LIBERTY MUTUAL INSURANCE CO
13F-HR, 2000-08-11
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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: June 30, 2000

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:     Joyce B. Riegel
Title:    Vice President and Chief Compliance Officer
Phone:    (312) 368-7727

Signature, Place, and Date of Signing:
   /s/ Joyce B. Riegel    Chicago, Illinois  August 11, 2000

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:   272
Form 13F Information Table Value Total:   $808,749
                                          (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
                                    Title              Fair Mrk   Shares                              Voting Authority
                                     of       CUSIP     Value    or Prin   Investment     Other     (A)     (B)       (C)
Name of Issuer                      Class     Number   ( +000)    Amount   Discretion   Managers   Sole    Shared    None

<S>                                <C>      <C>        <C>      <C>        <C>         <C>      <C>      <C>       <C>
ADC TELECOMMUNICATIONS               COM    000886101        67       800    Sole                    800
AES CORP                             COM    00130H105     6,985   153,100   Defined                       153,100
AT&T CORP                            COM    001957109        45     1,400    Sole                  1,400
AT&T CORP COM LIBERTY MEDIA          CL A   001957208       291    12,000    Sole                 12,000
AT&T CORP                            COM    001957109       978    30,750   Defined                        30,750
AT&T CORP.                           COM    001957406       125     4,500    Sole                  4,500
AT&T WIRELESS GROUP                  COM    001957496     6,080   225,200   Defined                       225,200
ABBOT LABORATORIES                   COM    002824100        27       600    Sole                    600
A C NIELSEN CORP.                    COM    004833109     1,587    72,148    Sole                 72,148
ADAPTEC INC                          COM    00651F108        23     1,000    Sole                  1,000
AEGON NV                            NY REG  007924103     2,173    60,994   Defined               60,994
AGILENT TECHNOLOGIES INC.            COM    00846U101     2,812    38,133    Sole                 38,133
AIR PRODUCTS & CHEMICALS INC         COM    009158106    12,212   396,324    Sole                396,324
CHECK POINT SOFTWARE TECH ISIN IL0   ADR    010824113     3,788    17,887   Defined               15,229    2,658
ALBERTSONS INC                       COM    013104104        17       500    Sole                    500
ALCOA INC                            COM    013817101       401    13,844    Sole                 13,844
ALCATEL SA                         SPN ADR  013904305     3,365    50,600   Defined                        50,600
ORCKIT COMMUNICATION LTD ISIN IL0    COM    018023461       136     4,530   Defined                4,530
ALLTEL CORP.                         COM    020039103        11       170    Sole                    170
AMERICAN GENERAL CORP                COM    026351106        20       325    Sole                    325
AMERICAN HOME PRODUCTS               COM    026609107       376     6,400    Sole                  6,400
AMERICAN INTL GROUP INC              COM    026874107        35       300    Sole                    300
AMERICAN INTL GROUP INC              COM    026874107     1,807    15,375   Defined                        15,375
AMGEN                                COM    031162100       246     3,500    Sole                  3,500
ANALOG DEVICES INC.                  COM    032654105       380     5,000    Sole                  5,000
ASIAINFO HOLDINGS INC.               COM    04518A104       585    13,100   Defined                3,100    9,900      100
ASSOCIATES FIRST CAPITAL CORP-A      CL A   046008108        16       700    Sole                    700
AUTOWEB COM, INC.                    COM    053331104         0         5    Sole                      5
ASIACONTENT.COM ISIN VGG             COM    053541089        57    14,900   Defined               10,100    4,800
BISYS GROUP                          COM    055472104       185     3,000    Sole                  3,000
BP AMOCO PLC                       SPN ADR  055622104        28       492    Sole                    492
BP AMOCO PLC                         ADR    055622104       849    15,000   Defined                        15,000
BANK OF AMERICA CORP                 COM    060505104       140     3,253    Sole                  3,253
BANK OF AMERICA                      COM    060505104       937    21,600   Defined                        21,600
BED BATH & BEYOND, INC.              COM    075896100       290     8,000    Sole                  8,000
BELL ATLANTIC CORP                   COM    077853109        30       600    Sole                    600
BELL ATLANTIC CORP                   COM    077853109     1,279    25,100   Defined                        25,100
BELLSOUTH CORP                       COM    079860102       256     6,000    Sole                  6,000
H & R BLOCK                          COM    093671105       130     4,000   Defined                                  4,000
BREAKAWAY SOLUTIONS INC.             COM    106372105       474    17,562    Sole                 17,562
BRISTOL-MYERS CO.                    CL A   110122108       641    11,000    Sole                 11,000
BROADWING INC.                       COM    111620100     2,150    82,500   Defined                        82,500
CSG SYS IN'T                         COM    126349109       224     4,000    Sole                  4,000
CACHE FLOW, INC.                     COM    126946102       831    13,500    Sole                 13,500
CADENCE DESIGN SYSTEM                COM    127387108        20     1,000    Sole                  1,000
CALPINE CORP                         COM    131347106     3,289    50,600   Defined                        50,600
CARNIVAL CORP CLASS-A                CL A   143658102        31     1,607    Sole                  1,607
CENSTOR CORP                         COM    151324100       195    60,382    Sole                 60,382
CENTURYTEL, INC                      COM    156700106       371    12,900    Sole                 12,900
CHARTERED SEMICONDUCTOR              ADR    16133R106     4,734    52,600   Defined               24,000   25,700    2,900
CHASE MANHATTAN CORP                 COM    16161A108       535    11,625    Sole                 11,625
CHASE MANHATTAN CORP                 COM    16161A108     1,232    26,750   Defined                        26,750
CHEVRON CORP                         COM    166751107       231     2,725    Sole                  2,725
CHILECTRA S.A.                       ADR    168884104        69     4,400   Defined                4,400
CHINA TELECOM HK LTD.              SPN ADR  169428109     2,685    15,100   Defined                        15,100
CISCO SYS INC.                     CL A SPL 17275R102     1,144    18,000    Sole                 18,000
CISCO SYSTEM INC.                    COM    17275R102     4,084    64,250   Defined                        63,850      400
CINTAS CORP.                         COM    172908105       165     4,500    Sole                  4,500
CITIGROUP INC.                       COM    172967101       657    10,900    Sole                 10,900
CITIGROUP INC.                       COM    172967101     4,515    74,700   Defined                        74,700
CLEAR CHANNEL COMMUNICATIONS         COM    184502102       263     3,500    Sole                  3,500
COLT TELECOM GRP.                  SPN ADR  196877104     2,753    20,300   Defined                        20,300
COMCAST CORP                         COM    200300101         6       150    Sole                    150
COMCAST CORP CL A SPEC COM         CL A SPL 200300200       215     5,300    Sole                  5,300
CIA TELECOM CHILE                    ADR    204449300        47     2,600   Defined                2,600
COMPUTER ASSOC INTL INC              COM    204912109        36       700    Sole                    700
COMPUTER SCIENCES CORP               COM    205363104       149     2,000    Sole                  2,000
COMPUWARE CORP.                      COM    205638109        12     1,200    Sole                  1,200
CONOCO INC.                          CL B   208251405       715    29,127   Defined                        29,127
CONSTELLATION ENERGY GRP             COM    210371100     2,107    64,700   Defined                        64,700
CHINADOT COM ISIN ILKYG              ADR    2108N1097        40     1,948   Defined                1,948
COOPER TIRE & RUBBER CO              COM    216831107        10       900    Sole                    900
COX COMMUNICATIONS INC.              CL A   224044107     2,346    51,500   Defined                        51,500
CROSSROADS SYSTEMS                   COM    22765D100     1,054    41,739    Sole                 41,739
CYPRESS SEMICONDUCTOR CORP           COM    232806109       139     3,300    Sole                  3,300
DTE ENERGY COMPANY                   COM    233331107        11       350    Sole                    350
DANAHER CORPORATION                  COM    235851102       297     6,000    Sole                  6,000
DARDEN RESTAURANTS INC.              COM    237194105     7,225   444,600    Sole                444,600
DELUXE CORPORATION                   COM    248019101     1,891    80,264    Sole                 80,264
DEVRY INC.                           COM    251893103       344    13,000    Sole                 13,000
DITECH COMMUNICATIONS                COM    25500M103     1,403    14,839    Sole                 14,839
DONALDSON CO INC                     COM    257651109       158     8,000    Sole                  8,000
DORCHESTER HUGOTON                   COM    258205202       141    10,000   Defined                                 10,000
DOW CHEMICAL CO                      COM    260543103        17       570    Sole                    570
DU PONT E I DE NEMOURS & CO          COM    263534109         9       200    Sole                    200
DUN & BRADSTREET CORP.               COM    26483B106     6,196   216,446    Sole                216,446
DYNEGY INC.                          CL A   26816Q101     4,959    72,600   Defined                        72,600
EMC CORPORATION                      COM    268648102       923    12,000    Sole                 12,000
EMC CORPORATION                      COM    268648102     4,428    57,500   Defined                        57,500
ENSCO INTL INC                       COM    26874Q100        11       300    Sole                    300
EASTMAN KODAK CO                     COM    277461109        12       200    Sole                    200
EL PASO ELECTRIC CO.                 COM    283677854       318    28,404    Sole                 28,404
EL PASO ENERGY GROUP                 COM    283905107     2,572    50,500   Defined                        50,500
EMBRATEL PARTICIPACOES               ADR    29081N100     1,273    53,900   Defined                4,800   49,100
EMERSON ELECTRIC CO                  COM    291011104        24       400    Sole                    400
ENRON CORP.                          COM    293561106     6,018    93,300   Defined                        93,300
ENTERGY CORP                         COM    29364G103        43     1,600    Sole                  1,600
ERICSSON LM TEL                      ADR    294821400     4,796   239,824   Defined              123,264  116,560
EXODUS COMMUNICATIONS                COM    302088109        92     2,000    Sole                  2,000
EXPRESS SCRIPTS                      COM    302182100       248     4,000    Sole                  4,000
EXXON MOBIL CORP.                    COM    30231G102     1,161    14,795    Sole                 14,795
FED HM LN MTGE 0/ 0/00               COM    313400301        20       500    Sole                    500
FEDERAL NATL MTG ASSN                COM    313586109        37       700    Sole                    700
FIFTH THIRD BANCORP.                 COM    316773100       190     3,000    Sole                  3,000
FIRST DATA CORP.                     COM    319963104        30       600    Sole                    600
FIRSTAR CORPORATION                  COM    33763V109       259    12,300    Sole                 12,300
FLEETBOSTON FINL CORP                COM    339030108        24       700    Sole                    700
FOMENTO ECONOMICO MEX                ADR    344419106       116     2,700   Defined                2,700
FORD MOTOR CO                        COM    345370100        30       700    Sole                    700
GTE CORP                             COM    362320103       566     9,100    Sole                  9,100
GANNETT CO INC                       COM    364730101     3,218    53,802    Sole                 53,802
GARTNER GROUP                        COM    366651206       557    56,362    Sole                 56,362
GENERAL DYNAMICS CORP                COM    369550108       238     4,550    Sole                  4,550
GENERAL ELECTRIC CO.                 COM    369604103    92,477 1,744,842    Sole              1,744,842
GENERAL ELECTRIC CO.                 COM    369604103     2,037    38,900   Defined                        38,900
GENERAL MILLS INC                    COM    370334104    27,021   706,444    Sole                706,444
GET THERE COM, INC.                  COM    374266104        67     6,353    Sole                  6,353
GOLDMAN SACHS GROUP                  COM    38141G104       232     2,450    Sole                  2,450
GRAINGER W W INC                     COM    384802104     5,977   193,992    Sole                193,992
GRUPO TELEVISA SA                  SPN GDR  40049J206     7,170   104,000   Defined                5,200   98,800
GULF CANADA RESOURCES INC.           COM    40218L305    45,747 9,506,827    Sole              9,506,827
HSB GROUP INC.                       COM    40428N109    14,875   477,900    Sole                477,900
H. J. HEINZ CO                       COM    423074103        11       250    Sole                    250
HEWLETT-PACKARD CO                   COM    428236103    12,486    99,986    Sole                 99,986
HEWLETT-PACKARD CO                   COM    428236103     1,611    12,900   Defined                        12,900
HONEYWELL INTERNATIONAL              COM    438516106         9       275    Sole                    275
HOUSEHOLD INTL INC                   COM    441815107         8       200    Sole                    200
IMS HEALTH INC.                      COM    449934108     7,792   432,892    Sole                432,892
ILLINOIS TOOL WORKS INC              COM    452308109       217     3,800    Sole                  3,800
INFOSYS TECHNOLOGIES                 ADR    456788108     2,392    13,496   Defined                7,046    6,450
INKTOMI CORP                         COM    457277101       154     1,300    Sole                  1,300
INTEL CORP                           COM    458140100       635     4,750    Sole                  4,750
INTEL CORP                           COM    458140100     2,553    19,100   Defined                        18,900      200
INTERNATIONAL BUS MACHS CORP         COM    459200101       460     4,200    Sole                  4,200
INTERNATIONAL BUS MACHS CORP         COM    459200101     1,665    15,200   Defined                        15,200
INTERNATIONAL PAPER CO               COM    460146103        29       977    Sole                    977
INTERPUBLIC GROUP COS INC            COM    460690100       271     6,300    Sole                  6,300
JOS UNIPHASES                        COM    46612J101       149     1,240    Sole                  1,240
JOHNSON & JOHNSON                    COM    478160104    82,047   805,366    Sole                805,366
JOHNSON CONTROLS INC                 COM    478366107        22       425    Sole                    425
KIMBERLY CLARK CORP                  COM    494368103        46       800    Sole                    800
KIMBERLY CLARK MEX                   ADR    494386204        66     5,000   Defined                5,000
KINDER MORGAN ENERGY PARTNERS        COM    494550106     3,359    84,100   Defined                        84,100
KINDER MORGAN INC.                   COM    49455P101     2,399    69,400   Defined                        69,400
PHILIPS ELECTRONICS                  COM    500472204       611    12,880    Sole                 12,880
KONINKLIJKE PHILLIPS ELECTRONICS    NY REG  500472204     2,571    54,172   Defined                        54,172
KOREA TELECOM                        ADR    50063P103    35,771   745,239   Defined              187,075  497,564   60,600
LEVEL 3 COMMUNICATIONS               COM    52729N100     2,297    26,100   Defined                        26,100
LIBERTY ALL-STAR GROWTH FUND         COM    529900102     3,333   280,670    Sole                280,670
LIBERTY ALL-STAR EQUITY FUND       ShBenInt 530158104    89,434 7,263,996    Sole              7,263,996
ELI LILLY & CO                       COM    532457108       370     3,700    Sole                  3,700
ELI LILLY & CO                       COM    532457108       350     3,500   Defined                                  3,500
LOWES CO                             COM    548661107        12       300    Sole                    300
LUCENT TECHNOLOGIES, INC.            COM    549463107        16       275    Sole                    275
LUCENT TECHNOLOGIES, INC.            COM    549463107     1,492    25,400   Defined                        25,400
MBIA, INC.                           COM    55262C100       193     4,000    Sole                  4,000
MCI WORLDCOM INC.                    COM    55268B106     3,454    75,300   Defined                        75,300
MGIC INVESTMENT CORP.                COM    552848103        20       450    Sole                    450
MATAV RT                             ADR    559776109       352    10,200   Defined               10,200
MARSH & MCLENNAN COS INC             COM    571748102        18       175    Sole                    175
MARSH & MCLENNAN COS INC             COM    571748102     2,674    25,600   Defined                        25,600
MCDONALDS CORP                       COM    580135101    65,873 1,999,960    Sole              1,999,960
MEDIAONE GROUP                       COM    58440J104        21       325    Sole                    325
MEDTRONIC INC                        CL A   585055106       398     8,000    Sole                  8,000
MERCANTILE BANKSHARES CORP.        SPN ADR  587405101       179     6,000    Sole                  6,000
MERCK & CO INC                       COM    589331107    36,796   480,208    Sole                480,208
MERCK & CO INC                       COM    589331107     1,609    21,000   Defined                        21,000
METROMEDIA FIBER NETWORK             COM    591689104     2,929    73,800   Defined                        73,800
MICROSOFT CORP.                      COM    594918104       367     4,590    Sole                  4,590
MICROSOFT CORP.                      COM    594918104     1,472    18,400   Defined                        18,400
MINNESOTA MNG & MFG CO               COM    604059105        15       175    Sole                    175
MONTANA POWER CO.                    COM    612085100     1,743    49,100   Defined                        49,100
MORGAN STANLEY, DEAN WITTER, DISCOV  COM    617446448        50       600    Sole                    600
MOTOROLA INC                         COM    620076109       336    11,100    Sole                 11,100
MUTMUX                               COM    629407107       127     2,125    Sole                  2,125
NTL INCORPORATED                     COM    629407107     1,754    29,300   Defined                        29,300
NABISCO HOLDING CORP.                COM    629526104       105     2,000   Defined                                  2,000
NATIONAL CITY CORP.                  COM    635405103        20     1,200    Sole                  1,200
NEW YORK TIMES CO                    CL A   650111107       150     3,800    Sole                  3,800
NOKIA CORP                         SPN ADR  654902204       485     9,600    Sole                  9,600
NOKIA CORP                         SPN ADR  654902204     6,092   121,692   Defined               63,492   58,200
NORFOLK SOUTHERN CORP                COM    655844108        18     1,200    Sole                  1,200
NORTEL NETWORKS CORP.                COM    656568102     1,248    18,290    Sole                 18,290
NORTEL NETWORKS CORP (HLDG CO.)      COM    656569100     4,241    61,579   Defined               18,000   43,579
NORTHERN TRUST CORP.                 COM    665859104       195     3,000    Sole                  3,000
NUCOR CORP                           COM    670346105        17       500    Sole                    500
OFFICE DEPOT INC                     COM    676220106         9     1,500    Sole                  1,500
ORACLE SYSTEMS CORP                  COM    68389X105        34       400    Sole                    400
PECO ENERGY CO.                      COM    693304107     2,056    51,000   Defined                        51,000
PNC FINANCIAL CORP                   COM    693475105        33       700    Sole                    700
PAPA JOHNS INT'L INC.                COM    698813102       172     7,000    Sole                  7,000
PHARMACIA CORP.                      COM    716941109     1,748    33,825   Defined                        33,825
PFIZER INC                           COM    717081103        20       413    Sole                    413
PFIZER INC                           COM    717081103     2,356    56,100   Defined                        56,100
PHILIP MORRIS COS INC                COM    718154107        42     1,600    Sole                  1,600
PHILLIPS PETROLEUM CO                COM    718507106        25       500    Sole                    500
PINNACLE WEST                        COM    723484101     2,219    65,500   Defined                        65,500
PRAXAIR INC            -  WI         COM    74005P104        21       550    Sole                    550
PROCTER & GAMBLE CO                  COM    742718109        11       200    Sole                    200
QUALCOMM INC.                        COM    747525103       126     2,100    Sole                  2,100
R. H. DONNELLEY CORP                 COM    74955W307       839    43,290    Sole                 43,290
RELIANT ENERGY INC                   COM    75952J108        12       400    Sole                    400
SBC COMMUNICATIONS INC               COM    78387G103        40       900    Sole                    900
SBC COMMUNICATIONS INC               COM    78387G103     2,203    50,939   Defined                        50,939
SK TELECOM CO. LTD                   ADR    78440P108     7,830   215,634   Defined              113,900  100,974      760
SAFEWAY INC.                         COM    786514208        90     2,000   Defined                                  2,000
SANDY SPRING BANCORP, INC.           COM    800363103       523    25,604    Sole                 25,604
SATYAM INFOWAY                       ADR    804099109        47     2,100   Defined                2,100
SCHERING PLOUGH CORP                 COM    806605101       278     5,500    Sole                  5,500
SCHLUMBERGER LTD.                    COM    806857108       918    12,300   Defined                        12,300
SCOTTISH POWER PLC                   ADR    81013T105     3,474   103,900   Defined                       103,900
SINA.COM ISIN KYG                    COM    814771041       295    11,500   Defined                1,600    9,800      100
SHERWIN WILLIAMS CO                  COM    824348106        34     1,600    Sole                  1,600
SMITHKLINE BEECHAM                   ADR    832378301     2,289    35,119   Defined               35,119
SOUTHERN CO                          COM    842587107        35     1,500    Sole                  1,500
SPRINT CORP (FON GROUP)              COM    852061100       324     6,350    Sole                  6,350
SPRINT CORP (FON GROUP)              COM    852061100     2,739    53,700   Defined                        53,700
SPRINT CORP. (PCS GROUP)             COM    852061506     2,493    41,900   Defined                        41,900
STAFF LEASING INC.                   COM    852381102       712   200,000    Sole                200,000
STATE STREET CORP.                   COM    857477103        21       200    Sole                    200
SUN MICROSYSTEMS INC                 COM    866810104     1,055    11,600    Sole                 11,600
SUN MICROSYSTEMS INC                 COM    866810104     2,437    26,800   Defined                        26,800
SUNGARD DATA SYSTEMS INC.            COM    867363103     1,349    43,500   Defined                        43,500
SUPER VALU STORES                    COM    868536103        15       800    Sole                    800
SYBRON INT'L CORP - WISC             COM    87114F106       238    12,000    Sole                 12,000
SYSCO CORP                           COM    871829107         8       200    Sole                    200
TJX COS INC                          COM    872540109        94     5,000    Sole                  5,000
TAIWAN FUND                          COM    874036106     1,333    69,700   Defined               45,900   22,000    1,800
TAIWAN SEMICONDUCTOR                 ADR    874039100     4,295   111,384   Defined               87,464   23,920
TARGET CORP                          COM    87612E106        13       225    Sole                    225
TELECENTRO SUL                       ADR    879239101        95     1,300   Defined                1,300
TELE DANMARK A/S                     ADR    879242105     1,972    58,000   Defined                        58,000
TELENORTHE LESTE PAT. ADR            ADR    879246106     3,525   149,193   Defined                       149,193
TELECOM NEW ZEALAND                Spn ADR  879278208     1,817    64,600   Defined                        64,600
TELEBRAS SPR ADR PFD BLOCK         Spn ADR  879287308       821     8,450   Defined                         8,450
TELEFONICA SA                        ADR    879382208     9,730   151,876   Defined               45,382  106,494
TELEFONOS DE MEXICO                Spn ADR  879403780     1,355    23,700   Defined                5,700   18,000
TELESP CELLULAR                      ADR    87952L108       121     2,700   Defined                2,700
TELLABS, INC.                        COM    879664100        26       375    Sole                    375
TELLABS, INC.                        COM    879664100     2,799    40,900   Defined                        40,900
TEVA PHARMACEUTICAL                Spn ADR  881624209       299     5,400   Defined                5,400
TEXACO INC.                          COM    881694103        13       250    Sole                    250
TEXACO INC.                          COM    881694103       938    17,600   Defined                        17,600
TEXAS INSTRUMENTS INC                COM    882508104        14       200    Sole                    200
TEXAS INSTRUMENTS INC                COM    882508104     2,171    31,600   Defined                        31,600
TEXTRON INC                          COM    883203101        11       200    Sole                    200
TREND MICRO INC.                   Spn ADR  89486M107       155     9,300   Defined                9,300
TYCO INTERNATIONAL LTD.              COM    902124106        14       300    Sole                    300
TYCO INTERNATIONAL LTD.              COM    902124106     2,203    46,500   Defined                        46,500
UNION PACIFIC CORP                   COM    907818108        11       300    Sole                    300
UNISYS CORP                          COM    909214108         6       400    Sole                    400
US WEST, INC.                        COM    91273H101        21       250    Sole                    250
US WEST, INC.                        COM    91273H101     2,658    31,000   Defined                        31,000
VIACOM INC.                          CL B   925524308       333     4,883    Sole                  4,883
VIACOM INC.                          CL B   925524308     2,046    30,000   Defined                        30,000
VIDESH SANCHAR NIGAM                 GDR    92659G204        21     1,450   Defined                1,450
VINA CONCHA Y TORO                   ADR    927191106        95     2,600   Defined                2,600
VISTEON CORP                         COM    92839U107         0        92    Sole                     92
VODAFONE AIRTOUCH                  Spn ADR  92857T107       432    10,342    Sole                 10,342
VODAFONE AIRTOUCH                    ADR    92857T107     3,165    75,800   Defined                3,400   72,400
VOICESTREAM WIRELESS CORP.           COM    928615103       174     1,500    Sole                  1,500
WAL MART STORES INC.                 COM    931142103     1,957    34,300   Defined                        34,300
WELLS FARGO COMPANY                  COM    949746101        27       700    Sole                    700
WESTERN WIRELESS CORP                CL A   95988E204     1,237    22,700   Defined                        22,700
WHIRLPOOL CORP                       COM    963320106        14       300    Sole                    300
WILLIAMS COMPANIES                   COM    969457100       700    16,800    Sole                 16,800
WILLIAMS COMPANIES                   COM    969457100     2,476    59,400   Defined                        59,400
WORLDCOM INC.                        COM    98157D106        34       750    Sole                    750
XEROX CORP                           COM    984121103         7       350    Sole                    350
YORK INTERNATIONAL CORP.             COM    986670107        23       900    Sole                    900
FLEXTRONICS INT'L                    COM    Y2573F102       275     4,000    Sole                  4,000
GIGAMEDIA LIMITED                    COM    Y2711Y104        68     5,600   Defined                  550    5,050
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