LIBERTY MUTUAL INSURANCE CO
13F-HR, 1999-11-09
Previous: NORWEST BANK NEBRASKA N A, 13F-HR, 1999-11-09
Next: FINGERMATRIX INC, 8-K/A, 1999-11-09



       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:        Liberty Mutual Insurance Company
Address:     175 Berkeley Street
             Boston, Massachusetts  02117

Form 13F File Number:  28-33

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:     Kenneth J. Kozanda
Title:    Attorney in Fact
Phone:    (312) 368-7851

Signature, Place, and Date of Signing:
   /s/ Kenneth J. Kozanda    Chicago, Illinois  November 9, 1999

Report Type (Check only one.):

[XX] 13F HOLDINGS REPORT.  (Check here if all holdings of this
reporting manager are reported in this report.)

[  ] 13F NOTICE.  (Check here if no holdings reported are in this
report, and all holdings are reported by other reporting
manager(s).)

[  ] 13F COMBINATION REPORT.  (Check here if a portion of the
holdings for this reporting manager are reported in this report
and a portion are reported by other reporting manager(s).)


                     Form 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:        0
Form 13F Information Table Entry Total:   271
Form 13F Information Table Value Total:   $932,507
                                          (thousands)

List of Other Included Managers:

Provide a numbered list of the name(s) and Form 13F file
number(s) of all institutional investment managers with respect
to which this report is filed, other than the manager filing this
report.

[If there are no entries in this list, state "NONE" and omit the
column headings and list entries.]

                                NONE
<PAGE>
<TABLE>
FORM 13F INFORMATION TABLE
<CAPTION>
Column 1                         Column 2       Column 3      Column 4   Column 5    Column 6  Column 7  Column 8
Name of Issuer                   Title of       CUSIP        Fair Market Shares or  Investment  Other    Voting Authority
                                 of Class       Number         Value     Principal  Discretion Managers  (a)      (b)    (c)
                                                               (+000)    Amount                          Sole     Shared None
<S>                              <C>            <C>             <C>       <C>        <C>       <C>      <C>       <C>   <C>
AT&T CORP                        Common         001957109           156       3,575    Sole                 3,575
AT&T CORP - LIBERTY MEDIA        Class A        001957208           224       6,000    Sole                 6,000
ABBOT LABS                       Common         002824100         2,700      73,600    Sole                73,600
ACNIELSEN CORP.                  Common         004833109         1,856      81,811    Sole                81,811
ADAPTEC INC                      Common         00651F108            75       1,900    Sole                 1,900
AEGON NV                         Amer Reg Sh    007924202         2,322      26,843  Defined               26,843
AIR PRODUCTS & CHEMICALS INC     Common         009158106        20,386     696,946    Sole               696,946
ALBERTSONS INC                   Common         013104104            20         500    Sole                   500
ALCOA INC                        Common         013817101           417       6,722    Sole                 6,722
ALLIEDSIGNAL CORP                Common         019512102         4,915      82,000    Sole                82,000
ALLSTATE CORP.                   Common         020002101            62       2,500    Sole                 2,500
ALLTEL CORP.                     Common         020039103         2,358      33,500    Sole                33,500
AMERICAN GENERAL CORP            Common         026351106            21         325    Sole                   325
AMERICAN HOME PRODUCTS           Common         026609107         2,133      51,400    Sole                51,400
AMGEN INC                        Common         031162100         5,135      63,000    Sole                63,000
ANADARKO PETE CORP.              Common         032511107            40       1,318    Sole                 1,318
ASSOCIATES FIRST CAPITAL CORP    Class A        046008108         1,527      42,414    Sole                42,414
ASTRAZENECA                      Spn ADR        046353108            62       1,463    Sole                 1,463
ATLANTIC RICHFIELD CO            Common         048825103         1,648      18,600    Sole                18,600
AUTOMATIC DATA PROCESSING INC    Common         053015103        27,269     611,076    Sole               611,076
BANCO SANTANDER CEN. SPR.        Spn ADR        05964H105           890      86,399  Defined               86,399
BANK OF AMERICA CORP             Common         060505104           181       3,253    Sole                 3,253
BANK NEW YORK INC.               Common         064057102         3,875     115,900    Sole               115,900
BANK ONE CORPORATION             Common         06423A103            86       2,460    Sole                 2,460
BAXTER INTL INC                  Common         071813109           217       3,600    Sole                 3,600
BELLSOUTH CORP                   Common         079860102           270       6,000    Sole                 6,000
BOEING CO                        Common         097023105            34         800    Sole                   800
H&R BLOCK                        Common         09367110            174       4,000  Defined                              4,000
BRISTOL-MYERS SQUIBB CO.         Common         110122108         5,495      81,400    Sole                81,400
BRITISH TELECOM                  Spn ADR        111021408         1,526       9,850  Defined                9,850
BURLINGTON NORTHERN SANTA FE     Common         12189T104           224       8,150    Sole                 8,150
CBS CORP                         Common         12490K107         4,047      87,500    Sole                87,500
C.I.T. Group Inc.                Common         125577106         1,234      60,000    Sole                60,000
CABOT CORP                       Common         127055101           178       7,500    Sole                 7,500
CADENCE DESIGN SYSTEM  INC       Common         127387108            13       1,000    Sole                 1,000
CARNIVAL CORP                    Class A        143658102           239       5,500    Sole                 5,500
CARRIER ACCESS CORP              Common         144460102           890      21,274    Sole                21,274
CASE CORP                        Common         14743R103           118       2,361    Sole                 2,361
CATERPILLAR INC CO               Common         149123101            55       1,000    Sole                 1,000
CENTURYTEL, INC                  Common         156700106           585      14,400    Sole                14,400
CHASE MANHATTAN CORP             Common         16161A108         1,647      21,850    Sole                21,850
CHEVRON CORP                     Common         166751107           206       2,325    Sole                 2,325
CHILECTRA S.A.                   Spn ADR        168884104            82       4,400  Defined                4,400
CISCO SYS INC.                   Common         17275R102         4,251      62,000    Sole                62,000
CINTAS CORP.                     Common         172908105           173       3,000    Sole                 3,000
CITIGROUP INC.                   Common         172967101           297       6,750    Sole                 6,750
CLEAR CHANNEL COMMUNICATIONS     Common         184502102           160       2,000    Sole                 2,000
CLOROX CO DEL                    Common         189054109         1,760      46,000    Sole                46,000
COCA-COLA CO                     Common         191216100         1,737      36,000    Sole                36,000
COLGATE PALMOLIVE CO             Common         194162103         2,782      60,800    Sole                60,800
COLUMBIA/HCA HEALTHCARE CORP     Common         197677107            28       1,300    Sole                 1,300
COMCAST CORP                     CL A SPL       200300200         2,153      54,000    Sole                54,000
CIA TELECOM CHILE                Spn ADR        204449300           257       6,400  Defined                6,400
COMPAQ COMPUTER CORP             Common         204493100         1,716      75,000    Sole                75,000
COMPUTER ASSOC INTL INC          Common         204912109            43         700    Sole                   700
COMPUTER SCIENCES CORP           Common         205363104           141       2,000    Sole                 2,000
COMPUWARE CORP.                  Common         205638109            10         400    Sole                   400
CONAGRA INC                      Common         205887102           144       6,400    Sole                 6,400
CHINA.COM (ISIN KYG)             ADR            2108N1097            43         667  Defined                  667
COOPER TIRE & RUBBER CO          Common         216831107            30       1,700    Sole                 1,700
COUNTRYWIDE CREDIT IND INC       Common         222372104           206       6,400    Sole                 6,400
CRESTLINE CAPITAL CORP.          Common         226153104            46       2,247    Sole                 2,247
DANAHER CORPORATION              Common         235851102           142       2,700    Sole                 2,700
DARDEN RESTAURANTS INC.          Common         237194105         9,664     494,001    Sole               494,001
DELL COMPUTER CORP.              Common         247025109         1,714      41,000    Sole                41,000
DELUXE CORP                      Common         248019101         4,844     142,467    Sole               142,467
DEVRY INC.                       Common         251893103           260      13,000    Sole                13,000
DIAMOND OFFSHORE DRILLING INC    Common         25271C102           113       3,400    Sole                 3,400
DILLARDS INC                     Class A        254067101            12         600    Sole                   600
DISNEY WALT CO                   Common         254687106         3,645     140,178    Sole               140,178
DONALDSON  INC                   Common         257651109           185       8,000    Sole                 8,000
DORCHESTER HUGOTON               Common         258205202           126      10,000  Defined                            10,000
DOVER CORP                       Common         260003108            45       1,100    Sole                 1,100
DU PONT E I DE NEMOURS & CO      Common         263534109           109       1,800    Sole                 1,800
DUKE ENERGY CORP                 Common         264399106           198       3,595    Sole                 3,595
DUN & BRADSTREET CORP.           Common         26483B106         7,332     245,433    Sole               245,433
EMC CORP                         Common         268648102         6,281      88,000    Sole                88,000
EL PASO ELEC CO.                 Common         283677854           256      28,404    Sole                28,404
EL PASO ENERGY CORP              Common         283905107           129       3,200    Sole                 3,200
EMERSON ELECTRIC CO              Common         291011104         1,923      30,428    Sole                30,428
ENDESA SA                        Spn ADR        29258n107         1,120      58,771  Defined               58,771
ENRON CORP                       Common         293561106           156       3,800    Sole                 3,800
ENTERGY CORP                     Common         29364G103            46       1,600    Sole                 1,600
EQUANT NV                        NY REG         294409107           830      10,200  Defined               10,200
ERICSSON (L.M.) TEL              Spn ADR        294821400           963      30,816  Defined               30,816
EXXON CORP                       Common         302290101         5,546      72,976    Sole                72,976
FEDERAL NATL MTG ASSN            Common         313586109         2,551      40,700    Sole                40,700
FELCOR LODGING TR INC            Common         31430F101            60       3,400    Sole                 3,400
FIFTH THIRD BANCORP.             Common         316773100           183       3,000    Sole                 3,000
FIRST AMER CORP TENN             Common         318900107           187       4,300    Sole                 4,300
FIRST DATA CORP.                 Common         319963104            57       1,300    Sole                 1,300
FIRST UN CORP                    Common         337358105           100       2,800    Sole                 2,800
FIRSTAR CORP NEW WIS             Common         33763V109         3,274     127,751    Sole               127,751
FLEET FINANCIAL GROUP INC.       Common         338915101           150       4,100    Sole                 4,100
FOMENTO ECONOMICO MEX            Spn ADR        344419106            85       2,700  Defined                2,700
FORD MOTOR CO                    Common         345370100         3,598      71,600    Sole                71,600
FORTUNE BRANDS INC               Common         349631101           119       3,700    Sole                 3,700
GC COS INC                       Common         36155Q109            60       2,000    Sole                 2,000
GPU INC                          Common         36225X100           163       5,000    Sole                 5,000
GTE CORP                         Common         362320103           700       9,100    Sole                 9,100
GANNETT CO INC                   Common         364730101        12,794     184,920    Sole               184,920
GAP INC DEL                      Common         364760108         1,440      45,000    Sole                45,000
GARTNER GROUP INC NEW            Class B        366651206         1,066      63,910    Sole                63,910
GENERAL ELEC CO                  Common         369604103       106,034     894,332    Sole               894,332
GENERAL MILLS INC                Common         370334104        38,867     479,101    Sole               479,101
GILLETTE CO                      Common         375766102         1,222      36,000    Sole                36,000
GOLDMAN SACHS GROUP              Common         38141G104           110       1,800    Sole                 1,800
GOODRICH B F CO                  Common         382388106         2,111      72,800    Sole                72,800
GOODYEAR TIRE & RUBR CO          Common         382550101            96       2,000    Sole                 2,000
GRAINGER W W INC                 Common         384802104        10,359     215,544    Sole               215,544
GRUPO TELEVISA SA                Spn GDR        40049J206           112       2,800  Defined                2,800
GULF CANADA RESOURCES INC.       Common         40218L305        39,805   9,506,827    Sole             9,506,827
HSB GROUP INC.                   Common         40428N109        16,816     477,900    Sole               477,900
HANSON PLC                       Spn ADR        411352404            51       1,325    Sole                 1,325
HARCOURT GENERAL                 Common         41163G101             4          86    Sole                    86
HARTFORD FINL SVCS GRP INC       Common         416515104           123       3,000    Sole                 3,000
H. J. HEINZ                      Common         423074103         1,139      26,486    Sole                26,486
HEWLETT-PACKARD                  Common         428236103        12,302     135,564    Sole               135,564
IMS HEALTH INC.                  Common         449934108        11,198     490,866    Sole               490,866
ILLINOIS TOOL WKS INC            Common         452308109           112       1,497    Sole                 1,497
IMPERIAL CHEM INDS PLC           ADR NEW        452704505            43       1,000    Sole                 1,000
INFINITY BROADCASTING CP NEW     Class A        45662S102         2,785      95,000    Sole                95,000
INFOSYS TECHNOLOGIES             ADR            456788108         1,230       8,600  Defined                8,600
INSURANCE SERVICES OFFICE INC    Common         45806@109        14,295     357,379    Sole               357,379
INTEL CORP                       Common         458140100         7,699     103,600    Sole               103,600
INTERNATIONAL BUSINESS MACHS     Common         459200101        10,382      85,800    Sole                85,800
INTERPUBLIC GROUP COS INC        Common         460690100           259       6,300    Sole                 6,300
JDN RLTY CORP                    Common         465917102           154       7,500    Sole                 7,500
JOHNSON & JOHNSON                Common         478160104        85,714     932,940    Sole               932,940
KIMBERLY CLARK CORP              Common         494368103           232       4,400    Sole                 4,400
KIMBERLY CLARK MEX               Spn ADR        494386204            88       5,000  Defined                5,000
KOREA ELECTRIC POWER CORP        Spn ADR        500631106        13,650     849,800  Defined              763,260       86,540
KOREA ELECTRIC POWER CORP        Spn ADR        50063P103        21,007     567,764  Defined              522,364       45,400
PHILIPS ELEC CO                  Common         500472204           325       3,220    Sole                 3,220
LANDAMERICA FINL GROUP INC       Common         514936103         1,288      65,200    Sole                65,200
LASON INC.                       Common         51808R107           156       3,500    Sole                 3,500
LEGG MASON INC.                  Common         524901105         2,873      75,000    Sole                75,000
LIBERTY ALL-STAR GROWTH FUND     Common         529900102         2,807     280,670    Sole               280,670
LIBERTY ALL-STAR EQUITY FUND     Common         530158104        85,352   7,263,996    Sole             7,263,996
ELI LILLY & CO                   Common         532457108           205       3,200    Sole                 3,200
ELI LILLY & CO                   Common         532457108           257       4,000  Defined                             4,000
LOCKHEED MARTIN CORP.            Common         539830109            25         750    Sole                   750
LOEWS CORP.                      Common         540424108           123       1,750    Sole                 1,750
LOWES COS INC                    Common         548661107         1,658      34,000    Sole                34,000
LUCENT TECHNOLOGIES, INC.        Common         549463107         2,595      40,000    Sole                40,000
MBIA, INC.                       Common         55262C100           187       4,000    Sole                 4,000
MCI WORLDCOM INC                 Common         55268B106           273       3,800    Sole                 3,800
MGIC INV CORP WIS                Common         552848103            43         900    Sole                   900
MATAV RT                         Spn ADR        559776109           196       7,200  Defined                7,200
MARSH & MCLENNAN COS INC         Common         571748102            82       1,200    Sole                 1,200
MARRIOTT INTL INC                Class A        571903202         1,353      41,380    Sole                41,380
MASCO CORP                       Common         574599106           186       6,000    Sole                 6,000
MAYTAG CORP                      Common         578592107            90       2,700    Sole                 2,700
MCDONALDS                        Common         580135101        98,994   2,288,884    Sole             2,288,884
MCGRAW HILL COS  INC             Common         580645109         3,585      74,100    Sole                74,100
MEDIAONE GROUP INC               Common         58440J104         1,503      22,000    Sole                22,000
MEDTRONIC INC                    Common         585055106         1,280      36,000    Sole                36,000
MELLON BK CORP                   Common         585509102         2,347      69,800    Sole                69,800
MERCANTILE BANKSHARES CORP.      Common         587405101           186       6,000    Sole                 6,000
MERCK & CO INC                   Common         589331107        43,373     669,218    Sole               669,218
MERRILL LYNCH & CO INC           Common         590188108         2,089      31,000    Sole                31,000
MICROSOFT CORP.                  Common         594918104         5,144      56,800    Sole                56,800
MICRO THERAPEUTICS  INC          Common         59500W100             1         100    Sole                   100
MOBIL CORP                       Common         607059102           675       6,700    Sole                 6,700
MONSANTO CO                      Common         611662107         1,638      45,900    Sole                45,900
MORGAN (JP) & CO                 Common         616880100         3,660      32,037    Sole                32,037
MORGAN STANLEY, DEAN WITTER      Common         617446448            54         600    Sole                   600
MOTOROLA INC                     Common         620076109           326       3,701    Sole                 3,701
MYLAN LABS INC                   Common         628530107            18       1,000    Sole                 1,000
NUI CORP                         Common         629430109         1,485      60,000    Sole                60,000
NABISCO HOLDING CORP             Common         629526104            69       2,000  Defined                             2,000
NATIONAL CITY CORP.              Common         635405103            32       1,200    Sole                 1,200
NATIONWIDE FINL SVCS INC         Common         638612101           113       3,200    Sole                 3,200
NEWBRIDGE NETWORKS CORP          Common         650901101         1,042      40,000    Sole                40,000
NEWELL CO                        Common         651229106           114       4,000    Sole                 4,000
NEWS CORP LTD                    Common         652487703            43       1,500    Sole                 1,500
NEXTEL COMMUNICATIONS INC.       Class A        65332V103         3,730      55,000    Sole                55,000
NIELSEN MEDIA RES INC            Common         653929307         3,042      81,811    Sole                81,811
NICOR INC                        Common         654086107           234       6,300    Sole                 6,300
NOKIA CORP                       Spn ADR        654902204           216       2,400    Sole                 2,400
NOKIA CORP                       ADR            654902204         1,681      18,700  Defined               18,700
NORFOLK SOUTHERN CORP            Common         655844108            39       1,600    Sole                 1,600
NORSK HYDRO A S                  Spn ADR        656531605            47       1,100    Sole                 1,100
NORTEL NETWORKS CORP             Common         656569100         5,100     100,000    Sole               100,000
NORTEL NETWORKS CORP             Common         656569100           357       7,000  Defined                7,000
NORTH FORK BANCORPORATION NY     Common         659424105         1,950     100,000    Sole               100,000
NORTHERN TR CORP.                Common         665859104         3,966      47,500    Sole                47,500
NUCOR CORP                       Common         670346105            38         800    Sole                   800
OFFICE DEPOT INC                 Common         676220106            16       1,500    Sole                 1,500
OLD REP INTL CORP                Common         680223104            34       2,350    Sole                 2,350
ORACLE SYS CORP                  Common         68389X105            64       1,400    Sole                 1,400
PACIFICORP                       Common         695114108            99       4,900    Sole                 4,900
PAPA JOHNS INT'L INC.            Common         698813102           144       3,500    Sole                 3,500
PENTAIR INC.                     Common         709631105           241       6,000    Sole                 6,000
PEPSICO INC                      Common         713448108         1,678      55,000    Sole                55,000
PFIZER INC                       Common         717081103         3,530      98,400    Sole                98,400
PHILIP MORRIS CO INC             Common         718154107           267       7,800    Sole                 7,800
PHILLIPS PETROLEUM CO            Common         718507106            12         250    Sole                   250
PITNEY BOWES INC                 Common         724479100           256       4,200    Sole                 4,200
PITTWAY CORP.                    Common         725790208           284       9,000    Sole                 9,000
PRECISION CASTPARTS CORP         Common         740189105            21         700    Sole                   700
PROCTER & GAMBLE CO              Common         742718109         4,800      51,200    Sole                51,200
QUALCOMM INC.                    Common         747525103           151         800    Sole                   800
QUINTILES TRANSNATIONAL CORP     Common         748767100             8         400    Sole                   400
QWEST COMMUNICATIONS INTL INC    Common         749121109         1,537      52,000    Sole                52,000
R & B FALCON CORP.               Common         74912E101           138      10,552    Sole                10,552
R. H. DONNELLEY CORP             Common         74955W307           914      49,087    Sole                49,087
RAYTHEON CO                      Class A        755111309           194       4,000    Sole                 4,000
RAYTHEON CO                      Class B        755111408            35         700    Sole                   700
RELIANT ENERGY INC               Common         75952J108           168       6,200    Sole                 6,200
RELIASTAR FINL CORP              Common         75952U103           153       4,600    Sole                 4,600
REPSOL S A                       Spn ADR        76026T205            48       2,400    Sole                 2,400
REUTERS GROUP PLC                Spn ADR        76132M102           879      12,762  Defined               12,762
REYNOLDS METALS CO               Common         761763101           151       2,500    Sole                 2,500
ROYAL DUTCH PETE CO              NY Reg Gld     780257804         2,664      45,100    Sole                45,100
RUSSELL CORP                     Common         782352108            21       1,500    Sole                 1,500
SBC COMMUNICATIONS INC           Common         78387G103         3,518      68,900    Sole                68,900
SAFECO CORP                      Common         786429100            21         750    Sole                   750
SAFEWAY INC.                     Common         786514208            76       2,000  Defined                             2,000
SANDY SPRING BANCORP             Common         800363103           794      25,604    Sole                25,604
SCANA CORP                       Common         805898103            75       3,100    Sole                 3,100
SEARS ROEBUCK & CO               Common         812387108           207       6,600    Sole                 6,600
SHAW INDS INC                    Common         820286102            22       1,400    Sole                 1,400
SHERWIN WILLIAMS CO              Common         824348106            33       1,600    Sole                 1,600
SMITHKLINE BEECHAM               Spn ADR        832378301         1,721      29,868  Defined               29,868
SOUTHERN CO                      Common         842587107            39       1,500    Sole                 1,500
SOUTHTRUST CORP                  Common         844730101           135       3,750    Sole                 3,750
SOUTHWEST AIRLS CO               Common         844741108            55       3,600    Sole                 3,600
SPRINT CORP                      Common         852061100           326       6,000    Sole                 6,000
STAFF LEASING INC                Common         852381102         2,000     200,000    Sole               200,000
SUMMIT BANCORP                   Common         866005101           165       5,100    Sole                 5,100
SUN MICROSYSTEMS INC             Common         866810104           539       5,800    Sole                 5,800
SYBRON INT'L CORP - WISC         Common         87114F106           323      12,000    Sole                12,000
SYNNEX                           GDR            87161A208           208      11,085  Defined               11,085
TCS ENTERPRISES                  Common         872339106             3       5,000    Sole                 5,000
TJX COS INC                      Common         872540109           140       5,000    Sole                 5,000
TAIWAN SEMI CONDUCTOR            ADR            874039100           472      15,990  Defined               15,990
TEGAL CORP                       Common         879008100           291     100,000    Sole               100,000
TELECENTRO SUL                   Spn ADR        879239101            72       1,300  Defined                1,300
TELESUDESTE CELLULAR PART        ADR            879252104            54       2,500  Defined                2,500
TELEFONICA DE ARGENTINA          Spn ADR        879378206            53       2,000  Defined                2,000
TELEFONOS DE MEXICO S A          Spn ADR rep ord879403780            50         700    Sole                   700
TELEFONOS DE MEXICO S A          Spn ADR        879403780            64         900  Defined                  900
TELESP PART                      Spn ADR        87952K100            43       2,700  Defined                2,700
TELLABS, INC.                    Common         879664100         3,900      68,500    Sole                68,500
TENET HEALTHCARE CORP.           Common         88033G100           102       5,800    Sole                 5,800
TEXACO INC                       Common         881694103           126       2,000    Sole                 2,000
TEXAS INSTRS INC                 Common         882508104         5,758      70,000    Sole                70,000
TIME-WARNER INC                  Common         887315109         4,617      76,000    Sole                76,000
TORCHMARK CORP                   Common         891027104            31       1,200    Sole                 1,200
TOSCO CORP                       Common         891490302           210       8,300    Sole                 8,300
TRIBUNE CO                       Common         896047107         3,980      80,000    Sole                80,000
TYCO INTL LTD NEW                Common         902124106         3,763      36,445    Sole                36,445
TYSON FOODS INC                  Class A        902494103            35       2,100    Sole                 2,100
U S FOOD SERVICE                 Common         90331R101           180      10,000    Sole                10,000
USX - U S STL                    Common         90337T101           160       6,200    Sole                 6,200
UNIFI  INC.                      Common         904677101            24       2,200    Sole                 2,200
UNICOM CORP.                     Common         904911104           170       4,600    Sole                 4,600
UTILICORP UTD INC                Common         918005109            88       4,200    Sole                 4,200
V F CORP                         Common         918204108           173       5,575    Sole                 5,575
INA CONCHA Y TORO SA             Spn ADR        927191106            98       2,600  Defined                2,600
VODAFONE AIRTOUCH  PLC           Spn ADR        92857T107         4,486      18,869    Sole                18,869
VODAFONE AIRTOUCH                ADR            92857T107         1,498       6,300  Defined                6,300
VOICESTREAM WIRELESS CORP.       Common         928615103           105       1,248    Sole                 1,248
WAL MART STORES INC              Common         931142103         1,902      40,000    Sole                40,000
WASHINGTON MUTUAL INC.           Common         939322103            81       2,760    Sole                 2,760
WESTERN WIRELESS CORP            Class A        95988E204            83       1,632    Sole                 1,632
WHIRLPOOL CORP                   Common         963320106            39         600    Sole                   600
WILLIAMS CO INC                  Common         969457100           632      16,800    Sole                16,800
XEROX CORP                       Common         984121103           197       4,700    Sole                 4,700
YORK INTERNATIONAL CORP.         Common         986670107            32         900    Sole                   900
</TABLE>


© 2022 IncJournal is not affiliated with or endorsed by the U.S. Securities and Exchange Commission