SAROFIM FAYEZ
13F-HR, 2000-08-14
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<PAGE>

                                                                   FILE # 28-132
                                   FORM 13F

               INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT
             MANAGERS PURSUANT TO SECTION 13(f) OF THE SECURITIES
                   EXCHANGE ACT OF 1934 AND RULES THEREUNDER

                      Securities and Exchange Commission
                           Washington, D. C.  20549

              Report for the Calendar Quarter Ended June 30, 2000

--------------------------------------------------------------------------------

                       If amended report check here: [x]

Name of Institutional Investment Manager:  FAYEZ SAROFIM

Business Address:

Street:   Two Houston Center, Suite 2907
City:     Houston                           State:  Texas        Zip:  77010

Name, Phone No. and Title of Person Duly Authorized to Submit This Report:
Fayez Sarofim, (713) 654-4484

--------------------------------------------------------------------------------
ATTENTION:  Intentional misstatements or omissions of facts constitute
            Federal Criminal Violations.  See 18 U.S.C. 1001 and
            15 U.S.C.  78ff(a).
--------------------------------------------------------------------------------

     The institutional investment manager submitting this Form and its
attachments and the person by whom it is signed represent hereby that all
information contained therein is true, correct and complete. It is understood
that all required items, statements and schedules are considered 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.

     Pursuant to the requirements of the Securities Exchange Act of 1934, the
undersigned institutional investment manager has caused this report to be signed
on its behalf in the City of Houston and State of Texas on the 14th day of
August, 2000.


                                      FAYEZ SAROFIM
                                      (Name of Institutional Investment Manager)
<PAGE>

Name and 13F file numbers of ALL Institutional Investment Managers with respect
to which this schedule is filed (other than the one filing this report)  (List
in alphabetical order).

           NAME                                          13F File Number
           ----                                          ---------------

        1. Fayez Sarofim & Co.                              28 - 133

        2. Sarofim Trust Co.                                28 - 960

        3. Sarofim International Management Company         28 - 5074

Fayez Sarofim is deemed to exercise investment discretion over $100,000,000
worth of Section 13(f) securities because he is the majority shareholder of
Fayez Sarofim & Co., a Texas Business Corporation and a registered investment
adviser, which exercises investment discretion over more than $100,000,000 worth
of Section 13(f) securities.  The report filed herewith covers Section 13(f)
securities over which Mr. Sarofim exercises investment discretion for the
account of other persons (such investment discretion is shared with co-trustees
who are not managers on whose behalf this report is being filed), Section 13(f)
securities over which Fayez Sarofim & Co. exercises investment discretion for
the account of others or for its own account (such investment discretion is
shared with Mr. Sarofim), Section 13(f) securities over which Sarofim Trust Co.,
a wholly-owned subsidiary of Fayez Sarofim & Co., exercises investment
discretion for the account of others or for its own account (such investment
discretion is shared with Mr. Sarofim and Fayez Sarofim & Co.), and Section
13(f) securities over which Sarofim International Management Company, a wholly-
owned subsidiary of Fayez Sarofim & Co., exercises investment discretion for the
account of others or for its own account (such investment discretion is shared
with Mr. Sarofim and Fayez Sarofim & Co.).

Mr. Sarofim is filing Form 13F on behalf of Fayez Sarofim & Co., Sarofim Trust
Co. and Sarofim International Management Company to report investment discretion
over Section 13(f) securities exercised by Fayez Sarofim & Co., Sarofim Trust
Co. and Sarofim International Management Company at June 30, 2000.


                             INFORMATION STATEMENT

     The Dreyfus Corporation is filing the report required of institutional
investment managers pursuant to Section 13(f) of the Securities Exchange Act of
1934 and rules thereunder on behalf of Fayez Sarofim & Co. with respect to those
securities owned beneficiary by the following registered investment companies:

                    Dreyfus Appreciation Fund, Inc.
                    Dreyfus Variable Investment Fund
                     Capital Appreciation Portfolio
                    Dreyfus Premier Worldwide Growth Fund, Inc.
                    Dreyfus Premier Tax Managed Growth Fund, Inc.
                    Dreyfus Tax-Smart Growth Fund, Inc.
<PAGE>

                                                                   File # 28-133


                                   FORM 13F

               INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT
             MANAGERS PURSUANT TO SECTION 13(f) OF THE SECURITIES
                  EXCHANGE ACT OF 1934 AND RULES THEREUNDER

                      Securities and Exchange Commission
                           Washington, D. C.  20549

              Report for the Calendar Quarter Ended June 30, 2000

--------------------------------------------------------------------------------

                       If amended report check here: [x]

Name of Institutional Investment Manager:  FAYEZ SAROFIM & CO.

Business Address:

Street:  Two Houston Center, Suite 2907
City:    Houston                             State:  Texas        Zip:  77010

Name, Phone No. and Title of Person Duly Authorized to Submit This Report:
Mrs. Raye G. White, (713) 654-4484, Executive Vice President

--------------------------------------------------------------------------------
ATTENTION:  Intentional misstatements or omissions of facts constitute
            Federal Criminal Violations.  See 18 U.S.C. 1001 and
            15 U.S.C.  78ff(a).
--------------------------------------------------------------------------------

     The institutional investment manager submitting this Form and its
attachments and the person by whom it is signed represent hereby that all
information contained therein is true, correct and complete. It is understood
that all required items, statements and schedules are considered 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.

     Pursuant to the requirements of the Securities Exchange Act of 1934, the
undersigned institutional investment manager has caused this report to be signed
on its behalf in the City of Houston and State of Texas on the 14th day of
August, 2000.


                                      FAYEZ SAROFIM & CO.
                                      (Name of Institutional Investment Manager)
<PAGE>

Name and 13F file numbers of ALL Institutional Investment Managers with respect
to which this schedule is filed (other than the one filing this report)  (List
in alphabetical order).


            NAME                                                13F File Number
            ----                                                ---------------
            NONE.

            Fayez Sarofim is filing Form 13F on behalf of Fayez
            Sarofim & Co., to report investment discretion over
            Section 13(f) securities exercised by Fayez Sarofim & Co.
            at June 30, 2000.

<PAGE>

                                                                   File # 28-960


                                   FORM 13F

               INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT
             MANAGERS PURSUANT TO SECTION 13(f) OF THE SECURITIES
                   EXCHANGE ACT OF 1934 AND RULES THEREUNDER

                      Securities and Exchange Commission
                           Washington, D. C.  20549

              Report for the Calendar Quarter Ended June 30, 2000
______________________________________________________________________________

                       If amended report check here: [x]

Name of Institutional Investment Manager:  SAROFIM TRUST CO.

Business Address:

Street:  Two Houston Center, Suite 2907
City:    Houston                            State:  Texas         Zip:  77010

Name, Phone No. and Title of Person Duly Authorized to Submit This Report:
Mrs. Raye G. White, (713) 654-4484, Executive Vice President

--------------------------------------------------------------------------------
ATTENTION:  Intentional misstatements or omissions of facts constitute
            Federal Criminal Violations.  See 18 U.S.C. 1001 and
            15 U.S.C.  78ff(a).
--------------------------------------------------------------------------------

     The institutional investment manager submitting this Form and its
attachments and the person by whom it is signed represent hereby that all
information contained therein is true, correct and complete. It is understood
that all required items, statements and schedules are considered 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.

     Pursuant to the requirements of the Securities Exchange Act of 1934, the
undersigned institutional investment manager has caused this report to be signed
on its behalf in the City of Houston and State of Texas on the 14th day of
August, 2000.


                                      SAROFIM TRUST CO.
                                      (Name of Institutional Investment Manager)
<PAGE>

Name and 13F file numbers of ALL Institutional Investment Managers with respect
to which this schedule is filed (other than the one filing this report)  (List
in alphabetical order).


            NAME                                                 13F File Number
            ----                                                 ---------------
            NONE.

            Fayez Sarofim is filing Form 13F on behalf of Sarofim
            Trust Co. to report investment discretion over Section
            13(f) securities exercised by Sarofim Trust Co. at
            June 30, 2000.

<PAGE>

                                                                  File # 28-5074

                                   FORM 13F

               INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT
             MANAGERS PURSUANT TO SECTION 13(f) OF THE SECURITIES
                   EXCHANGE ACT OF 1934 AND RULES THEREUNDER

                      Securities and Exchange Commission
                           Washington, D. C.  20549

              Report for the Calendar Quarter Ended June 30, 2000


                       If amended report check here: [x]

Name of Institutional Investment Manager: SAROFIM INTERNATIONAL MANAGEMENT
                                           COMPANY

Business Address:

Street:  Two Houston Center, Suite 2907
City:    Houston                           State:  Texas         Zip:  77010

Name, Phone No. and Title of Person Duly Authorized to Submit This Report:
Mrs. Raye G. White, (713) 654-4484, Executive Vice President

--------------------------------------------------------------------------------
ATTENTION:  Intentional misstatements or omissions of facts constitute
            Federal Criminal Violations.  See 18 U.S.C. 1001 and
            15 U.S.C.  78ff(a).
--------------------------------------------------------------------------------

     The institutional investment manager submitting this Form and its
attachments and the person by whom it is signed represent hereby that all
information contained therein is true, correct and complete. It is understood
that all required items, statements and schedules are considered 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.

     Pursuant to the requirements of the Securities Exchange Act of 1934, the
undersigned institutional investment manager has caused this report to be signed
on its behalf in the City of Houston and State of Texas on the 14th day of
August, 2000.


                                 SAROFIM INTERNATIONAL MANAGEMENT COMPANY
                                 (Name of Institutional Investment Manager)
<PAGE>

Name and 13F file numbers of ALL Institutional Investment Managers with respect
to which this schedule is filed (other than the one filing this report)  (List
in alphabetical order).


            NAME                                               13F File Number
            ----                                               ---------------
            NONE.

            Fayez Sarofim is filing Form 13F on behalf of Sarofim
            Trust Co. to report investment discretion over Section
            13(f) securities exercised by Sarofim Trust Co. at
            June 30, 2000.

<PAGE>

<TABLE>
<CAPTION>

Page     1                            FORM 13F       Name of Reporting Manager:  Fayez Sarofim & Co.                6/30/00
__________________________           ______          __________      _____________        _____________      ______________
Item 1:                              Item 2:         Item 3:         Item 4:              Item 5:
Name of Issuer                       Title           CUSIP           Fair                 Shares or          Investment
                                     of              Number          Market               Principal          (a)Sole
                                     Class                           Value                Amount
__________________________           ______          __________      _____________        _____________      ______________
<S>                                  <C>             <C>             <C>                  <C>                <C>
AT&T Corp                            COMMON             1957109          1,462,462               45,971
AT&T Corp                            COMMON             1957109              2,800                   88
AT&T Corp Class A Liberty            COMMON             1957208          1,009,418               41,412
Media Group
Abbott Laboratories                  COMMON             2824100        551,244,483           12,370,143
Abbott Laboratories                  COMMON             2824100        101,481,602            2,277,287
Abbott Laboratories                  COMMON             2824100         32,723,848              734,336
Abbott Laboratories                  COMMON             2824100            476,819               10,700
Activision Inc                       COMMON             4930202             97,500               15,000
Aerovox Inc                          COMMON           00808M105             82,500               20,000
Agilent Technologies Inc             COMMON           00846U101        173,387,866            2,351,022
Agilent Technologies Inc             COMMON           00846U101         34,811,261              472,017
Agilent Technologies Inc             COMMON           00846U101         10,579,547              143,451
Agilent Technologies Inc             COMMON           00846U101             10,483                  142
Alamo Group Inc                      COMMON            11311107          1,893,750              151,500
Albertson's Inc                      COMMON            13104104            557,835               16,777
Albertson's Inc                      COMMON            13104104            251,370                7,560
Alcoa Inc                            COMMON            13817101          1,427,496               49,224
Allegheny Technologies               COMMON           01741R102            587,412               32,634
Allegheny Technologies               COMMON           01741R102          6,280,470              348,915
Allergan Inc                         COMMON            18490102            188,783                2,534
Allergan Inc                         COMMON            18490102             29,800                  400
Alliance Capital Mgmt Hld            COMMON           01855A101          1,062,600               22,400
                                                                      ____________
COLUMN TOTALS                                                          919,650,105

<CAPTION>
__________________________           __________    _____________     _____________     ___________     __________   _____________
Item 1:                              Item 6:                         Item 7:                           Item 8:
Name of Issuer                       Discretion    (Shares)          Managers          Voting          Authority    (Shares)
                                     (b)Shared     (c)Shared-
                                                   Other                               (a)Sole         (b)Shared    (c)None
__________________________           __________    _____________     _____________     ___________     __________   _____________
<S>                                  <C>           <C>               <C>               <C>             <C>          <C>
AT&T Corp                                45,971                        1                                   25,194          20,777
AT&T Corp                                    88                        1., 2.                                  88
AT&T Corp Class A Liberty                41,412                        1                                    6,064          35,348
Media Group
Abbott Laboratories                  12,370,143                        1                               10,397,508       1,972,634
Abbott Laboratories                   2,277,287                        1., 2.                           2,092,602         184,685
Abbott Laboratories                     734,336                        1., 3.                                             734,336
Abbott Laboratories                                       10,700       None                                10,700
Activision Inc                           15,000                        1                                                   15,000
Aerovox Inc                              20,000                        1                                   10,000          10,000
Agilent Technologies Inc              2,351,022                        1                                1,973,700         377,322
Agilent Technologies Inc                472,017                        1., 2.                             437,601          34,416
Agilent Technologies Inc                143,451                        1., 3.                                             143,451
Agilent Technologies Inc                                     142       None                                   142
Alamo Group Inc                         151,500                        1., 3.                             151,500
Albertson's Inc                          16,777                        1                                   12,264           4,513
Albertson's Inc                                            7,560       None                                 7,560
Alcoa Inc                                49,224                        1                                   29,224          20,000
Allegheny Technologies                   32,634                        1                                   32,625               9
Allegheny Technologies                  348,915                        1., 3.                             348,915
Allergan Inc                              2,534                        1                                                    2,534
Allergan Inc                                400                        1., 2.                                                 400
Alliance Capital Mgmt Hld                22,400                        1                                                   22,400

COLUMN TOTALS

</TABLE>
<PAGE>

<TABLE>
<CAPTION>

Page     2                            FORM 13F       Name of Reporting Manager:  Fayez Sarofim & Co.                6/30/00
__________________________           ______          __________      _____________        _____________      ______________
Item 1:                              Item 2:         Item 3:         Item 4:              Item 5:
Name of Issuer                       Title           CUSIP           Fair                 Shares or          Investment
                                     of              Number          Market               Principal          (a)Sole
                                     Class                           Value                Amount
__________________________           ______          __________      _____________        _____________      ______________
<S>                                  <C>             <C>             <C>                  <C>                <C>
Alliance Semiconductor Corp          COMMON           01877H100            245,625               10,000
Alliance Technology Fund             COMMON            18780106            353,579                2,467
Allstate Corp                        COMMON            20002101            164,828                7,408
Allstate Corp                        COMMON            20002101            333,750               15,000
ALLTEL Corp                          COMMON            20039103          2,304,694               37,210
ALZA Corp Class A                    COMMON            22615108            266,063                4,500
America Online Inc                   COMMON           02364J104          1,160,013               22,043
American Ecology Corp                COMMON            25533100            107,780               33,163
American Ecology Corp                COMMON            25533100              1,940                  597
American Ecology Corp                COMMON            25533100             38,298               11,784
American Ecology Corp                COMMON            25533100                569                  175
American Electric Power              COMMON            25537101          1,429,199               48,243
American Electric Power              COMMON            25537101          1,372,763               46,338
American Electric Power              COMMON            25537101         16,678,905              563,001
American Electric Power              COMMON            25537101             61,472                2,075
American Express Co                  COMMON            25816109        323,436,356            6,205,014
American Express Co                  COMMON            25816109         70,833,052            1,358,907
American Express Co                  COMMON            25816109         17,119,153              328,425
American General Corp                COMMON            26351106        409,220,729            6,708,537
American General Corp                COMMON            26351106         67,171,187            1,101,167
American General Corp                COMMON            26351106         99,177,460            1,625,860
American General Corp                COMMON            26351106          3,893,752               63,832
American Home Products               COMMON            26609107        330,803,385            5,630,696
                                                                     _____________
COLUMN TOTALS                                                        1,346,174,552

<CAPTION>
__________________________           __________    _____________     _____________     ___________     __________   _____________
Item 1:                              Item 6:                         Item 7:                           Item 8:
Name of Issuer                       Discretion    (Shares)          Managers          Voting          Authority    (Shares)
                                     (b)Shared     (c)Shared-
                                                   Other                               (a)Sole         (b)Shared    (c)None
__________________________           __________    _____________     _____________     ___________     __________   _____________
<S>                                  <C>           <C>               <C>               <C>             <C>          <C>
Alliance Semiconductor Corp              10,000                      1                                                     10,000
Alliance Technology Fund                  2,467                      1                                                      2,467
Allstate Corp                             7,408                      1                                      4,928           2,480
Allstate Corp                            15,000                      1., 2.                                                15,000
ALLTEL Corp                              37,210                      1                                      2,058          35,152
ALZA Corp Class A                         4,500                      1                                      3,800             700
America Online Inc                       22,043                      1                                     11,433          10,610
American Ecology Corp                    33,163                      1                                     29,202           3,961
American Ecology Corp                       597                      1., 2.                                    52             545
American Ecology Corp                    11,784                      1., 3.                                11,784
American Ecology Corp                                        175     None                                     175
American Electric Power                  48,243                      1                                     29,724          18,519
American Electric Power                  46,338                      1., 2.                                38,598           7,740
American Electric Power                 563,001                      1., 3.                               563,001
American Electric Power                                    2,075     None                                   2,075
American Express Co                   6,205,014                      1                                  5,209,652         995,362
American Express Co                   1,358,907                      1., 2.                             1,263,825          95,082
American Express Co                     328,425                      1., 3.                                               328,425
American General Corp                 6,708,537                      1                                  5,662,720       1,045,817
American General Corp                 1,101,167                      1., 2.                             1,040,101          61,066
American General Corp                 1,625,860                      1., 3.                             1,531,910          93,950
American General Corp                                     63,832     None                                  63,832
American Home Products                5,630,696                      1                                  4,067,878       1,562,818

COLUMN TOTALS

</TABLE>
<PAGE>

<TABLE>
<CAPTION>

Page     3                            FORM 13F       Name of Reporting Manager:  Fayez Sarofim & Co.                6/30/00
__________________________           ______          __________      _____________        _____________      ______________
Item 1:                              Item 2:         Item 3:         Item 4:              Item 5:
Name of Issuer                       Title           CUSIP           Fair                 Shares or          Investment
                                     of              Number          Market               Principal          (a)Sole
                                     Class                           Value                Amount
__________________________           ______          __________      _____________        _____________      ______________
<S>                                  <C>             <C>             <C>                  <C>                <C>
American Home Products               COMMON            26609107         74,076,818            1,260,882
American Home Products               COMMON            26609107         51,303,438              873,250
American Home Products               COMMON            26609107          3,602,844               61,325
American Intl Group Inc              COMMON            26874107         18,774,033              159,779
American Intl Group Inc              COMMON            26874107            148,638                1,265
American Tower Corp Cl A             COMMON            29912201          1,043,146               25,023
American Tower Corp Cl A             COMMON            29912201          2,061,530               49,452
Amgen Inc                            COMMON            31162100            351,953                5,010
Anadarko Petroleum Corp              COMMON            32511107            345,625                7,000
Anheuser-Busch Cos Inc               COMMON            35229103        365,590,972            4,894,942
Anheuser-Busch Cos Inc               COMMON            35229103         61,378,337              821,802
Anheuser-Busch Cos Inc               COMMON            35229103         14,495,649              194,084
Anheuser-Busch Cos Inc               COMMON            35229103          1,764,119               23,620
Apple Computer Inc                   COMMON            37833100             20,950                  400
Apple Computer Inc                   COMMON            37833100            293,300                5,600
Applied Materials Inc                COMMON            38222105          1,026,963               11,332
Argonaut Group Inc                   COMMON            40157109          6,194,883              361,745
Argonaut Group Inc                   COMMON            40157109          2,064,025              120,527
Argonaut Group Inc                   COMMON            40157109          7,012,790              409,506
Argonaut Group Inc                   COMMON            40157109             58,272                3,403
Associates First Capital Corp        COMMON            46008108         61,087,469            2,737,814
Associates First Capital Corp        COMMON            46008108          4,100,747              183,787
Associates First Capital Corp        COMMON            46008108          6,032,568              270,367
                                                                      ____________
COLUMN TOTALS                                                          682,829,069

<CAPTION>
__________________________           __________    _____________     _____________     ___________     __________   _____________
Item 1:                              Item 6:                         Item 7:                           Item 8:
Name of Issuer                       Discretion    (Shares)          Managers          Voting          Authority    (Shares)
                                     (b)Shared     (c)Shared-
                                                   Other                               (a)Sole         (b)Shared    (c)None
__________________________           __________    _____________     _____________     ___________     __________   _____________
<S>                                  <C>           <C>               <C>               <C>             <C>          <C>
American Home Products                1,260,882                      1., 2.                             1,155,160         105,722
American Home Products                  873,250                      1., 3.                               716,000         157,250
American Home Products                                    61,325     None                                  61,325
American Intl Group Inc                 159,779                      1                                    121,457          38,322
American Intl Group Inc                   1,265                      1., 2.                                                 1,265
American Tower Corp Cl A                 25,023                      1                                     25,023
American Tower Corp Cl A                                  49,452     None                                  49,452
Amgen Inc                                 5,010                      1                                      2,800           2,210
Anadarko Petroleum Corp                   7,000                      1                                      7,000
Anheuser-Busch Cos Inc                4,894,942                      1                                  4,065,718         829,224
Anheuser-Busch Cos Inc                  821,802                      1., 2.                               799,000          22,802
Anheuser-Busch Cos Inc                  194,084                      1., 3.                                30,000         164,084
Anheuser-Busch Cos Inc                                    23,620     None                                  23,620
Apple Computer Inc                          400                      1                                                        400
Apple Computer Inc                        5,600                      1., 2.                                 4,600           1,000
Applied Materials Inc                    11,332                      1                                                     11,332
Argonaut Group Inc                      361,745                      1                                    313,248          48,497
Argonaut Group Inc                      120,527                      1., 2.                               117,090           3,437
Argonaut Group Inc                      409,506                      1., 3.                               409,506
Argonaut Group Inc                                         3,403     None                                   3,403
Associates First Capital Corp         2,737,814                      1                                  1,975,300         762,514
Associates First Capital Corp           183,787                      1., 2.                               140,945          42,842
Associates First Capital Corp           270,367                      1., 3.                               164,598         105,769

COLUMN TOTALS
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

Page     4                            FORM 13F       Name of Reporting Manager:  Fayez Sarofim & Co.                6/30/00
__________________________           ______          __________      _____________        _____________      ______________
Item 1:                              Item 2:         Item 3:         Item 4:              Item 5:
Name of Issuer                       Title           CUSIP           Fair                 Shares or          Investment
                                     of              Number          Market               Principal          (a)Sole
                                     Class                           Value                Amount
__________________________           ______          __________      _____________        _____________      ______________
<S>                                  <C>             <C>             <C>                  <C>                <C>
Associates First Capital Corp        COMMON            46008108            422,956               18,956
Atrix Labs Inc                       COMMON           04962L101            140,625               15,000
Automatic Data Processing            COMMON            53015103          2,078,225               38,800
Automatic Data Processing            COMMON            53015103             32,138                  600
Avery Dennison Corp                  COMMON            53611109          3,272,679               48,755
Avery Dennison Corp                  COMMON            53611109            443,025                6,600
Azurix Corp                          COMMON           05501M104            175,000               25,000
BP Amoco Plc ADR                     COMMON            55622104        445,623,743            4,910,454
BP Amoco Plc ADR                     COMMON            55622104        185,682,486            2,046,088
BP Amoco Plc ADR                     COMMON            55622104         68,341,375              753,073
BP Amoco Plc ADR                     COMMON            55622104          1,859,740               20,493
Bank America Corp                    COMMON            60505104         98,823,472            2,278,351
Bank America Corp                    COMMON            60505104         15,694,596              361,835
Bank America Corp                    COMMON            60505104          5,822,897              134,245
Bank America Corp                    COMMON            60505104             15,485                  357
Bank of New York                     COMMON            64057102            564,975               12,150
Bank One Corp                        COMMON           06423A103            795,547               29,950
Baxter International Inc             COMMON            71813109            407,461                5,795
Becton Dickinson                     COMMON            75887109            200,813                7,000
BellSouth Corp                       COMMON            79860102        492,200,243           11,547,220
BellSouth Corp                       COMMON            79860102         93,134,750            2,184,979
BellSouth Corp                       COMMON            79860102         25,822,225              605,800
BellSouth Corp                       COMMON            79860102            404,938                9,500
                                                                     _____________
COLUMN TOTALS                                                        1,441,959,394

<CAPTION>
__________________________           __________    _____________     _____________     ___________     __________   _____________
Item 1:                              Item 6:                         Item 7:                           Item 8:
Name of Issuer                       Discretion    (Shares)          Managers          Voting          Authority    (Shares)
                                     (b)Shared     (c)Shared-
                                                   Other                               (a)Sole         (b)Shared    (c)None
__________________________           __________    _____________     _____________     ___________     __________   _____________
<S>                                  <C>           <C>               <C>               <C>             <C>          <C>
Associates First Capital Corp            18,956                      None                                  18,956
Atrix Labs Inc                           15,000                      1                                                     15,000
Automatic Data Processing                38,800                      1                                     34,740           4,060
Automatic Data Processing                   600                      1., 2.                                                   600
Avery Dennison Corp                      48,755                      1                                     47,216           1,539
Avery Dennison Corp                       6,600                      1., 2.                                 6,600
Azurix Corp                              25,000                      1                                                     25,000
BP Amoco Plc ADR                      4,910,454                      1                                  3,911,448         999,006
BP Amoco Plc ADR                      2,046,088                      1., 2.                             1,921,172         124,916
BP Amoco Plc ADR                        753,073                      1., 3.                               444,498         308,575
BP Amoco Plc ADR                                          20,493     None                                  20,493
Bank America Corp                     2,278,351                      1                                  1,890,232         388,118
Bank America Corp                       361,835                      1., 2.                               316,876          44,959
Bank America Corp                       134,245                      1., 3.                                               134,245
Bank America Corp                                            357     None                                     357
Bank of New York                         12,150                      1                                      7,950           4,200
Bank One Corp                            29,950                      1                                     14,548          15,402
Baxter International Inc                  5,795                      1                                      5,550             245
Becton Dickinson                          7,000                      1                                      3,600           3,400
BellSouth Corp                       11,547,220                      1                                  9,682,335       1,864,885
BellSouth Corp                        2,184,979                      1., 2.                             2,024,646         160,333
BellSouth Corp                          605,800                      1., 3.                                10,000         595,800
BellSouth Corp                                             9,500     None                                   9,500

COLUMN TOTALS
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

Page     5                            FORM 13F       Name of Reporting Manager:  Fayez Sarofim & Co.                6/30/00
__________________________           ______          __________      _____________        _____________      ______________
Item 1:                              Item 2:         Item 3:         Item 4:              Item 5:
Name of Issuer                       Title           CUSIP           Fair                 Shares or          Investment
                                     of              Number          Market               Principal          (a)Sole
                                     Class                           Value                Amount
__________________________           ______          __________      _____________        _____________      ______________
<S>                                  <C>             <C>             <C>                  <C>                <C>
Berkshire Hathaway Cl A              COMMON            84670108         61,816,200                1,149
Berkshire Hathaway Cl A              COMMON            84670108         24,963,200                  464
Berkshire Hathaway Cl A              COMMON            84670108         37,283,400                  693
Berkshire Hathaway Cl A              COMMON            84670108            161,400                    3
Berkshire Hathaway Cl B              COMMON            84670207          8,808,800                5,005
Berkshire Hathaway Cl B              COMMON            84670207            464,640                  264
Berkshire Hathaway Cl B              COMMON            84670207          1,142,240                  649
Bestfoods                            COMMON           08658U101            844,296              12,192
Bestfoods                            COMMON           08658U101             27,700                 400
Bio Technology General Corp          COMMON            90578105            855,249               64,853
Boeing Co                            COMMON            97023105          9,243,506              221,070
Boeing Co                            COMMON            97023105            781,225               18,684
Boeing Co                            COMMON            97023105                 50                    1
Boeing Co                            COMMON            97023105              8,363                  200
Bristol-Myers Squibb Co              COMMON           110122108        114,511,027            1,965,855
Bristol-Myers Squibb Co              COMMON           110122108         14,335,908              246,110
Bristol-Myers Squibb Co              COMMON           110122108         14,574,733              250,210
Bristol-Myers Squibb Co              COMMON           110122108            372,800                6,400
Broadcom Corp                        COMMON           111320107            481,663                2,200
Broadwing Inc                        COMMON           111620100         17,796,648              682,845
Burlington Northern Santa Fe Corp    COMMON           12189T104            345,425               14,857
CLECO Corp (new)                     COMMON           12561W105          1,079,102               32,212
CLECO Corp (new)                     COMMON           12561W105            297,748                8,888
                                                                      ____________
COLUMN TOTALS                                                          310,195,323

<CAPTION>
__________________________           __________    _____________     _____________     ___________     __________   _____________
Item 1:                              Item 6:                         Item 7:                           Item 8:
Name of Issuer                       Discretion    (Shares)          Managers          Voting          Authority    (Shares)
                                     (b)Shared     (c)Shared-
                                                   Other                               (a)Sole         (b)Shared    (c)None
__________________________           __________    _____________     _____________     ___________     __________   _____________
<S>                                  <C>           <C>               <C>               <C>             <C>          <C>
Berkshire Hathaway Cl A                   1,149                      1                                        868             281
Berkshire Hathaway Cl A                     464                      1., 2.                                   355             109
Berkshire Hathaway Cl A                     693                      1., 3.                                                   693
Berkshire Hathaway Cl A                                        3     None                                       3
Berkshire Hathaway Cl B                   5,005                      1                                      3,823           1,182
Berkshire Hathaway Cl B                     264                      1., 2.                                    43             221
Berkshire Hathaway Cl B                     649                      1., 3.                                                   649
Bestfoods                                12,192                      1                                      7,430           4,762
Bestfoods                                   400                      1., 2.                                                   400
Bio Technology General Corp              64,853                      1                                                     64,853
Boeing Co                               221,070                      1                                    159,631          61,439
Boeing Co                                18,684                      1., 2.                                15,466           3,218
Boeing Co                                     1                      1., 3.                                                     1
Boeing Co                                                    200     None                                     200
Bristol-Myers Squibb Co               1,965,855                      1                                  1,511,891         453,964
Bristol-Myers Squibb Co                 246,110                      1., 2.                               167,500          78,610
Bristol-Myers Squibb Co                 250,210                      1., 3.                                               250,210
Bristol-Myers Squibb Co                                    6,400     None                                   6,400
Broadcom Corp                             2,200                      1                                                      2,200
Broadwing Inc                           682,845                      1., 3.                               682,845
Burlington Northern Santa Fe Corp        14,857                      1                                      8,400           6,457
CLECO Corp (new)                         32,212                      1                                     16,782          15,430
CLECO Corp (new)                          8,888                      1., 2.                                                 8,888

COLUMN TOTALS
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

Page     6                            FORM 13F       Name of Reporting Manager:  Fayez Sarofim & Co.                6/30/00
__________________________           ______          __________      _____________        _____________      ______________
Item 1:                              Item 2:         Item 3:         Item 4:              Item 5:
Name of Issuer                       Title           CUSIP           Fair                 Shares or          Investment
                                     of              Number          Market               Principal          (a)Sole
                                     Class                           Value                Amount
__________________________           ______          __________      _____________        _____________      ______________
<S>                                  <C>             <C>             <C>                  <C>                <C>
CMGI, Inc.                           COMMON           125750109            425,690                9,292
C P & L Energy Inc                   COMMON           12614C106          1,262,809               39,540
C P & L Energy Inc                   COMMON           12614C106             70,263                2,200
CVS Corp                             COMMON           126650100          7,164,920              179,123
CVS Corp                             COMMON           126650100            581,200               14,530
CVS Corp                             COMMON           126650100             16,000                  400
Cablevision Systems Corp Class A     COMMON           12686C109            543,000                8,000
Campbell Soup Co                     COMMON           134429109          3,113,076              106,887
Campbell Soup Co                     COMMON           134429109             11,650                  400
Campbell Soup Co                     COMMON           134429109            349,500               12,000
Caterpillar Inc                      COMMON           149123101            845,385               24,956
Caterpillar Inc                      COMMON           149123101             35,569                1,050
CenturyTel Inc                       COMMON           156700106            473,311               16,463
Chase Manhattan Corp                 COMMON           16161A108        734,450,361           15,944,648
Chase Manhattan Corp                 COMMON           16161A108        145,252,657            3,153,382
Chase Manhattan Corp                 COMMON           16161A108         44,099,593              957,386
Chase Manhattan Corp                 COMMON           16161A108          1,796,622               39,004
Chevron Corp                         COMMON           166751107        447,570,336            5,269,408
Chevron Corp                         COMMON           166751107         81,913,895              964,402
Chevron Corp                         COMMON           166751107         95,169,836            1,120,469
Chevron Corp                         COMMON           166751107          1,169,929               13,774
Chubb Corp                           COMMON           171232101            348,090                5,660
Cisco Systems Inc                    COMMON           17275R102      1,147,520,191           18,053,415
                                                                    ______________
COLUMN TOTALS                                                        2,714,183,883

<CAPTION>
__________________________           __________    _____________     _____________     ___________     __________   _____________
Item 1:                              Item 6:                         Item 7:                           Item 8:
Name of Issuer                       Discretion    (Shares)          Managers          Voting          Authority    (Shares)
                                     (b)Shared     (c)Shared-
                                                   Other                               (a)Sole         (b)Shared    (c)None
__________________________           __________    _____________     _____________     ___________     __________   _____________
<S>                                  <C>           <C>               <C>               <C>             <C>          <C>
CMGI, Inc.                                9,292                      1                                      9,292
C P & L Energy Inc                       39,540                      1                                     19,190          20,350
C P & L Energy Inc                        2,200                      1., 2.                                 2,200
CVS Corp                                179,123                      1                                    158,613          20,510
CVS Corp                                 14,530                      1., 2.                                 1,225          13,305
CVS Corp                                    400                      1., 3.                                   400
Cablevision Systems Corp Class A          8,000                      1                                      8,000
Campbell Soup Co                        106,887                      1                                     24,416          82,471
Campbell Soup Co                            400                      1., 2.                                                   400
Campbell Soup Co                                         12,000      None                                  12,000
Caterpillar Inc                          24,956                      1                                      8,400          16,556
Caterpillar Inc                           1,050                      1., 2.                                   750             300
CenturyTel Inc                           16,463                      1                                      7,200           9,263
Chase Manhattan Corp                 15,944,648                      1                                 12,931,320       3,013,329
Chase Manhattan Corp                  3,153,382                      1., 2.                             2,933,662         219,720
Chase Manhattan Corp                    957,386                      1., 3.                                45,000         912,386
Chase Manhattan Corp                                     39,004      None                                  39,004
Chevron Corp                          5,269,408                      1                                  4,365,457         903,951
Chevron Corp                            964,402                      1., 2.                               895,429          68,973
Chevron Corp                          1,120,469                      1., 3.                               962,710         157,759
Chevron Corp                                             13,774      None                                  13,774
Chubb Corp                                5,660                      1                                      1,800           3,860
Cisco Systems Inc                    18,053,415                      1                                 15,179,964       2,873,451

COLUMN TOTALS
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

Page     7                            FORM 13F       Name of Reporting Manager:  Fayez Sarofim & Co.                6/30/00
__________________________           ______          __________      _____________        _____________      ______________
Item 1:                              Item 2:         Item 3:         Item 4:              Item 5:
Name of Issuer                       Title           CUSIP           Fair                 Shares or          Investment
                                     of              Number          Market               Principal          (a)Sole
                                     Class                           Value                Amount
__________________________           ______          __________      _____________        _____________      ______________
<S>                                  <C>             <C>             <C>                  <C>                <C>
Cisco Systems Inc                    COMMON           17275R102        232,144,869            3,652,230
Cisco Systems Inc                    COMMON           17275R102         74,751,915            1,176,038
Cisco Systems Inc                    COMMON           17275R102            805,146               12,667
Citigroup Inc                        COMMON           172967101      1,281,517,665           21,204,015
Citigroup Inc                        COMMON           172967101        225,171,360            3,725,690
Citigroup Inc                        COMMON           172967101         64,354,998            1,064,819
Citigroup Inc                        COMMON           172967101          4,108,602               67,981
Clear Channel                        COMMON           184502102            314,550                4,194
Communication
Clorox Co                            COMMON           189054109            495,447               11,056
Coastal Corp                         COMMON           190441105          6,157,506              101,150
Coastal Corp                         COMMON           190441105            611,307               10,042
Coca-Cola Co                         COMMON           191216100      1,876,779,523           32,675,160
Coca-Cola Co                         COMMON           191216100        326,325,977            5,681,410
Coca-Cola Co                         COMMON           191216100        362,794,090            6,316,328
Coca-Cola Co                         COMMON           191216100         13,448,416              234,140
Colgate Palmolive Co                 COMMON           194162103         89,398,179            1,493,080
Colgate Palmolive Co                 COMMON           194162103          9,432,408              157,535
Colgate Palmolive Co                 COMMON           194162103          8,190,900              136,800
Compaq Computer Corp                 COMMON           204493100          8,813,848              344,796
Compaq Computer Corp                 COMMON           204493100            587,938               23,000
Compaq Computer Corp                 COMMON           204493100              7,669                  300
Compaq Computer Corp                 COMMON           204493100          1,819,615               71,183
Comverse Technology Inc              COMMON           205862402            684,852                7,364
Conexant Systems Inc                 COMMON           207142100         35,933,583              738,994
Conexant Systems Inc                 COMMON           207142100          2,162,743               44,478
                                                                    ______________
COLUMN TOTALS                                                        4,626,813,106

<CAPTION>
__________________________           __________    _____________     _____________     ___________     __________   _____________
Item 1:                              Item 6:                         Item 7:                           Item 8:
Name of Issuer                       Discretion    (Shares)          Managers          Voting          Authority    (Shares)
                                     (b)Shared     (c)Shared-
                                                   Other                               (a)Sole         (b)Shared    (c)None
__________________________           __________    _____________     _____________     ___________     __________   _____________
<S>                                  <C>           <C>               <C>               <C>             <C>          <C>
Cisco Systems Inc                     3,652,230                      1., 2.                             3,321,982         330,248
Cisco Systems Inc                     1,176,038                      1., 3.                                             1,176,038
Cisco Systems Inc                                         12,667     None                                  12,667
Citigroup Inc                        21,204,015                      1                                 17,152,473       4,051,542
Citigroup Inc                         3,725,690                      1., 2.                             3,434,917         290,773
Citigroup Inc                         1,064,819                      1., 3.                                             1,064,819
Citigroup Inc                                             67,981     None                                  67,981
Clear Channel                             4,194                      1                                                      4,194
Communication
Clorox Co                                11,056                      1                                      4,936           6,120
Coastal Corp                            101,150                      1                                     19,504          81,646
Coastal Corp                             10,042                      1., 2.                                                10,042
Coca-Cola Co                         32,675,160                      1                                 26,081,992       6,593,169
Coca-Cola Co                          5,681,410                      1., 2.                             5,316,336         365,074
Coca-Cola Co                          6,316,328                      1., 3.                             4,207,280       2,109,048
Coca-Cola Co                                             234,140     None                                 234,140
Colgate Palmolive Co                  1,493,080                      1                                  1,166,090         326,990
Colgate Palmolive Co                    157,535                      1., 2.                               124,875          32,660
Colgate Palmolive Co                    136,800                      1., 3.                                               136,800
Compaq Computer Corp                    344,796                      1                                    235,767         109,029
Compaq Computer Corp                     23,000                      1., 2.                                14,800           8,200
Compaq Computer Corp                        300                      1., 3.                                                   300
Compaq Computer Corp                                      71,183     None                                  71,183
Comverse Technology Inc                   7,364                      1                                      7,364
Conexant Systems Inc                    738,994                      1                                    582,971         156,023
Conexant Systems Inc                     44,478                      1., 2.                                13,400          31,078

COLUMN TOTALS
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

Page     8                            FORM 13F       Name of Reporting Manager:  Fayez Sarofim & Co.                6/30/00
__________________________           ______          __________      _____________        _____________      ______________
Item 1:                              Item 2:         Item 3:         Item 4:              Item 5:
Name of Issuer                       Title           CUSIP           Fair                 Shares or          Investment
                                     of              Number          Market               Principal          (a)Sole
                                     Class                           Value                Amount
__________________________           ______          __________      _____________        _____________      ______________
<S>                                  <C>             <C>             <C>                  <C>                <C>
Conexant Systems Inc                 COMMON           207142100          1,867,200               38,400
Conexant Systems Inc                 COMMON           207142100            243,125                5,000
Conoco Inc                           COMMON           208251306              4,884                  222
Conoco Inc                           COMMON           208251306            218,196                9,918
Corning Inc                          COMMON           219350105            688,181                2,550
Corning Inc                          COMMON           219350105            187,293                  694
Cox Communications Inc               COMMON           224044107            499,912               10,972
New  Class A
Cox Communications Inc               COMMON           224044107             87,845                1,928
New  Class A
DPL Inc                              COMMON           233293109            222,117               10,125
Dell Computer Corp                   COMMON           247025109          3,029,267               61,430
Dell Computer Corp                   COMMON           247025109          6,721,294              136,300
Devon Energy Corp                    COMMON           25179M103            661,696               11,816
Devon Energy Corp                    COMMON           25179M103            375,872                6,712
Devon Energy Corp                    COMMON           25179M103          9,648,072              172,287
Devon Energy Corp                    COMMON           25179M103             82,376                1,471
Diageo PLC Sponsored ADR             COMMON           25243Q205            711,250               20,000
Disney (Walt) Co                     COMMON           254687106        142,562,331            3,673,104
Disney (Walt) Co                     COMMON           254687106         17,502,458              450,949
Disney (Walt) Co                     COMMON           254687106            747,141               19,250
Disney (Walt) Co                     COMMON           254687106            901,226               23,220
Dollar General Corp                  COMMON           256669102            465,200               23,856
Dollar General Corp                  COMMON           256669102             13,514                  693
Dominion Resources Inc               COMMON           25746U109            545,327               12,719
                                                                      ____________
COLUMN TOTALS                                                          187,985,777

<CAPTION>
__________________________           __________    _____________     _____________     ___________     __________   _____________
Item 1:                              Item 6:                         Item 7:                           Item 8:
Name of Issuer                       Discretion    (Shares)          Managers          Voting          Authority    (Shares)
                                     (b)Shared     (c)Shared-
                                                   Other                               (a)Sole         (b)Shared    (c)None
__________________________           __________    _____________     _____________     ___________     __________   _____________
<S>                                  <C>           <C>               <C>               <C>             <C>          <C>
Conexant Systems Inc                     38,400                      1., 3.                                                38,400
Conexant Systems Inc                                       5,000     None                                   5,000
Conoco Inc                                  222                      1                                                        222
Conoco Inc                                                 9,918     None                                   9,918
Corning Inc                               2,550                      1                                      2,550
Corning Inc                                 694                      1., 2.                                   694
Cox Communications Inc                   10,972                      1                                     10,482             490
New  Class A
Cox Communications Inc                                     1,928     None                                   1,928
New  Class A
DPL Inc                                  10,125                      1., 2.                                                10,125
Dell Computer Corp                       61,430                      1                                     39,610          21,820
Dell Computer Corp                      136,300                      1., 3.                                               136,300
Devon Energy Corp                        11,816                      1                                     11,268             548
Devon Energy Corp                         6,712                      1., 2.                                 6,712
Devon Energy Corp                       172,287                      1., 3.                               172,287
Devon Energy Corp                                          1,471     None                                   1,471
Diageo PLC Sponsored ADR                 20,000                      1                                     20,000
Disney (Walt) Co                      3,673,104                      1                                  2,702,315         970,789
Disney (Walt) Co                        450,949                      1., 2.                               414,856          36,093
Disney (Walt) Co                         19,250                      1., 3.                                                19,250
Disney (Walt) Co                                          23,220     None                                  23,220
Dollar General Corp                      23,856                      1                                      7,123          16,733
Dollar General Corp                         693                      1., 2.                                                   693
Dominion Resources Inc                   12,719                      1                                     10,500           2,219

COLUMN TOTALS
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

Page     9                            FORM 13F       Name of Reporting Manager:  Fayez Sarofim & Co.                6/30/00
__________________________           ______          __________      _____________        _____________      ______________
Item 1:                              Item 2:         Item 3:         Item 4:              Item 5:
Name of Issuer                       Title           CUSIP           Fair                 Shares or          Investment
                                     of              Number          Market               Principal          (a)Sole
                                     Class                           Value                Amount
__________________________           ______          __________      _____________        _____________      ______________
<S>                                  <C>             <C>             <C>                  <C>                <C>
Dow Chemical Co                      COMMON           260543103         10,586,848              345,693
Dow Chemical Co                      COMMON           260543103          1,217,344               39,750
Dow Chemical Co                      COMMON           260543103          2,618,438               85,500
Dow Chemical Co                      COMMON           260543103            795,086               25,962
Dreyfus Appreciation Fund            COMMON           261970107            163,009                3,473
Dreyfus Appreciation Fund            COMMON           261970107          3,682,359               78,448
Dreyfus Tax-Smart Growth             COMMON           261978217          3,463,124              200,528
Fund
Dreyfus Premier Tax                  COMMON           261978381          1,526,051               81,433
Managed Growth Fund-Class            A
Dreyfus Premier Worldwide            COMMON           261989107          3,309,114               83,754
Growth Fund-Class A
DuPont E I de Nemours                COMMON           263534109          5,121,327              116,518
DuPont E I de Nemours                COMMON           263534109            410,961                9,350
DuPont E I de Nemours                COMMON           263534109          4,395,310              100,000
DuPont E I de Nemours                COMMON           263534109            803,463               18,280
Duke Energy Corporation              COMMON           264399106            464,215                8,180
Duke Energy Corporation              COMMON           264399106             19,068                  336
Dynegy Inc                           COMMON           26816Q101          1,649,747               24,150
EMC Corp                             COMMON           268648102        413,753,879            5,373,427
EMC Corp                             COMMON           268648102         78,772,540            1,023,020
EMC Corp                             COMMON           268648102         27,281,100              354,300
EMC Corp                             COMMON           268648102            273,350                3,550
E-Stamp Corporation                  COMMON           269154100             61,131               32,603
E-Tek Dynamics Inc                   COMMON           269240107          1,055,250                4,000
                                                                      ____________
COLUMN TOTALS                                                          561,422,714

<CAPTION>
__________________________           __________    _____________     _____________     ___________     __________   _____________
Item 1:                              Item 6:                         Item 7:                           Item 8:
Name of Issuer                       Discretion    (Shares)          Managers          Voting          Authority    (Shares)
                                     (b)Shared     (c)Shared-
                                                   Other                               (a)Sole         (b)Shared    (c)None
__________________________           __________    _____________     _____________     ___________     __________   _____________
<S>                                  <C>           <C>               <C>               <C>             <C>          <C>
Dow Chemical Co                         345,693                      1                                     187,182        158,511
Dow Chemical Co                          39,750                      1., 2.                                 39,300            450
Dow Chemical Co                          85,500                      1., 3.                                 85,500
Dow Chemical Co                                          25,962      None                                   25,962
Dreyfus Appreciation Fund                 3,473                      1                                                      3,473
Dreyfus Appreciation Fund                78,448                      1., 2.                                 78,448
Dreyfus Tax-Smart Growth                200,528                      1., 2.                                200,528
Fund
Dreyfus Premier Tax                      81,433                      1., 2.                                  81,433
Managed Growth Fund-Class
Dreyfus Premier Worldwide                83,754                      1., 2.                                  83,754
Growth Fund-Class A
DuPont E I de Nemours                   116,518                      1                                       63,058        53,460
DuPont E I de Nemours                     9,350                      1., 2.                                   5,550         3,800
DuPont E I de Nemours                   100,000                      1., 3.                                 100,000
DuPont E I de Nemours                                    18,280      None                                    18,280
Duke Energy Corporation                   8,180                      1                                        3,884         4,296
Duke Energy Corporation                                     336      None                                       336
Dynegy Inc                               24,150                      1                                                     24,150
EMC Corp                              5,373,427                      1                                    4,619,065       754,362
EMC Corp                              1,023,020                      1., 2.                                 952,620        70,400
EMC Corp                                354,300                      1., 3.                                               354,300
EMC Corp                                                  3,550      None                                     3,550
E-Stamp Corporation                      32,603                      1                                       32,603
E-Tek Dynamics Inc                        4,000                      1                                                      4,000

COLUMN TOTALS
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

Page     10                           FORM 13F       Name of Reporting Manager:  Fayez Sarofim & Co.                6/30/00
__________________________           ______          __________      _____________        _____________      ______________
Item 1:                              Item 2:         Item 3:         Item 4:              Item 5:
Name of Issuer                       Title           CUSIP           Fair                 Shares or          Investment
                                     of              Number          Market               Principal          (a)Sole
                                     Class                           Value                Amount
__________________________           ______          __________      _____________        _____________      ______________
<S>                                  <C>             <C>             <C>                  <C>                <C>
Eaton Vance Corp                     COMMON           278265103         10,822,500              234,000
(non-voting)
Eaton Vance Corp                     COMMON           278265103         48,840,000            1,056,000
(non-voting)
El Paso Energy Corp                  COMMON           283905107            190,608                3,742
El Paso Energy Corp                  COMMON           283905107            947,438               18,600
Emerson Electric Co                  COMMON           291011104        253,457,113            4,198,047
Emerson Electric Co                  COMMON           291011104         30,437,030              504,133
Emerson Electric Co                  COMMON           291011104         15,686,934              259,825
Emerson Electric Co                  COMMON           291011104            206,784                3,425
Enesco Group Inc                     COMMON           292973104            950,000              200,000
Enron Corp                           COMMON           293561106          1,269,296               19,679
Enron Corp                           COMMON           293561106            103,200                1,600
Ericsson (LM) Telephone              COMMON           294821400          1,032,960               51,648
Co ADR
Expeditors Intl Wash Inc             COMMON           302130109            475,000               10,000
Exxon Mobil Corp                     COMMON           30231G102      1,236,687,895           15,753,986
Exxon Mobil Corp                     COMMON           30231G102        214,617,747            2,733,984
Exxon Mobil Corp                     COMMON           30231G102        145,656,022            1,855,491
Exxon Mobil Corp                     COMMON           30231G102          9,459,407              120,502
FPL Group Inc                        COMMON           302571104            654,881               13,180
FPL Group Inc                        COMMON           302571104            228,563                4,600
Federal Home Loan                    COMMON           313400301         12,733,605              314,410
Mortgage Corp
                                                                    ______________
COLUMN TOTALS                                                        1,984,456,983

<CAPTION>
__________________________           __________    _____________     _____________     ___________     __________   _____________
Item 1:                              Item 6:                         Item 7:                           Item 8:
Name of Issuer                       Discretion    (Shares)          Managers          Voting          Authority    (Shares)
                                     (b)Shared     (c)Shared-
                                                   Other                               (a)Sole         (b)Shared    (c)None
__________________________           __________    _____________     _____________     ___________     __________   _____________
<S>                                  <C>           <C>               <C>               <C>             <C>          <C>
Eaton Vance Corp                        234,000                      1., 2.                               234,000
(non-voting)
Eaton Vance Corp                      1,056,000                      1., 3.                             1,056,000
(non-voting)
El Paso Energy Corp                       3,742                      1                                      2,386           1,356
El Paso Energy Corp                      18,600                      1., 3.                                18,600
Emerson Electric Co                   4,198,047                           1                             3,537,743         660,305
Emerson Electric Co                     504,133                      1., 2.                               461,848          42,285
Emerson Electric Co                     259,825                      1., 3.                                               259,825
Emerson Electric Co                                        3,425     None                                   3,425
Enesco Group Inc                        200,000                      1., 3.                               200,000
Enron Corp                               19,679                      1                                      5,320          14,359
Enron Corp                                1,600                      1., 2.                                 1,600
Ericsson (LM) Telephone                  51,648                      1                                     12,720          38,928
Co ADR
Expeditors Intl Wash Inc                 10,000                      1                                     10,000
Exxon Mobil Corp                     15,753,986                      1                                 13,077,865       2,676,121
Exxon Mobil Corp                      2,733,984                      1., 2.                             2,555,514         178,470
Exxon Mobil Corp                      1,855,491                      1., 3.                             1,305,811         549,680
Exxon Mobil Corp                                         120,502     None                                 120,502
FPL Group Inc                            13,180                      1                                      8,580           4,600
FPL Group Inc                             4,600                      1., 2.                                   200           4,400
Federal Home Loan                       314,410                      1                                    197,780         116,630
Mortgage Corp

COLUMN TOTALS
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

Page     11                           FORM 13F       Name of Reporting Manager:  Fayez Sarofim & Co.                6/30/00
__________________________           ______          __________      _____________        _____________      ______________
Item 1:                              Item 2:         Item 3:         Item 4:              Item 5:
Name of Issuer                       Title           CUSIP           Fair                 Shares or          Investment
                                     of              Number          Market               Principal          (a)Sole
                                     Class                           Value                Amount
__________________________           ______          __________      _____________        _____________      ______________
<S>                                  <C>             <C>             <C>                  <C>                <C>
Federal Home Loan                    COMMON           313400301            167,873                4,145
Mortgage Corp
Federal Home Loan                    COMMON           313400301            850,500               21,000
Mortgage Corp
Fannie Mae                           COMMON           313586109        539,791,790           10,318,601
Fannie Mae                           COMMON           313586109        100,074,336            1,913,010
Fannie Mae                           COMMON           313586109         30,686,513              586,600
Fannie Mae                           COMMON           313586109          1,626,919               31,100
Fiduciary Trust Co Int'l             COMMON           316495100            104,650                2,300
Fiduciary Trust Co Int'l             COMMON           316495100          2,588,723               56,895
Fifth Third Bancorp                  COMMON           316773100            498,094                7,875
First Data Corp                      COMMON           319963104          1,089,368               21,952
First Union Corp                     COMMON           337358105            570,042               22,974
Ford Motor Company OLD               COMMON           345370100        638,666,761           14,852,715
Ford Motor Company OLD               COMMON           345370100        109,581,157            2,548,399
Ford Motor Company OLD               COMMON           345370100         41,462,062              964,234
Ford Motor Company OLD               COMMON           345370100          2,473,360               57,520
Fortune Brands Inc                   COMMON           349631101            206,271                8,944
Fox Entertainment Group              COMMON           35138T107         23,218,650              764,400
Fox Entertainment Group              COMMON           35138T107         10,986,638              361,700
Fox Entertainment Group              COMMON           35138T107          6,968,025              229,400
GTE Corp                             COMMON           362320103          3,687,690               59,240
GTE Corp                             COMMON           362320103            177,413                2,850
Gannett Co                           COMMON           364730101            242,241                4,050
Gap Inc                              COMMON           364760108          1,252,719               40,087
                                                                    ______________
COLUMN TOTALS                                                        1,516,971,795

<CAPTION>
__________________________           __________    _____________     _____________     ___________     __________   _____________
Item 1:                              Item 6:                         Item 7:                           Item 8:
Name of Issuer                       Discretion    (Shares)          Managers          Voting          Authority    (Shares)
                                     (b)Shared     (c)Shared-
                                                   Other                               (a)Sole         (b)Shared    (c)None
__________________________           __________    _____________     _____________     ___________     __________   _____________
<S>                                  <C>           <C>               <C>               <C>             <C>          <C>
Federal Home Loan                         4,145                      1., 2.                                 2,600           1,545
Mortgage Corp
Federal Home Loan                        21,000                      1., 3.                                                21,000
Mortgage Corp
Fannie Mae                           10,318,601                      1    1                             8,530,109       1,788,492
Fannie Mae                            1,913,010                      1., 2.                             1,754,845         158,165
Fannie Mae                              586,600                      1., 3.                                               586,600
Fannie Mae                                                31,100     None                                  31,100
Fiduciary Trust Co Int'l                  2,300                      1                                      2,300
Fiduciary Trust Co Int'l                 56,895                      1., 3.                                56,895
Fifth Third Bancorp                       7,875                      1                                      7,500             375
First Data Corp                          21,952                      1                                     14,052           7,900
First Union Corp                         22,974                      1                                     13,650           9,324
Ford Motor Company OLD               14,852,715                      1                                 12,346,886       2,505,830
Ford Motor Company OLD                2,548,399                      1., 2.                             2,348,557         199,842
Ford Motor Company OLD                  964,234                      1., 3.                               314,018         650,216
Ford Motor Company OLD                                    57,520     None                                  57,520
Fortune Brands Inc                        8,944                      1                                      3,480           5,464
Fox Entertainment Group                 764,400                      1                                    632,900         131,500
Fox Entertainment Group                 361,700                      1., 2.                               361,100             600
Fox Entertainment Group                 229,400                      1., 3.                                               229,400
GTE Corp                                 59,240                      1                                     38,190          21,050
GTE Corp                                  2,850                      1., 2.                                 2,850
Gannett Co                                4,050                      1                                      3,000           1,050
Gap Inc                                  40,087                      1                                     25,992          14,095

COLUMN TOTALS
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

Page     12                           FORM 13F       Name of Reporting Manager:  Fayez Sarofim & Co.                6/30/00
__________________________           ______          __________      _____________        _____________      ______________
Item 1:                              Item 2:         Item 3:         Item 4:              Item 5:
Name of Issuer                       Title           CUSIP           Fair                 Shares or          Investment
                                     of              Number          Market               Principal          (a)Sole
                                     Class                           Value                Amount
__________________________           ______          __________      _____________        _____________      ______________
<S>                                  <C>             <C>             <C>                  <C>                <C>
Gemstar-TV Guide Intl Inc            COMMON           36866W106            307,266                5,000
General Dynamics Corp                COMMON           369550108            397,100                7,600
General Electric Co                  COMMON           369604103      2,815,745,922           53,127,282
General Electric Co                  COMMON           369604103        487,776,623            9,203,333
General Electric Co                  COMMON           369604103        188,386,433            3,554,461
General Electric Co                  COMMON           369604103         16,073,946              303,282
General Growth Properties            COMMON           370021107            238,125                7,500
General Mills Inc                    COMMON           370334104          1,787,729               46,738
General Mills Inc                    COMMON           370334104             91,800                2,400
General Mills Inc                    COMMON           370334104            227,588                5,950
General Motors Corp                  COMMON           370442105          5,973,275              102,988
General Motors Corp                  COMMON           370442105            704,700               12,150
General Motors Corp                  COMMON           370442105             92,800                1,600
Gillette Company                     COMMON           375766102        555,444,724           15,898,239
Gillette Company                     COMMON           375766102         98,010,518            2,805,310
Gillette Company                     COMMON           375766102         30,524,544              873,690
Gillette Company                     COMMON           375766102          2,032,699               58,181
Glaxo Wellcome Plc ADR               COMMON           37733W105            331,034                5,726
Goldman Sachs Group Inc              COMMON           38141G104         37,863,000              399,083
Goldman Sachs Group Inc              COMMON           38141G104         25,421,756              267,950
Goldman Sachs Group Inc              COMMON           38141G104             23,719                  250
Guidant Corp                         COMMON           401698105            944,955               19,090
Harrahs Entertainment Inc            COMMON           413619107          1,901,250               90,000
Harrahs Entertainment Inc            COMMON           413619107          6,231,875              295,000
                                                                    ______________
COLUMN TOTALS                                                        4,276,533,381

<CAPTION>
__________________________           __________    _____________     _____________     ___________     __________   _____________
Item 1:                              Item 6:                         Item 7:                           Item 8:
Name of Issuer                       Discretion    (Shares)          Managers          Voting          Authority    (Shares)
                                     (b)Shared     (c)Shared-
                                                   Other                               (a)Sole         (b)Shared    (c)None
__________________________           __________    _____________     _____________     ___________     __________   _____________
<S>                                  <C>           <C>               <C>               <C>             <C>          <C>
Gemstar-TV Guide Intl Inc                 5,000                      1                                                     5,000
General Dynamics Corp                     7,600                      1                                                     7,600
General Electric Co                  53,127,282                      1                                 43,405,883      9,721,399
General Electric Co                   9,203,333                      1., 2.                             8,578,585        624,748
General Electric Co                   3,554,461                      1., 3.                             1,020,000      2,534,461
General Electric Co                                      303,282     None                                 303,282
General Growth Properties                 7,500                      1                                      7,500
General Mills Inc                        46,738                      1                                     11,986         34,752
General Mills Inc                         2,400                      1., 2.                                 2,400
General Mills Inc                                          5,950     None                                   5,950
General Motors Corp                     102,988                      1                                     45,132         57,856
General Motors Corp                      12,150                      1., 2.                                 5,800          6,350
General Motors Corp                       1,600                      1., 3.                                                1,600
Gillette Company                     15,898,239                      1                                 13,130,941      2,767,298
Gillette Company                      2,805,310                      1., 2.                             2,602,840        202,470
Gillette Company                        873,690                      1., 3.                                              873,690
Gillette Company                                          58,181     None                                  58,181
Glaxo Wellcome Plc ADR                    5,726                      1                                      1,370          4,356
Goldman Sachs Group Inc                 399,083                      1                                    276,300        122,783
Goldman Sachs Group Inc                 267,950                      1., 2.                               262,350          5,600
Goldman Sachs Group Inc                                      250     None                                     250
Guidant Corp                             19,090                      1                                     19,090
Harrahs Entertainment Inc                90,000                      1., 2.                                90,000
Harrahs Entertainment Inc               295,000                      1., 3.                               295,000

COLUMN TOTALS
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

Page     13                           FORM 13F       Name of Reporting Manager:  Fayez Sarofim & Co.                6/30/00
__________________________           ______          __________      _____________        _____________      ______________
Item 1:                              Item 2:         Item 3:         Item 4:              Item 5:
Name of Issuer                       Title           CUSIP           Fair                 Shares or          Investment
                                     of              Number          Market               Principal          (a)Sole
                                     Class                           Value                Amount
__________________________           ______          __________      _____________        _____________      ______________
<S>                                  <C>             <C>             <C>                  <C>                <C>
Harte Hanks Inc                      COMMON           416196103            700,150               28,006
Hartford Financial Ser               COMMON           416515104            465,820                8,328
Group Inc
Hartford Financial Ser               COMMON           416515104            111,875                2,000
Group Inc
Hartford Financial Ser               COMMON           416515104             55,938                1,000
Group Inc
Heinz (H. J.) Co                     COMMON           423074103        150,898,431            3,449,107
Heinz (H. J.) Co                     COMMON           423074103         25,179,350              575,528
Heinz (H. J.) Co                     COMMON           423074103         19,654,775              449,252
Heinz (H. J.) Co                     COMMON           423074103          1,374,713               31,422
Hertz Corp                           COMMON           428040109          8,972,788              319,743
Hertz Corp                           COMMON           428040109          1,228,433               43,775
Hertz Corp                           COMMON           428040109            945,706               33,700
Hewlett-Packard Co                   COMMON           428236103        772,078,147            6,182,808
Hewlett-Packard Co                   COMMON           428236103        154,562,888            1,237,741
Hewlett-Packard Co                   COMMON           428236103         46,979,224              376,210
Hewlett-Packard Co                   COMMON           428236103             46,828                  375
Hibernia Corp Class A                COMMON           428656102             94,094                8,554
Hibernia Corp Class A                COMMON           428656102             41,800                3,800
Hilton Hotels Corp                   COMMON           432848109          1,464,047              156,165
Hilton Hotels Corp                   COMMON           432848109          4,113,319              438,754
Home Depot Inc                       COMMON           437076102         37,278,643              746,506
Home Depot Inc                       COMMON           437076102         10,861,256              217,497
Home Depot Inc                       COMMON           437076102          1,655,428               33,150
Honeywell Int'l Inc                  COMMON           438516106        251,380,670            7,462,135
                                                                    ______________
COLUMN TOTALS                                                        1,490,144,323

<CAPTION>
__________________________           __________    _____________     _____________     ___________     __________   _____________
Item 1:                              Item 6:                         Item 7:                           Item 8:
Name of Issuer                       Discretion    (Shares)          Managers          Voting          Authority    (Shares)
                                     (b)Shared     (c)Shared-
                                                   Other                               (a)Sole         (b)Shared    (c)None
__________________________           __________    _____________     _____________     ___________     __________   _____________
<S>                                  <C>           <C>               <C>               <C>             <C>          <C>
Harte Hanks Inc                          28,006                      1                                     26,476          1,530
Hartford Financial Ser                    8,328                      1                                        226          8,102
Group Inc
Hartford Financial Ser                    2,000                      1., 2.                                                2,000
Group Inc
Hartford Financial Ser                    1,000                      1., 3.                                                1,000
Group Inc
Heinz (H. J.) Co                      3,449,107                      1                                  3,022,168        426,939
Heinz (H. J.) Co                        575,528                      1., 2.                               560,350         15,178
Heinz (H. J.) Co                        449,252                      1., 3.                               420,000         29,252
Heinz (H. J.) Co                                          31,422     None                                  31,422
Hertz Corp                              319,743                      1                                    267,293         52,450
Hertz Corp                               43,775                      1., 2.                                25,150         18,625
Hertz Corp                               33,700                      1., 3.                                               33,700
Hewlett-Packard Co                    6,182,808                      1                                  5,191,034        991,774
Hewlett-Packard Co                    1,237,741                      1., 2.                             1,147,500         90,241
Hewlett-Packard Co                      376,210                      1., 3.                                              376,210
Hewlett-Packard Co                                           375     None                                     375
Hibernia Corp Class A                     8,554                      1                                      8,554
Hibernia Corp Class A                     3,800                      1., 2.                                 3,800
Hilton Hotels Corp                      156,165                      1., 2.                               156,165
Hilton Hotels Corp                      438,754                      1., 3.                               438,754
Home Depot Inc                          746,506                      1                                    669,191         77,315
Home Depot Inc                          217,497                      1., 2.                               187,947         29,550
Home Depot Inc                           33,150                      1., 3.                                               33,150
Honeywell Int'l Inc                   7,462,135                      1                                  6,139,213      1,322,922

COLUMN TOTALS
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

Page    14                            FORM 13F       Name of Reporting Manager:  Fayez Sarofim & Co.                6/30/00
__________________________           ______          __________      _____________        _____________      ______________
Item 1:                              Item 2:         Item 3:         Item 4:              Item 5:
Name of Issuer                       Title           CUSIP           Fair                 Shares or          Investment
                                     of              Number          Market               Principal          (a)Sole
                                     Class                           Value                Amount
__________________________           ______          __________      _____________        _____________      ______________
<S>                                  <C>             <C>             <C>                  <C>                <C>
Honeywell Int'l Inc                  COMMON           438516106         46,661,735            1,385,135
Honeywell Int'l Inc                  COMMON           438516106         15,940,925              473,200
Honeywell Int'l Inc                  COMMON           438516106            185,281                5,500
Hubbell Inc Cl B                     COMMON           443510201          1,765,467               69,234
Il Fornaio America Corp              COMMON           451926109            214,540               25,240
Illinois Tool Works Inc              COMMON           452308109            208,050                3,650
Illinois Tool Works Inc              COMMON           452308109            723,900               12,700
Imclone Systems Inc                  COMMON           45245W109         13,099,094              171,370
Imclone Systems Inc                  COMMON           45245W109          1,421,738               18,600
Intel Corporation                    COMMON           458140100      2,987,216,345           22,344,769
Intel Corporation                    COMMON           458140100        558,006,278            4,173,960
Intel Corporation                    COMMON           458140100        180,436,682            1,349,690
Intel Corporation                    COMMON           458140100          9,843,812               73,633
Intl Business Machines               COMMON           459200101        733,832,936            6,697,848
Intl Business Machines               COMMON           459200101        137,698,955            1,256,807
Intl Business Machines               COMMON           459200101         44,047,412              402,030
Intl Business Machines               COMMON           459200101            402,094                3,670
Interpublic Group Cos Inc            COMMON           460690100            246,863                5,741
Investors Finl Services              COMMON           461915100          3,284,220               82,752
Investors Finl Services              COMMON           461915100         29,860,240              752,384
Jefferson-Pilot Corp                 COMMON           475070108          1,669,873               29,588
Johns Manville Corp                  COMMON           478129109          1,209,509               90,010
Johns Manville Corp                  COMMON           478129109          2,486,609              185,050
Johnson & Johnson                    COMMON           478160104      1,077,286,992           10,574,596
                                                                    ______________
COLUMN TOTALS                                                        5,847,749,550

<CAPTION>
__________________________           __________    _____________     _____________     ___________     __________   _____________
Item 1:                              Item 6:                         Item 7:                           Item 8:
Name of Issuer                       Discretion    (Shares)          Managers          Voting          Authority    (Shares)
                                     (b)Shared     (c)Shared-
                                                   Other                               (a)Sole         (b)Shared    (c)None
__________________________           __________    _____________     _____________     ___________     __________   _____________
<S>                                  <C>           <C>               <C>               <C>             <C>          <C>
Honeywell Int'l Inc                   1,385,135                      1., 2.                             1,273,505         111,630
Honeywell Int'l Inc                     473,200                      1., 3.                                               473,200
Honeywell Int'l Inc                                        5,500     None                                   5,500
Hubbell Inc Cl B                         69,234                      1                                     20,637          48,597
Il Fornaio America Corp                  25,240                      1                                     25,240
Illinois Tool Works Inc                   3,650                      1                                        150           3,500
Illinois Tool Works Inc                  12,700                      1., 2.                                12,700
Imclone Systems Inc                     171,370                      1                                     58,700         112,670
Imclone Systems Inc                      18,600                      1., 3.                                                18,600
Intel Corporation                    22,344,769                      1                                 18,257,967       4,086,802
Intel Corporation                     4,173,960                      1., 2.                             3,846,025         327,935
Intel Corporation                     1,349,690                      1., 3.                                             1,349,690
Intel Corporation                                         73,633     None                                  73,633
Intl Business Machines                6,697,848                      1                                  5,640,239       1,057,609
Intl Business Machines                1,256,807                      1., 2.                             1,162,725          94,082
Intl Business Machines                  402,030                      1., 3.                                               402,030
Intl Business Machines                                     3,670     None                                   3,670
Interpublic Group Cos Inc                 5,741                      1                                                      5,741
Investors Finl Services                  82,752                      1., 2.                                82,752
Investors Finl Services                 752,384                      1., 3.                               752,384
Jefferson-Pilot Corp                     29,588                      1                                     13,232          16,356
Johns Manville Corp                      90,010                      1., 2.                                90,010
Johns Manville Corp                     185,050                      1., 3.                               185,050
Johnson & Johnson                    10,574,596                      1                                  8,641,681       1,932,915

COLUMN TOTALS
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

Page    15                            FORM 13F       Name of Reporting Manager:  Fayez Sarofim & Co.                6/30/00
__________________________           ______          __________      _____________        _____________      ______________
Item 1:                              Item 2:         Item 3:         Item 4:              Item 5:
Name of Issuer                       Title           CUSIP           Fair                 Shares or          Investment
                                     of              Number          Market               Principal          (a)Sole
                                     Class                           Value                Amount
__________________________           ______          __________      _____________        _____________      ______________
<S>                                  <C>             <C>             <C>                  <C>                <C>
Johnson & Johnson                    COMMON           478160104        210,698,894            2,068,210
Johnson & Johnson                    COMMON           478160104         63,331,103              621,655
Johnson & Johnson                    COMMON           478160104          2,276,397               22,345
Kellogg Co                           COMMON           487836108        115,132,768            3,870,009
Kellogg Co                           COMMON           487836108         30,592,104            1,028,306
Kellogg Co                           COMMON           487836108         18,325,762              615,992
Kellogg Co                           COMMON           487836108          1,423,716               47,856
KeyCorp (New)                        COMMON           493267108            884,000               50,156
KeySpan Corp                         COMMON           49337W100            488,187               15,876
KeySpan Corp                         COMMON           49337W100             92,250                3,000
Kimberly-Clark Corp                  COMMON           494368103            506,851                8,834
Kimberly-Clark Corp                  COMMON           494368103             62,711                1,093
Kinder Morgan Energy                 COMMON           494550106         33,143,732              829,890
Partners L P
Kinder Morgan Energy                 COMMON           494550106          1,577,531               39,500
Partners L P
Kinder Morgan Energy                 COMMON           494550106             79,875                2,000
Partners L P
Kinder Morgan Inc                    COMMON           49455P101         14,976,830              433,326
Kinder Morgan Inc                    COMMON           49455P101            152,075                4,400
Kinder Morgan Inc                    COMMON           49455P101          6,464,950              187,051
Kinder Morgan Inc                    COMMON           49455P101          1,154,076               33,391
Koninklijke Philips                  COMMON           500472303            220,065                4,636
Electronics
LSI Logic Corp                       COMMON           502161102            378,875                7,000
Lauder (Estee) Co                    COMMON           518439104         36,643,128              741,201
Cl A
                                                                      ____________
COLUMN TOTALS                                                          538,605,880

<CAPTION>
__________________________           __________    _____________     _____________     ___________     __________   _____________
Item 1:                              Item 6:                         Item 7:                           Item 8:
Name of Issuer                       Discretion    (Shares)          Managers          Voting          Authority    (Shares)
                                     (b)Shared     (c)Shared-
                                                   Other                               (a)Sole         (b)Shared    (c)None
__________________________           __________    _____________     _____________     ___________     __________   _____________
<S>                                  <C>           <C>               <C>               <C>             <C>          <C>
Johnson & Johnson                     2,068,210                      1., 2.                             1,914,835         153,375
Johnson & Johnson                       621,655                      1., 3.                                               621,655
Johnson & Johnson                                         22,345     None                                  22,345
Kellogg Co                            3,870,009                      1                                  3,120,113         749,896
Kellogg Co                            1,028,306                      1., 2.                               973,590          54,716
Kellogg Co                              615,992                      1., 3.                               467,560         148,432
Kellogg Co                                                47,856     None                                  47,856
KeyCorp (New)                            50,156                      1                                     47,200           2,956
KeySpan Corp                             15,876                      1                                     15,876
KeySpan Corp                              3,000                      1., 2.                                                 3,000
Kimberly-Clark Corp                       8,834                      1                                      4,500           4,334
Kimberly-Clark Corp                       1,093                      1., 2.                                   693             400
Kinder Morgan Energy                    829,890                      1                                    496,300         333,590
Partners L P
Kinder Morgan Energy                     39,500                      1., 2.                                 3,000          36,500
Partners L P
Kinder Morgan Energy                                       2,000     None                                   2,000
Partners L P
Kinder Morgan Inc                       433,326                      1                                    232,421         200,905
Kinder Morgan Inc                         4,400                      1., 2.                                                 4,400
Kinder Morgan Inc                       187,051                      1., 3.                               160,251          26,800
Kinder Morgan Inc                                         33,391     None                                  33,391
Koninklijke Philips                       4,636                      1                                                      4,636
Electronics
LSI Logic Corp                            7,000                      1                                      6,800             200
Lauder (Estee) Co                       741,201                      1                                    525,261         215,940
Cl A

COLUMN TOTALS
</TABLE>
<PAGE>
<TABLE>
<CAPTION>

Page     16                           FORM 13F       Name of Reporting Manager:  Fayez Sarofim & Co.                6/30/00
__________________________           ______          __________      _____________        _____________      ______________
Item 1:                              Item 2:         Item 3:         Item 4:              Item 5:
Name of Issuer                       Title           CUSIP           Fair                 Shares or          Investment
                                     of              Number          Market               Principal          (a)Sole
                                     Class                           Value                Amount
__________________________           ______          __________      _____________        _____________      ______________
<S>                                  <C>             <C>             <C>                  <C>                <C>
Lauder (Estee) Co                    COMMON           518439104          20,459,709             413,850
Cl A
Lauder (Estee) Co                    COMMON           518439104           8,589,766             173,750
Cl A
Leggett & Platt Inc                  COMMON           524660107               1,815                 110
Leggett & Platt Inc                  COMMON           524660107           1,320,000              80,000
Lilly Eli & Co                       COMMON           532457108           9,002,433              90,137
Lilly Eli & Co                       COMMON           532457108           5,842,688              58,500
Lilly Eli & Co                       COMMON           532457108             631,210               6,320
Lincoln Electric Hldgs               COMMON           533900106           1,473,450             103,400
Lincoln National Corp                COMMON           534187109             261,834               7,248
Lucent Technologies Inc              COMMON           549463107           7,042,649             119,875
Lucent Technologies Inc              COMMON           549463107              91,944               1,565
Lucent Technologies Inc              COMMON           549463107             273,188               4,650
Mail-Well Hldgs Inc                  COMMON           560321200           2,494,195             289,182
Managers International               COMMON           561717406             322,062               5,687
Equity Fund
Marsh & McLennan Cos, Inc            COMMON           571748102         372,124,247           3,563,129
Marsh & McLennan Cos, Inc            COMMON           571748102         119,983,848           1,148,858
Marsh & McLennan Cos, Inc            COMMON           571748102          25,970,995             248,675
Marsh & McLennan Cos, Inc            COMMON           571748102           2,225,354              21,308
Masco Corp                           COMMON           574599106             220,182              12,190
May Department Stores Co             COMMON           577778103          59,618,448           2,484,102
May Department Stores Co             COMMON           577778103          14,736,000             614,000
May Department Stores Co             COMMON           577778103             521,376              21,724
                                                                       ____________
COLUMN TOTALS                                                           653,207,393

<CAPTION>
__________________________           __________    _____________     _____________     ___________     __________   _____________
Item 1:                              Item 6:                         Item 7:                           Item 8:
Name of Issuer                       Discretion    (Shares)          Managers          Voting          Authority    (Shares)
                                     (b)Shared     (c)Shared-
                                                   Other                               (a)Sole         (b)Shared    (c)None
__________________________           __________    _____________     _____________     ___________     __________   _____________
<S>                                  <C>           <C>               <C>               <C>             <C>          <C>
Lauder (Estee) Co                       413,850                      1., 2.                               382,950          30,900
Cl A
Lauder (Estee) Co                       173,750                      1., 3.                                               173,750
Cl A
Leggett & Platt Inc                         110                      1                                                        110
Leggett & Platt Inc                      80,000                      1., 3.                                80,000
Lilly Eli & Co                           90,137                      1                                     42,716          47,421
Lilly Eli & Co                           58,500                      1., 2.                                57,700             800
Lilly Eli & Co                                             6,320     None                                   6,320
Lincoln Electric Hldgs                  103,400                      1., 3.                               103,400
Lincoln National Corp                     7,248                      1                                      3,080           4,168
Lucent Technologies Inc                 119,875                      1                                     85,057          34,818
Lucent Technologies Inc                   1,565                      1., 2.                                   932             633
Lucent Technologies Inc                   4,650                      1., 3.                                                 4,650
Mail-Well Hldgs Inc                     289,182                      1., 3.                               289,182
Managers International                    5,687                      1                                      5,687
Equity Fund
Marsh & McLennan Cos, Inc             3,563,129                      1                                  2,871,208         691,920
Marsh & McLennan Cos, Inc             1,148,858                      1., 2.                             1,059,963          88,895
Marsh & McLennan Cos, Inc               248,675                      1., 3.                                               248,675
Marsh & McLennan Cos, Inc                                 21,308     None                                  21,308
Masco Corp                               12,190                      1                                     12,000             190
May Department Stores Co              2,484,102                      1                                  2,061,255         422,847
May Department Stores Co                614,000                      1., 2.                               596,600          17,400
May Department Stores Co                 21,724                      1., 3.                                                21,724

COLUMN TOTALS
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

Page     17                           FORM 13F       Name of Reporting Manager:  Fayez Sarofim & Co.                6/30/00
__________________________           ______          __________      _____________        _____________      ______________
Item 1:                              Item 2:         Item 3:         Item 4:              Item 5:
Name of Issuer                       Title           CUSIP           Fair                 Shares or          Investment
                                     of              Number          Market               Principal          (a)Sole
                                     Class                           Value                Amount
__________________________           ______          __________      _____________        _____________      ______________
<S>                                  <C>             <C>             <C>                  <C>                <C>
May Department Stores Co             COMMON           577778103            746,568               31,107
McDonalds Corp                       COMMON           580135101        210,606,694            6,394,131
McDonalds Corp                       COMMON           580135101         19,230,740              583,855
McDonalds Corp                       COMMON           580135101         15,458,392              469,325
McDonalds Corp                       COMMON           580135101            230,563                7,000
McGraw-Hill Inc                      COMMON           580645109        386,562,040            7,158,556
McGraw-Hill Inc                      COMMON           580645109         67,049,114            1,241,650
McGraw-Hill Inc                      COMMON           580645109         23,319,360              431,840
McGraw-Hill Inc                      COMMON           580645109            394,740                7,310
MediaOne Group Inc                   COMMON           58440J104            485,149                7,323
MediaOne Group Inc                   COMMON           58440J104             18,086                  273
Medtronic Inc                        COMMON           585055106          3,360,750               67,468
Mellon Finl Corp                     COMMON           58551A108          6,711,897              184,203
Mellon Finl Corp                     COMMON           58551A108          3,853,703              105,762
Mellon Finl Corp                     COMMON           58551A108        265,677,035            7,291,308
Merck & Co Inc                       COMMON           589331107      1,651,569,771           21,553,929
Merck & Co Inc                       COMMON           589331107        257,198,832            3,356,592
Merck & Co Inc                       COMMON           589331107        217,992,838            2,844,931
Merck & Co Inc                       COMMON           589331107          9,502,956              124,019
Merrill Lynch & Co Inc               COMMON           590188108         36,749,544              319,561
Merrill Lynch & Co Inc               COMMON           590188108         10,015,350               87,090
Merrill Lynch & Co Inc               COMMON           590188108          4,554,000               39,600
Merrill Lynch & Co Inc               COMMON           590188108            161,000                1,400
Mesa Offshore Trust UBI              COMMON           590650107              7,810              100,000
Mesa Royalty Trust                   COMMON           590660106            360,000                9,000
Mesa Royalty Trust                   COMMON           590660106             12,000                  300
                                                                      ____________
COLUMN TOTALS                                                        3,191,828,932

<CAPTION>
__________________________           __________    _____________     _____________     ___________     __________   _____________
Item 1:                              Item 6:                         Item 7:                           Item 8:
Name of Issuer                       Discretion    (Shares)          Managers          Voting          Authority    (Shares)
                                     (b)Shared     (c)Shared-
                                                   Other                               (a)Sole         (b)Shared    (c)None
__________________________           __________    _____________     _____________     ___________     __________   _____________
<S>                                  <C>           <C>               <C>               <C>             <C>          <C>
May Department Stores Co                                  31,107     None                                  31,107
McDonalds Corp                        6,394,131                      1                                  5,225,987       1,168,144
McDonalds Corp                          583,855                      1., 2.                               442,155         141,700
McDonalds Corp                          469,325                      1., 3.                                               469,325
McDonalds Corp                                             7,000     None                                   7,000
McGraw-Hill Inc                       7,158,556                      1                                  6,055,712       1,102,845
McGraw-Hill Inc                       1,241,650                      1., 2.                             1,126,213         115,437
McGraw-Hill Inc                         431,840                      1., 3.                                               431,840
McGraw-Hill Inc                                            7,310     None                                   7,310
MediaOne Group Inc                        7,323                      1                                                      7,323
MediaOne Group Inc                          273                      1., 2.                                   273
Medtronic Inc                            67,468                      1                                     62,980           4,488
Mellon Finl Corp                        184,203                      1                                    162,573          21,630
Mellon Finl Corp                        105,762                      1., 2.                               105,762
Mellon Finl Corp                      7,291,308                      1., 3.                             7,288,308           3,000
Merck & Co Inc                       21,553,929                      1                                 17,323,509       4,230,419
Merck & Co Inc                        3,356,592                      1., 2.                             3,079,279         277,313
Merck & Co Inc                        2,844,931                      1., 3.                             1,758,000       1,086,931
Merck & Co Inc                                           124,019     None                                 124,019
Merrill Lynch & Co Inc                  319,561                      1                                    213,241         106,320
Merrill Lynch & Co Inc                   87,090                      1., 2.                                69,425          17,665
Merrill Lynch & Co Inc                   39,600                      1., 3.                                39,600
Merrill Lynch & Co Inc                                     1,400     None                                   1,400
Mesa Offshore Trust UBI                 100,000                      1                                                    100,000
Mesa Royalty Trust                        9,000                      1., 3.                                 9,000
Mesa Royalty Trust                                           300     None                                     300

COLUMN TOTALS
</TABLE>


<PAGE>

<TABLE>
<CAPTION>

Page     18                           FORM 13F       Name of Reporting Manager:  Fayez Sarofim & Co.                6/30/00
__________________________           ______          __________      _____________        _____________      ______________
Item 1:                              Item 2:         Item 3:         Item 4:              Item 5:
Name of Issuer                       Title           CUSIP           Fair                 Shares or          Investment
                                     of              Number          Market               Principal          (a)Sole
                                     Class                           Value                Amount
__________________________           ______          __________      _____________        _____________      ______________
<S>                                  <C>             <C>             <C>                  <C>                <C>
Microsoft Corp                       COMMON          594918104         568,948,640          7,111,858
Microsoft Corp                       COMMON          594918104          86,141,200          1,076,765
Microsoft Corp                       COMMON          594918104          30,214,000            377,675
Microsoft Corp                       COMMON          594918104             420,000              5,250
Millipore Corp                       COMMON          601073109             256,275              3,400
Minnesota Mining & Mfg               COMMON          604059105           4,399,306             53,204
Minnesota Mining & Mfg               COMMON          604059105             343,153              4,150
Minnesota Mining & Mfg               COMMON          604059105           1,177,470             14,240
Mitchell Energy & Devel-             COMMON          606592202             218,257              6,794
opment Corp Class A common
Morgan JP & Co Inc                   COMMON          616880100           5,129,512             46,579
Morgan JP & Co Inc                   COMMON          616880100              38,213                347
Morgan Stanley Dean                  COMMON          617446448           4,147,682             49,822
Witter & Co
Morgan Stanley Dean                  COMMON          617446448             999,000             12,000
Witter & Co
Motorola Inc                         COMMON          620076109             373,650             12,455
Motorola Inc                         COMMON          620076109              76,050              2,535
News Corp Ltd ADS                    COMMON          652487703         143,829,607          2,639,075
News Corp Ltd ADS                    COMMON          652487703          38,972,296            715,088
News Corp Ltd ADS                    COMMON          652487703             833,850             15,300
News Corp Ltd Preference             CV-PFD          652487802          93,810,695          1,974,962
Limited Voting Pref ADS
News Corp Ltd Preference             CV-PFD          652487802          21,194,928            446,209
Limited Voting Pref ADS
                                                                      ____________
COLUMN TOTALS                                                        1,001,523,784

<CAPTION>
__________________________           __________    _____________     _____________     ___________     __________   _____________
Item 1:                              Item 6:                         Item 7:                           Item 8:
Name of Issuer                       Discretion    (Shares)          Managers          Voting          Authority    (Shares)
                                     (b)Shared     (c)Shared-
                                                   Other                               (a)Sole         (b)Shared    (c)None
__________________________           __________    _____________     _____________     ___________     __________   _____________
<S>                                  <C>           <C>               <C>               <C>             <C>          <C>
Microsoft Corp                        7,111,858                       1                                 6,115,433         996,425
Microsoft Corp                        1,076,765                       1., 2.                              927,595         149,170
Microsoft Corp                          377,675                       1., 3.                                              377,675
Microsoft Corp                                             5,250      None                                  5,250
Millipore Corp                            3,400                       1                                     3,400
Minnesota Mining & Mfg                   53,204                       1                                    16,909          36,295
Minnesota Mining & Mfg                    4,150                       1., 2.                                1,600           2,550
Minnesota Mining & Mfg                                    14,240      None                                 14,240
Mitchell Energy & Devel-                  6,794                       1., 2.                                6,794
opment Corp Class A common
Morgan JP & Co Inc                       46,579                       1                                    19,446          27,133
Morgan JP & Co Inc                          347                       1., 2.                                  347
Morgan Stanley Dean                      49,822                       1                                    49,488             334
Witter & Co
Morgan Stanley Dean                      12,000                       1., 2.                                               12,000
Witter & Co
Motorola Inc                             12,455                       1                                     2,100          10,355
Motorola Inc                              2,535                       1., 2.                                2,535
News Corp Ltd ADS                     2,639,075                       1                                 2,235,295         403,780
News Corp Ltd ADS                       715,088                       1., 2.                              712,788           2,300
News Corp Ltd ADS                        15,300                       1., 3.                                               15,300
News Corp Ltd Preference              1,974,962                       1                                 1,576,347         398,615
Limited Voting Pref ADS
News Corp Ltd Preference                446,209                       1., 2.                              427,159          19,050
Limited Voting Pref ADS

COLUMN TOTALS
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

Page     19                           FORM 13F       Name of Reporting Manager:  Fayez Sarofim & Co.                6/30/00
__________________________           ______          __________      _____________        _____________      ______________
Item 1:                              Item 2:         Item 3:         Item 4:              Item 5:
Name of Issuer                       Title           CUSIP           Fair                 Shares or          Investment
                                     of              Number          Market               Principal          (a)Sole
                                     Class                           Value                Amount
__________________________           ______          __________      _____________        _____________      ______________
<S>                                  <C>             <C>             <C>                  <C>                <C>
News Corp Ltd Preference             CV-PFD           652487802          8,813,625              185,550
Limited Voting Pref ADS
NIKE Inc Class B                     COMMON           654106103            222,950                5,600
Nokia Corp Sponsored ADR             COMMON           654902204          4,880,994               97,498
1/2 sh pfd.
Nokia Corp Sponsored ADR             COMMON           654902204            120,150                2,400
1/2 sh pfd.
Norfolk Southern Corp                COMMON           655844108        115,421,711            7,759,443
Norfolk Southern Corp                COMMON           655844108         25,114,876            1,688,395
Norfolk Southern Corp                COMMON           655844108          7,928,003              532,975
Norfolk Southern Corp                COMMON           655844108            193,003               12,975
Nortel Networks Corp                 COMMON           656568102            686,684                9,970
Northern Trust Corp                  COMMON           665859104            865,331               13,300
Ogden Corp                           COMMON           676346109             17,145                1,905
Ogden Corp                           COMMON           676346109            900,324              100,036
Omnicom Group                        COMMON           681919106            530,813                5,960
On Assignment Inc                    COMMON           682159108            256,200                8,400
Oracle Corp                          COMMON           68389X105          2,200,336               26,175
Owens Corning Corp                   COMMON           69073F103            800,893               86,583
Owens Corning Corp                   COMMON           69073F103            924,945               99,994
PG & E Corp                          COMMON           69331C108            377,255               15,320
PE Corp                              COMMON           69332S102            352,176                5,336
                                                                      ____________
COLUMN TOTALS                                                          170,607,414

<CAPTION>
__________________________           __________    _____________     _____________     ___________     __________   _____________
Item 1:                              Item 6:                         Item 7:                           Item 8:
Name of Issuer                       Discretion    (Shares)          Managers          Voting          Authority    (Shares)
                                     (b)Shared     (c)Shared-
                                                   Other                               (a)Sole         (b)Shared    (c)None
__________________________           __________    _____________     _____________     ___________     __________   _____________
<S>                                  <C>           <C>               <C>               <C>             <C>          <C>
News Corp Ltd Preference                185,550                      1., 3.                                               185,550
Limited Voting Pref ADS
NIKE Inc Class B                          5,600                      1                                      2,000           3,600
Nokia Corp Sponsored ADR                 97,498                      1                                     32,000          65,498
1/2 sh pfd.
Nokia Corp Sponsored ADR                  2,400                      1., 2.                                2,400
1/2 sh pfd.
Norfolk Southern Corp                 7,759,443                      1                                 6,445,723        1,313,720
Norfolk Southern Corp                 1,688,395                      1., 2.                            1,577,100          111,295
Norfolk Southern Corp                   532,975                      1., 3.                                               532,975
Norfolk Southern Corp                                     12,975     None                                 12,975
Nortel Networks Corp                      9,970                      1                                     3,000            6,970
Northern Trust Corp                      13,300                      1                                     5,700            7,600
Ogden Corp                                1,905                      1                                     1,505              400
Ogden Corp                              100,036                      1., 3.                              100,036
Omnicom Group                             5,960                      1                                     5,870               90
On Assignment Inc                         8,400                      1                                     8,400
Oracle Corp                              26,175                      1                                    14,174           12,001
Owens Corning Corp                       86,583                      1                                    83,840            2,743
Owens Corning Corp                       99,994                      1., 2.                               99,994
PG & E Corp                              15,320                      1                                    13,300            2,020
PE Corp                                   5,336                      1                                                      5,336

COLUMN TOTALS
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

Page     20                           FORM 13F       Name of Reporting Manager:  Fayez Sarofim & Co.                6/30/00
__________________________           ______          __________      _____________        _____________      ______________
Item 1:                              Item 2:         Item 3:         Item 4:              Item 5:
Name of Issuer                       Title           CUSIP           Fair                 Shares or          Investment
                                     of              Number          Market               Principal          (a)Sole
                                     Class                           Value                Amount
__________________________           ______          __________      _____________        _____________      ______________
<S>                                  <C>             <C>             <C>                  <C>                <C>
PE Corp-Celera Genomics              COMMON           69332S201          1,054,062               11,334
Group
PE Corp-Celera Genomics              COMMON           69332S201            558,000                6,000
Group
PNC Finl Svcs Group Inc              COMMON           693475105          1,413,281               30,150
Pactiv Corp                          COMMON           695257105              6,048                  768
Pactiv Corp                          COMMON           695257105            787,500              100,000
Palm Inc                             COMMON           696642107            333,750               10,000
Pennzoil-Quaker State Co             COMMON           709323109            938,185               77,777
Pennzoil-Quaker State Co             COMMON           709323109            180,938               15,000
Pennzoil-Quaker State Co             COMMON           709323109          4,644,063              385,000
Pennzoil-Quaker State Co             COMMON           709323109             28,238                2,341
PepsiCo Inc                          COMMON           713448108        870,913,818           19,598,623
PepsiCo Inc                          COMMON           713448108        165,721,842            3,729,324
PepsiCo Inc                          COMMON           713448108         43,699,838              983,400
PepsiCo Inc                          COMMON           713448108          2,975,091               66,950
Pfizer Inc                           COMMON           717081103      2,916,401,717           60,758,369
Pfizer Inc                           COMMON           717081103        484,102,320           10,085,465
Pfizer Inc                           COMMON           717081103        159,705,600            3,327,200
Pfizer Inc                           COMMON           717081103         14,987,712              312,244
PharmChem Inc                        COMMON           717133102             72,243               27,521
Pharmacia Corp                       COMMON           71713U102            922,610               17,850
Pharmacia Corp                       COMMON           71713U102             27,291                  528
Philip Morris Cos Inc                COMMON           718154107        780,222,222           29,373,072
Philip Morris Cos Inc                COMMON           718154107        140,650,640            5,295,083
                                                                      ____________
COLUMN TOTALS                                                        5,590,347,009

<CAPTION>
__________________________           __________    _____________     _____________     ___________     __________   _____________
Item 1:                              Item 6:                         Item 7:                           Item 8:
Name of Issuer                       Discretion    (Shares)          Managers          Voting          Authority    (Shares)
                                     (b)Shared     (c)Shared-
                                                   Other                               (a)Sole         (b)Shared    (c)None
__________________________           __________    _____________     _____________     ___________     __________   _____________
<S>                                  <C>           <C>               <C>               <C>             <C>          <C>
PE Corp-Celera Genomics                  11,334                      1                                                     11,334
Group
PE Corp-Celera Genomics                   6,000                      1., 3.                                                 6,000
Group
PNC Finl Svcs Group Inc                  30,150                      1                                     19,100          11,050
Pactiv Corp                                 768                      1., 2.                                   768
Pactiv Corp                             100,000                      1., 3.                               100,000
Palm Inc                                 10,000                      1                                     10,000
Pennzoil-Quaker State Co                 77,777                      1                                     76,550           1,227
Pennzoil-Quaker State Co                 15,000                      1., 2.                                15,000
Pennzoil-Quaker State Co                385,000                      1., 3.                               385,000
Pennzoil-Quaker State Co                                   2,341     None                                   2,341
PepsiCo Inc                          19,598,623                      1                                 16,234,393       3,364,230
PepsiCo Inc                           3,729,324                      1., 2.                             3,499,547         229,777
PepsiCo Inc                             983,400                      1., 3.                                               983,400
PepsiCo Inc                                               66,950     None                                 66,950
Pfizer Inc                           60,758,369                      1                                49,665,012       11,093,357
Pfizer Inc                           10,085,465                      1., 2.                            9,342,515          742,950
Pfizer Inc                            3,327,200                      1., 3.                              214,500        3,112,700
Pfizer Inc                                               312,244     None                                312,244
PharmChem Inc                            27,521                      1., 3.                               27,521
Pharmacia Corp                           17,850                      1                                    11,678            6,172
Pharmacia Corp                              528                      1., 2.                                  528
Philip Morris Cos Inc                29,373,072                      1                                23,251,553        6,121,519
Philip Morris Cos Inc                 5,295,083                      1., 2.                            4,970,095          324,988

COLUMN TOTALS
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

Page     21                           FORM 13F       Name of Reporting Manager:  Fayez Sarofim & Co.                6/30/00
__________________________           ______          __________      _____________        _____________      ______________
Item 1:                              Item 2:         Item 3:         Item 4:              Item 5:
Name of Issuer                       Title           CUSIP           Fair                 Shares or          Investment
                                     of              Number          Market               Principal          (a)Sole
                                     Class                           Value                Amount
__________________________           ______          __________      _____________        _____________      ______________
<S>                                  <C>             <C>             <C>                  <C>                <C>
Philip Morris Cos Inc                COMMON           718154107        217,372,784            8,183,446
Philip Morris Cos Inc                COMMON           718154107          6,764,672              254,670
Pilgrim Mayflower Trust              COMMON           721462786            190,076               11,057
Value Fund-C
Pitney-Bowes Inc                     COMMON           724479100            498,880               12,472
Polo Ralph Lauren Corp               COMMON           731572103          6,466,436              453,785
Polo Ralph Lauren Corp               COMMON           731572103          2,140,350              150,200
Polo Ralph Lauren Corp               COMMON           731572103          1,692,188              118,750
Price (T Rowe) Assn Inc              COMMON           741477103            170,000                4,000
Price (T Rowe) Assn Inc              COMMON           741477103        170,000,000            4,000,000
Procter & Gamble                     COMMON           742718109        674,770,566           11,786,385
Procter & Gamble                     COMMON           742718109        115,038,265            2,009,402
Procter & Gamble                     COMMON           742718109         74,886,034            1,308,053
Procter & Gamble                     COMMON           742718109          2,840,516               49,616
Progressive Corp Ohio                COMMON           743315103            209,475                2,850
Providian Finl Corp                  COMMON           74406A102            343,890                3,821
PSINet Inc                           COMMON           74437C101            929,625               37,000
Quorum Health Group Inc              COMMON           749084109            177,705               17,232
RadioShack Corp                      COMMON           750438103            458,969                9,688
Rational Software Corp               COMMON           75409P202         14,022,472              150,881
Rational Software Corp               COMMON           75409P202          6,263,988               67,400
Reliant Energy Inc                   COMMON           75952J108            492,990               16,433
Repsol S A Sponsored ADR             COMMON           76026T205            239,236               12,075
                                                                      ____________
COLUMN TOTALS                                                        1,295,969,117

<CAPTION>
__________________________           __________    _____________     _____________     ___________     __________   _____________
Item 1:                              Item 6:                         Item 7:                           Item 8:
Name of Issuer                       Discretion    (Shares)          Managers          Voting          Authority    (Shares)
                                     (b)Shared     (c)Shared-
                                                   Other                               (a)Sole         (b)Shared    (c)None
__________________________           __________    _____________     _____________     ___________     __________   _____________
<S>                                  <C>           <C>               <C>               <C>             <C>          <C>
Philip Morris Cos Inc                 8,183,446                      1., 3.                             5,598,000       2,585,446
Philip Morris Cos Inc                                    254,670     None                                 254,670
Pilgrim Mayflower Trust                  11,057                      1                                     11,057
Value Fund-C
Pitney-Bowes Inc                         12,472                      1                                      1,000          11,472
Polo Ralph Lauren Corp                  453,785                      1                                    335,745         118,040
Polo Ralph Lauren Corp                  150,200                      1., 2.                               141,500           8,700
Polo Ralph Lauren Corp                  118,750                      1., 3.                                               118,750
Price (T Rowe) Assn Inc                   4,000                      1                                                      4,000
Price (T Rowe) Assn Inc               4,000,000                      1., 3.                             4,000,000
Procter & Gamble                     11,786,385                      1                                  9,566,777       2,219,608
Procter & Gamble                      2,009,402                      1., 2.                             1,858,230         151,172
Procter & Gamble                      1,308,053                      1., 3.                               736,000         572,053
Procter & Gamble                                          49,616     None                                  49,616
Progressive Corp Ohio                     2,850                      1                                                      2,850
Providian Finl Corp                       3,821                      1                                                      3,821
PSINet Inc                               37,000                      1                                                     37,000
Quorum Health Group Inc                  17,232                      1                                     17,232
RadioShack Corp                           9,688                      1                                      4,000           5,688
Rational Software Corp                  150,881                      1                                    115,852          35,029
Rational Software Corp                   67,400                      1., 3.                                67,400
Reliant Energy Inc                       16,433                      1                                      4,463          11,970
Repsol S A Sponsored ADR                 12,075                      1                                      7,500           4,575

COLUMN TOTALS
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

Page     22                           FORM 13F       Name of Reporting Manager:  Fayez Sarofim & Co.                6/30/00
__________________________           ______          __________      _____________        _____________      ______________
Item 1:                              Item 2:         Item 3:         Item 4:              Item 5:
Name of Issuer                       Title           CUSIP           Fair                 Shares or          Investment
                                     of              Number          Market               Principal          (a)Sole
                                     Class                           Value                Amount
__________________________           ______          __________      _____________        _____________      ______________
<S>                                  <C>             <C>             <C>                  <C>                <C>
Rite Aid Corp                        COMMON           767754104             90,125               14,000
Rockwell Intl Corp New               COMMON           773903109         41,269,843            1,310,154
Rockwell Intl Corp New               COMMON           773903109          4,268,408              135,505
Rockwell Intl Corp New               COMMON           773903109          3,209,850              101,900
Rockwell Intl Corp New               COMMON           773903109            157,500                5,000
Rohm & Haas Co                       COMMON           775371107          3,769,352              109,257
Rouse Co                             COMMON           779273101          1,750,667               70,734
Royal Dutch Petroleum Co             COMMON           780257804        463,349,698            7,526,493
N Y Registry Shares
Royal Dutch Petroleum Co             COMMON           780257804         71,155,661            1,155,828
N Y Registry Shares
Royal Dutch Petroleum Co             COMMON           780257804         16,849,656              273,700
N Y Registry Shares
Royal Dutch Petroleum Co             COMMON           780257804          1,511,359               24,550
N Y Registry Shares
SBC Communications Inc               COMMON           78387G103        580,247,866           13,416,136
SBC Communications Inc               COMMON           78387G103        121,228,239            2,802,965
SBC Communications Inc               COMMON           78387G103         35,645,180              824,166
SBC Communications Inc               COMMON           78387G103          1,196,901               27,674
Sabine Royalty Trust                 COMMON           785688102          2,409,375              150,000
Sabine Royalty Trust                 COMMON           785688102              2,249                  140
Sara Lee Corp                        COMMON           803111103         13,525,441              704,909
Sara Lee Corp                        COMMON           803111103            873,031               45,500
Sara Lee Corp                        COMMON           803111103             46,050                2,400
Sara Lee Corp                        COMMON           803111103            397,181               20,700
Schering-Plough Corp                 COMMON           806605101         32,973,874              652,948
                                                                      ____________
COLUMN TOTALS                                                        1,395,927,506

<CAPTION>
__________________________           __________    _____________     _____________     ___________     __________   _____________
Item 1:                              Item 6:                         Item 7:                           Item 8:
Name of Issuer                       Discretion    (Shares)          Managers          Voting          Authority    (Shares)
                                     (b)Shared     (c)Shared-
                                                   Other                               (a)Sole         (b)Shared    (c)None
__________________________           __________    _____________     _____________     ___________     __________   _____________
<S>                                  <C>           <C>               <C>               <C>             <C>          <C>
Rite Aid Corp                            14,000                      1                                                     14,000
Rockwell Intl Corp New                1,310,154                      1                                  1,010,465         299,689
Rockwell Intl Corp New                  135,505                      1., 2.                                87,950          47,555
Rockwell Intl Corp New                  101,900                      1., 3.                                               101,900
Rockwell Intl Corp New                                     5,000     None                                   5,000
Rohm & Haas Co                          109,257                      1                                     72,484          36,773
Rouse Co                                 70,734                      1                                                     70,734
Royal Dutch Petroleum Co              7,526,493                      1                                  5,986,992       1,539,501
N Y Registry Shares
Royal Dutch Petroleum Co              1,155,828                      1., 2.                             1,070,028          85,800
N Y Registry Shares
Royal Dutch Petroleum Co                273,700                      1., 3.                                               273,700
N Y Registry Shares
Royal Dutch Petroleum Co                                  24,550     None                                  24,550
N Y Registry Shares
SBC Communications Inc               13,416,136                      1                                 11,148,360       2,267,775
SBC Communications Inc                2,802,965                      1., 2.                             2,608,097         194,868
SBC Communications Inc                  824,166                      1., 3.                                83,068         741,098
SBC Communications Inc                                    27,674     None                                  27,674
Sabine Royalty Trust                    150,000                      1., 3.                               150,000
Sabine Royalty Trust                                         140     None                                     140
Sara Lee Corp                           704,909                      1                                    528,348         176,561
Sara Lee Corp                            45,500                      1., 2.                                45,500
Sara Lee Corp                             2,400                      1., 3.                                                 2,400
Sara Lee Corp                                             20,700     None                                  20,700
Schering-Plough Corp                    652,948                      1                                    401,686         251,262

COLUMN TOTALS
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

Page     23                           FORM 13F       Name of Reporting Manager:  Fayez Sarofim & Co.                6/30/00
__________________________           ______          __________      _____________        _____________      ______________
Item 1:                              Item 2:         Item 3:         Item 4:              Item 5:
Name of Issuer                       Title           CUSIP           Fair                 Shares or          Investment
                                     of              Number          Market               Principal          (a)Sole
                                     Class                           Value                Amount
__________________________           ______          __________      _____________        _____________      ______________
<S>                                  <C>             <C>             <C>                  <C>                <C>
Schering-Plough Corp                 COMMON           806605101          3,434,000               68,000
Schlumberger Ltd                     COMMON           806857108          1,048,332               14,048
Schlumberger Ltd                     COMMON           806857108            354,469                4,750
Schweitzer-Mauduit Int'l             COMMON           808541106            198,988               15,919
Scientific Atlanta Inc               COMMON           808655104            447,000                6,000
Scios Inc                            COMMON           808905103            112,500               20,000
Seagate Technology                   COMMON           811804103            308,000                5,600
Seagram Company Ltd                  COMMON           811850106          3,266,038               56,311
Seagram Company Ltd                  COMMON           811850106            208,220                3,590
Seagram Company Ltd                  COMMON           811850106            255,200                4,400
Shell Transport & Trading            COMMON           822703609            766,341               15,346
PLC
Shell Transport & Trading            COMMON           822703609          1,448,188               29,000
PLC
Smith Intl Inc                       COMMON           832110100             30,945                  425
Smith Intl Inc                       COMMON           832110100          2,337,778               32,107
SmithKline Beecham PLC -             COMMON           832378301          1,110,143               17,030
@ ADR (represent. 5 Ord. S           h.
SmithKline Beecham PLC -             COMMON           832378301             72,489                1,112
@ ADR (represent. 5 Ord. S           h.
Solectron Corp                       COMMON           834182107          3,597,063               85,900
Solectron Corp                       COMMON           834182107             33,500                  800
Sony Corp ADR                        COMMON           835699307            811,088                8,600
Southern Co                          COMMON           842587107            225,968                9,693
                                                                      ____________
COLUMN TOTALS                                                           20,066,250

<CAPTION>
__________________________           __________    _____________     _____________     ___________     __________   _____________
Item 1:                              Item 6:                         Item 7:                           Item 8:
Name of Issuer                       Discretion    (Shares)          Managers          Voting          Authority    (Shares)
                                     (b)Shared     (c)Shared-
                                                   Other                               (a)Sole         (b)Shared    (c)None
__________________________           __________    _____________     _____________     ___________     __________   _____________
<S>                                  <C>           <C>               <C>               <C>             <C>          <C>
Schering-Plough Corp                     68,000                      1., 2.                                63,800           4,200
Schlumberger Ltd                         14,048                      1                                      9,078           4,970
Schlumberger Ltd                                           4,750     None                                   4,750
Schweitzer-Mauduit Int'l                 15,919                      1                                        500          15,419
Scientific Atlanta Inc                    6,000                      1                                      6,000
Scios Inc                                20,000                      1                                     10,000          10,000
Seagate Technology                        5,600                      1                                                      5,600
Seagram Company Ltd                      56,311                      1                                     31,060          25,251
Seagram Company Ltd                       3,590                      1., 2.                                   400           3,190
Seagram Company Ltd                       4,400                      1., 3.                                                 4,400
Shell Transport & Trading                15,346                      1                                     10,396           4,950
PLC
Shell Transport & Trading                                 29,000     None                                  29,000
PLC
Smith Intl Inc                              425                      1                                                        425
Smith Intl Inc                                            32,107     None                                  32,107
SmithKline Beecham PLC -                 17,030                      1                                      8,626           8,404
@ ADR (represent. 5 Ord. S
SmithKline Beecham PLC -                  1,112                      1., 2.                                                 1,112
@ ADR (represent. 5 Ord. S
Solectron Corp                           85,900                      1                                     40,640          45,260
Solectron Corp                              800                      1., 2.                                                   800
Sony Corp ADR                             8,600                      1                                      1,200           7,400
Southern Co                               9,693                      1                                      2,786           6,907

COLUMN TOTALS
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

Page     24                           FORM 13F       Name of Reporting Manager:  Fayez Sarofim & Co.                6/30/00
__________________________           ______          __________      _____________        _____________      ______________
Item 1:                              Item 2:         Item 3:         Item 4:              Item 5:
Name of Issuer                       Title           CUSIP           Fair                 Shares or          Investment
                                     of              Number          Market               Principal          (a)Sole
                                     Class                           Value                Amount
__________________________           ______          __________      _____________        _____________      ______________
<S>                                  <C>             <C>             <C>                  <C>                <C>
Southwest Airlines Co                COMMON           844741108           1,019,122              53,815
Southwest Airlines Co                COMMON           844741108              12,783                 675
Southwest Airlines Co                COMMON           844741108          16,440,534             868,147
Southwest Bancorp Texas              COMMON           84476R109             369,807              17,822
Sprint Corp (FON Group)              COMMON           852061100             310,182               6,082
Sun Microsystems Inc                 COMMON           866810104           2,039,273              22,425
SunTrust Banks Inc                   COMMON           867914103          67,932,355           1,486,891
SunTrust Banks Inc                   COMMON           867914103           5,647,203             123,605
SunTrust Banks Inc                   COMMON           867914103           6,716,063             147,000
SunTrust Banks Inc                   COMMON           867914103             228,438               5,000
Sysco Corp                           COMMON           871829107           1,105,613              26,246
Sysco Corp                           COMMON           871829107              80,038               1,900
Target Corp                          COMMON           8.76E+110          54,058,905             932,050
Target Corp                          COMMON           8.76E+110           5,875,964             101,310
Target Corp                          COMMON           8.76E+110           8,482,500             146,250
Tecumseh Products Co                 COMMON           878895101             617,813              15,000
Class B
Tecumseh Products Co                 COMMON           878895200              17,184                 450
Class A
Tecumseh Products Co                 COMMON           878895200           1,718,438              45,000
Class A
Telecom Italia SPA ADR               COMMON           87927W106           4,300,204              31,260
Sponsored ADR for ordinary
shares
                                                                       ____________
COLUMN TOTALS                                                           176,972,419

<CAPTION>
__________________________           __________    _____________     _____________     ___________     __________   _____________
Item 1:                              Item 6:                         Item 7:                           Item 8:
Name of Issuer                       Discretion    (Shares)          Managers          Voting          Authority    (Shares)
                                     (b)Shared     (c)Shared-
                                                   Other                               (a)Sole         (b)Shared    (c)None
__________________________           __________    _____________     _____________     ___________     __________   _____________
<S>                                  <C>           <C>               <C>               <C>             <C>          <C>
Southwest Airlines Co                    53,815                      1                                     15,310          38,505
Southwest Airlines Co                       675                      1., 2.                                                   675
Southwest Airlines Co                                    868,147     None                                 868,147
Southwest Bancorp Texas                  17,822                      1                                     15,500           2,322
Sprint Corp (FON Group)                   6,082                      1                                                      6,082
Sun Microsystems Inc                     22,425                      1                                      5,050          17,375
SunTrust Banks Inc                    1,486,891                      1                                  1,173,096         313,795
SunTrust Banks Inc                      123,605                      1., 2.                                60,675          62,930
SunTrust Banks Inc                      147,000                      1., 3.                                               147,000
SunTrust Banks Inc                                         5,000     None                                   5,000
Sysco Corp                               26,246                      1                                     22,282           3,964
Sysco Corp                                1,900                      1., 2.                                 1,900
Target Corp                             932,050                      1                                    708,908         223,142
Target Corp                             101,310                      1., 2.                                51,980          49,330
Target Corp                             146,250                      1., 3.                                               146,250
Tecumseh Products Co                     15,000                      1., 3.                                15,000
Class B
Tecumseh Products Co                        450                      1                                                        450
Class A
Tecumseh Products Co                     45,000                      1., 3.                                45,000
Class A
Telecom Italia SPA ADR                   31,260                      1                                     15,000          16,260
Sponsored ADR for ordinary
shares

COLUMN TOTALS
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

Page     25                           FORM 13F       Name of Reporting Manager:  Fayez Sarofim & Co.                6/30/00
__________________________           ______          __________      _____________        _____________      ______________
Item 1:                              Item 2:         Item 3:         Item 4:              Item 5:
Name of Issuer                       Title           CUSIP           Fair                 Shares or          Investment
                                     of              Number          Market               Principal          (a)Sole
                                     Class                           Value                Amount
__________________________           ______          __________      _____________        _____________      ______________
<S>                                  <C>             <C>             <C>                  <C>                <C>
Telecom Italia SPA ADR               COMMON           87927W106            825,375                6,000
Sponsored ADR for ordinary
shares
Teledyne Technologies Inc            COMMON           879360105            175,440                9,295
Teledyne Technologies Inc            COMMON           879360105          1,881,649               99,690
Temple-Inland Inc                    COMMON           879868107             40,656                  968
Temple-Inland Inc                    COMMON           879868107             30,240                  720
Temple-Inland Inc                    COMMON           879868107          1,298,052               30,906
Tenneco Automotive Inc               COMMON           880349105                803                  153
Tenneco Automotive Inc               COMMON           880349105            105,000               20,000
Texaco Inc                           COMMON           881694103            639,110               11,988
Texas Biotechnology Corp             COMMON           88221T104          2,668,750              140,000
Texas Instruments                    COMMON           882508104        296,646,706            4,318,787
Texas Instruments                    COMMON           882508104          6,004,936               87,424
Texas Instruments                    COMMON           882508104          1,126,475               16,400
Textron Inc                          COMMON           883203101            205,573                3,785
3Com Corp                            COMMON           885535104          1,501,708               26,060
Tidewater Inc                        COMMON           886423102          1,192,536               33,126
Tiffany & Co                         COMMON           886547108            405,000                6,000
Time Warner Inc                      COMMON           887315109        349,413,800            4,597,550
Time Warner Inc                      COMMON           887315109         53,895,096              709,146
Time Warner Inc                      COMMON           887315109         36,733,840              483,340
Time Warner Inc                      COMMON           887315109            766,080               10,080
Total Fina Elf S A ADR               COMMON           8.92E+113            523,784                6,819
                                                                      ____________
COLUMN TOTALS                                                          756,080,609

<CAPTION>
__________________________           __________    _____________     _____________     ___________     __________   _____________
Item 1:                              Item 6:                         Item 7:                           Item 8:
Name of Issuer                       Discretion    (Shares)          Managers          Voting          Authority    (Shares)
                                     (b)Shared     (c)Shared-
                                                   Other                               (a)Sole         (b)Shared    (c)None
__________________________           __________    _____________     _____________     ___________     __________   _____________
<S>                                  <C>           <C>               <C>               <C>             <C>          <C>
Telecom Italia SPA ADR                    6,000                      1., 2.                                                 6,000
Sponsored ADR for ordinary
shares
Teledyne Technologies Inc                 9,295                      1                                      9,293               2
Teledyne Technologies Inc                99,690                      1., 3.                                99,690
Temple-Inland Inc                           968                      1                                        180             788
Temple-Inland Inc                           720                      1., 2.                                                   720
Temple-Inland Inc                        30,906                      1., 3.                                30,906
Tenneco Automotive Inc                      153                      1., 2.                                   153
Tenneco Automotive Inc                   20,000                      1., 3.                                20,000
Texaco Inc                               11,988                      1                                      4,238           7,750
Texas Biotechnology Corp                140,000                      1                                     50,000          90,000
Texas Instruments                     4,318,787                      1                                  3,616,389         702,398
Texas Instruments                        87,424                      1., 2.                                77,300          10,124
Texas Instruments                        16,400                      1., 3.                                                16,400
Textron Inc                               3,785                      1                                      3,205             580
3Com Corp                                26,060                      1                                        270          25,790
Tidewater Inc                            33,126                      1                                     33,126
Tiffany & Co                              6,000                      1                                      6,000
Time Warner Inc                       4,597,550                      1                                  4,545,820          51,730
Time Warner Inc                         709,146                      1., 2.                               699,146          10,000
Time Warner Inc                         483,340                      1., 3.                               403,640          79,700
Time Warner Inc                                           10,080     None                                  10,080
Total Fina Elf S A ADR                    6,819                      1                                      5,432           1,387

COLUMN TOTALS
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

Page     26                           FORM 13F       Name of Reporting Manager:  Fayez Sarofim & Co.                6/30/00
__________________________           ______          __________      _____________        _____________      ______________
Item 1:                              Item 2:         Item 3:         Item 4:              Item 5:
Name of Issuer                       Title           CUSIP           Fair                 Shares or          Investment
                                     of              Number          Market               Principal          (a)Sole
                                     Class                           Value                Amount
__________________________           ______          __________      _____________        _____________      ______________
<S>                                  <C>             <C>             <C>                  <C>                <C>
Tricon Global Restaurants            COMMON           895953107         49,441,512            1,750,142
Tricon Global Restaurants            COMMON           895953107          9,769,641              345,828
Tricon Global Restaurants            COMMON           895953107          2,729,430               96,617
Tricon Global Restaurants            COMMON           895953107            189,134                6,695
Trinity Industries Inc               COMMON           896522109            335,775               18,150
Tyco International Ltd               COMMON           902124106          1,883,914               39,766
Tyco International Ltd               COMMON           902124106             23,688                  500
USG Corp                             COMMON           903293405             14,367                  473
USG Corp                             COMMON           903293405          1,573,668               51,808
Unilever N V                         COMMON           904784709            401,362                9,334
(New York Shares)
Unicom                               COMMON           904911104            349,928                9,045
Unicom                               COMMON           904911104             34,819                  900
United Asset Management              COMMON           909420101            233,750               10,000
United Asset Management              COMMON           909420101         33,195,305            1,420,120
United Parcel Service                COMMON           911312106        208,210,252            3,528,987
United Parcel Service                COMMON           911312106         29,081,758              492,911
United Parcel Service                COMMON           911312106         13,623,100              230,900
U S West Inc (New)                   COMMON           91273H101          1,865,063               21,750
U S West Inc (New)                   COMMON           91273H101             77,690                  906
United Technologies Corp             COMMON           913017109            304,443                5,171
United Technologies Corp             COMMON           913017109          2,572,838               43,700
Unitrin Inc                          COMMON           913275103         66,383,476            2,259,863
Unitrin Inc                          COMMON           913275103         14,456,906              492,150
                                                                      ____________
COLUMN TOTALS                                                          436,751,819

<CAPTION>
__________________________           __________    _____________     _____________     ___________     __________   _____________
Item 1:                              Item 6:                         Item 7:                           Item 8:
Name of Issuer                       Discretion    (Shares)          Managers          Voting          Authority    (Shares)
                                     (b)Shared     (c)Shared-
                                                   Other                               (a)Sole         (b)Shared    (c)None
__________________________           __________    _____________     _____________     ___________     __________   _____________
<S>                                  <C>           <C>               <C>               <C>             <C>          <C>
Tricon Global Restaurants             1,750,142                      1                                  1,450,685         299,457
Tricon Global Restaurants               345,828                      1., 2.                               310,293          35,535
Tricon Global Restaurants                96,617                      1., 3.                                                96,617
Tricon Global Restaurants                                  6,695     None                                   6,695
Trinity Industries Inc                   18,150                      1                                     12,000           6,150
Tyco International Ltd                   39,766                      1                                     20,966          18,800
Tyco International Ltd                      500                      1., 2.                                                   500
USG Corp                                    473                      1                                                        473
USG Corp                                 51,808                      1., 3.                                51,808
Unilever N V                              9,334                      1                                      3,625           5,709
(New York Shares)
Unicom                                    9,045                      1                                                      9,045
Unicom                                      900                      1., 2.                                   900
United Asset Management                  10,000                      1                                                     10,000
United Asset Management               1,420,120                      1., 3.                             1,420,120
United Parcel Service                 3,528,987                      1                                  2,872,462         656,525
United Parcel Service                   492,911                      1., 2.                               425,135          67,776
United Parcel Service                   230,900                      1., 3.                                               230,900
U S West Inc (New)                       21,750                      1                                     15,941           5,809
U S West Inc (New)                          906                      1., 2.                                   906
United Technologies Corp                  5,171                      1                                      1,668           3,503
United Technologies Corp                 43,700                      1., 2.                                43,700
Unitrin Inc                           2,259,863                      1                                  1,968,591         291,272
Unitrin Inc                             492,150                      1., 2.                               478,500          13,650

COLUMN TOTALS
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

Page     27                           FORM 13F       Name of Reporting Manager:  Fayez Sarofim & Co.                6/30/00
__________________________           ______          __________      _____________        _____________      ______________
Item 1:                              Item 2:         Item 3:         Item 4:              Item 5:
Name of Issuer                       Title           CUSIP           Fair                 Shares or          Investment
                                     of              Number          Market               Principal          (a)Sole
                                     Class                           Value                Amount
__________________________           ______          __________      _____________        _____________      ______________
<S>                                  <C>             <C>             <C>                  <C>                <C>
Unitrin Inc                          COMMON           913275103         21,731,331              739,790
Unitrin Inc                          COMMON           913275103            383,285               13,048
Verizon Communications               COMMON           92343V104        179,431,481            3,522,581
Verizon Communications               COMMON           92343V104         49,486,703              971,518
Verizon Communications               COMMON           92343V104          5,307,688              104,200
Viacom Inc Class B common            COMMON           925524308         45,499,200              667,266
(non-voting)
Viacom Inc Class B common            COMMON           925524308            754,017               11,058
(non-voting)
Viacom Inc Class B common            COMMON           925524308          6,634,303               97,295
(non-voting)
Vignette Corp                        COMMON           926734104            624,376               12,000
Visteon Corp                         COMMON           92839U107         23,401,721            1,930,039
Visteon Corp                         COMMON           92839U107          4,045,675              333,664
Visteon Corp                         COMMON           92839U107          1,225,971              101,111
Visteon Corp                         COMMON           92839U107             91,293                7,529
Vodafone Group PLC                   COMMON           92857W100          5,982,733              143,299
Sponsored ADR
Vodafone Group PLC                   COMMON           92857W100            121,075                2,900
Sponsored ADR
Vodafone Group PLC                   COMMON           92857W100          3,608,035               86,420
Sponsored ADR
Vodafone Group PLC                   COMMON           92857W100            208,750                5,000
Sponsored ADR
Wachovia Corp                        COMMON           929771103            202,678                3,736
Wal-Mart Stores Inc                  COMMON           931142103        697,593,997           12,225,086
Wal-Mart Stores Inc                  COMMON           931142103        132,704,068            2,325,592
Wal-Mart Stores Inc                  COMMON           931142103         25,472,700              446,400
                                                                      ____________
COLUMN TOTALS                                                        1,204,511,080

<CAPTION>
__________________________           __________    _____________     _____________     ___________     __________   _____________
Item 1:                              Item 6:                         Item 7:                           Item 8:
Name of Issuer                       Discretion    (Shares)          Managers          Voting          Authority    (Shares)
                                     (b)Shared     (c)Shared-
                                                   Other                               (a)Sole         (b)Shared    (c)None
__________________________           __________    _____________     _____________     ___________     __________   _____________
<S>                                  <C>           <C>               <C>               <C>             <C>          <C>
Unitrin Inc                             739,790                      1., 3.                               725,020          14,770
Unitrin Inc                                               13,048     None                                  13,048
Verizon Communications                3,522,581                      1                                  2,907,656         614,926
Verizon Communications                  971,518                      1., 2.                               896,311          75,207
Verizon Communications                  104,200                      1., 3.                                               104,200
Viacom Inc Class B common               667,266                      1                                    641,025          26,241
(non-voting)
Viacom Inc Class B common                11,058                      1., 2.                                 8,700           2,358
(non-voting)
Viacom Inc Class B common                97,295                      1., 3.                                                97,295
(non-voting)
Vignette Corp                            12,000                      1                                     12,000
Visteon Corp                          1,930,039                      1                                  1,615,533         314,506
Visteon Corp                            333,664                      1., 2.                               307,504          26,160
Visteon Corp                            101,111                      1., 3.                                41,115          59,996
Visteon Corp                                               7,529     None                                   7,529
Vodafone Group PLC                      143,299                      1                                    103,535          39,764
Sponsored ADR
Vodafone Group PLC                        2,900                      1., 2.                                 1,110           1,790
Sponsored ADR
Vodafone Group PLC                       86,420                      1., 3.                                86,420
Sponsored ADR
Vodafone Group PLC                                         5,000     None                                   5,000
Sponsored ADR
Wachovia Corp                             3,736                      1                                      3,736
Wal-Mart Stores Inc                  12,225,086                      1                                 10,231,428       1,993,658
Wal-Mart Stores Inc                   2,325,592                      1., 2.                             2,164,800         160,792
Wal-Mart Stores Inc                     446,400                      1., 3.                                               446,400

COLUMN TOTALS
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

Page     28                           FORM 13F       Name of Reporting Manager:  Fayez Sarofim & Co.                6/30/00
__________________________           ______          __________      _____________        _____________      ______________
Item 1:                              Item 2:         Item 3:         Item 4:              Item 5:
Name of Issuer                       Title           CUSIP           Fair                 Shares or          Investment
                                     of              Number          Market               Principal          (a)Sole
                                     Class                           Value                Amount
__________________________           ______          __________      _____________        _____________      ______________
<S>                                  <C>             <C>             <C>                  <C>                <C>
Wal-Mart Stores Inc                  COMMON           931142103          2,964,568               51,953
Walgreen Co                          COMMON           931422109        639,710,722           19,913,174
Walgreen Co                          COMMON           931422109        121,179,057            3,772,111
Walgreen Co                          COMMON           931422109         43,609,688            1,357,500
Walgreen Co                          COMMON           931422109          1,034,425               32,200
Warnaco Group Inc                    COMMON           934390105          9,587,471            1,237,093
Class A
Warnaco Group Inc                    COMMON           934390105             19,375                2,500
Class A
Warnaco Group Inc                    COMMON           934390105            739,738               95,450
Class A
Washington Mutual                    COMMON           939322103            317,254               11,011
Water Pik Technologies               COMMON           94113U100             20,763                3,322
Inc
Water Pik Technologies               COMMON           94113U100            218,069               34,891
Inc
Weingarten Realty Inv                COMMON           948741103            370,925                9,187
Weingarten Realty Inv                COMMON           948741103             56,525                1,400
Weingarten Realty Inv                COMMON           948741103             12,113                  300
Wells Fargo & Co                     COMMON           949746101          1,608,779               40,988
Wells Fargo & Co                     COMMON           949746101              7,850                  200
Wells Fargo & Co                     COMMON           949746101            247,432                6,304
Western Wireless Corp                COMMON           9.60E+208          1,041,332               19,107
Westvaco Corp                        COMMON           961548104         25,321,156            1,020,500
Westvaco Corp                        COMMON           961548104             11,166                  450
Weyerhaeuser Co                      COMMON           962166104            261,870                6,090
                                                                      ____________
COLUMN TOTALS                                                          848,340,278

<CAPTION>
__________________________           __________    _____________     _____________     ___________     __________   _____________
Item 1:                              Item 6:                         Item 7:                           Item 8:
Name of Issuer                       Discretion    (Shares)          Managers          Voting          Authority    (Shares)
                                     (b)Shared     (c)Shared-
                                                   Other                               (a)Sole         (b)Shared    (c)None
__________________________           __________    _____________     _____________     ___________     __________   _____________
<S>                                  <C>           <C>               <C>               <C>             <C>          <C>
Wal-Mart Stores Inc                                       51,953     None                                  51,953
Walgreen Co                           19,913,174                     1                                 16,156,924       3,756,250
Walgreen Co                            3,772,111                     1., 2.                             3,455,060         317,051
Walgreen Co                            1,357,500                     1., 3.                                             1,357,500
Walgreen Co                                               32,200     None                                  32,200
Warnaco Group Inc                      1,237,093                     1                                  1,147,343          89,750
Class A
Warnaco Group Inc                          2,500                     1., 2.                                                 2,500
Class A
Warnaco Group Inc                         95,450                     1., 3.                                                95,450
Class A
Washington Mutual                         11,011                     1                                        300          10,711
Water Pik Technologies                     3,322                     1                                      3,322
Inc
Water Pik Technologies                    34,891                     1., 3.                                34,891
Inc
Weingarten Realty Inv                      9,187                     1                                      4,609           4,578
Weingarten Realty Inv                      1,400                     1., 2.                                 1,400
Weingarten Realty Inv                                        300     None                                     300
Wells Fargo & Co                          40,988                     1                                     27,092          13,896
Wells Fargo & Co                             200                     1., 2.                                   200
Wells Fargo & Co                                           6,304     None                                   6,304
Western Wireless Corp                     19,107                     1                                     19,107
Westvaco Corp                          1,020,500                     1                                  1,020,200             300
Westvaco Corp                                450                     1., 2.                                   450
Weyerhaeuser Co                            6,090                     1                                                      6,090

COLUMN TOTALS
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

Page     29                           FORM 13F       Name of Reporting Manager:  Fayez Sarofim & Co.                6/30/00
__________________________           ______          __________      _____________        _____________      ______________
Item 1:                              Item 2:         Item 3:         Item 4:              Item 5:
Name of Issuer                       Title           CUSIP           Fair                 Shares or          Investment
                                     of              Number          Market               Principal          (a)Sole
                                     Class                           Value                Amount
__________________________           ______          __________      _____________        _____________      ______________
<S>                                  <C>             <C>             <C>                  <C>                <C>
Williams Cos Inc                     COMMON           969457100            521,552               12,511
Wilmington Trust Corp                COMMON           971807102            469,609               10,985
Winstar Communications               COMMON           975515107            232,891                6,875
Worldcom Inc                         COMMON           98157D106          2,647,309               57,707
Worldcom Inc                         COMMON           98157D106            178,913                3,900
Xilinx Inc                           COMMON           983919101            627,475                7,600
Zions Bancorp                        COMMON           989701107         13,258,942              288,925
Zions Bancorp                        COMMON           989701107             73,425                1,600
Zions Bancorp                        COMMON           989701107            220,275                4,800
Global Crossing Ltd                  COMMON           G3921A100            749,617               28,489
Global Crossing Ltd                  COMMON           G3921A100          2,974,760              113,055
Transocean Sedco Forex               COMMON           G90078109            215,674                4,036
Transocean Sedco Forex               COMMON           G90078109             49,056                  918
                                                                    ______________
COLUMN TOTALS                                                           22,219,498
                                                                    ______________
REPORT TOTALS                                                       45,210,028,943
                                                                    ==============
<CAPTION>
__________________________           __________    _____________     _____________     ___________     __________   _____________
Item 1:                              Item 6:                         Item 7:                           Item 8:
Name of Issuer                       Discretion    (Shares)          Managers          Voting          Authority    (Shares)
                                     (b)Shared     (c)Shared-
                                                   Other                               (a)Sole         (b)Shared    (c)None
__________________________           __________    _____________     _____________     ___________     __________   _____________
<S>                                  <C>           <C>               <C>               <C>             <C>          <C>
Williams Cos Inc                         12,511                      1                                      7,045           5,466
Wilmington Trust Corp                    10,985                      1                                      4,385           6,600
Winstar Communications                    6,875                      1                                                      6,875
Worldcom Inc                             57,707                      1                                     35,482          22,226
Worldcom Inc                              3,900                      1., 2.                                                 3,900
Xilinx Inc                                7,600                      1                                      7,600
Zions Bancorp                           288,925                      1                                    205,575          83,350
Zions Bancorp                             1,600                      1., 2.                                 1,000             600
Zions Bancorp                             4,800                      1., 3.                                                 4,800
Global Crossing Ltd                      28,489                      1                                                     28,489
Global Crossing Ltd                     113,055                      1., 3.                               113,055
Transocean Sedco Forex                    4,036                      1                                      3,847             189
Transocean Sedco Forex                                       918     None                                     918

COLUMN TOTALS

REPORT TOTALS

Run Date:  8/10/00                      10:49   :56  EOQYY   YYY
</TABLE>


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