<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>