTRUMENTS INC          COMMON   882508104    86,033   1,252,531      X
NONE  587,671         0  664,860
0TEXAS INSTRUMENTS INC          COMMON   882508104     6,902     100,491
X              0001  100,491         0        0
0TEXAS INSTRUMENTS INC          COMMON   882508104       217       3,156
X              0003    3,156         0        0
0TEXAS INSTRUMENTS INC          COMMON   882508104     2,569      37,400
X              0007   37,400         0        0
0TEXAS INSTRUMENTS INC          COMMON   882508104     2,381      34,670
X              0012   34,670         0        0
-  COLUMN  TOTALS                                    115,944
06/30/00
1
(SEC USE ONLY)
 PAGE     62  OF     62        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
0THE GERMANY FUND               COMMON   374143105       231      16,319      X
NONE    1,587         0   14,732
0THERMO ELECTRON CORP           COMMON   883556102       302      14,354      X
NONE    2,500         0   11,854
0THERMO ELECTRON CORP           COMMON   883556102       105       5,000
X              0001    5,000         0        0
0TIME WARNER INC                COMMON   887315109    60,640     797,895      X
NONE  318,443         0  479,452
0TIME WARNER INC                COMMON   887315109     4,829      63,545
X              0001   63,545         0        0
0TIME WARNER INC                COMMON   887315109       192       2,524
X              0003    2,524         0        0
0TIME WARNER INC                COMMON   887315109     1,364      17,950
X              0007   17,950         0        0
0TIME WARNER INC                COMMON   887315109     2,421      31,850
X              0012   31,850         0        0
0TITAN CORP                     COMMON   888266103       501      11,206      X
NONE   11,206         0        0
0TOSCO CORP                     COMMON   891490302       298      10,535      X
NONE      535         0   10,000
0TOYOTA MOTOR CORP ADR          COMMON   892331307       391       4,200      X
NONE    4,200         0        0
0TOYS R US INC                  COMMON   892335100       190      12,904      X
NONE    6,604         0    6,300
0TOYS R US INC                  COMMON   892335100         7         500
X              0001      500         0        0
0TRANS WORLD AIRLINES INC       COMMON   893349837        23      10,000      X
NONE        0         0   10,000
0TRANSOCEAN SEDCO FOREX INC     COMMON   G90078109       802      15,008      X
NONE    4,652         0   10,356
0TRANSOCEAN SEDCO FOREX INC     COMMON   G90078109       233       4,362
X              0001    4,362         0        0
0TRANSOCEAN SEDCO FOREX INC     COMMON   G90078109        51         947
X              0012      947         0        0
0TRIBUNE CO                     COMMON   896047107     3,284      95,520      X
NONE   58,052         0   37,468
0TRIBUNE CO                     COMMON   896047107     3,832     111,482
X              0001  111,482         0        0
0TRIBUNE CO                     COMMON   896047107        83       2,400
X              0012    2,400         0        0
-  COLUMN  TOTALS                                     79,779
06/30/00
1
(SEC USE ONLY)
 PAGE     63  OF     62        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
0TRICON GLOBAL RESTAURANTS INC  COMMON   895953107       227       8,033      X
NONE    4,075         0    3,958
0TRICON GLOBAL RESTAURANTS INC  COMMON   895953107         8         270
X              0001      270         0        0
0TRICON GLOBAL RESTAURANTS INC  COMMON   895953107         1          30
X              0003       30         0        0
0TRITON ENERGY LTD CL A         COMMON   G90751101         2          45      X
NONE        0         0       45
0TRITON ENERGY LTD CL A         COMMON   G90751101     1,376      35,000
X              0007   35,000         0        0
0TXU CORPORATION                COMMON   873168108       346      11,150      X
NONE    1,200         0    9,950
0TXU CORPORATION                COMMON   873168108       109       3,500
X              0001    3,500         0        0
0TXU CORPORATION                COMMON   873168108        37       1,198
X              0007    1,198         0        0
0TYCO INTERNATIONAL LTD REGD SH COMMON   902124106     1,420      29,981      X
NONE   12,939         0   17,042
0TYCO INTERNATIONAL LTD REGD SH COMMON   902124106       669      14,124
X              0001   14,124         0        0
0TYCO INTERNATIONAL LTD REGD SH COMMON   902124106        18         370
X              0003      370         0        0
0TYCO INTERNATIONAL LTD REGD SH COMMON   902124106        36         750
X              0007      750         0        0
0TYCO INTERNATIONAL LTD REGD SH COMMON   902124106        29         620
X              0012      620         0        0
0U S WEST INC                   COMMON   91273H101    22,989     268,094      X
NONE  133,199         0  134,895
0U S WEST INC                   COMMON   91273H101     2,303      26,852
X              0001   26,852         0        0
0U S WEST INC                   COMMON   91273H101       225       2,628
X              0003    2,628         0        0
0U S WEST INC                   COMMON   91273H101       914      10,654
X              0007   10,654         0        0
0U S WEST INC                   COMMON   91273H101       761       8,875
X              0012    8,875         0        0
0UBS AG NEW REGISTERED SHS/CHF/ COMMON   H8920G155       426       2,900      X
NONE        0         0    2,900
0UICI                           COMMON   902737105        66      10,000
X              0007   10,000         0        0
-  COLUMN  TOTALS                                     31,961
06/30/00
1
(SEC USE ONLY)
 PAGE     64  OF     62        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
0UNICOM CORP                    COMMON   904911104       855      22,098      X
NONE   21,398         0      700
0UNION CARBIDE CORP             COMMON   905581104     3,335      67,369      X
NONE   13,969         0   53,400
0UNION CARBIDE CORP             COMMON   905581104       139       2,800
X              0001    2,800         0        0
0UNION CARBIDE CORP             COMMON   905581104       616      12,450
X              0007   12,450         0        0
0UNION PACIFIC CORP             COMMON   907818108     3,847     102,576      X
NONE   25,819         0   76,757
0UNION PACIFIC CORP             COMMON   907818108    11,661     310,971
X              0001  310,971         0        0
0UNION PACIFIC CORP             COMMON   907818108     1,232      32,850
X              0007   32,850         0        0
0UNION PACIFIC CORP             COMMON   907818108       139       3,700
X              0012    3,700         0        0
0UNION PACIFIC RESOURCES GROUP  COMMON   907834105     1,347      61,240      X
NONE   13,041         0   48,199
0UNION PACIFIC RESOURCES GROUP  COMMON   907834105     4,733     215,125
X              0001  215,125         0        0
0UNION PACIFIC RESOURCES GROUP  COMMON   907834105         1          42
X              0007       42         0        0
0UNION PACIFIC RESOURCES GROUP  COMMON   907834105        56       2,540
X              0012    2,540         0        0
0UNITED DOMINION RLTY TR INC    COMMON   910197102        84       7,600      X
NONE        0         0    7,600
0UNITED DOMINION RLTY TR INC    COMMON   910197102       112      10,200
X              0001   10,200         0        0
0UNITED PARCEL SERVICE CL B     COMMON   911312106       164       2,775      X
NONE    2,050         0      725
0UNITED PARCEL SERVICE CL B     COMMON   911312106       109       1,150
X              0001    1,150         0        0
0UNITED PARCEL SERVICE CL B     COMMON   911312106        12         200
X              0003      200         0        0
0UNITED STATES CELL 0% 6/15/15  CON BOND 911684AA6     1,375      25,000
X              0003   25,000         0        0
0UNITED STATIONERS INC          COMMON   913004107       383      11,828      X
NONE   11,828         0        0
0UNITED TECHNOLOGIES CORP       COMMON   913017109    12,599     213,996      X
NONE   76,107         0  137,889
-  COLUMN  TOTALS                                     42,797
06/30/00
1
(SEC USE ONLY)
 PAGE     65  OF     62        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 TECHNOLOGIES CORP       COMMON   913017109     4,304      70,096
X              0001   70,096         0        0
0UNITED TECHNOLOGIES CORP       COMMON   913017109       162       2,750
X              0003    2,750         0        0
0UNITED TECHNOLOGIES CORP       COMMON   913017109     1,007      17,105
X              0007   17,105         0        0
0UNITED TECHNOLOGIES CORP       COMMON   913017109       659      11,200
X              0012   11,200         0        0
0UNITED TECHNOLOGIES CORP/REST/ COMMON   913017109         8         142      X
NONE      142         0        0
0UNOCAL CORP                    COMMON   915289102       228       6,877      X
NONE    3,293         0    3,584
0US AIRWAYS GROUP INC           COMMON   911905107       663      17,000      X
NONE        0         0   17,000
0US BANCORP DEL                 COMMON   902973106       401      20,825      X
NONE      685         0   20,140
0US BANCORP DEL                 COMMON   902973106       114       5,900
X              0001    5,900         0        0
0USX-MARATHON GROUP             COMMON   902905827     2,764     108,668      X
NONE   24,268         0   84,400
0USX-MARATHON GROUP             COMMON   902905827        44       1,750
X              0001    1,750         0        0
0VA LINUX SYSTEMS INCORPORATED  COMMON   91819B105    10,760     250,237      X
NONE  109,889         0  140,348
0VA LINUX SYSTEMS INCORPORATED  COMMON   91819B105    10,459     243,241
X              0001  243,241         0        0
0VA LINUX SYSTEMS INCORPORATED  COMMON   91819B105         4         100
X              0003      100         0        0
0VARI LITE INTERNATIONAL /REST/ COMMON   922152103        15      15,764      X
NONE        0         0   15,764
0VARI LITE INTERNATIONAL INC    COMMON   922152103        93      95,895
X              0007   95,895         0        0
0VASTAR RESOURCES INC           COMMON   922380100       366       4,455      X
NONE    1,280         0    3,175
0VERISIGN INC                   COMMON   92343E102     1,389       7,870      X
NONE    4,000         0    3,870
0VERISIGN INC                   COMMON   92343E102        35         200
X              0012      200         0        0
0VERITAS SOFTWARE CORP          COMMON   923436109       795       7,030      X
NONE    7,030         0        0
-  COLUMN  TOTALS                                     34,270
06/30/00
1
(SEC USE ONLY)
 PAGE     66  OF     62        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
0VIACOM INC CLASS A             COMMON   925524100       937      13,700      X
NONE    5,300         0    8,400
0VIACOM INC CLASS B NON-VOTING  COMMON   925524308    69,454   1,016,411      X
NONE  401,046         0  615,365
0VIACOM INC CLASS B NON-VOTING  COMMON   925524308     6,308      92,516
X              0001   92,516         0        0
0VIACOM INC CLASS B NON-VOTING  COMMON   925524308        39         570
X              0003      570         0        0
0VIACOM INC CLASS B NON-VOTING  COMMON   925524308     1,693      24,835
X              0007   24,835         0        0
0VIACOM INC CLASS B NON-VOTING  COMMON   925524308     1,496      21,938
X              0012   21,938         0        0
0VICOR CORP                     COMMON   925815102     1,044      30,000      X
NONE        0         0   30,000
0VISX INC DEL                   COMMON   92844S105       617      22,000
X              0001   22,000         0        0
0VOCALTEC COMMUNICATIONS LTD    COMMON   M97601104       345      15,000
X              0007   15,000         0        0
0VODAFONE AIRTOUCH PLC SPON ADR COMMON   92857T107    11,133     266,653      X
NONE   86,398         0  180,255
0VODAFONE AIRTOUCH PLC SPON ADR COMMON   92857T107     3,895      93,305
X              0001   93,305         0        0
0VODAFONE AIRTOUCH PLC SPON ADR COMMON   92857T107        29         700
X              0003      700         0        0
0VODAFONE AIRTOUCH PLC SPON ADR COMMON   92857T107       169       4,050
X              0007    4,050         0        0
0VODAFONE AIRTOUCH PLC SPON ADR COMMON   92857T107       304       7,290
X              0012    7,290         0        0
0VORNADO RLTY SER A CONV PFD    CONV PFD 929042208       207       4,000      X
NONE        0         0    4,000
0VORNADO RLTY TRUST             COMMON   929042109     4,865     140,000      X
NONE   18,400         0  121,600
0VORNADO RLTY TRUST             COMMON   929042109       167       4,800
X              0001    4,800         0        0
0VORNADO RLTY TRUST             COMMON   929042109       100       2,880
X              0007    2,880         0        0
0VORNADO RLTY TRUST             COMMON   929042109       156       4,500
X              0012    4,500         0        0
0WACHOVIA CORP                  COMMON   929771103     2,388      44,021      X
NONE   12,320         0   31,701
-  COLUMN  TOTALS                                    105,349
06/30/00
1
(SEC USE ONLY)
 PAGE     67  OF     62        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
0WACHOVIA CORP                  COMMON   929771103       190       3,500
X              0012    3,500         0        0
0WACHOVIA CORPORATION /REST/    COMMON   929771103     3,510      64,709      X
NONE        0         0   64,709
0WAL-MART STORES INC            COMMON   931142103    21,716     380,569      X
NONE  137,240         0  243,329
0WAL-MART STORES INC            COMMON   931142103     4,209      73,767
X              0001   73,767         0        0
0WAL-MART STORES INC            COMMON   931142103        29         500
X              0003      500         0        0
0WAL-MART STORES INC            COMMON   931142103        89       1,560
X              0007    1,560         0        0
0WAL-MART STORES INC            COMMON   931142103     1,809      31,700
X              0012   31,700         0        0
0WALGREEN CO                    COMMON   931422109     8,610     268,010      X
NONE  152,710         0  115,300
0WALGREEN CO                    COMMON   931422109       888      27,650
X              0001   27,650         0        0
0WALGREEN CO                    COMMON   931422109        51       1,600
X              0012    1,600         0        0
0WALTER INDUSTRIES INC /REST/   COMMON   93317Q105    62,568   5,470,662      X
NONE        0         0 5470,662
0WASHINGTON MUTUAL INC          COMMON   939322103       246       8,537      X
NONE        0         0    8,537
0WASHINGTON POST CO CL B        COMMON   939640108        96         200      X
NONE        0         0      200
0WASHINGTON POST CO CL B        COMMON   939640108       430         900
X              0001      900         0        0
0WASTE MANAGEMENT INC           COMMON   94106L109       463      24,388      X
NONE    4,198         0   20,190
0WASTE MANAGEMENT INC           COMMON   94106L109       215      11,305
X              0001   11,305         0        0
0WATER PIK TECHNOLOGIES INC     COMMON   94113U100         3         555      X
NONE      465         0       90
0WATER PIK TECHNOLOGIES INC     COMMON   94113U100         1         140
X              0001      140         0        0
0WATER PIK TECHNOLOGIES INC     COMMON   94113U100       131      21,000
X              0007   21,000         0        0
0WATERS CORPORATION             COMMON   941848103       877       7,026      X
NONE        0         0    7,026
-  COLUMN  TOTALS                                    106,132
06/30/00
1
(SEC USE ONLY)
 PAGE     68  OF     62        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
0WATERSIDE CAPITAL CORP         COMMON   941872103        66      10,000
X              0001   10,000         0        0
0WELLS FARGO & COMPANY          COMMON   949746101     3,003      76,500      X
NONE   26,081         0   50,419
0WELLS FARGO & COMPANY          COMMON   949746101       534      13,600
X              0001   13,600         0        0
0WELLS FARGO & COMPANY          COMMON   949746101       361       9,200
X              0012    9,200         0        0
0WESTBANK CORP                  COMMON   957116106       132      16,223      X
NONE   16,223         0        0
0WESTERN WIRELESS CORP CL A     COMMON   95988E204     1,375      24,230      X
NONE    3,100         0   21,130
0WESTERN WIRELESS CORP CL A     COMMON   95988E204       147       2,700
X              0001    2,700         0        0
0WESTVACO CORP                  COMMON   961548104       147       5,943      X
NONE        0         0    5,943
0WESTVACO CORP                  COMMON   961548104     1,042      42,000
X              0007   42,000         0        0
0WESTVACO CORP                  COMMON   961548104        88       3,563
X              0012    3,563         0        0
0WEYERHAEUSER CO                COMMON   962166104     1,008      23,445      X
NONE    1,200         0   22,245
0WEYERHAEUSER CO                COMMON   962166104        17         400
X              0001      400         0        0
0WILLAMETTE INDS INC            COMMON   969133107       444      16,300      X
NONE    2,000         0   14,300
0WILLAMETTE INDS INC            COMMON   969133107        82       3,000
X              0001    3,000         0        0
0WILLIAMS COS INC /DEL/         COMMON   969457100    62,299   1,494,435      X
NONE  636,429         0  858,006
0WILLIAMS COS INC /DEL/         COMMON   969457100     6,747     161,847
X              0001  161,847         0        0
0WILLIAMS COS INC /DEL/         COMMON   969457100       167       4,015
X              0003    4,015         0        0
0WILLIAMS COS INC /DEL/         COMMON   969457100    15,388     369,125
X              0007  369,125         0        0
0WILLIAMS COS INC /DEL/         COMMON   969457100       598      14,350
X              0012   14,350         0        0
0WILMINGTON TRUST CORP          COMMON   971807102       257       6,000      X
NONE    2,000         0    4,000
-  COLUMN  TOTALS                                     93,902
06/30/00
1
(SEC USE ONLY)
 PAGE     69  OF     62        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
0WORLD ACCESS INC               COMMON   98141A101       481      43,500      X
NONE   37,000         0    6,500
0WORLD ACCESS INC               COMMON   98141A101        11       1,000
X              0001    1,000         0        0
0WORLD ACCESS INC /RESTRICTED/  COMMON   98141A101    12,715   1,149,425      X
NONE  919,540         0  229,885
0WORLD COLOR PRESS CV 6%10/1/07 CON BOND 981443AA2         0     725,000      X
NONE        0         0  725,000
0WORLD COLOR PRESS CV 6%10/1/07 CON BOND 981443AA2         0      85,000
X              0001   85,000         0        0
0WORLDCOM INC GA                COMMON   98157D106    38,886     846,757      X
NONE  346,489         0  500,268
0WORLDCOM INC GA                COMMON   98157D106     4,859     105,910
X              0001  105,910         0        0
0WORLDCOM INC GA                COMMON   98157D106       178       3,881
X              0003    3,881         0        0
0WORLDCOM INC GA                COMMON   98157D106       995      21,699
X              0007   21,699         0        0
0WORLDCOM INC GA                COMMON   98157D106     1,378      30,039
X              0012   30,039         0        0
0XEROX CORP                     COMMON   984121103       337      16,596      X
NONE   12,200         0    4,396
0XEROX CORP                     COMMON   984121103        36       1,750
X              0001    1,750         0        0
0XEROX CORP                     COMMON   984121103       102       5,000
X              0007    5,000         0        0
0YAHOO INC                      COMMON   984332106     3,162      25,523      X
NONE   22,485         0    3,038
0ZIONS BANCORP                  COMMON   989701107    11,486     250,289      X
NONE        0         0  250,289
0ZOLL MEDICAL CORP              COMMON   989922109     3,063      62,500      X
NONE   62,500         0        0
03COM CORP                      COMMON   885535104       546       9,478      X
NONE    8,128         0    1,350
03COM CORP                      COMMON   885535104       173       3,000
X              0001    3,000         0        0
03COM CORP                      COMMON   885535104        29         500
X              0012      500         0        0
-  COLUMN  TOTALS                                     78,436
06/30/00
-  GRAND   TOTALS                                  6,504,035

</TABLE>





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