NATIONWIDE MUTUAL INSURANCE CO
13F-HR, 1999-11-09
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                             UNITED STATES
                   SECURITIES AND EXCHANGE COMMISSION
                        Washington, D.C.  20549

                                FORM 13F

                           FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended:  September 30, 1999

Check here if Amendment  (  ); Amendment Number:
This Amendment  (Check only one.):	(  ) is a restatement.
						(  ) adds new holdings entries.

Institutional Investment Manager Filing this Report:

Name:		Nationwide Mutual Inurance Company
Address:	One Nationwide Plaza
		Columbus, OH  43215

13F File Number:	28-608

The institutional investment manager filing this report and the person by whom
it is signed hereby represent that the person signing the report
is authorized to submit it, that all information contained herein is true,
correct and complete, and that it is understood that all required
items, statements, schedules, lists, and tables, are considered integral parts
of this form.


Person Signing this Report on Behalf of Reporting Manager:

Name:		Robert J. Woodward, Jr.
Title:	Executive Vice President and Chief Investment Officer
Phone:	(614)249-7696
Signature, Place, and Date of Signing:

	Robert J. Woodward, Jr.		Columbus, Ohio	November 8, 1999


Report Type (Check only one.):

( X)		13F HOLDINGS REPORT.

(  )		13F NOTICE.

(  )		13F COMBINATION REPORT.

List of Other Managers Reporting for this Manager:


I AM SIGNING THIS REPORT AS REQUIRED BY THE SECURITIES EXCHANGE ACT OF 1934



                         FORM 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:		3

Form 13F Information Table Entry Total:	234

Form 13F Information Table Value Total:	$5,098,891


List of Other Included Managers:

No.	13F File Number	Name

01	28-607		Nationwide Corporation
02	28-606		Nationwide Life Insurance Company
03	28-1403		Nationwide Mutual Fire Insurance Company




<TABLE>
<S>                                            <C>       <C>          <C>       <S>                         <C>

FORM 13F INFORMATION TABLE
9/30/1999
                                                            VALUE    SHARES/  SH/  PUT/ INVSTMT  OTHER      VOTING AUTHORITY
NAME OF ISSUER                  TITLE OF CLASS    CUSIP  (X$1000)   PRIN AMT  PRN  CALL DSCRETN  MANAGERS       SOLE  SHARED  NONE

ABBOTT LABS                     COM            002824100    55,031 1,500,000  SH        SOLE                           1,500,000
ABBOTT LABS                     COM            002824100       770    21,000  SH        SHARED   01 02                       21,000
ABBOTT LABS                     COM            002824100       881    24,000  SH        SHARED   03                         24,000
ACTEL CORP                      COM            004934105       197    10,353  SH        SHARED   01                          10,353
ACUSON CORP                     COM            005113105       255    20,000  SH        SHARED   01                         20,000
ADVANCED POLYMER SYS INC        COM            00754G102        55    13,333  SH        SHARED   01                          13,333
AFFILIATED MANAGERS GROUP       COM            008252108       780    28,611  SH        SOLE                                  28,61
ALLERGAN INC                    COM            018490102     6,138    55,800  SH        SHARED   01 02                      55,800
ALLTEL CORP                     COM            020039103     1,979    28,120  SH        SHARED   01 02                       28,120
ALTERA CORP                     COM            021441100     1,735    40,000  SH        SHARED   01                         40,000
ALZA CORP DEL                   COM            022615108        77     1,802  SH        SHARED   01                            1,80
ALZA CORP DEL                   COM            022615108     3,279    76,600  SH        SHARED   01 02                      76,600
AMERICAN HOME PRODS CORP        COM            026609107     6,391   154,000  SH        SOLE                              154,000
AMERICAN HOME PRODS CORP        COM            026609107    37,333   899,600  SH        SHARED   01 02                   899,600
AMERICAN HOME PRODS CORP        COM            026609107     6,059   146,000  SH        SHARED   03                       146,000
AMERICAN INTL GROUP INC         COM            026874107   248,254 2,855,543  SH        SOLE                          2,855,543
AMERICAN INTL GROUP INC         COM            026874107    62,297   716,568  SH        SHARED   01 02                    716,568
AMERICAN INTL GROUP INC         COM            026874107    40,106   461,321  SH        SHARED   03                        461,321
AMVESCAP PLC                    SPONSORED ADR  03235E100    12,633   308,584  SH        SOLE                             308,584
AMVESCAP PLC                    SPONSORED ADR  03235E100     1,636    39,966  SH        SHARED   03                         39,966
ANHEUSER BUSCH COS INC          COM            035229103     2,866    40,900  SH        SHARED   01 02                      40,900
APPLIED MICROSYSTEMS CORP       COM            037935103        45    12,277  SH        SHARED   01                          12,277
ASSOCIATES FIRST CAP CORP       CL A           046008108     6,937   192,704  SH        SHARED   01 02                    192,704
AVERY DENNISON CORP             COM            053611109    35,026   664,000  SH        SOLE                             664,000
AVERY DENNISON CORP             COM            053611109     8,429   159,800  SH        SHARED   03                       159,800
AVON PRODS INC                  COM            054303102    21,547   868,400  SH        SHARED   01 02                   868,400
BP AMOCO P L C                  SPONSORED ADR  055622104    81,421   734,767  SH        SOLE                             734,767
BP AMOCO P L C                  SPONSORED ADR  055622104     7,039    63,520  SH        SHARED   03                         63,520
BMC SOFTWARE INC                COM            055921100     2,863    40,000  SH        SHARED   01                         40,000
BANK NEW YORK INC               COM            064057102     2,769    82,800  SH        SHARED   01 02                      82,800
BANK ONE CORP                   COM            06423A103    76,202 2,188,920  SH        SOLE                           2,188,920
BANK ONE CORP                   COM            06423A103    32,231   925,834  SH        SHARED   01 02                   925,834
BANK ONE CORP                   COM            06423A103    15,874   455,999  SH        SHARED   03                      455,999
BELO A H CORP DEL               COM SER A      080555105     1,191    62,250  SH        SOLE                                62,250
BELO A H CORP DEL               COM SER A      080555105       219    11,450  SH        SHARED   03                           11,45
BERKSHIRE HATHAWAY INC DEL      CL A           084670108    97,240     1,768  SH        SOLE                                   1,76
BERKSHIRE HATHAWAY INC DEL      CL A           084670108    17,600       320  SH        SHARED   01 02                            3
BERKSHIRE HATHAWAY INC DEL      CL A           084670108    10,560       192  SH        SHARED   03
BLACK & DECKER CORP             COM            091797100     6,488   142,000  SH        SOLE                              142,000
BLACK & DECKER CORP             COM            091797100    12,815   280,500  SH        SHARED   01 02                   280,500
BLACK & DECKER CORP             COM            091797100     1,083    23,700  SH        SHARED   03                         23,700
BRISTOL MYERS SQUIBB CO         COM            110122108    91,638 1,357,600  SH        SOLE                           1,357,600
BRISTOL MYERS SQUIBB CO         COM            110122108    54,864   812,800  SH        SHARED   01 02                    812,800
BRISTOL MYERS SQUIBB CO         COM            110122108    23,679   350,800  SH        SHARED   03                      350,800
BRUNSWICK CORP                  COM            117043109     1,910    76,800  SH        SHARED   01 02                      76,800
CBS CORP                        COM            12490K107     7,340   158,700  SH        SHARED   01 02                    158,700
CATERPILLAR INC DEL             COM            149123101    28,793   525,300  SH        SOLE                             525,300
CATERPILLAR INC DEL             COM            149123101    13,988   255,200  SH        SHARED   01 02                   255,200
CATERPILLAR INC DEL             COM            149123101    10,387   189,500  SH        SHARED   03                       189,500
CHARTER ONE FINL INC            COM            160903100     1,349    58,344  SH        SHARED   01 02                      58,344
CHUBB CORP                      COM            171232101    17,845   359,600  SH        SHARED   01 02                   359,600
CISCO SYS INC                   COM            17275R102    39,831   580,950  SH        SHARED   01 02                   580,950
CITIGROUP INC                   COM            172967101    31,279   710,883  SH        SOLE                              710,883
CITIGROUP INC                   COM            172967101    42,405   963,750  SH        SHARED   01 02                   963,750
COCA COLA ENTERPRISES INC       COM            191216100    19,300   400,000  SH        SOLE                             400,000
CONSOLIDATED STORES CORP        COM            210149100    16,873   764,800  SH        SHARED   01 02                   764,800
CORNING INC                     COM            219350105    38,683   564,200  SH        SHARED   01 02                   564,200
COX COMMUNICATIONS INC NEW      CL A           224044107    28,728   688,104  SH        SOLE                              688,104
COX COMMUNICATIONS INC NEW      CL A           224044107    42,411 1,015,844  SH        SHARED   01 02                  1,015,844
COX COMMUNICATIONS INC NEW      CL A           224044107       514    12,308  SH        SHARED   03                          12,308
CYPRESS SEMICONDUCTOR CORP      COM            232806109       215    10,000  SH        SHARED   01                          10,000
DISNEY WALT CO DEL              COM            254687106    40,370 1,552,700  SH        SOLE                           1,552,700
DISNEY WALT CO DEL              COM            254687106    18,748   721,059  SH        SHARED   01 02                    721,059
DONALDSON LUFKIN & JENRETTE     COM            257661108     5,048   127,600  SH        SHARED   03                       127,600
DOVER CORP                      COM            260003108    25,997   636,000  SH        SOLE                             636,000
DOVER CORP                      COM            260003108     6,618   161,900  SH        SHARED   03                        161,900
DOW CHEM CO                     COM            260543103    12,067   106,200  SH        SOLE                              106,200
DOW CHEM CO                     COM            260543103    17,214   151,500  SH        SHARED   01 02                     151,500
DOW CHEM CO                     COM            260543103     9,033    79,500  SH        SHARED   03                         79,500
DUN & BRADSTREET CORP           COM            264830100     2,160    72,300  SH        SHARED   01 02                      72,300
ELECTRONIC ARTS INC             COM            285512109       362     5,000  SH        SHARED   01                           5,000
EL PASO ELEC CO                 COM NEW        286377854       251    27,924  SH        SHARED   01 02                      27,924
EMERSON ELEC CO                 COM            291011104    18,588   294,170  SH        SOLE                              294,170
EMERSON ELEC CO                 COM            291011104     1,449    22,930  SH        SHARED   03                         22,930
EMERSON RADIO CORP              COM            291087203       154   247,098  SH        SHARED   01 02                   247,098
ENDOSONICS CORP                 COM            29264K105       188    22,156  SH        SHARED   01                          22,156
EPICOR SOFTWARE CORP            COM            29426L108       172    29,943  SH        SHARED   01                         29,943
EQUIFAX INC                     COM            294429105       667    23,700  SH        SHARED   01 02                      23,700
EXABYTE CORP                    COM            300615101        65    15,000  SH        SHARED   01                          15,000
EXXON CORP                      COM            302290101    71,440   940,000  SH        SOLE                             940,000
EXXON CORP                      COM            302290101    18,726   246,400  SH        SHARED   01 02                   246,400
EXXON CORP                      COM            302290101    16,538   217,600  SH        SHARED   03                       217,600
FEDERAL NATL MTG ASSN           COM            313586109    51,028   814,000  SH        SOLE                              814,000
FEDERAL NATL MTG ASSN           COM            313586109     6,927   110,500  SH        SHARED   01 02                     110,500
FEDERAL NATL MTG ASSN           COM            313586109    10,613   169,300  SH        SHARED   03                       169,300
FILENET CORP                    COM            316869106       185    17,272  SH        SHARED   01                          17,272
FLORIDA PROGRESS CORP           COM            341109106     6,938   150,000  SH        SHARED   01 02                    150,000
FORD MTR CO DEL                 COM            345370100     4,683    93,200  SH        SHARED   03                         93,200
FRANKLIN RES INC                COM            354613101    14,808   484,500  SH        SOLE                             484,500
FRANKLIN RES INC                COM            354613101     6,351   207,800  SH        SHARED   03                      207,800
GANNETT INC                     COM            364730101    84,395 1,219,800  SH        SOLE                            1,219,800
GANNETT INC                     COM            364730101    17,795   257,200  SH        SHARED   01 02                   257,200
GARTNER GROUP INC NEW           COM            366651107       217    13,567  SH        SHARED   01 02                       13,567
GARTNER GROUP INC NEW           CL B           366651206     2,120   127,021  SH        SHARED   01 02                     127,021
GENERAL ELEC CO                 COM            369604103   199,481 1,682,500  SH        SOLE                           1,682,500
GENERAL ELEC CO                 COM            369604103    52,215   440,400  SH        SHARED   01 02                   440,400
GENERAL ELEC CO                 COM            369604103    78,073   658,500  SH        SHARED   03                      658,500
GENERAL MTRS CORP               CL H NEW       370442832    38,460   671,790  SH        SHARED   01                       671,790
GEORGIA GULF CORP               COM PAR $0.01  373200203     1,096    62,200  SH        SHARED   01 02                      62,200
GILEAD SCIENCES INC             COM            375558103       306     4,770  SH        SHARED   01                           4,770
HCR MANOR CARE INC              COM            404134108    25,532 1,485,485  SH        SOLE                           1,485,485
HCR MANOR CARE INC              COM            404134108     3,156   183,600  SH        SHARED   01 02                    183,600
HCR MANOR CARE INC              COM            404134108     3,087   179,615  SH        SHARED   03                        179,615
HEALTHSOUTH CORP                COM            421924101     6,543 1,068,220  SH        SHARED   01 02                 1,068,220
HEWLETT PACKARD CO              COM            428236103    49,913   550,000  SH        SOLE                             550,000
HEWLETT PACKARD CO              COM            428236103     1,361    15,000  SH        SHARED   01                          15,000
HEWLETT PACKARD CO              COM            428236103    12,705   140,000  SH        SHARED   03                       140,000
HOME DEPOT INC                  COM            437076102    66,635   971,000  SH        SOLE                              971,000
HOME DEPOT INC                  COM            437076102    21,246   309,600  SH        SHARED   03                      309,600
HONEYWELL INC                   COM            438506107     6,117    54,950  SH        SOLE                                54,950
HONEYWELL INC                   COM            438506107     2,621    23,550  SH        SHARED   03                         23,550
HORACE MANN EDUCATORS CORP NEW  COM            440327104     4,337   168,000  SH        SHARED   01 02                    168,000
IMS  HEALTH INC                 COM            449934108     4,568   200,248  SH        SOLE                             200,248
IMS  HEALTH INC                 COM            449934108    25,769 1,129,600  SH        SHARED   01 02                  1,129,600
IDEXX LABS INC                  COM            45168D104       517    30,000  SH        SHARED   01                         30,000
IKON OFFICE SOLUTIONS INC       COM            451713101     9,867   923,200  SH        SHARED   01 02                   923,200
IMMUNEX CORP NEW                COM            452528102     2,603    60,000  SH        SHARED   01                         60,000
INGERSOL RAND CO                COM            456866102    18,486   336,500  SH        SOLE                             336,500
INGERSOL RAND CO                COM            456866102     4,862    88,500  SH        SHARED   03                         88,500
INSWEB CORP                     COM            45809K103    62,637 3,191,685  SH        SOLE                            3,191,685
INTEL CORP                      COM            458140100    31,286   421,000  SH        SHARED   01 02                    421,000
INTERNATIONAL BUSINESS MACHS    COM            459200101    33,880   280,000  SH        SOLE                             280,000
INTERNATIONAL BUSINESS MACHS    COM            459200101    73,580   608,100  SH        SHARED   01 02                    608,100
INTERNATIONAL BUSINESS MACHS    COM            459200101     4,840    40,000  SH        SHARED   03                         40,000
INTERPORE INTL                  COM            46062W107        71    10,655  SH        SHARED   01                          10,655
JOHNS MANVILLE CORP NEW         COM            478129109     1,205    91,839  SH        SHARED   01                          91,839
JOHNSON & JOHNSON               COM            478160104   223,817 2,436,100  SH        SOLE                           2,436,100
JOHNSON & JOHNSON               COM            478160104    43,549   474,000  SH        SHARED   01 02                   474,000
JOHNSON & JOHNSON               COM            478160104    56,338   613,200  SH        SHARED   03                       613,200
KNIGHT RIDDER NEWSPAPERS INC    COM            499040103    11,121   202,200  SH        SHARED   01 02                   202,200
KROGER CO                       COM            501044101    47,022 2,131,300  SH        SOLE                            2,131,300
KROGER CO                       COM            501044101    11,431   518,100  SH        SHARED   03                        518,100
LTV CORP NEW                    COM            501921100        83    15,200  SH        SHARED   01                          15,200
LANCASTER COLONY CORP           COM            513847103    23,098   721,806  SH        SOLE                              721,806
LANCASTER COLONY CORP           COM            513847103       320    10,000  SH        SHARED   03                          10,000
MBIA INC                        COM            55262C100       504    10,800  SH        SHARED   01 02                       10,800
MBNA CORP                       COM            55262L100    22,538   987,950  SH        SOLE                             987,950
MBNA CORP                       COM            55262L100     5,293   232,000  SH        SHARED   01 02                   232,000
MBNA CORP                       COM            55262L100     4,551   199,500  SH        SHARED   03                       199,500
MARTIN MARIETTA MATLS INC       COM            573284106     3,383    84,700  SH        SHARED   01 02                      84,700
MASCO CORP                      COM            574599106     4,374   141,100  SH        SHARED   01 02                      141,100
MAYTAG CORP                     COM            578592107     3,148    94,500  SH        SHARED   01 02                      94,500
MCDONALDS CORP                  COM            580135101     8,771   202,800  SH        SHARED   01 02                   202,800
MCKESSON HBOC INC               COM            58155Q103    16,391   565,200  SH        SHARED   01 02                   565,200
MEDIAONE GROUP INC              COM            58440J104    38,583   564,800  SH        SHARED   01 02                   564,800
MEDTRONIC INC                   COM            585055106    33,784   950,000  SH        SHARED   01 02                   950,000
MELLON BK CORP                  COM            585509102    23,295   692,800  SH        SOLE                             692,800
MELLON BK CORP                  COM            585509102    21,655   644,000  SH        SHARED   01 02                   644,000
MELLON BK CORP                  COM            585509102     3,605   107,200  SH        SHARED   03                       107,200
MERCK & CO INC                  COM            589331107   170,921 2,637,160  SH        SOLE                           2,637,160
MERCK & CO INC                  COM            589331107    46,569   718,520  SH        SHARED   03                       718,520
METAL MGMT INC                  COM            591097100        18    12,069  SH        SHARED   01                          12,069
MILLIPORE CORP                  COM            601073109    26,140   695,900  SH        SHARED   01 02                   695,900
MINNESOTA MNG & MFG CO          COM            604059105    29,203   304,000  SH        SOLE                             304,000
MINNESOTA MNG & MFG CO          COM            604059105    10,567   110,000  SH        SHARED   03                        110,000
MOBIL CORP                      COM            607059102    66,515   660,200  SH        SOLE                             660,200
MOBIL CORP                      COM            607059102    12,308   122,160  SH        SHARED   01 02                     122,160
MOLEX INC                       COM            608554101    36,164   994,213  SH        SOLE                              994,213
MOLEX INC                       COM            608554101    15,696   431,512  SH        SHARED   03                        431,512
MOLEX INC                       CL A           608554200    34,717 1,072,338  SH        SOLE                           1,072,338
MOLEX INC                       CL A           608554200    13,970   431,512  SH        SHARED   03                        431,512
MONSANTO CO                     COM            611662107    13,101   367,100  SH        SHARED   01 02                    367,100
MORGAN J P & CO INC             COM            616880100    30,848   270,000  SH        SOLE                             270,000
MORGAN J P & CO INC             COM            616880100    10,283    90,000  SH        SHARED   03                         90,000
MORGAN S D WITTER DISCOVER&CO   COM NEW        617446448   119,619 1,341,210  SH        SOLE                             1,341,210
NATIONAL CITY CORP              COM            635405103     8,439   316,200  SH        SOLE                              316,200
NATIONAL CITY CORP              COM            635405103     3,403   127,500  SH        SHARED   03                       127,500
NATIONAL WIRELESS HLDGS INC     COM            638560102       654    44,717  SH        SHARED   01                          44,717
NEW YORK TIMES CO               CL A           650111107     6,675   178,000  SH        SHARED   01 02                    178,000
NOVELL INC                      COM            653929307       256    12,392  SH        SHARED   01                          12,392
OM GROUP INC                    COM            670872100     2,596    67,650  SH        SHARED   01 02                      67,650
OPENROUTE NETWORKS INC          COM            683986103       106    38,682  SH        SHARED   01                         38,682
ORTHOLOGIC CORP                 COM            68750J107        37    12,322  SH        SHARED   01                          12,322
PACIFIC CENTY FINL CORP         COM            694058108     1,236    60,500  SH        SHARED   01 02                      60,500
PALL CORP                       COM            696429307     2,197    94,756  SH        SHARED   01 02                      94,756
PARKER HANNIFIN CORP            COM            701094104    28,181   628,875  SH        SOLE                             628,875
PARKER HANNIFIN CORP            COM            701094104     6,520   145,500  SH        SHARED   03                       145,500
PEPSICO INC                     COM            713448108    29,860   979,000  SH        SOLE                             979,000
PEPSICO INC                     COM            713448108    19,050   624,600  SH        SHARED   01 02                   624,600
PEPSICO INC                     COM            713448108       488    16,000  SH        SHARED   03                          16,000
PHARMACIA & UPJOHN INC          COM            716941109     8,104   163,300  SH        SHARED   01 02                    163,300
PFIZER INC                      COM            717081103    42,318 1,179,600  SH        SHARED   01 02                  1,179,600
PFIZER INC                      COM            717081103     3,487    97,200  SH        SHARED   03                         97,200
PHILIP MORRIS COS INC           COM            718154107     4,140   121,100  SH        SHARED   01 02                      121,100
PLANAR SYS INC                  COM            726900103        65    10,021  SH        SHARED   01                           10,02
PRICE T ROWE & ASSOCIATES       COM            741477103    14,048   512,000  SH        SOLE                              512,000
PRICE T ROWE & ASSOCIATES       COM            741477103     5,981   218,000  SH        SHARED   03                       218,000
PROCTOR & GAMBLE CO             COM            742718109    21,900   233,600  SH        SOLE                             233,600
PROCTOR & GAMBLE CO             COM            742718109    41,063   438,000  SH        SHARED   01 02                   438,000
PROCTOR & GAMBLE CO             COM            742718109    22,500   240,000  SH        SHARED   03                      240,000
QUAKER OATS CO                  COM            747402105     9,838   159,000  SH        SHARED   01 02                    159,000
QUEST DIAGNOSTICS INC           COM            74834L100     3,738   143,787  SH        SHARED   01 02                    143,787
QUIDEL CORP                     COM            74838J101        94    21,545  SH        SHARED   01                          21,545
RALSTON PURINA CO               COM RAL-PUR GP 751277302    11,966   429,287  SH        SHARED   01 02                   429,287
ROHM & HAAS CO                  COM            775371107     1,880    52,033  SH        SHARED   01 02                      52,033
SAFEWAY INC                     COM NEW        786514208    31,733   833,710  SH        SOLE                              833,710
SAFEWAY INC                     COM NEW        786514208     8,156   214,290  SH        SHARED   03                       214,290
ST JUDE MED INC                 COM            790849103     4,807   152,600  SH        SHARED   01 02                    152,600
SAVOIR TECHNOLOGY GROUP INC     COM            80533W107       177    21,036  SH        SHARED   01                          21,036
SCHERING PLOUGH CORP            COM            806605101   176,210 4,039,200  SH        SOLE                          4,039,200
SCHERING PLOUGH CORP            COM            806605101    58,353 1,337,600  SH        SHARED   01 02                 1,337,600
SCHERING PLOUGH CORP            COM            806605101    17,450   400,000  SH        SHARED   03                      400,000
SCHLUMBERGER LTD                COM            806857108    14,581   234,000  SH        SHARED   01 02                   234,000
SCRIPPS E W CO OHIO             CL A           811054204    20,878   425,000  SH        SOLE                             425,000
SCRIPPS E W CO OHIO             CL A           811054204     2,638    53,700  SH        SHARED   01 02                      53,700
SCRIPPS E W CO OHIO             CL A           811054204     3,684    75,000  SH        SHARED   03                         75,000
SPRINT CORP                     COM FON GROUP  852061100    21,892   403,540  SH        SHARED   01 02                   403,540
SPRINT CORP                     PCS COM SER 1  852061506     7,522   100,885  SH        SHARED   01 02                    100,885
SYBASE INC                      COM            871130100       275    23,240  SH        SHARED   01                         23,240
TEXACO INC                      COM            881694103     6,161    97,600  SH        SHARED   01 02                      97,600
TIFFANY & CO NEW                COM            886547108     2,302            SH        SHARED   01 02                      38,400
TRIBUNE CO NEW                  COM            896047107    17,910   360,000  SH        SOLE                             360,000
TRINITY INDS INC                COM            896522109     1,525    49,400  SH        SHARED   01 02                      49,400
TUBOSCOPE INC                   COM            898600101       169    13,569  SH        SHARED   01                          13,569
US BANCORP DEL                  COM            902973106    14,490   480,000  SH        SOLE                             480,000
US BANCORP DEL                  COM            902973106     3,894   129,000  SH        SHARED   03                       129,000
UNUMPROVIDENT CORP              COM            91529Y106     1,526    51,830  SH        SHARED   01 02                       51,830
VERDANT BRANDS INC              COM            923366108       113    36,034  SH        SHARED   01                         36,034
VODAFONE GROUP PLC              SPONSORED ADR  92857T107    40,061   168,500  SH        SOLE                              168,500
VULCAN MATLS CO                 COM            929160109    74,836 2,043,300  SH        SOLE                          2,043,300
VULCAN MATLS CO                 COM            929160109    38,603 1,054,000  SH        SHARED   01 02                 1,054,000
VULCAN MATLS CO                 COM            929160109    12,416   339,000  SH        SHARED   03                      339,000
WAL MART STORES INC             COM            931142103     3,853    81,000  SH        SHARED   01 02                       81,000
WALL DATA INC                   COM            932045107       206    38,318  SH        SHARED   01                          38,318
WARNER LAMBERT CO               COM            934488107    42,294   637,200  SH        SOLE                             637,200
WARNER LAMBERT CO               COM            934488107    50,969   767,900  SH        SHARED   01 02                   767,900
WARNER LAMBERT CO               COM            934488107     5,496    82,800  SH        SHARED   03                         82,800
WASHINGTON POST CO              CL B           939640108     3,519     6,900  SH        SHARED   01 02                        6,900
WELLS FARGO & CO                COM            949740104    55,752 1,407,000  SH        SOLE                           1,407,000
WELLS FARGO & CO                COM            949740104    38,755   978,040  SH        SHARED   01 02                   978,040
WELLS FARGO & CO                COM            949740104     7,846   198,000  SH        SHARED   03                       198,000
WORTHINGTON INDS INC            COM            981811102     2,127   125,100  SH        SHARED   03                        125,100
XILINX INC                      COM            983919101     3,932    60,000  SH        SHARED   01                         60,000
SUN INTL HOTELS LTD             ORD            P8797T133       334    13,977  SH        SHARED   01                          13,977


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