UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
WASHINGTON, D.C. 20549
FORM 13F
FORM 13F COVER PAGE
REPORT FOR THE CALENDAR YEAR OR QUARTER ENDED: MARCH 31,1999
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: J.P. MORGAN & CO. INCORPORATED
ADDRESS: 60, WALL STREET
NEW YORK, NY 10260
13F FILE NUMBER: 28-490
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: JAMES C.P. BERRY
TITLE: VICE PRESIDENT
PHONE: (212)648-3380
SIGNATURE, PLACE, AND DATE OF SIGNING:
JAMES C.P. BERRY NEW YORK, NEW YORK MARCH 31, 1999
REPORT TYPE (CHECK ONLY ONE.):
[X] 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).)
I AM SIGNING THIS REPORT AS REQUIRED BY THE SECURITIES EXCHANGE
ACT OF 1934.
<PAGE>
FORM 13F SUMMARY PAGE
REPORT SUMMARY:
NUMBER OF OTHER INCLUDED MANAGERS: 15
FORM 13F INFORMATION TABLE ENTRY TOTAL: 5857
FORM 13F INFORMATION TABLE VALUE TOTAL: $111,522,107
LIST OF OTHER INCLUDED MANAGERS:
NO. 13F FILE NUMBER NAME
01 28-707 MORGAN GUARANTY TRUST CO. OF NEW YORK
02 28-1482 J. P. MORGAN INVESTMENT MANAGEMENT INC.
03 28-1820 MARY L. F. WILEY
04 28-1818 THOMAS S. KENAN III
05 28-3387 J. P. MORGAN FSB
06 28-3389 J. P. MORGAN VENTURES CORPORATION
07 HOUGHTON FREEMAN
08 GEORGE B. SNELL
09 ROBERT J. MURTAGH
10 SARAH KENAN KENNEDY
11 CLAY KENAN KIRK
12 JAMES G. KENAN III
13 PAULINE H. VAN DYKE
14 WILLIAM D. VAN DYKE
15 OWEN KENAN, ELIZABETH HOWELL, THOMAS KENAN
16 J. P. MORGAN SECURITIES INVEST
17
18
<PAGE>
<TABLE> <C> <C>
FORM 13F INFORMATION TABLE
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER TITLE OF CLASS CUSIP (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D DAIMLERCHRYSLER AG COMMON D1668R123 14 160 SH DEFINED 05 0 0 160
D DAIMLERCHRYSLER AG COMMON D1668R123 1241 14459 SH DEFINED 01 7627 0 6832
D DAIMLERCHRYSLER AG COMMON D1668R123 1404 16359 SH DEFINED 02 13887 0 2472
D DAIMLERCHRYSLER AG COMMON D1668R123 53 623 SH OTHER 01 0 623 0
D ACE LTD. COMMON G0070K103 99958 3205020 SH DEFINED 3205020 0 0
D ACE LTD. COMMON G0070K103 8968 287536 SH DEFINED 01 259636 0 27900
D ACE LTD. COMMON G0070K103 4107 131700 SH OTHER 01 0 131700 0
D ANNUITY AND LIFE RE (HOLDINGS) COMMON G03910109 3637 159000 SH DEFINED 01 159000 0 0
D ANNUITY AND LIFE RE (HOLDINGS) COMMON G03910109 7208 315100 SH DEFINED 02 258300 0 56800
D CORECOMM LTD COMMON G2422R109 243 6600 SH DEFINED 02 0 0 6600
D CREDICORP LTD. COMMON G2519Y108 25456 2610829 SH DEFINED 2610829 0 0
D FRUIT OF THE LOOM LTD COMMON G3682L105 12 1100 SH DEFINED 05 1100 0 0
D FRUIT OF THE LOOM LTD COMMON G3682L105 11 982 SH DEFINED 982 0 0
D FRUIT OF THE LOOM LTD COMMON G3682L105 10033 933300 SH DEFINED 01 604600 0 328700
D FRUIT OF THE LOOM LTD COMMON G3682L105 31726 2951230 SH DEFINED 02 2114000 0 837230
D FRUIT OF THE LOOM LTD COMMON G3682L105 10 900 SH OTHER 01 900 0 0
D GEMSTAR INTERNATIONAL GROUP LT COMMON G3788V106 543 7213 SH DEFINED 02 0 0 7213
D GLOBALSTAR TELECOMMUNICATIONS COMMON G3930H104 329 23700 SH DEFINED 23700 0 0
D GLOBALSTAR TELECOMMUNICATIONS COMMON G3930H104 56 4000 SH DEFINED 01 0 0 4000
D IPC HOLDINGS LTD. COMMON G4933P101 16298 820000 SH DEFINED 01 785000 0 35000
D LORAL SPACE & COMMUNICATIONS L COMMON G56462107 84 5800 SH DEFINED 05 5800 0 0
D LORAL SPACE & COMMUNICATIONS L COMMON G56462107 361 25000 SH DEFINED 25000 0 0
D LORAL SPACE & COMMUNICATIONS L COMMON G56462107 209 14500 SH DEFINED 01 0 0 14500
D NORDIC AMERICAN TANKER SHIPP COMMON G65773106 2714 236000 SH DEFINED 236000 0 0
D PARTNERRE HOLDINGS LTD. COMMON G6852T105 108 2675 SH DEFINED 01 0 0 2675
D PARTNERRE HOLDINGS LTD. COMMON G6852T105 4282 105725 SH OTHER 01 0 105725 0
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D RENAISSANCE HOLDINGS LTD. COMMON G7496G103 77 2200 SH DEFINED 05 0 0 2200
D RENAISSANCE HOLDINGS LTD. COMMON G7496G103 17217 492800 SH DEFINED 01 445100 0 47700
D RENAISSANCE HOLDINGS LTD. COMMON G7496G103 12396 354800 SH DEFINED 02 285700 0 69100
D SANTA FE INTERNATIONAL CORP. COMMON G7805C108 564 30200 SH DEFINED 30200 0 0
D TERRA NOVA BERMUDA HOLDINGS LT COMMON G87615103 989 45200 SH OTHER 01 0 45200 0
D XL CAP LTD COMMON G98255105 425 7000 SH DEFINED 01 7000 0 0
D XL CAP LTD COMMON G98255105 8557 140860 SH DEFINED 02 18860 0 122000
D XL CAP LTD COMMON G98255105 279 4600 SH OTHER 01 0 4600 0
D MILLICOM INTERNATIONAL MILLICO COMMON L6388F102 249 9563 SH DEFINED 02 0 0 9563
D CHECK POINT SOFTWARE TECHNOLOG COMMON M22465104 1851 43042 SH DEFINED 01 0 0 43042
D RADCOM LTD COMMON M81865103 550 200000 SH DEFINED 01 0 0 200000
D RIT TECHNOLOGIES LTD. COMMON M8215N109 375 200000 SH DEFINED 01 0 0 200000
D TARO PHARMACEUTICAL INDS LTD COMMON M8737E108 269 50000 SH DEFINED 01 50000 0 0
D STEINER LEISURE LTD COMMON P8744Y102 106 3450 SH DEFINED 05 0 0 3450
D STEINER LEISURE LTD COMMON P8744Y102 21954 713950 SH DEFINED 01 378200 0 335750
D STEINER LEISURE LTD COMMON P8744Y102 9732 316500 SH DEFINED 02 245450 0 71050
D SUN INTL HOTELS LTD COMMON P8797T133 72 2200 SH DEFINED 05 0 0 2200
D SUN INTL HOTELS LTD COMMON P8797T133 7316 222525 SH DEFINED 01 167800 0 54725
D SUN INTL HOTELS LTD COMMON P8797T133 2959 90000 SH DEFINED 02 66500 0 23500
D ROYAL CARIBBEAN CRUISES, LTD. COMMON V7780T103 2597 66600 SH DEFINED 02 0 0 66600
D OMI CORP NEW COMMON Y6476W104 42 21200 SH DEFINED 02 0 0 21200
D AAR CORP. COMMON 000361105 240 13500 SH DEFINED 13500 0 0
D AAR CORP. COMMON 000361105 190 10650 SH DEFINED 02 0 0 10650
D ABC RAIL PRODUCTS CORP. COMMON 000752105 1510 119600 SH DEFINED 01 119600 0 0
D ABC RAIL PRODUCTS CORP. COMMON 000752105 2679 212200 SH DEFINED 02 187000 0 25200
D A.C. MOORE ARTS & CRAFTS, INC. COMMON 00086T103 368 70000 SH DEFINED 01 70000 0 0
FORM 13F-HR NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 3
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D AFC CABLE SYS INC COMMON 000950105 77 2600 SH DEFINED 01 2600 0 0
D AFC CABLE SYS INC COMMON 000950105 283 9500 SH DEFINED 02 600 0 8900
D ACT NETWORKS, INC. COMMON 000975102 104 5400 SH DEFINED 05 0 0 5400
D ACT NETWORKS, INC. COMMON 000975102 9211 478500 SH DEFINED 01 338900 0 139600
D ACT NETWORKS, INC. COMMON 000975102 121 6300 SH DEFINED 02 0 0 6300
D AFLAC, INC. COMMON 001055102 4028 74000 SH DEFINED 06 74000 0 0
D AFLAC, INC. COMMON 001055102 65 1200 SH DEFINED 01 0 0 1200
D AFLAC, INC. COMMON 001055102 4039 74200 SH DEFINED 02 0 0 74200
D AFLAC, INC. COMMON 001055102 1034 19000 SH OTHER 01 0 19000 0
D AGCO CORP. COMMON 001084102 443 67500 SH DEFINED 01 67500 0 0
D AGCO CORP. COMMON 001084102 130 19800 SH DEFINED 02 1400 0 18400
D AES CORPORATION 4.5% 8/15/05 BOND 00130HAN5 3115 3500000 PRN DEFINED 02
D AES CORP. COMMON 00130H105 15 400 SH DEFINED 05 400 0 0
D AES CORP. COMMON 00130H105 78 2103 SH DEFINED 2103 0 0
D AES CORP. COMMON 00130H105 82 2200 SH DEFINED 01 0 0 2200
D AK STEEL HOLDING CORP. COMMON 001547108 65433 2900000 SH DEFINED 2900000 0 0
D AK STEEL HOLDING CORP. COMMON 001547108 147 6500 SH DEFINED 02 6500 0 0
D AMR CORP. COMMON 001765106 128 2182 SH DEFINED 2182 0 0
D AMR CORP. COMMON 001765106 22190 378900 SH DEFINED 01 263700 0 115200
D AMR CORP. COMMON 001765106 27506 469690 SH DEFINED 02 267890 0 201800
D AMR CORP. COMMON 001765106 12 200 SH OTHER 01 200 0 0
D APAC TELESERVICES INC COMMON 00185E106 39 11800 SH DEFINED 02 0 0 11800
D ARI NETWORK SERVICES, INC. COMMON 001930205 336 125000 SH DEFINED 01 0 0 125000
D ARM FINANCIAL GROUP, INC. CLAS COMMON 001944107 52 3500 SH DEFINED 05 0 0 3500
D ARM FINANCIAL GROUP, INC. CLAS COMMON 001944107 6830 457200 SH DEFINED 01 364200 0 93000
D ARM FINANCIAL GROUP, INC. CLAS COMMON 001944107 3935 263400 SH DEFINED 02 207600 0 55800
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 4
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D AT&T CORP. COMMON 001957109 1038 13000 SH DEFINED 06 13000 0 0
D AT&T CORP. COMMON 001957109 2495 31265 SH DEFINED 05 7887 0 23378
D AT&T CORP. COMMON 001957109 74895 938385 SH DEFINED 938385 0 0
D AT&T CORP. COMMON 001957109 427322 5354036 SH DEFINED 01 3489100 0 1864936
D AT&T CORP. COMMON 001957109 754082 9448111 SH DEFINED 02 6400459 0 3047652
D AT&T CORP. COMMON 001957109 1596 20000 SH OTHER 101112 0 20000 0
D AT&T CORP. COMMON 001957109 1333 16700 SH OTHER 09 16700 0 0
D AT&T CORP. COMMON 001957109 16535 207166 SH OTHER 01 102858 104308 0
D AT&T CORP COMMON 001957208 135 2567 SH DEFINED 05 676 0 1891
D AT&T CORP COMMON 001957208 120793 2296886 SH DEFINED 01 1437422 0 859464
D AT&T CORP COMMON 001957208 187314 3561784 SH DEFINED 02 2776041 0 785743
D AT&T CORP COMMON 001957208 6263 119099 SH OTHER 01 70905 48194 0
D ATMI INC. COMMON 00207R101 164 8200 SH DEFINED 05 0 0 8200
D ATMI INC. COMMON 00207R101 19498 974900 SH DEFINED 01 741400 0 233500
D ATMI INC. COMMON 00207R101 9868 493400 SH DEFINED 02 359600 0 133800
D AVT CORP COMMON 002420107 697 29200 SH DEFINED 01 29200 0 0
D AVT CORP COMMON 002420107 131 5500 SH DEFINED 02 5500 0 0
D AARON RENTS, INC. CL. 'B' COMMON 002535201 2098 134300 SH DEFINED 01
D AARON RENTS, INC. CL. 'B' COMMON 002535201 1063 68000 SH DEFINED 02
D ABBOTT LABORATORIES, INC. COMMON 002824100 2668 57000 SH DEFINED 06 57000 0 0
D ABBOTT LABORATORIES, INC. COMMON 002824100 5570 118983 SH DEFINED 05 54723 0 64260
D ABBOTT LABORATORIES, INC. COMMON 002824100 776 16568 SH DEFINED 16568 0 0
D ABBOTT LABORATORIES, INC. COMMON 002824100 81509 1741167 SH DEFINED 01 917804 0 823363
D ABBOTT LABORATORIES, INC. COMMON 002824100 77971 1665590 SH DEFINED 02 889790 0 775800
D ABBOTT LABORATORIES, INC. COMMON 002824100 815 17400 SH OTHER 05 9400 8000 0
D ABBOTT LABORATORIES, INC. COMMON 002824100 30793 657791 SH OTHER 01 94870 562921 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 5
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D ABERCROMBIE & FITCH CO-CL A COMMON 002896207 6022 65281 SH DEFINED 01 41020 0 24261
D ABERCROMBIE & FITCH CO-CL A COMMON 002896207 8693 94236 SH DEFINED 02 80736 0 13500
D ACCLAIM ENTERTAINMENT, INC. COMMON 004325205 826 92400 SH DEFINED 01 92400 0 0
D ACCLAIM ENTERTAINMENT, INC. COMMON 004325205 742 83000 SH DEFINED 02 36600 0 46400
D ACCUMED INTERNATIONAL, INC. COMMON 004383303 73 83333 SH DEFINED 01 0 0 83333
D ACNIELSEN CORP COMMON 004833109 1207 44500 SH DEFINED 01 44500 0 0
D ACNIELSEN CORP COMMON 004833109 738 27200 SH DEFINED 02 4900 0 22300
D ACNIELSEN CORP COMMON 004833109 7 266 SH OTHER 05 0 266 0
D ACNIELSEN CORP COMMON 004833109 534 19702 SH OTHER 01 960 18742 0
D ACTIVISION INC 6.75% 01/01/05 BOND 004930AA1 0 3000000 PRN DEFINED 02
D ACX TECHNOLOGIES, INC. COMMON 005123104 353 26900 SH DEFINED 02 10500 0 16400
D ACXIOM CORP. COMMON 005125109 66 2500 SH DEFINED 05 0 0 2500
D ACXIOM CORP. COMMON 005125109 1 23 SH DEFINED 23 0 0
D ACXIOM CORP. COMMON 005125109 390 14700 SH DEFINED 01 14700 0 0
D ACXIOM CORP. COMMON 005125109 1306 49300 SH DEFINED 02 26500 0 22800
D ADAC LABORATORIES COMMON 005313200 0 11 SH DEFINED 11 0 0
D ADAC LABORATORIES COMMON 005313200 367 26900 SH DEFINED 01 26900 0 0
D ADAC LABORATORIES COMMON 005313200 1581 116001 SH DEFINED 02 8600 0 107401
D ADAPTEC INC 4.75% 2/01/04 BOND 00651FAC2 3494 5000000 PRN DEFINED 02
D ADAPTEC, INC. COMMON 00651F108 3064 134300 SH DEFINED 01 134300 0 0
D ADAPTEC, INC. COMMON 00651F108 1638 71800 SH DEFINED 02 10600 0 61200
D ADECCO SA COMMON 006754105 483 7600 SH DEFINED 02 0 0 7600
D ADELPHIA COMMUNICATIONS CORP. COMMON 006848105 1714 27200 SH DEFINED 01 27200 0 0
D ADELPHIA COMMUNICATIONS CORP. COMMON 006848105 1115 17700 SH DEFINED 02 12900 0 4800
D ADOBE SYSTEMS, INC. COMMON 00724F101 54 945 SH DEFINED 945 0 0
D ADOBE SYSTEMS, INC. COMMON 00724F101 3266 57550 SH DEFINED 01 37800 0 19750
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 6
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D ADOBE SYSTEMS, INC. COMMON 00724F101 3911 68910 SH DEFINED 02 35310 0 33600
D ADOBE SYSTEMS, INC. COMMON 00724F101 23 400 SH OTHER 01 400 0 0
D ADVANCE PARADIGM INC COMMON 007491103 168 2653 SH DEFINED 05 2653 0 0
D ADVANCE PARADIGM INC COMMON 007491103 3 50 SH DEFINED 50 0 0
D ADVANCE PARADIGM INC COMMON 007491103 125 1971 SH DEFINED 01 0 0 1971
D ADVANCED LIGHTING TECH., INC. COMMON 00753C102 1938 250000 SH DEFINED 01 0 0 250000
D ADVANCED LIGHTING TECH., INC. COMMON 00753C102 67 8700 SH DEFINED 02 0 0 8700
D ADVANCED FIBRE COMMUNICATION COMMON 00754A105 341 35500 SH DEFINED 35500 0 0
D ADVANTAGE LEARNING SYSTEMS, IN COMMON 00757K100 56 1800 SH DEFINED 05 0 0 1800
D ADVANTAGE LEARNING SYSTEMS, IN COMMON 00757K100 5048 162500 SH DEFINED 01 124600 0 37900
D ADVANTAGE LEARNING SYSTEMS, IN COMMON 00757K100 62 2000 SH DEFINED 02 0 0 2000
D ADVANTICA RESTAURANT GROUP, IN COMMON 00758B109 3715 742911 SH DEFINED 01 742911 0 0
D ADVANTICA RESTAURANT GROUP, IN COMMON 00758B109 139 27800 SH DEFINED 02 0 0 27800
D ADVANCED MICRO DEVICES, INC. COMMON 007903107 30 1957 SH DEFINED 1957 0 0
D ADVANCED MICRO DEVICES, INC. COMMON 007903107 93 5980 SH DEFINED 01 1500 0 4480
D ADVANCED MICRO DEVICES, INC. COMMON 007903107 73 4704 SH DEFINED 02 704 0 4000
D AEGON N V COMMON 007924103 4628 51495 SH DEFINED 01 39668 0 11827
D AEGON N V COMMON 007924103 504 5608 SH DEFINED 02 5608 0 0
D AEGON N V COMMON 007924103 193 2148 SH OTHER 01 936 1212 0
D ADVANTA CORP. CLASS "A" COMMON 007942105 400 36200 SH DEFINED 01 36200 0 0
D ADVANTA CORP. CLASS "A" COMMON 007942105 50 4500 SH DEFINED 02 4500 0 0
D ADVANCED ENERGY INDUSTRIES, IN COMMON 007973100 236 10000 SH DEFINED 02 0 0 10000
D ADVENT SOFTWARE, INC. COMMON 007974108 200 4000 SH DEFINED 02 0 0 4000
D AETNA, INC. COMMON 008117103 42 500 SH DEFINED 05 500 0 0
D AETNA, INC. COMMON 008117103 5482 66050 SH DEFINED 66050 0 0
D AETNA, INC. COMMON 008117103 147 1775 SH DEFINED 1775 0 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 7
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D AETNA, INC. COMMON 008117103 38778 467200 SH DEFINED 01 348500 0 118700
D AETNA, INC. COMMON 008117103 65562 789906 SH DEFINED 02 507606 0 282300
D AETNA, INC. COMMON 008117103 294 3542 SH OTHER 01 2642 900 0
D AFFILIATED COMPUTER SERVICES, COMMON 008190100 1926 42100 SH DEFINED 01 42100 0 0
D AFFILIATED COMPUTER SERVICES, COMMON 008190100 2518 55041 SH DEFINED 02 3000 0 52041
D AFFILIATED MANAGERS GROUP COMMON 008252108 328 12600 SH DEFINED 01 12600 0 0
D AFFILIATED MANAGERS GROUP COMMON 008252108 60 2300 SH DEFINED 02 2300 0 0
D AFFYMETRIX, INC. COMMON 00826T108 77 2200 SH DEFINED 05 0 0 2200
D AFFYMETRIX, INC. COMMON 00826T108 1706 49000 SH DEFINED 49000 0 0
D AFFYMETRIX, INC. COMMON 00826T108 8442 242500 SH DEFINED 01 188900 0 53600
D AFFYMETRIX, INC. COMMON 00826T108 4209 120900 SH DEFINED 02 92400 0 28500
D AGOURON PHARMACEUTICALS, INC. COMMON 008488108 11 200 SH DEFINED 05 200 0 0
D AGOURON PHARMACEUTICALS, INC. COMMON 008488108 1985 35100 SH DEFINED 35100 0 0
D AGOURON PHARMACEUTICALS, INC. COMMON 008488108 198 3500 SH DEFINED 3500 0 0
D AGOURON PHARMACEUTICALS, INC. COMMON 008488108 124 2200 SH DEFINED 01 2200 0 0
D AGOURON PHARMACEUTICALS, INC. COMMON 008488108 436 7700 SH DEFINED 02 0 0 7700
D AGRIBRANDS INTERNATIONAL, INC. COMMON 00849R105 3 100 SH DEFINED 05 0 0 100
D AGRIBRANDS INTERNATIONAL, INC. COMMON 00849R105 163 4955 SH DEFINED 01 2821 0 2134
D AGRIBRANDS INTERNATIONAL, INC. COMMON 00849R105 1353 41160 SH DEFINED 02 32490 0 8670
D AGRIBRANDS INTERNATIONAL, INC. COMMON 00849R105 49 1488 SH OTHER 01 0 1488 0
D AIR EXPRESS INTERNATIONAL, COR COMMON 009104100 0 19 SH DEFINED 19 0 0
D AIR EXPRESS INTERNATIONAL, COR COMMON 009104100 115 7593 SH DEFINED 01 0 0 7593
D AIR EXPRESS INTERNATIONAL, COR COMMON 009104100 184 12150 SH DEFINED 02 0 0 12150
D AIR EXPRESS INTERNATIONAL, COR COMMON 009104100 461 30500 SH OTHER 01 0 30500 0
D AIR PRODUCTS & CHEMICALS, INC. COMMON 009158106 548 16000 SH DEFINED 06 16000 0 0
D AIR PRODUCTS & CHEMICALS, INC. COMMON 009158106 39 1143 SH DEFINED 05 1143 0 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 8
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D AIR PRODUCTS & CHEMICALS, INC. COMMON 009158106 92 2693 SH DEFINED 2693 0 0
D AIR PRODUCTS & CHEMICALS, INC. COMMON 009158106 2661 77700 SH DEFINED 01 48900 0 28800
D AIR PRODUCTS & CHEMICALS, INC. COMMON 009158106 881 25730 SH DEFINED 02 7530 0 18200
D AIR PRODUCTS & CHEMICALS, INC. COMMON 009158106 1433 41832 SH OTHER 01 0 41832 0
D AIRBORNE FREIGHT CORP. COMMON 009266107 2632 84900 SH DEFINED 01 84900 0 0
D AIRBORNE FREIGHT CORP. COMMON 009266107 1941 62600 SH DEFINED 02 14100 0 48500
D AIRGAS, INC. COMMON 009363102 161 19200 SH DEFINED 02 0 0 19200
D AIRTOUCH COMMUNICATIONS, INC. COMMON 00949T100 17 180 SH DEFINED 05 0 0 180
D AIRTOUCH COMMUNICATIONS, INC. COMMON 00949T100 31625 327292 SH DEFINED 327292 0 0
D AIRTOUCH COMMUNICATIONS, INC. COMMON 00949T100 13367 138334 SH DEFINED 01 101713 0 36621
D AIRTOUCH COMMUNICATIONS, INC. COMMON 00949T100 1547 16008 SH DEFINED 02 5708 0 10300
D AIRTOUCH COMMUNICATIONS, INC. COMMON 00949T100 502 5200 SH OTHER 05 0 5200 0
D AIRTOUCH COMMUNICATIONS, INC. COMMON 00949T100 10664 110361 SH OTHER 01 32100 78261 0
D AIRTOUCH COMMUNICATIONS INC PF PREF-CONV 00949T209 475 6030 SH DEFINED 01
D AIRTOUCH COMMUNICATIONS INC PF PREF-CONV 00949T209 369 4680 SH OTHER 01
D AIRTOUCH COMMUNICATNS PREF-CONV 00949T308 521 3872 SH DEFINED 01
D AIRTOUCH COMMUNICATNS PREF-CONV 00949T308 566 4205 SH OTHER 01
D ALAMO GROUP, INC. COMMON 011311107 94 11900 SH DEFINED 02 0 0 11900
D ALASKA AIR GROUP, INC. COMMON 011659109 580 12200 SH DEFINED 01 12200 0 0
D ALASKA AIR GROUP, INC. COMMON 011659109 1468 30900 SH DEFINED 02 24500 0 6400
D ALBANY MOLECULAR RESH INC COMMON 012423109 8 300 SH DEFINED 05 0 0 300
D ALBANY MOLECULAR RESH INC COMMON 012423109 3403 136100 SH DEFINED 01 28525 0 107575
D ALBANY MOLECULAR RESH INC COMMON 012423109 775 31000 SH DEFINED 02 24300 0 6700
D ALBEMARLE CORP. COMMON 012653101 113 5400 SH DEFINED 05 0 0 5400
D ALBEMARLE CORP. COMMON 012653101 20644 985945 SH DEFINED 01 731875 0 254070
D ALBEMARLE CORP. COMMON 012653101 40337 1926500 SH DEFINED 02 1633800 0 292700
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 9
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D ALBEMARLE CORP. COMMON 012653101 1093 52210 SH OTHER 01 20900 31310 0
D ALBERTA ENERGY CO. LTD. COMMON 012873105 2948 120000 SH OTHER 01 0 120000 0
D ALBERTO CULVER CO. CLASS B CV. COMMON 013068101 18 751 SH DEFINED 751 0 0
D ALBERTO CULVER CO. CLASS B CV. COMMON 013068101 404 17300 SH DEFINED 02 0 0 17300
D ALBERTSON'S, INC. COMMON 013104104 1143 21000 SH DEFINED 06 21000 0 0
D ALBERTSON'S, INC. COMMON 013104104 34892 640952 SH DEFINED 640952 0 0
D ALBERTSON'S, INC. COMMON 013104104 9576 175900 SH DEFINED 01 87000 0 88900
D ALBERTSON'S, INC. COMMON 013104104 16552 304052 SH DEFINED 02 158152 0 145900
D ALCAN ALUMINIUM LTD. COMMON 013716105 15 600 SH DEFINED 05 600 0 0
D ALCAN ALUMINIUM LTD. COMMON 013716105 65 2531 SH DEFINED 2531 0 0
D ALCAN ALUMINIUM LTD. COMMON 013716105 24486 948600 SH DEFINED 01 713500 0 235100
D ALCAN ALUMINIUM LTD. COMMON 013716105 33784 1308812 SH DEFINED 02 894812 0 414000
D ALCAN ALUMINIUM LTD. COMMON 013716105 75 2900 SH OTHER 01 2900 0 0
D ALCOA INC COMMON 013817101 2723 66100 SH DEFINED 05 20000 0 46100
D ALCOA INC COMMON 013817101 183 4440 SH DEFINED 4440 0 0
D ALCOA INC COMMON 013817101 62837 1525620 SH DEFINED 01 810660 0 714960
D ALCOA INC COMMON 013817101 48881 1186778 SH DEFINED 02 580164 0 606614
D ALCOA INC COMMON 013817101 4810 116770 SH OTHER 01 57200 59570 0
D ALCOA INC COMMON 013817101 824 20000 SH OTHER 0304 20000 0 0
D ALEXANDER & BALDWIN, INC. COMMON 014482103 1199 61100 SH DEFINED 02 3300 0 57800
D ALEXANDER'S, INC. COMMON 014752109 949 14000 SH DEFINED 02 0 0 14000
D ALEXION PHARMACEUTICALS INC COMMON 015351109 275 32541 SH DEFINED 32541 0 0
D ALFA CORP. COMMON 015385107 484 30000 SH DEFINED 02 12000 0 18000
D ALGOS PHARMACEUTICAL CORP COMMON 015869100 94 3800 SH DEFINED 05 0 0 3800
D ALGOS PHARMACEUTICAL CORP COMMON 015869100 8254 335200 SH DEFINED 01 244100 0 91100
D ALGOS PHARMACEUTICAL CORP COMMON 015869100 1084 44000 SH DEFINED 02 0 0 44000
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 10
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D ALIANT COMMUNICATIONS, INC. COMMON 016090102 590 14400 SH DEFINED 01 14400 0 0
D ALIANT COMMUNICATIONS, INC. COMMON 016090102 1617 39500 SH DEFINED 02 8800 0 30700
D ALLEGHANY CORP. COMMON 017175100 2356 12812 SH DEFINED 01 12508 0 304
D ALLEGHANY CORP. COMMON 017175100 975 5300 SH DEFINED 02 0 0 5300
D ALLEGHANY CORP. COMMON 017175100 195 1060 SH OTHER 01 0 1060 0
D ALLEGHENY ENERGY INC COMMON 017361106 118 4000 SH DEFINED 05 3700 0 300
D ALLEGHENY ENERGY INC COMMON 017361106 22613 766550 SH DEFINED 01 597300 0 169250
D ALLEGHENY ENERGY INC COMMON 017361106 55206 1871380 SH DEFINED 02 1473580 0 397800
D ALLEGHENY ENERGY INC COMMON 017361106 30 1000 SH OTHER 05 1000 0 0
D ALLEGHENY ENERGY INC COMMON 017361106 121 4100 SH OTHER 01 2100 2000 0
D ALLEGHENY TELEDYNE, INC. COMMON 017415100 2446 129139 SH DEFINED 05 42861 0 86278
D ALLEGHENY TELEDYNE, INC. COMMON 017415100 42 2244 SH DEFINED 2244 0 0
D ALLEGHENY TELEDYNE, INC. COMMON 017415100 111347 5879554 SH DEFINED 01 3751938 0 2127615
D ALLEGHENY TELEDYNE, INC. COMMON 017415100 266225 14057692 SH DEFINED 02 11147283 0 2910409
D ALLEGHENY TELEDYNE, INC. COMMON 017415100 185 9778 SH OTHER 05 7891 1887 0
D ALLEGHENY TELEDYNE, INC. COMMON 017415100 1116 58950 SH OTHER 09 58950 0 0
D ALLEGHENY TELEDYNE, INC. COMMON 017415100 3799 200620 SH OTHER 01 51527 149093 0
D ALLEGHENY TELEDYNE, INC. COMMON 017415100 1515 80000 SH OTHER 0304 80000 0 0
D ALLEGIANCE TELECOM INC COMMON 01747T102 123 4900 SH DEFINED 05 0 0 4900
D ALLEGIANCE TELECOM INC COMMON 01747T102 11733 469300 SH DEFINED 01 346700 0 122600
D ALLEGIANCE TELECOM INC COMMON 01747T102 2958 118300 SH DEFINED 02 87900 0 30400
D ALLERGAN, INC. COMMON 018490102 83 943 SH DEFINED 943 0 0
D ALLERGAN, INC. COMMON 018490102 12586 143230 SH DEFINED 01 26600 0 116630
D ALLERGAN, INC. COMMON 018490102 1468 16700 SH DEFINED 02 1700 0 15000
D ALLERGAN, INC. COMMON 018490102 44 500 SH OTHER 01 500 0 0
D ALLIANCE BANCORP COMMON 01852J105 302 17000 SH OTHER 01 0 17000 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 11
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D ALLIANT TECHSYSTEMS, INC. COMMON 018804104 62 800 SH DEFINED 05 0 0 800
D ALLIANT TECHSYSTEMS, INC. COMMON 018804104 5675 73050 SH DEFINED 01 51450 0 21600
D ALLIANT TECHSYSTEMS, INC. COMMON 018804104 70 900 SH DEFINED 02 0 0 900
D ALLIED CAPITAL CORPORATION COMMON 01903Q108 68 3700 SH DEFINED 05 0 0 3700
D ALLIED CAPITAL CORPORATION COMMON 01903Q108 10117 550586 SH DEFINED 01 415800 0 134786
D ALLIED CAPITAL CORPORATION COMMON 01903Q108 6797 369900 SH DEFINED 02 273000 0 96900
D ALLIED HOLDINGS, INC. COMMON 019223106 1847 193100 SH DEFINED 01 193100 0 0
D ALLIED HOLDINGS, INC. COMMON 019223106 3672 384000 SH DEFINED 02 322600 0 61400
D ALLIED PRODUCTS CORP. COMMON 019411107 45 14850 SH DEFINED 02 0 0 14850
D ALLIEDSIGNAL, INC. COMMON 019512102 6669 135586 SH DEFINED 05 63400 0 72186
D ALLIEDSIGNAL, INC. COMMON 019512102 53497 1087597 SH DEFINED 1087597 0 0
D ALLIEDSIGNAL, INC. COMMON 019512102 292717 5950994 SH DEFINED 01 3636527 0 2314467
D ALLIEDSIGNAL, INC. COMMON 019512102 458811 9327700 SH DEFINED 02 6908011 0 2419689
D ALLIEDSIGNAL, INC. COMMON 019512102 925 18800 SH OTHER 05 12000 6800 0
D ALLIEDSIGNAL, INC. COMMON 019512102 3104 63100 SH OTHER 09 63100 0 0
D ALLIEDSIGNAL, INC. COMMON 019512102 30064 611199 SH OTHER 01 259705 351494 0
D ALLIEDSIGNAL, INC. COMMON 019512102 4919 100000 SH OTHER 0304 100000 0 0
D ALLIED WASTE INDUSTRIES, INC. COMMON 019589308 35402 2451990 SH DEFINED 01 2411990 0 40000
D ALLIED WASTE INDUSTRIES, INC. COMMON 019589308 6481 448900 SH DEFINED 02 423300 0 25600
D ALLSTATE CORP. COMMON 020002101 99 2675 SH DEFINED 05 2675 0 0
D ALLSTATE CORP. COMMON 020002101 338 9119 SH DEFINED 9119 0 0
D ALLSTATE CORP. COMMON 020002101 147284 3973884 SH DEFINED 01 2707984 0 1265900
D ALLSTATE CORP. COMMON 020002101 282249 7615382 SH DEFINED 02 5163817 0 2451565
D ALLSTATE CORP. COMMON 020002101 1768 47716 SH OTHER 01 33786 13930 0
D ALLTEL CORP. COMMON 020039103 191 3064 SH DEFINED 3064 0 0
D ALLTEL CORP. COMMON 020039103 1203 19279 SH DEFINED 01 6290 0 12989
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 12
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D ALLTEL CORP. COMMON 020039103 3069 49200 SH DEFINED 02 0 0 49200
D ALLTEL CORP. COMMON 020039103 831 13329 SH OTHER 01 6571 6758 0
D ALPHARMA, INC. COMMON 020813101 1044 26600 SH DEFINED 01 26600 0 0
D ALPHARMA, INC. COMMON 020813101 2850 72600 SH DEFINED 02 13900 0 58700
D ALTERA CORP. COMMON 021441100 4076 68500 SH DEFINED 01 68500 0 0
D ALTERA CORP. COMMON 021441100 1845 31000 SH DEFINED 02 5100 0 25900
D ALTERNATIVE LIVING SVCS 5.25% BOND 02145KAB3 6971 6455000 PRN DEFINED 02
D ALTERNATIVE LIVING SVCS INC COMMON 02145K107 6374 318690 SH DEFINED 01 318690 0 0
D ALTERNATIVE LIVING SVCS INC COMMON 02145K107 13726 686289 SH DEFINED 02 534079 0 152210
D ALTERNATIVE RESOURCES CORP COMMON 02145R102 89 14000 SH DEFINED 02 0 0 14000
D ALYDAAR SOFTWARE CORP COMMON 022610109 59 10700 SH DEFINED 02 0 0 10700
D ALZA CORP. 0% CPN. LYON DUE 7/ BOND 022615AC2 11200 20000000 PRN DEFINED
D ALZA CORP. 0% CPN. LYON DUE 7/ BOND 022615AC2 19040 34000000 PRN DEFINED 02
D ALZA CORP. 5% CSD DUE 5/01/200 BOND 022615AD0 4132 3443000 PRN DEFINED
D ALZA CORP. 5% CSD DUE 5/01/200 BOND 022615AD0 9180 7650000 PRN DEFINED 01
D ALZA CORP. 5% CSD DUE 5/01/200 BOND 022615AD0 30000 25000000 PRN DEFINED 02
D ALZA CORPORATION COMMON 022615108 2720 71100 SH DEFINED 05 28300 0 42800
D ALZA CORPORATION COMMON 022615108 9610 251232 SH DEFINED 251232 0 0
D ALZA CORPORATION COMMON 022615108 120519 3150834 SH DEFINED 01 1820485 0 1330349
D ALZA CORPORATION COMMON 022615108 308491 8065129 SH DEFINED 02 6631304 0 1433825
D ALZA CORPORATION COMMON 022615108 203 5300 SH OTHER 05 3000 2300 0
D ALZA CORPORATION COMMON 022615108 711 18600 SH OTHER 09 18600 0 0
D ALZA CORPORATION COMMON 022615108 2926 76493 SH OTHER 01 44605 31888 0
D ALZA CORPORATION COMMON 022615108 1148 30000 SH OTHER 0304 30000 0 0
D ALZA CORP. - WARRANTS EXP. 12/ WARRANT 022615157 112 717190 SH DEFINED 01
D ALZA CORP. - WARRANTS EXP. 12/ WARRANT 022615157 0 1105 SH DEFINED 02
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 13
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D ALZA CORP. - WARRANTS EXP. 12/ WARRANT 022615157 0 510 SH OTHER 01
D AMAZON.COM INC COMMON 023135106 553 3211 SH DEFINED 3211 0 0
D AMAZON.COM INC COMMON 023135106 8644 50200 SH DEFINED 01 50200 0 0
D AMAZON.COM INC COMMON 023135106 5441 31600 SH DEFINED 02 4000 0 27600
D AMBAC FINANCIAL GROUP INC. COMMON 023139108 27 500 SH DEFINED 05 500 0 0
D AMBAC FINANCIAL GROUP INC. COMMON 023139108 40009 740909 SH DEFINED 01 437340 0 303569
D AMBAC FINANCIAL GROUP INC. COMMON 023139108 147821 2737423 SH DEFINED 02 2237840 0 499583
D AMBAC FINANCIAL GROUP INC. COMMON 023139108 1850 34250 SH OTHER 01 8550 25700 0
D AMCAST INDUSTRIAL CORP. COMMON 023395106 1853 114900 SH DEFINED 01 114900 0 0
D AMCAST INDUSTRIAL CORP. COMMON 023395106 4620 286500 SH DEFINED 02 233200 0 53300
D AMCOL INTERNATIONAL CORP. COMMON 02341W103 62 6200 SH DEFINED 01 6200 0 0
D AMCOL INTERNATIONAL CORP. COMMON 02341W103 230 22950 SH DEFINED 02 9000 0 13950
D AMERADA HESS CORP. COMMON 023551104 3826 75199 SH DEFINED 75199 0 0
D AMERCO, INC. COMMON 023586100 419 19500 SH DEFINED 02 0 0 19500
D AMEREN CORPORATION COMMON 023608102 66 1832 SH DEFINED 1832 0 0
D AMEREN CORPORATION COMMON 023608102 15119 417800 SH DEFINED 01 256000 0 161800
D AMEREN CORPORATION COMMON 023608102 18469 510352 SH DEFINED 02 291352 0 219000
D AMEREN CORPORATION COMMON 023608102 312 8620 SH OTHER 01 1200 7420 0
D AMERICA ONLINE, INC. COMMON 02364J104 2928 19920 SH DEFINED 05 6300 0 13620
D AMERICA ONLINE, INC. COMMON 02364J104 4134056 28122832 SH DEFINED 28122832 0 0
D AMERICA ONLINE, INC. COMMON 02364J104 339469 2309310 SH DEFINED 01 1468520 0 840790
D AMERICA ONLINE, INC. COMMON 02364J104 501058 3408555 SH DEFINED 02 2187200 0 1221355
D AMERICA ONLINE, INC. COMMON 02364J104 1558 10600 SH OTHER 09 10600 0 0
D AMERICA ONLINE, INC. COMMON 02364J104 3755 25542 SH OTHER 01 12000 13542 0
D AMERICA WEST HLDG CORP COMMON 023657208 768 40300 SH DEFINED 01 40300 0 0
D AMERICA WEST HLDG CORP COMMON 023657208 819 42961 SH DEFINED 02 38800 0 4161
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 14
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D AMERICAN AXLE & MFG HLDGS IN COMMON 024061103 183 15100 SH DEFINED 02 15100 0 0
D AMERICAN BANKERS INSURANCE GRP COMMON 024456105 1352 26000 SH DEFINED 26000 0 0
D AMERICAN BANKERS INSURANCE GRP COMMON 024456105 78 1500 SH DEFINED 01 0 0 1500
D AMERICAN BANKERS INSURANCE GRP COMMON 024456105 1269 24400 SH DEFINED 02 0 0 24400
D AMERICAN BUSINESS PRODUCTS, IN COMMON 024763104 94 6700 SH DEFINED 01 6700 0 0
D AMERICAN BUSINESS PRODUCTS, IN COMMON 024763104 785 56050 SH DEFINED 02 5400 0 50650
D AMERCIAN CLASSIC VOYAGES CO. COMMON 024928103 255 15700 SH DEFINED 02 0 0 15700
D AMERICAN EAGLE OUTFITTERS, INC COMMON 02553D108 29 401 SH DEFINED 401 0 0
D AMERICAN EAGLE OUTFITTERS, INC COMMON 02553D108 258 3600 SH DEFINED 01 3600 0 0
D AMERICAN EAGLE OUTFITTERS, INC COMMON 02553D108 358 5000 SH DEFINED 02 500 0 4500
D AMERICAN ELECTRIC POWER, INC. COMMON 025537101 91 2293 SH DEFINED 2293 0 0
D AMERICAN ELECTRIC POWER, INC. COMMON 025537101 810 20400 SH DEFINED 01 2700 0 17700
D AMERICAN ELECTRIC POWER, INC. COMMON 025537101 678 17091 SH DEFINED 02 4291 0 12800
D AMERICAN ELECTRIC POWER, INC. COMMON 025537101 129 3250 SH OTHER 01 2000 1250 0
D AMERICAN EXPRESS CO. COMMON 025816109 355 3015 SH DEFINED 05 2200 0 815
D AMERICAN EXPRESS CO. COMMON 025816109 729 6193 SH DEFINED 6193 0 0
D AMERICAN EXPRESS CO. COMMON 025816109 179089 1520927 SH DEFINED 01 1063684 0 457243
D AMERICAN EXPRESS CO. COMMON 025816109 204058 1732974 SH DEFINED 02 1088574 0 644400
D AMERICAN EXPRESS CO. COMMON 025816109 2355 20000 SH OTHER 101112 0 20000 0
D AMERICAN EXPRESS CO. COMMON 025816109 4884 41475 SH OTHER 01 16100 25375 0
D AMERICAN FINANCIAL GROUP, INC. COMMON 025932104 971 27600 SH DEFINED 01 27600 0 0
D AMERICAN FINANCIAL GROUP, INC. COMMON 025932104 1320 37500 SH DEFINED 02 2000 0 35500
D AMERICAN FREIGHTWAYS CORP. COMMON 02629V108 2148 166800 SH DEFINED 01 166800 0 0
D AMERICAN FREIGHTWAYS CORP. COMMON 02629V108 4117 319800 SH DEFINED 02 263300 0 56500
D AMERICAN GENERAL CORP. COMMON 026351106 1142 16200 SH DEFINED 06 16200 0 0
D AMERICAN GENERAL CORP. COMMON 026351106 424 6016 SH DEFINED 05 0 0 6016
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 15
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D AMERICAN GENERAL CORP. COMMON 026351106 211 2987 SH DEFINED 2987 0 0
D AMERICAN GENERAL CORP. COMMON 026351106 5517 78255 SH DEFINED 01 17286 0 60969
D AMERICAN GENERAL CORP. COMMON 026351106 42 600 SH DEFINED 02 600 0 0
D AMERICAN GENERAL LLC $3.00 CV. PREF-CONV 02637G200 1002 11200 SH DEFINED 01
D AMERICAN GREETINGS CORP. COMMON 026375105 127 5000 SH DEFINED 05 0 0 5000
D AMERICAN GREETINGS CORP. COMMON 026375105 25 994 SH DEFINED 994 0 0
D AMERICAN GREETINGS CORP. COMMON 026375105 157 6200 SH DEFINED 01 1500 0 4700
D AMERICAN GREETINGS CORP. COMMON 026375105 30 1200 SH OTHER 01 0 1200 0
D AMERICAN HERITAGE LIFE INVT. C COMMON 026522102 786 33698 SH DEFINED 02 0 0 33698
D AMERICAN HOME PRODUCTS CORP. COMMON 026609107 7856 120400 SH DEFINED 05 53500 0 66900
D AMERICAN HOME PRODUCTS CORP. COMMON 026609107 930 14259 SH DEFINED 14259 0 0
D AMERICAN HOME PRODUCTS CORP. COMMON 026609107 436679 6692401 SH DEFINED 01 4269680 0 2422721
D AMERICAN HOME PRODUCTS CORP. COMMON 026609107 854106 13089743 SH DEFINED 02 9365400 0 3724343
D AMERICAN HOME PRODUCTS CORP. COMMON 026609107 1018 15600 SH OTHER 05 12800 2800 0
D AMERICAN HOME PRODUCTS CORP. COMMON 026609107 3230 49500 SH OTHER 09 49500 0 0
D AMERICAN HOME PRODUCTS CORP. COMMON 026609107 68301 1046752 SH OTHER 01 121865 924887 0
D AMERICAN HOME PRODUCTS CORP. COMMON 026609107 5546 85000 SH OTHER 0304 85000 0 0
D AMERICAN HOMEPATIENT, INC. COMMON 026649103 0 200 SH DEFINED 01 200 0 0
D AMERICAN HOMEPATIENT, INC. COMMON 026649103 14 10900 SH DEFINED 02 0 0 10900
D AMERICAN INTERNATIONAL GROUP, COMMON 026874107 7839 64983 SH DEFINED 05 14857 0 50126
D AMERICAN INTERNATIONAL GROUP, COMMON 026874107 1674 13878 SH DEFINED 13878 0 0
D AMERICAN INTERNATIONAL GROUP, COMMON 026874107 573627 4755454 SH DEFINED 01 1742094 0 3013360
D AMERICAN INTERNATIONAL GROUP, COMMON 026874107 281194 2331139 SH DEFINED 02 1461892 0 869247
D AMERICAN INTERNATIONAL GROUP, COMMON 026874107 724 6005 SH OTHER 05 4555 1450 0
D AMERICAN INTERNATIONAL GROUP, COMMON 026874107 1446535 11992000 SH OTHER 0708 0 11992000 0
D AMERICAN INTERNATIONAL GROUP, COMMON 026874107 210370 1744000 SH OTHER 01 129168 1614832 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 16
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D AMERICAN INT'L PETROLEUM CORP. COMMON 026909408 127 150000 SH DEFINED 01 0 0 150000
D AMERICAN ITALIAN PASTA COMPANY COMMON 027070101 28 1100 SH DEFINED 05 0 0 1100
D AMERICAN ITALIAN PASTA COMPANY COMMON 027070101 4800 192000 SH DEFINED 01 161700 0 30300
D AMERICAN ITALIAN PASTA COMPANY COMMON 027070101 4718 188700 SH DEFINED 02 148800 0 39900
D AMERICAN MANAGEMENT SYSTEMS, I COMMON 027352103 806 23625 SH DEFINED 02 0 0 23625
D AMERICAN MANAGEMENT SYSTEMS, I COMMON 027352103 410 12000 SH OTHER 01 0 12000 0
D AMERICAN MEDIA, INC. COMMON 02744L100 251 43600 SH DEFINED 02 8000 0 35600
D AMERICAN NATIONAL INSURANCE CO COMMON 028591105 268 4000 SH DEFINED 01 4000 0 0
D AMERICAN PHYSICIAN PARTNERS COMMON 028880102 90 15000 SH OTHER 01 0 15000 0
D AMERICAN ONCOLOGY RESOURCES, I COMMON 028910107 120 13300 SH DEFINED 01 13300 0 0
D AMERICAN ONCOLOGY RESOURCES, I COMMON 028910107 41 4600 SH DEFINED 02 2500 0 2100
D AMERICAN RESIDENTIAL SERVICES BOND 028911AA3 1216 3500000 PRN DEFINED 02
D AMERICAN RESIDENTIAL SVCS 7.25 BOND 028911AC9 1564 4500000 PRN DEFINED 02
D AMERICAN POWER CONVERSION CORP COMMON 029066107 297 11000 SH DEFINED 01 11000 0 0
D AMERICAN POWER CONVERSION CORP COMMON 029066107 454 16800 SH DEFINED 02 900 0 15900
D AMERICAN PRECISION INDUSTRIES, COMMON 029069101 111 11500 SH DEFINED 02 0 0 11500
D AMERICAN SHARED HOSPITAL SERVI COMMON 029595105 115 76711 SH DEFINED 01 0 0 76711
D AMERICAN SOFTWARE, INC. CLASS COMMON 029683109 2188 700000 SH DEFINED 01 0 0 700000
D AMERICAN STANDARD COMPANIES, I COMMON 029712106 2922 85000 SH DEFINED 01 85000 0 0
D AMERICAN STANDARD COMPANIES, I COMMON 029712106 1045 30400 SH DEFINED 02 6800 0 23600
D AMERICAN STS WTR CO COMMON 029899101 2280 94000 SH DEFINED 01 94000 0 0
D AMERICAN STS WTR CO COMMON 029899101 3507 144600 SH DEFINED 02 114900 0 29700
D AMERICAN TOWER CORP COMMON 029912201 3349 136700 SH DEFINED 01 36700 0 100000
D AMERICAN TOWER CORP COMMON 029912201 731 29830 SH DEFINED 02 11800 0 18030
D AMERICAN STORES CO. COMMON 030096101 677 20500 SH DEFINED 06 20500 0 0
D AMERICAN STORES CO. COMMON 030096101 46 1400 SH DEFINED 05 1400 0 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 17
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D AMERICAN STORES CO. COMMON 030096101 66639 2019363 SH DEFINED 2019363 0 0
D AMERICAN STORES CO. COMMON 030096101 84110 2548787 SH DEFINED 01 1599890 0 948897
D AMERICAN STORES CO. COMMON 030096101 216209 6551775 SH DEFINED 02 5259275 0 1292500
D AMERICAN STORES CO. COMMON 030096101 1304 39500 SH OTHER 09 39500 0 0
D AMERICAN STORES CO. COMMON 030096101 908 27505 SH OTHER 01 13025 14480 0
D AMERICAN WATER WORKS, INC. COMMON 030411102 2135 73300 SH DEFINED 01 73300 0 0
D AMERICAN WATER WORKS, INC. COMMON 030411102 955 32800 SH DEFINED 02 4500 0 28300
D AMERICREDIT CORP. COMMON 03060R101 0 38 SH DEFINED 38 0 0
D AMERICREDIT CORP. COMMON 03060R101 7959 606400 SH DEFINED 01 0 0 606400
D AMERICREDIT CORP. COMMON 03060R101 793 60400 SH DEFINED 02 0 0 60400
D AMERIN CORP. COMMON 03070X106 140 6873 SH DEFINED 05 6873 0 0
D AMERIN CORP. COMMON 03070X106 10143 499355 SH DEFINED 01 494482 0 4873
D AMERIN CORP. COMMON 03070X106 41 2000 SH DEFINED 02 2000 0 0
D AMERIN CORP. COMMON 03070X106 30 1454 SH OTHER 01 1454 0 0
D AMERISOURCE HEALTH CORP. CLASS COMMON 03071P102 24 700 SH DEFINED 01 700 0 0
D AMERISOURCE HEALTH CORP. CLASS COMMON 03071P102 185 5400 SH DEFINED 02 0 0 5400
D AMERON, INC. COMMON 030710107 224 6300 SH DEFINED 02 3500 0 2800
D AMERITRADE HOLDING CORP. CL A COMMON 03072H109 531 8600 SH DEFINED 01 8600 0 0
D AMERITRADE HOLDING CORP. CL A COMMON 03072H109 216 3500 SH DEFINED 02 3300 0 200
D AMES DEPARTMENT STORES, INC. COMMON 030789507 2981 80300 SH DEFINED 01 80300 0 0
D AMES DEPARTMENT STORES, INC. COMMON 030789507 7481 201500 SH DEFINED 02 152500 0 49000
D AMERITECH CORP. COMMON 030954101 311 5400 SH DEFINED 05 1000 0 4400
D AMERITECH CORP. COMMON 030954101 23891 414600 SH DEFINED 414600 0 0
D AMERITECH CORP. COMMON 030954101 45403 787910 SH DEFINED 01 418570 0 369340
D AMERITECH CORP. COMMON 030954101 87668 1521356 SH DEFINED 02 954756 0 566600
D AMERITECH CORP. COMMON 030954101 461 8000 SH OTHER 05 0 8000 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 18
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D AMERITECH CORP. COMMON 030954101 12116 210259 SH OTHER 01 20160 190099 0
D AMF BOWLING INC 0% 05/12/18 BOND 03113VAA7 6300 60000000 PRN DEFINED 01
D AMF BOWLING INC 0% 05/12/18 BOND 03113VAA7 10290 98000000 PRN DEFINED 02
D AMGEN, INC. COMMON 031162100 30 400 SH DEFINED 05 400 0 0
D AMGEN, INC. COMMON 031162100 2653 35426 SH DEFINED 35426 0 0
D AMGEN, INC. COMMON 031162100 106618 1423948 SH DEFINED 01 1040010 0 383938
D AMGEN, INC. COMMON 031162100 152742 2039956 SH DEFINED 02 1203256 0 836700
D AMGEN, INC. COMMON 031162100 606 8100 SH OTHER 01 8100 0 0
D AMKOR TECHNOLOGY INC 5.750% 5/ PREF-CONV 031652AA8 165688 2750000 SH DEFINED
D AMKOR TECHNOLOGY INC 5.750% 5/ PREF-CONV 031652AA8 180750 3000000 SH DEFINED 02
D AMKOR TECHNOLOGY INC COMMON 031652100 24 3000 SH DEFINED 3000 0 0
D AMKOR TECHNOLOGY INC COMMON 031652100 272 34500 SH DEFINED 01 34500 0 0
D AMKOR TECHNOLOGY INC COMMON 031652100 261 33200 SH DEFINED 02 33200 0 0
D AMP, INC. COMMON 031897101 129 2419 SH DEFINED 2419 0 0
D AMP, INC. COMMON 031897101 2373 44349 SH DEFINED 01 9675 0 34674
D AMP, INC. COMMON 031897101 1999 37373 SH DEFINED 02 37373 0 0
D AMP, INC. COMMON 031897101 1506 28142 SH OTHER 01 16346 11796 0
D AMRESCO, INC. COMMON 031909104 2185 284200 SH DEFINED 01 84200 0 200000
D AMRESCO, INC. COMMON 031909104 271 35300 SH DEFINED 02 7600 0 27700
D AMRESCO CAP TRUST COMMON 031919103 3949 405000 SH DEFINED 01 405000 0 0
D AMSOUTH BANCORPORATION COMMON 032165102 50 1100 SH DEFINED 1100 0 0
D AMSOUTH BANCORPORATION COMMON 032165102 568 12474 SH DEFINED 02 0 0 12474
D ANADARKO PETROLEUM CORP. COMMON 032511107 57 1501 SH DEFINED 1501 0 0
D ANADARKO PETROLEUM CORP. COMMON 032511107 1008 26704 SH DEFINED 01 14604 0 12100
D ANALOG DEVICES, INC. COMMON 032654105 95 3200 SH DEFINED 01 0 0 3200
D ANALOG DEVICES, INC. COMMON 032654105 476 16000 SH OTHER 01 0 16000 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 19
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D ANALOGIC CORP. COMMON 032657207 346 10500 SH DEFINED 02 0 0 10500
D ANALYSTS INTERNATIONAL CORP. COMMON 032681108 0 6 SH DEFINED 6 0 0
D ANALYSTS INTERNATIONAL CORP. COMMON 032681108 17 1500 SH DEFINED 01 1500 0 0
D ANALYSTS INTERNATIONAL CORP. COMMON 032681108 131 11400 SH DEFINED 02 0 0 11400
D ANCHOR GAMING COMMON 033037102 2384 54500 SH DEFINED 01 54500 0 0
D ANCHOR GAMING COMMON 033037102 6606 151000 SH DEFINED 02 116000 0 35000
D ANDOVER BANCORP INC DEL COMMON 034258103 260 9600 SH DEFINED 02 9600 0 0
D ANDREW CORP. COMMON 034425108 14 1142 SH DEFINED 1142 0 0
D ANDREW CORP. COMMON 034425108 1283 104200 SH DEFINED 01 104200 0 0
D ANDREW CORP. COMMON 034425108 900 73075 SH DEFINED 02 11500 0 61575
D ANDRX CORP. COMMON 034551101 36 400 SH DEFINED 05 0 0 400
D ANDRX CORP. COMMON 034551101 3281 36000 SH DEFINED 01 26100 0 9900
D ANDRX CORP. COMMON 034551101 6096 66900 SH DEFINED 02 0 0 66900
D ANHEUSER-BUSCH COMPANIES, INC. COMMON 035229103 609 8000 SH DEFINED 05 4000 0 4000
D ANHEUSER-BUSCH COMPANIES, INC. COMMON 035229103 490 6435 SH DEFINED 6435 0 0
D ANHEUSER-BUSCH COMPANIES, INC. COMMON 035229103 121917 1601540 SH DEFINED 01 1528360 0 73180
D ANHEUSER-BUSCH COMPANIES, INC. COMMON 035229103 36928 485100 SH DEFINED 02 485100 0 0
D ANHEUSER-BUSCH COMPANIES, INC. COMMON 035229103 2600 34150 SH OTHER 01 25800 8350 0
D ANIXTER INTERNATIONAL, INC. COMMON 035290105 7271 609100 SH DEFINED 01 418300 0 190800
D ANIXTER INTERNATIONAL, INC. COMMON 035290105 10381 869600 SH DEFINED 02 574100 0 295500
D ANNTAYLOR STORES CORP. COMMON 036115103 720 16300 SH DEFINED 01 16300 0 0
D ANNTAYLOR STORES CORP. COMMON 036115103 318 7200 SH DEFINED 02 7200 0 0
D ANTEC CORP 4.5% 05/15/03 BOND 03664PAA3 4506 5000000 PRN DEFINED 02
D ANTEC CORPORATION COMMON 03664P105 56 2600 SH DEFINED 05 0 0 2600
D ANTEC CORPORATION COMMON 03664P105 10185 473700 SH DEFINED 01 402900 0 70800
D ANTEC CORPORATION COMMON 03664P105 11210 521400 SH DEFINED 02 408600 0 112800
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 20
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D ANSWERTHINK CONSULTING GROUP COMMON 036916104 1240 44300 SH DEFINED 01 44300 0 0
D ANSWERTHINK CONSULTING GROUP COMMON 036916104 260 9300 SH DEFINED 02 9300 0 0
D AON CORP. COMMON 037389103 142 2250 SH DEFINED 05 2250 0 0
D AON CORP. COMMON 037389103 133 2105 SH DEFINED 2105 0 0
D AON CORP. COMMON 037389103 34920 552100 SH DEFINED 01 401600 0 150500
D AON CORP. COMMON 037389103 73009 1154300 SH DEFINED 02 769000 0 385300
D AON CORP. COMMON 037389103 364 5750 SH OTHER 01 1700 4050 0
D APACHE CORP. COMMON 037411105 35 1326 SH DEFINED 1326 0 0
D APACHE CORP. COMMON 037411105 1931 74088 SH DEFINED 01 69100 0 4988
D APACHE CORP. COMMON 037411105 959 36806 SH DEFINED 02 5100 0 31706
D APARTMENT INVT & MGMT CO COMMON 03748R101 7500 206900 SH DEFINED 01 203800 0 3100
D APARTMENT INVT & MGMT CO COMMON 03748R101 11468 316353 SH DEFINED 02 259500 0 56853
D APOGEE ENTERPRISES, INC. COMMON 037598109 171 14400 SH DEFINED 02 0 0 14400
D APPLE COMPUTER, INC. COMMON 037833100 81 2258 SH DEFINED 2258 0 0
D APPLE COMPUTER, INC. COMMON 037833100 17065 474850 SH DEFINED 01 395400 0 79450
D APPLE COMPUTER, INC. COMMON 037833100 19274 536300 SH DEFINED 02 311300 0 225000
D APPLE COMPUTER, INC. COMMON 037833100 32 900 SH OTHER 01 900 0 0
D APRIA HEALTHCARE GROUP, INC. COMMON 037933108 454 38263 SH DEFINED 02 5400 0 32863
D APPLIED ANALYTICAL INDS INC COMMON 037939105 22 2000 SH DEFINED 05 0 0 2000
D APPLIED ANALYTICAL INDS INC COMMON 037939105 3677 334300 SH DEFINED 01 285425 0 48875
D APPLIED ANALYTICAL INDS INC COMMON 037939105 3301 300100 SH DEFINED 02 236900 0 63200
D APEX PC SOLUTIONS, INC. COMMON 037945102 1 100 SH DEFINED 01 100 0 0
D APEX PC SOLUTIONS, INC. COMMON 037945102 203 14600 SH DEFINED 02 8000 0 6600
D APPLIED INDL TECHNOLOGIES IN COMMON 03820C105 157 14075 SH DEFINED 02 6200 0 7875
D APPLIED MICRO CIRCUITS CORPORA COMMON 03822W109 98 2300 SH DEFINED 05 0 0 2300
D APPLIED MICRO CIRCUITS CORPORA COMMON 03822W109 10448 244400 SH DEFINED 01 193300 0 51100
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 21
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D APPLIED MICRO CIRCUITS CORPORA COMMON 03822W109 8208 192000 SH DEFINED 02 146500 0 45500
D APPLIED MATERIALS, INC. COMMON 038222105 12 200 SH DEFINED 05 200 0 0
D APPLIED MATERIALS, INC. COMMON 038222105 266 4316 SH DEFINED 4316 0 0
D APPLIED MATERIALS, INC. COMMON 038222105 26936 436650 SH DEFINED 01 294450 0 142200
D APPLIED MATERIALS, INC. COMMON 038222105 28622 463980 SH DEFINED 02 281180 0 182800
D APPLIED MATERIALS, INC. COMMON 038222105 74 1200 SH OTHER 01 1200 0 0
D APPLIED POWER, INC. CLASS "A" COMMON 038225108 0 6 SH DEFINED 6 0 0
D APPLIED POWER, INC. CLASS "A" COMMON 038225108 5908 216800 SH DEFINED 01 201800 0 15000
D APPLIED POWER, INC. CLASS "A" COMMON 038225108 13240 485855 SH DEFINED 02 238500 0 247355
D APPLIED SCIENCE & TECHNOLOGY, COMMON 038236105 1045 83200 SH DEFINED 01 83200 0 0
D APPLIED SCIENCE & TECHNOLOGY, COMMON 038236105 2874 228800 SH DEFINED 02 178100 0 50700
D APTARGROUP, INC. COMMON 038336103 1014 39000 SH DEFINED 01 39000 0 0
D APTARGROUP, INC. COMMON 038336103 4394 169000 SH DEFINED 02 106400 0 62600
D AQUA ALLIANCE INC COMMON 038367108 91 40600 SH DEFINED 02 0 0 40600
D AQUARION CO. COMMON 03838W101 198 7200 SH DEFINED 02 0 0 7200
D AQUARION CO. COMMON 03838W101 165 6000 SH OTHER 01 6000 0 0
D AQUILA GAS PIPELINE CORP COMMON 03839B106 131 18100 SH DEFINED 02 0 0 18100
D ARCH CHEMICALS INC COMMON 03937R102 2 100 SH DEFINED 05 100 0 0
D ARCH COAL INC COMMON 039380100 13 1000 SH DEFINED 01 1000 0 0
D ARCH COAL INC COMMON 039380100 159 12000 SH DEFINED 02 11000 0 1000
D ARCH COMMUNICATIONS GROUP, INC COMMON 039381108 15 11028 SH DEFINED 11028 0 0
D ARCHER-DANIELS-MIDLAND CO. COMMON 039483102 98 6685 SH DEFINED 6685 0 0
D ARCHER-DANIELS-MIDLAND CO. COMMON 039483102 114 7738 SH DEFINED 01 3243 0 4495
D ARCHER-DANIELS-MIDLAND CO. COMMON 039483102 1309 89100 SH DEFINED 02 0 0 89100
D ARCHER-DANIELS-MIDLAND CO. COMMON 039483102 143 9728 SH OTHER 01 0 9728 0
D ARCHSTONE COMMUNITIES TRUST COMMON 039581103 637 31672 SH DEFINED 31672 0 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 22
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D ARCHSTONE COMMUNITIES TRUST COMMON 039581103 5284 263414 SH DEFINED 01 215500 0 47914
D ARCHSTONE COMMUNITIES TRUST COMMON 039581103 6535 324722 SH DEFINED 02 279487 0 45235
D ARCHSTONE COMMUNITIES TR 1.75 PREF-CONV 039581202 9490 352300 SH DEFINED 02
D ARCTIC CAT, INC. COMMON 039670104 190 19125 SH DEFINED 02 0 0 19125
D ARDEN RLTY GROUP INC COMMON 039793104 11951 536400 SH DEFINED 01 532700 0 3700
D ARDEN RLTY GROUP INC COMMON 039793104 18294 822200 SH DEFINED 02 674700 0 147500
D ARGOSY ED GROUP INC COMMON 040222101 11 1300 SH DEFINED 05 0 0 1300
D ARGOSY ED GROUP INC COMMON 040222101 1606 186200 SH DEFINED 01 153100 0 33100
D ARGOSY ED GROUP INC COMMON 040222101 1638 189900 SH DEFINED 02 146400 0 43500
D ARGOSY GAMING CORP. COMMON 040228108 106 20000 SH DEFINED 01 0 0 20000
D ARIAD PHARMACEUTICALS COMMON 04033A100 21 15000 SH DEFINED 01 0 0 15000
D ARQULE INC COMMON 04269E107 10 2200 SH DEFINED 05 0 0 2200
D ARQULE INC COMMON 04269E107 886 191500 SH DEFINED 01 139700 0 51800
D ARQULE INC COMMON 04269E107 11 2400 SH DEFINED 02 0 0 2400
D ARROW ELECTRONICS, INC. COMMON 042735100 2177 145100 SH DEFINED 01 145100 0 0
D ARROW ELECTRONICS, INC. COMMON 042735100 1179 78600 SH DEFINED 02 12100 0 66500
D ARROW FINANCIAL CORP. COMMON 042744102 195 7144 SH DEFINED 01 0 0 7144
D ARROW FINANCIAL CORP. COMMON 042744102 485 17800 SH DEFINED 02 0 0 17800
D ARROW INTERNATIONAL, INC. COMMON 042764100 431 20000 SH DEFINED 20000 0 0
D ARROW INTERNATIONAL, INC. COMMON 042764100 9 400 SH DEFINED 02 0 0 400
D ARTESYN TECHNOLOGIES INC COMMON 043127109 134 10800 SH DEFINED 02 0 0 10800
D ARVIN INDUSTRIES, INC. COMMON 043339100 337 10000 SH DEFINED 01 10000 0 0
D ARVIN INDUSTRIES, INC. COMMON 043339100 738 21900 SH DEFINED 02 21900 0 0
D ASARCO, INC. COMMON 043413103 8 605 SH DEFINED 605 0 0
D ASARCO, INC. COMMON 043413103 138 10000 SH DEFINED 02 10000 0 0
D ASCEND COMMUNICATIONS, INC. COMMON 043491109 3813 45557 SH DEFINED 45557 0 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 23
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D ASCEND COMMUNICATIONS, INC. COMMON 043491109 3533 42211 SH DEFINED 01 37811 0 4400
D ASCEND COMMUNICATIONS, INC. COMMON 043491109 78815 941770 SH DEFINED 02 630700 0 311070
D ASHLAND, INC. COMMON 044204105 1670 40785 SH DEFINED 05 18816 0 21969
D ASHLAND, INC. COMMON 044204105 42 1038 SH DEFINED 1038 0 0
D ASHLAND, INC. COMMON 044204105 1788 43688 SH DEFINED 01 25214 0 18474
D ASHLAND, INC. COMMON 044204105 102 2500 SH DEFINED 02 0 0 2500
D ASHLAND, INC. COMMON 044204105 149 3628 SH OTHER 05 2628 1000 0
D ASHLAND, INC. COMMON 044204105 452 11046 SH OTHER 01 1391 9655 0
D ASIA PULP & PAPER LTD. SPNSRD. COMMON 04516V100 168 20000 SH OTHER 01 0 20000 0
D ASPECT DEVELOPMENT, INC. COMMON 045234101 4515 194200 SH DEFINED 01 194200 0 0
D ASPECT DEVELOPMENT, INC. COMMON 045234101 7719 332000 SH DEFINED 02 256300 0 75700
D ASPECT TELECOMMUNICATION 8/10/ BOND 045237AB0 0 15000000 PRN DEFINED 02
D ASPECT TELECOMMUNICATIONS CO. COMMON 045237104 5 704 SH DEFINED 01 704 0 0
D ASPECT TELECOMMUNICATIONS CO. COMMON 045237104 146 22000 SH DEFINED 02 0 0 22000
D ASPEN TECHNOLOGY INC 5.25% 06/ BOND 045327AA1 0 7000000 PRN DEFINED 02
D ASPEN TECHNOLOGY, INC. COMMON 045327103 62 4400 SH DEFINED 05 0 0 4400
D ASPEN TECHNOLOGY, INC. COMMON 045327103 6837 481900 SH DEFINED 01 363600 0 118300
D ASPEN TECHNOLOGY, INC. COMMON 045327103 556 39200 SH DEFINED 02 33800 0 5400
D ASSISTED LIVING CONCEPTS 5. BOND 04543LAG4 3750 5000000 PRN DEFINED 02
D ASSOCIATED BANC CORP. COMMON 045487105 42 1300 SH DEFINED 05 1300 0 0
D ASSOCIATED BANC CORP. COMMON 045487105 18936 592900 SH DEFINED 01 384300 0 208600
D ASSOCIATED BANC CORP. COMMON 045487105 42666 1335914 SH DEFINED 02 945452 0 390462
D ASSOCIATED BANC CORP. COMMON 045487105 13 400 SH OTHER 01 400 0 0
D ASSOCIATED GROUP, INC. CL. "A" COMMON 045651106 50 1000 SH DEFINED 01 1000 0 0
D ASSOCIATED GROUP, INC. CL. "A" COMMON 045651106 1095 22100 SH DEFINED 02 6600 0 15500
D AT HOME CORPORATION COMMON 045919107 12 78 SH DEFINED 01 0 0 78
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 24
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D AT HOME CORPORATION COMMON 045919107 2725 17300 SH DEFINED 02 0 0 17300
D ASSOCIATES FIRST CAPITAL CORP. COMMON 046008108 3673 81632 SH DEFINED 05 27638 0 53994
D ASSOCIATES FIRST CAPITAL CORP. COMMON 046008108 351 7795 SH DEFINED 7795 0 0
D ASSOCIATES FIRST CAPITAL CORP. COMMON 046008108 91740 2038661 SH DEFINED 01 1407328 0 631333
D ASSOCIATES FIRST CAPITAL CORP. COMMON 046008108 209003 4644520 SH DEFINED 02 3391834 0 1252686
D ASSOCIATES FIRST CAPITAL CORP. COMMON 046008108 215 4776 SH OTHER 05 2776 2000 0
D ASSOCIATES FIRST CAPITAL CORP. COMMON 046008108 3655 81222 SH OTHER 01 17938 63284 0
D ASTEC INDUSTRIES INC COMMON 046224101 1 41 SH DEFINED 41 0 0
D ASTEC INDUSTRIES INC COMMON 046224101 1664 53900 SH DEFINED 01 53900 0 0
D ASTEC INDUSTRIES INC COMMON 046224101 3100 100400 SH DEFINED 02 20000 0 80400
D ASTORIA FINANCIAL CORPORATION COMMON 046265104 60 1205 SH DEFINED 05 1205 0 0
D ASTORIA FINANCIAL CORPORATION COMMON 046265104 70727 1414545 SH DEFINED 01 892865 0 521680
D ASTORIA FINANCIAL CORPORATION COMMON 046265104 212645 4252907 SH DEFINED 02 3235118 0 1017789
D ASTORIA FINANCIAL CORPORATION COMMON 046265104 416 8320 SH OTHER 01 500 7820 0
D ASTRA AB SPONS. A/D/R COMMON 046298105 92 3996 SH DEFINED 01 1396 0 2600
D ASTRA AB SPONS. A/D/R COMMON 046298105 61 2666 SH OTHER 05 0 2666 0
D ATLANTIC COAST AIRLINES HLDG COMMON 048396105 523 18600 SH DEFINED 01 18600 0 0
D ATLANTIC COAST AIRLINES HLDG COMMON 048396105 205 7300 SH DEFINED 02 7000 0 300
D ATLANTIC RICHFIELD CO. COMMON 048825103 1190 16267 SH DEFINED 05 6367 0 9900
D ATLANTIC RICHFIELD CO. COMMON 048825103 256 3498 SH DEFINED 3498 0 0
D ATLANTIC RICHFIELD CO. COMMON 048825103 34062 465809 SH DEFINED 01 376056 0 89753
D ATLANTIC RICHFIELD CO. COMMON 048825103 14398 196900 SH DEFINED 02 81400 0 115500
D ATLANTIC RICHFIELD CO. COMMON 048825103 212 2900 SH OTHER 05 0 2900 0
D ATLANTIC RICHFIELD CO. COMMON 048825103 14049 192122 SH OTHER 01 27346 164776 0
D ATLANTIC RICHFIELD CO. COMMON 048825103 6216 85000 SH OTHER 0304 85000 0 0
D ATMEL CORP. COMMON 049513104 690 45400 SH DEFINED 01 45400 0 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 25
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D ATMEL CORP. COMMON 049513104 219 14400 SH DEFINED 02 3100 0 11300
D ATMOS ENERGY CORP. COMMON 049560105 6256 260000 SH DEFINED 01 260000 0 0
D ATMOS ENERGY CORP. COMMON 049560105 10720 445500 SH DEFINED 02 357200 0 88300
D ATWOOD OCEANICS, INC. COMMON 050095108 18 600 SH DEFINED 01 600 0 0
D ATWOOD OCEANICS, INC. COMMON 050095108 288 9600 SH DEFINED 02 0 0 9600
D AURORA BIOSCIENCES CORPORATION COMMON 051920106 753 112000 SH DEFINED 112000 0 0
D AUSPEX SYSTEMS, INC. COMMON 052116100 214 20000 SH OTHER 101112 0 20000 0
D AUTHENTIC FITNESS CORP. COMMON 052661105 181 11700 SH DEFINED 02 3700 0 8000
D AUTODESK, INC. COMMON 052769106 16 395 SH DEFINED 395 0 0
D AUTODESK, INC. COMMON 052769106 34 838 SH DEFINED 838 0 0
D AUTODESK, INC. COMMON 052769106 5528 136700 SH DEFINED 01 119500 0 17200
D AUTODESK, INC. COMMON 052769106 12296 304060 SH DEFINED 02 214260 0 89800
D AUTODESK, INC. COMMON 052769106 20 500 SH OTHER 01 500 0 0
D AUTOLIV, INC. COMMON 052800109 1988 52922 SH DEFINED 01 52616 0 306
D AUTOLIV, INC. COMMON 052800109 785 20900 SH DEFINED 02 4200 0 16700
D AUTOLIV, INC. COMMON 052800109 58 1534 SH OTHER 05 0 1534 0
D AUTOLIV, INC. COMMON 052800109 215 5727 SH OTHER 01 2455 3272 0
D AUTOMATIC DATA PROCESSING, INC COMMON 053015103 298 7200 SH DEFINED 05 2500 0 4700
D AUTOMATIC DATA PROCESSING, INC COMMON 053015103 284 6876 SH DEFINED 6876 0 0
D AUTOMATIC DATA PROCESSING, INC COMMON 053015103 43422 1049480 SH DEFINED 01 665800 0 383680
D AUTOMATIC DATA PROCESSING, INC COMMON 053015103 30689 741736 SH DEFINED 02 384810 0 356926
D AUTOMATIC DATA PROCESSING, INC COMMON 053015103 3854 93154 SH OTHER 01 6370 86784 0
D AUTOZONE, INC. COMMON 053332102 18 600 SH DEFINED 05 600 0 0
D AUTOZONE, INC. COMMON 053332102 54 1778 SH DEFINED 1778 0 0
D AUTOZONE, INC. COMMON 053332102 34989 1151900 SH DEFINED 01 801700 0 350200
D AUTOZONE, INC. COMMON 053332102 65074 2142355 SH DEFINED 02 1415680 0 726675
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 26
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D AUTOZONE, INC. COMMON 053332102 49 1600 SH OTHER 01 1600 0 0
D AVADO BRANDS INC COMMON 05336P108 2368 398800 SH DEFINED 398800 0 0
D AVADO BRANDS INC COMMON 05336P108 140 23500 SH DEFINED 02 3800 0 19700
D AVADO FIN I $3.50 SERIES A PREFERRED 05336Q205 3813 117320 SH DEFINED
D AVALONBAY CUMMUNITIES, INC COMMON 053484101 1826 57300 SH DEFINED 01 57300 0 0
D AVALONBAY CUMMUNITIES, INC COMMON 053484101 4509 141469 SH DEFINED 02 109900 0 31569
D AVANT IMMUNOTHERAPEUTICS INC COMMON 053491106 74 47500 SH DEFINED 01 47500 0 0
D AVERY DENNISON CORP. COMMON 053611109 89 1541 SH DEFINED 1541 0 0
D AVERY DENNISON CORP. COMMON 053611109 969 16860 SH DEFINED 01 12300 0 4560
D AVERY DENNISON CORP. COMMON 053611109 1357 23600 SH DEFINED 02 0 0 23600
D AVERY DENNISON CORP. COMMON 053611109 173 3000 SH OTHER 01 0 3000 0
D AVIALL, INC. COMMON 05366B102 295 19000 SH DEFINED 01 19000 0 0
D AVIALL, INC. COMMON 05366B102 318 20500 SH DEFINED 02 10800 0 9700
D AVID TECHNOLOGY, INC. COMMON 05367P100 52 3000 SH DEFINED 05 0 0 3000
D AVID TECHNOLOGY, INC. COMMON 05367P100 5612 321800 SH DEFINED 01 246500 0 75300
D AVID TECHNOLOGY, INC. COMMON 05367P100 806 46200 SH DEFINED 02 28200 0 18000
D AVIRON 5.75% 04/01/2005 BOND 053762AA8 1881 2500000 PRN DEFINED 02
D AVNET, INC. COMMON 053807103 779 21200 SH DEFINED 02 21200 0 0
D AVON PRODUCTS, INC. COMMON 054303102 112 2374 SH DEFINED 05 2374 0 0
D AVON PRODUCTS, INC. COMMON 054303102 140 2981 SH DEFINED 2981 0 0
D AVON PRODUCTS, INC. COMMON 054303102 4650 98800 SH DEFINED 01 14900 0 83900
D AVON PRODUCTS, INC. COMMON 054303102 2071 44000 SH OTHER 01 13400 30600 0
D AVONDALE INDUSTRIES, INC. COMMON 054350103 1770 60000 SH DEFINED 60000 0 0
D AVONDALE INDUSTRIES, INC. COMMON 054350103 156 5300 SH DEFINED 01 5300 0 0
D AVONDALE INDUSTRIES, INC. COMMON 054350103 608 20600 SH DEFINED 02 8100 0 12500
D AWARE INC COMMON 05453N100 3976 84600 SH DEFINED 84600 0 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 27
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D AWARE INC COMMON 05453N100 24 500 SH DEFINED 02 0 0 500
D AXCESS INC COMMON 054546106 785 267169 SH DEFINED 267169 0 0
D AXYS PHARMACEUTICALS, INC. COMMON 054635107 49 11800 SH DEFINED 05 0 0 11800
D AXYS PHARMACEUTICALS, INC. COMMON 054635107 2437 581800 SH DEFINED 01 309900 0 271900
D AXYS PHARMACEUTICALS, INC. COMMON 054635107 49 11700 SH DEFINED 02 0 0 11700
D BB&T CORPORATION COMMON 054937107 136 3767 SH DEFINED 3767 0 0
D BB&T CORPORATION COMMON 054937107 371 10250 SH DEFINED 01 0 0 10250
D BB&T CORPORATION COMMON 054937107 1411 38988 SH DEFINED 02 0 0 38988
D BHC COMMUNICATIONS, INC. COMMON 055448104 37 300 SH DEFINED 01 300 0 0
D BHC COMMUNICATIONS, INC. COMMON 055448104 1596 13000 SH DEFINED 02 0 0 13000
D BJ'S WHOLESALE CLUB, INC. COMMON 05548J106 316 12000 SH DEFINED 02 0 0 12000
D BJ SERVICES CO. COMMON 055482103 1346 57900 SH DEFINED 01 57900 0 0
D BJ SERVICES CO. COMMON 055482103 1521 65400 SH DEFINED 02 10500 0 54900
D BMC INDUSTRIES, INC. COMMON 055607105 96 21600 SH DEFINED 02 0 0 21600
D BP AMOCO P L C COMMON 055622104 3673 36366 SH DEFINED 05 14561 0 21805
D BP AMOCO P L C COMMON 055622104 56005 554500 SH DEFINED 01 248335 0 306165
D BP AMOCO P L C COMMON 055622104 13524 133897 SH DEFINED 02 121668 0 12229
D BP AMOCO P L C COMMON 055622104 71 700 SH OTHER 05 0 700 0
D BP AMOCO P L C COMMON 055622104 17504 173308 SH OTHER 01 59776 113532 0
D BSB BANCORP, INC. COMMON 055652101 1808 74212 SH DEFINED 02 3500 0 70712
D BT FINANCIAL CORP. COMMON 055763106 200 7558 SH DEFINED 02 0 0 7558
D BMC SOFTWARE, INC. COMMON 055921100 24 650 SH DEFINED 05 400 0 250
D BMC SOFTWARE, INC. COMMON 055921100 95 2551 SH DEFINED 2551 0 0
D BMC SOFTWARE, INC. COMMON 055921100 10344 279100 SH DEFINED 01 149100 0 130000
D BMC SOFTWARE, INC. COMMON 055921100 22217 599452 SH DEFINED 02 365352 0 234100
D BMC SOFTWARE, INC. COMMON 055921100 22 600 SH OTHER 01 600 0 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 28
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D BAKER HUGHES, INC. COMMON 057224107 1801 74081 SH DEFINED 74081 0 0
D BAKER HUGHES, INC. COMMON 057224107 2130 87600 SH DEFINED 01 87600 0 0
D BAKER HUGHES, INC. COMMON 057224107 4019 165300 SH DEFINED 02 57400 0 107900
D BALDOR ELECTRIC CO. COMMON 057741100 199 9908 SH DEFINED 01 0 0 9908
D BALDOR ELECTRIC CO. COMMON 057741100 268 13320 SH DEFINED 02 0 0 13320
D BALDWIN & LYONS, INC. CL. "B" COMMON 057755209 387 18600 SH DEFINED 02
D BALLARD MEDICAL PRODUCTS COMMON 058566100 4641 190400 SH DEFINED 190400 0 0
D BALLARD MEDICAL PRODUCTS COMMON 058566100 46 1900 SH DEFINED 01 1900 0 0
D BALTIMORE GAS & ELECTRIC CO. COMMON 059165100 46 1812 SH DEFINED 1812 0 0
D BALTIMORE GAS & ELECTRIC CO. COMMON 059165100 12941 509998 SH DEFINED 01 298100 0 211898
D BALTIMORE GAS & ELECTRIC CO. COMMON 059165100 19306 760840 SH DEFINED 02 487940 0 272900
D BALTIMORE GAS & ELECTRIC CO. COMMON 059165100 923 36361 SH OTHER 01 3400 32961 0
D BALTIMORE GAS & ELECTRIC CO. COMMON 059165100 1523 60000 SH OTHER 0304 60000 0 0
D BANCO DE GALICIA Y BUENOS AIR COMMON 059538207 2302 143304 SH DEFINED 143304 0 0
D BANCO FRANCES DEL RIO DE LA PL COMMON 059591107 832 46870 SH DEFINED 46870 0 0
D BANCO FRANCES DEL RIO DE LA PL COMMON 059591107 28 1581 SH OTHER 05 0 1581 0
D BANCO RIO DE LA PLATA S.A. COMMON 059644104 304 31600 SH DEFINED 31600 0 0
D BANCO WIESE - SPONSORED A/D/R COMMON 059651109 124 53600 SH DEFINED 53600 0 0
D BANCORPSOUTH, INC. COMMON 059692103 542 33900 SH DEFINED 01 33900 0 0
D BANCORPSOUTH, INC. COMMON 059692103 2942 183860 SH DEFINED 02 71700 0 112160
D BANCTEC, INC. COMMON 059784108 185 15050 SH DEFINED 02 6200 0 8850
D BANCWEST CORPORATION COMMON 059790105 9979 234800 SH DEFINED 01 205300 0 29500
D BANCWEST CORPORATION COMMON 059790105 10998 258770 SH DEFINED 02 167970 0 90800
D BANCWEST CORPORATION COMMON 059790105 17 400 SH OTHER 01 400 0 0
D BANK OF COMMERCE/SAN DIEGO COMMON 061589107 44 2200 SH DEFINED 05 0 0 2200
D BANK OF COMMERCE/SAN DIEGO COMMON 061589107 7014 348500 SH DEFINED 01 295600 0 52900
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 29
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D BANK OF COMMERCE/SAN DIEGO COMMON 061589107 4520 224600 SH DEFINED 02 102500 0 122100
D BANK OF NEW YORK CO., INC. COMMON 064057102 877 24400 SH DEFINED 05 18000 0 6400
D BANK OF NEW YORK CO., INC. COMMON 064057102 374 10416 SH DEFINED 10416 0 0
D BANK OF NEW YORK CO., INC. COMMON 064057102 15415 428924 SH DEFINED 01 172202 0 256722
D BANK OF NEW YORK CO., INC. COMMON 064057102 1207 33588 SH DEFINED 02 0 0 33588
D BANK OF NEW YORK CO., INC. COMMON 064057102 12226 340200 SH OTHER 01 68360 271840 0
D BANK ONE CORPORATION COMMON 06423A103 1475 26795 SH DEFINED 05 16413 0 10382
D BANK ONE CORPORATION COMMON 06423A103 72136 1310071 SH DEFINED 1310071 0 0
D BANK ONE CORPORATION COMMON 06423A103 123239 2238149 SH DEFINED 01 1410146 0 828003
D BANK ONE CORPORATION COMMON 06423A103 186614 3389099 SH DEFINED 02 2054193 0 1334906
D BANK ONE CORPORATION COMMON 06423A103 189 3440 SH OTHER 05 1760 1680 0
D BANK ONE CORPORATION COMMON 06423A103 3309 60093 SH OTHER 01 36501 23592 0
D BANK UNITED CORP. COMMON 065412108 164 4000 SH DEFINED 05 0 0 4000
D BANK UNITED CORP. COMMON 065412108 24509 599600 SH DEFINED 01 522300 0 77300
D BANK UNITED CORP. COMMON 065412108 17699 433000 SH DEFINED 02 344700 0 88300
D BANKAMERICA CORP NEW COMMON 06605F102 10137 143526 SH DEFINED 05 58876 0 84650
D BANKAMERICA CORP NEW COMMON 06605F102 135241 1914919 SH DEFINED 1914919 0 0
D BANKAMERICA CORP NEW COMMON 06605F102 526103 7449250 SH DEFINED 01 4329361 0 3119889
D BANKAMERICA CORP NEW COMMON 06605F102 1309507 18541692 SH DEFINED 02 13684426 0 4857266
D BANKAMERICA CORP NEW COMMON 06605F102 1189 16842 SH OTHER 05 6000 10842 0
D BANKAMERICA CORP NEW COMMON 06605F102 5344 75669 SH OTHER 09 75669 0 0
D BANKAMERICA CORP NEW COMMON 06605F102 44101 624432 SH OTHER 01 215776 408656 0
D BANKAMERICA CORP NEW COMMON 06605F102 4747 67210 SH OTHER 0304 67210 0 0
D BANKBOSTON CORP COMMON 06605R106 662 15277 SH DEFINED 15277 0 0
D BANKBOSTON CORP COMMON 06605R106 141 3263 SH DEFINED 3263 0 0
D BANKBOSTON CORP COMMON 06605R106 49580 1144690 SH DEFINED 01 805470 0 339220
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 30
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D BANKBOSTON CORP COMMON 06605R106 59247 1367884 SH DEFINED 02 769824 0 598060
D BANKBOSTON CORP COMMON 06605R106 525 12120 SH OTHER 01 2200 9920 0
D BANKERS TRUST CORP. COMMON 066365107 212 2400 SH DEFINED 05 2400 0 0
D BANKERS TRUST CORP. COMMON 066365107 13621 154350 SH DEFINED 154350 0 0
D BANKERS TRUST CORP. COMMON 066365107 80623 913577 SH DEFINED 01 567083 0 346494
D BANKERS TRUST CORP. COMMON 066365107 212554 2408543 SH DEFINED 02 2036920 0 371623
D BANKERS TRUST CORP. COMMON 066365107 1712 19400 SH OTHER 09 19400 0 0
D BANKERS TRUST CORP. COMMON 066365107 6690 75804 SH OTHER 01 6044 69760 0
D BANKERS TRUST CORP. COMMON 066365107 2206 25000 SH OTHER 0304 25000 0 0
D BANKNORTH GROUP, INC. COMMON 06646L100 6546 231700 SH DEFINED 01 231700 0 0
D BANKNORTH GROUP, INC. COMMON 06646L100 9034 319800 SH DEFINED 02 240900 0 78900
D BANNER AEROSPACE, INC. COMMON 066525106 133 18100 SH DEFINED 02 0 0 18100
D BANTA CORP. COMMON 066821109 1889 99400 SH DEFINED 01 99400 0 0
D BANTA CORP. COMMON 066821109 1294 68100 SH DEFINED 02 68100 0 0
D BARNES & NOBLE, INC. COMMON 067774109 225 7000 SH DEFINED 7000 0 0
D BARNES GROUP, INC. COMMON 067806109 197 10500 SH DEFINED 10500 0 0
D BARNES GROUP, INC. COMMON 067806109 1052 56100 SH DEFINED 02 11100 0 45000
D BARR LABORATORIES, INC. COMMON 068306109 0 6 SH DEFINED 6 0 0
D BARR LABORATORIES, INC. COMMON 068306109 311 10200 SH DEFINED 01 10200 0 0
D BARR LABORATORIES, INC. COMMON 068306109 223 7300 SH DEFINED 02 2900 0 4400
D BARRETT RESOURCES CORP. COMMON 068480201 394 15740 SH DEFINED 02 0 0 15740
D BATTLE MOUNTAIN GOLD CO. COMMON 071593107 8 2809 SH DEFINED 2809 0 0
D BATTLE MOUNTAIN GOLD CO. COMMON 071593107 97 35300 SH DEFINED 02 0 0 35300
D BAUSCH & LOMB, INC. COMMON 071707103 65 1000 SH DEFINED 05 1000 0 0
D BAUSCH & LOMB, INC. COMMON 071707103 48 741 SH DEFINED 741 0 0
D BAUSCH & LOMB, INC. COMMON 071707103 3939 60600 SH DEFINED 01 33800 0 26800
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 31
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D BAUSCH & LOMB, INC. COMMON 071707103 2888 44434 SH DEFINED 02 19434 0 25000
D BAXTER INTERNATIONAL, INC. COMMON 071813109 32 487 SH DEFINED 05 487 0 0
D BAXTER INTERNATIONAL, INC. COMMON 071813109 208 3149 SH DEFINED 3149 0 0
D BAXTER INTERNATIONAL, INC. COMMON 071813109 931 14110 SH DEFINED 01 6800 0 7310
D BAXTER INTERNATIONAL, INC. COMMON 071813109 61 920 SH OTHER 01 0 920 0
D BE AEROSPACE, INC. COMMON 073302101 6 400 SH DEFINED 01 400 0 0
D BE AEROSPACE, INC. COMMON 073302101 177 12000 SH DEFINED 02 1500 0 10500
D BEA SYSTEMS, INC. COMMON 073325102 13 800 SH DEFINED 01 800 0 0
D BEA SYSTEMS, INC. COMMON 073325102 189 12100 SH DEFINED 02 0 0 12100
D BEAR STEARNS COMPANIES, INC. COMMON 073902108 69 1542 SH DEFINED 1542 0 0
D BEAR STEARNS COMPANIES, INC. COMMON 073902108 10291 230279 SH DEFINED 01 164487 0 65792
D BEAR STEARNS COMPANIES, INC. COMMON 073902108 16369 366286 SH DEFINED 02 207486 0 158800
D BEAR STEARNS COMPANIES, INC. COMMON 073902108 31 700 SH OTHER 01 700 0 0
D BEAZER HOMES USA, INC. COMMON 07556Q105 321 15300 SH DEFINED 02 0 0 15300
D BECKMAN COULTER INC COMMON 075811109 2398 54200 SH DEFINED 01 54200 0 0
D BECKMAN COULTER INC COMMON 075811109 1018 23000 SH DEFINED 02 4200 0 18800
D BECTON DICKINSON & CO. COMMON 075887109 109 2835 SH DEFINED 2835 0 0
D BECTON DICKINSON & CO. COMMON 075887109 15627 407890 SH DEFINED 01 10200 0 397690
D BECTON DICKINSON & CO. COMMON 075887109 77 2000 SH DEFINED 02 2000 0 0
D BECTON DICKINSON & CO. COMMON 075887109 452 11800 SH OTHER 01 6400 5400 0
D BELCO OIL & GAS CORP. COMMON 077410108 30 5000 SH DEFINED 01 5000 0 0
D BELCO OIL & GAS CORP. COMMON 077410108 156 26300 SH DEFINED 02 0 0 26300
D BELL & HOWELL CO COMMON 077852101 1422 48500 SH DEFINED 01 48500 0 0
D BELL & HOWELL CO COMMON 077852101 865 29500 SH DEFINED 02 19900 0 9600
D BELL ATLANTIC CORP. COMMON 077853109 1912 37000 SH DEFINED 06 37000 0 0
D BELL ATLANTIC CORP. COMMON 077853109 2850 55148 SH DEFINED 05 22812 0 32336
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 32
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D BELL ATLANTIC CORP. COMMON 077853109 28138 544381 SH DEFINED 544381 0 0
D BELL ATLANTIC CORP. COMMON 077853109 262104 5070882 SH DEFINED 01 3383128 0 1687754
D BELL ATLANTIC CORP. COMMON 077853109 543913 10523007 SH DEFINED 02 7326007 0 3197000
D BELL ATLANTIC CORP. COMMON 077853109 362 7000 SH OTHER 05 4600 2400 0
D BELL ATLANTIC CORP. COMMON 077853109 977 18900 SH OTHER 09 18900 0 0
D BELL ATLANTIC CORP. COMMON 077853109 11387 220304 SH OTHER 01 70522 149782 0
D BELLSOUTH CORP. COMMON 079860102 6735 168100 SH DEFINED 06 168100 0 0
D BELLSOUTH CORP. COMMON 079860102 5012 125104 SH DEFINED 05 59500 0 65604
D BELLSOUTH CORP. COMMON 079860102 10469 261301 SH DEFINED 261301 0 0
D BELLSOUTH CORP. COMMON 079860102 62467 1559225 SH DEFINED 01 811059 0 748166
D BELLSOUTH CORP. COMMON 079860102 56211 1403070 SH DEFINED 02 931270 0 471800
D BELLSOUTH CORP. COMMON 079860102 921 23000 SH OTHER 05 19000 4000 0
D BELLSOUTH CORP. COMMON 079860102 8611 214934 SH OTHER 01 40154 174780 0
D BELO (A. H.) CORP. CLASS "A" COMMON 080555105 63 3438 SH DEFINED 01 1146 0 2292
D BELO (A. H.) CORP. CLASS "A" COMMON 080555105 47 2600 SH DEFINED 02 0 0 2600
D BELO (A. H.) CORP. CLASS "A" COMMON 080555105 7620 417560 SH OTHER 01 0 417560 0
D BENCHMARK ELECTRONICS, INC. COMMON 08160H101 591 19700 SH DEFINED 01 19700 0 0
D BENCHMARK ELECTRONICS, INC. COMMON 08160H101 321 10700 SH DEFINED 02 10700 0 0
D BENTON OIL & GAS CO. COMMON 083288100 46 12600 SH DEFINED 02 0 0 12600
D BERGEN BRUNSWIG CORP. COMMON 083739102 1465 73262 SH DEFINED 01 73262 0 0
D BERGEN BRUNSWIG CORP. COMMON 083739102 628 31400 SH DEFINED 02 9500 0 21900
D BERINGER WINE ESTATES HOLDIN COMMON 084102102 84 2300 SH DEFINED 05 0 0 2300
D BERINGER WINE ESTATES HOLDIN COMMON 084102102 3703 101800 SH DEFINED 01 93600 0 8200
D BERINGER WINE ESTATES HOLDIN COMMON 084102102 5405 148600 SH DEFINED 02 123700 0 24900
D BERKLEY (W. R.) CORP. COMMON 084423102 2264 92400 SH DEFINED 01 92400 0 0
D BERKLEY (W. R.) CORP. COMMON 084423102 978 39900 SH DEFINED 02 39900 0 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 33
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D BERKSHIRE HATHAWAY, INC. COMMON 084670108 1999 28 SH DEFINED 05 10 0 18
D BERKSHIRE HATHAWAY, INC. COMMON 084670108 138587 1941 SH DEFINED 01 440 0 1501
D BERKSHIRE HATHAWAY, INC. COMMON 084670108 2856 40 SH OTHER 101112 0 40 0
D BERKSHIRE HATHAWAY, INC. COMMON 084670108 208774 2924 SH OTHER 01 38 2886 0
D BERKSHIRE HATHAWAY, INC. CL. " COMMON 084670207 35 15 SH DEFINED 05 0 0 15
D BERKSHIRE HATHAWAY, INC. CL. " COMMON 084670207 11094 4719 SH DEFINED 01 712 0 4007
D BERKSHIRE HATHAWAY, INC. CL. " COMMON 084670207 919 391 SH OTHER 01 13 378 0
D BERLITZ INTERNATIONAL, INC. COMMON 08520F100 346 15300 SH DEFINED 02 0 0 15300
D BERRY PETROLEUM CO. CLASS "A" COMMON 085789105 330 30000 SH DEFINED 01 0 0 30000
D BERRY PETROLEUM CO. CLASS "A" COMMON 085789105 743 67500 SH DEFINED 02 0 0 67500
D BEST BUY, INC. COMMON 086516101 13077 251476 SH DEFINED 01 185676 0 65800
D BEST BUY, INC. COMMON 086516101 17274 332200 SH DEFINED 02 271600 0 60600
D BEST BUY, INC. COMMON 086516101 920 17688 SH OTHER 01 7200 10488 0
D BESTFOODS COMMON 08658U101 5443 115800 SH DEFINED 05 46400 0 69400
D BESTFOODS COMMON 08658U101 153 3251 SH DEFINED 3251 0 0
D BESTFOODS COMMON 08658U101 56683 1206030 SH DEFINED 01 718962 0 487068
D BESTFOODS COMMON 08658U101 61242 1303026 SH DEFINED 02 731226 0 571800
D BESTFOODS COMMON 08658U101 80 1700 SH OTHER 05 400 1300 0
D BESTFOODS COMMON 08658U101 1880 40000 SH OTHER 101112 0 40000 0
D BESTFOODS COMMON 08658U101 12917 274824 SH OTHER 01 102210 172614 0
D BESTFOODS COMMON 08658U101 940 20000 SH OTHER 0304 20000 0 0
D BIG FLOWER HOLDINGS, INC. COMMON 089159107 532 17100 SH DEFINED 02 0 0 17100
D BILLING INFORMATION CONCEPTS COMMON 090063108 26 2200 SH DEFINED 01 2200 0 0
D BILLING INFORMATION CONCEPTS COMMON 090063108 162 13600 SH DEFINED 02 0 0 13600
D BINDLEY WESTERN INDUSTRIES, IN COMMON 090324104 0 6 SH DEFINED 6 0 0
D BINDLEY WESTERN INDUSTRIES, IN COMMON 090324104 171 6000 SH DEFINED 01 6000 0 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 34
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D BINDLEY WESTERN INDUSTRIES, IN COMMON 090324104 283 9900 SH DEFINED 02 7900 0 2000
D BINDVIEW DEV CORP COMMON 090327107 53 1700 SH DEFINED 05 0 0 1700
D BINDVIEW DEV CORP COMMON 090327107 6297 202300 SH DEFINED 01 161800 0 40500
D BINDVIEW DEV CORP COMMON 090327107 5164 165900 SH DEFINED 02 124700 0 41200
D BIO-TECHNOLOGY GENERAL CORP. COMMON 090578105 3 500 SH DEFINED 01 500 0 0
D BIO-TECHNOLOGY GENERAL CORP. COMMON 090578105 220 36900 SH DEFINED 02 0 0 36900
D BIOGEN, INC. COMMON 090597105 2503 21900 SH DEFINED 21900 0 0
D BIOGEN, INC. COMMON 090597105 2389 20900 SH DEFINED 01 20900 0 0
D BIOGEN, INC. COMMON 090597105 1315 11500 SH DEFINED 02 1400 0 10100
D BIOMATRIX, INC. COMMON 09060P102 55 700 SH DEFINED 01 700 0 0
D BIOMATRIX, INC. COMMON 09060P102 398 5100 SH DEFINED 02 0 0 5100
D BLACK & DECKER CORP. COMMON 091797100 2606 47000 SH DEFINED 05 11700 0 35300
D BLACK & DECKER CORP. COMMON 091797100 68 1224 SH DEFINED 1224 0 0
D BLACK & DECKER CORP. COMMON 091797100 12064 217605 SH DEFINED 01 97890 0 119715
D BLACK & DECKER CORP. COMMON 091797100 72 1300 SH OTHER 05 0 1300 0
D BLACK & DECKER CORP. COMMON 091797100 1315 23725 SH OTHER 01 17525 6200 0
D BLACK BOX CORP. COMMON 091826107 0 3 SH DEFINED 3 0 0
D BLACK BOX CORP. COMMON 091826107 4523 145900 SH DEFINED 02 0 0 145900
D BLANCH (E. W.) HOLDINGS, INC. COMMON 093210102 1334 25400 SH DEFINED 01 25400 0 0
D BLANCH (E. W.) HOLDINGS, INC. COMMON 093210102 3638 69300 SH DEFINED 02 54000 0 15300
D BLOCK (H&R), INC. COMMON 093671105 61 1298 SH DEFINED 1298 0 0
D BLOCK (H&R), INC. COMMON 093671105 95 2000 SH DEFINED 01 2000 0 0
D BLOCK (H&R), INC. COMMON 093671105 627 13240 SH DEFINED 02 0 0 13240
D BLOCK (H&R), INC. COMMON 093671105 1895 40000 SH OTHER 101112 0 40000 0
D BLOUNT INTERNATIONAL, INC. COMMON 095177101 277 9600 SH DEFINED 01 9600 0 0
D BLOUNT INTERNATIONAL, INC. COMMON 095177101 2743 95000 SH DEFINED 02 9700 0 85300
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 35
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D BOB EVANS FARMS, INC. COMMON 096761101 4614 230683 SH DEFINED 01 0 0 230683
D BOCA RESEARCH, INC. COMMON 096888102 675 200000 SH DEFINED 01 0 0 200000
D BOEING COMPANY COMMON 097023105 105 3100 SH DEFINED 05 3100 0 0
D BOEING COMPANY COMMON 097023105 358 10538 SH DEFINED 10538 0 0
D BOEING COMPANY COMMON 097023105 76052 2236837 SH DEFINED 01 1273425 0 963412
D BOEING COMPANY COMMON 097023105 175798 5170515 SH DEFINED 02 3395415 0 1775100
D BOEING COMPANY COMMON 097023105 1637 48144 SH OTHER 01 20506 27638 0
D BOEING COMPANY COMMON 097023105 1190 35000 SH OTHER 0304 35000 0 0
D BOISE CASCADE CORP. COMMON 097383103 24 739 SH DEFINED 739 0 0
D BOISE CASCADE CORP. COMMON 097383103 416 12910 SH DEFINED 01 0 0 12910
D BOISE CASCADE CORP. COMMON 097383103 303 9400 SH DEFINED 02 2500 0 6900
D BOISE CASCADE CORP. COMMON 097383103 150 4645 SH OTHER 01 0 4645 0
D BOLDER TECHNOLOGIES CORP. COMMON 097519102 1184 137255 SH DEFINED 01 137255 0 0
D BOLDER TECHNOLOGIES CORP. COMMON 097519102 467 54100 SH DEFINED 02 42700 0 11400
D BOOLE & BABBAGE, INC. COMMON 098586100 267 11137 SH DEFINED 02 0 0 11137
D BORDERS GROUP, INC. COMMON 099709107 298 21200 SH DEFINED 02 0 0 21200
D BORG WARNER AUTOMOTIVE, INC. COMMON 099724106 32392 677473 SH DEFINED 677473 0 0
D BORG WARNER AUTOMOTIVE, INC. COMMON 099724106 1334 27900 SH DEFINED 01 27900 0 0
D BORG WARNER AUTOMOTIVE, INC. COMMON 099724106 5757 120417 SH DEFINED 02 15200 0 105217
D BORG WARNER SECURITY CORP. COMMON 099733107 0 6 SH DEFINED 6 0 0
D BORG WARNER SECURITY CORP. COMMON 099733107 988 59000 SH DEFINED 01 59000 0 0
D BORG WARNER SECURITY CORP. COMMON 099733107 370 22100 SH DEFINED 02 18000 0 4100
D BORON LEPORE & ASSOCIATES, INC COMMON 10001P102 178 17200 SH DEFINED 01 17200 0 0
D BORON LEPORE & ASSOCIATES, INC COMMON 10001P102 77 7400 SH DEFINED 02 7400 0 0
D BOSTON SCIENTIFIC CORP. COMMON 101137107 183 4500 SH DEFINED 05 500 0 4000
D BOSTON SCIENTIFIC CORP. COMMON 101137107 2697 66382 SH DEFINED 66382 0 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 36
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D BOSTON SCIENTIFIC CORP. COMMON 101137107 27474 676288 SH DEFINED 01 494200 0 182088
D BOSTON SCIENTIFIC CORP. COMMON 101137107 27964 688338 SH DEFINED 02 328052 0 360286
D BOSTON SCIENTIFIC CORP. COMMON 101137107 475 11700 SH OTHER 01 3700 8000 0
D BOWATER, INC. COMMON 102183100 5369 135500 SH DEFINED 01 90000 0 45500
D BOWATER, INC. COMMON 102183100 7932 200172 SH DEFINED 02 113972 0 86200
D BOWATER, INC. COMMON 102183100 12 300 SH OTHER 01 300 0 0
D BOWNE & CO., INC. COMMON 103043105 664 56800 SH DEFINED 01 56800 0 0
D BOWNE & CO., INC. COMMON 103043105 750 64200 SH DEFINED 02 37000 0 27200
D BOYD GAMING CORP. COMMON 103304101 4535 1067100 SH DEFINED 01 967100 0 100000
D BOYD GAMING CORP. COMMON 103304101 208 48900 SH DEFINED 02 0 0 48900
D BRADLEY REAL ESTATE, INC. COMMON 104580105 479 26800 SH DEFINED 01 26800 0 0
D BRADLEY REAL ESTATE, INC. COMMON 104580105 888 49700 SH DEFINED 02 44800 0 4900
D BRADY (W. H.) & CO. CL. "A" NO COMMON 104674106 235 11200 SH DEFINED 02
D BRANDYWINE REALTY TRUST COMMON 105368203 816 50200 SH DEFINED 01 50200 0 0
D BRANDYWINE REALTY TRUST COMMON 105368203 41 2500 SH DEFINED 02 2500 0 0
D BREED TECHNOLOGIES, INC. COMMON 106702103 169 47400 SH DEFINED 01 47400 0 0
D BREED TECHNOLOGIES, INC. COMMON 106702103 137 38400 SH DEFINED 02 21400 0 17000
D BRENTON BANKS, INC. COMMON 107211104 849 65300 SH DEFINED 02 0 0 65300
D BRIGHT HORIZON FAMILY SOLUTION COMMON 109195107 165 7551 SH DEFINED 05 0 0 7551
D BRIGHT HORIZON FAMILY SOLUTION COMMON 109195107 11713 535462 SH DEFINED 01 354635 0 180827
D BRIGHT HORIZON FAMILY SOLUTION COMMON 109195107 197 9000 SH DEFINED 02 0 0 9000
D BRINKER INTERNATIONAL, INC. COMMON 109641100 843 32500 SH DEFINED 01 32500 0 0
D BRINKER INTERNATIONAL, INC. COMMON 109641100 693 26700 SH DEFINED 02 16200 0 10500
D BRISTOL HOTEL & RESORTS INC COMMON 110041100 144 16850 SH DEFINED 02 0 0 16850
D BRISTOL-MYERS SQUIBB CO. COMMON 110122108 3367 52500 SH DEFINED 06 52500 0 0
D BRISTOL-MYERS SQUIBB CO. COMMON 110122108 6347 98974 SH DEFINED 05 35000 0 63974
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 37
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D BRISTOL-MYERS SQUIBB CO. COMMON 110122108 1416 22088 SH DEFINED 22088 0 0
D BRISTOL-MYERS SQUIBB CO. COMMON 110122108 507775 7918523 SH DEFINED 01 4959335 0 2959188
D BRISTOL-MYERS SQUIBB CO. COMMON 110122108 1188267 18530484 SH DEFINED 02 13393164 0 5137320
D BRISTOL-MYERS SQUIBB CO. COMMON 110122108 5130 80000 SH OTHER 1314 0 80000 0
D BRISTOL-MYERS SQUIBB CO. COMMON 110122108 77 1200 SH OTHER 05 1200 0 0
D BRISTOL-MYERS SQUIBB CO. COMMON 110122108 5130 80000 SH OTHER 101112 0 80000 0
D BRISTOL-MYERS SQUIBB CO. COMMON 110122108 3896 60750 SH OTHER 09 60750 0 0
D BRISTOL-MYERS SQUIBB CO. COMMON 110122108 32403 505312 SH OTHER 01 125470 379842 0
D BRISTOL-MYERS SQUIBB CO. COMMON 110122108 4874 76000 SH OTHER 0304 76000 0 0
D BRITISH TELECOM - A/D/R FINAL COMMON 111021408 84 510 SH DEFINED 05 0 0 510
D BRITISH TELECOM - A/D/R FINAL COMMON 111021408 160 975 SH DEFINED 01 275 0 700
D BROADCOM CORPORATION COMMON 111320107 2175 35300 SH DEFINED 01 35300 0 0
D BROADCOM CORPORATION COMMON 111320107 666 10800 SH DEFINED 02 2800 0 8000
D BROADVISION, INC. COMMON 111412102 424 7100 SH DEFINED 01 7100 0 0
D BROADVISION, INC. COMMON 111412102 221 3700 SH DEFINED 02 2400 0 1300
D BROOKDALE LIVING COMMUNITIES, COMMON 112462106 5325 308700 SH DEFINED 01 308700 0 0
D BROWN (TOM), INC. COMMON 115660201 125 10300 SH DEFINED 02 0 0 10300
D BROWNING-FERRIS INDUSTRIES, IN COMMON 115885105 189 4900 SH DEFINED 05 4900 0 0
D BROWNING-FERRIS INDUSTRIES, IN COMMON 115885105 80 2068 SH DEFINED 2068 0 0
D BROWNING-FERRIS INDUSTRIES, IN COMMON 115885105 70008 1815406 SH DEFINED 01 1200466 0 614940
D BROWNING-FERRIS INDUSTRIES, IN COMMON 115885105 99698 2585330 SH DEFINED 02 1794330 0 791000
D BROWNING-FERRIS INDUSTRIES, IN COMMON 115885105 1593 41319 SH OTHER 01 6162 35157 0
D BRUNSWICK CORP. COMMON 117043109 26 1343 SH DEFINED 1343 0 0
D BRUNSWICK CORP. COMMON 117043109 1841 96600 SH DEFINED 01 96600 0 0
D BRUNSWICK CORP. COMMON 117043109 715 37500 SH DEFINED 02 8700 0 28800
D BUCKEYE TECHNOLOGIES INC. COMMON 118255108 2780 198600 SH DEFINED 01 198600 0 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 38
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D BUCKEYE TECHNOLOGIES INC. COMMON 118255108 59 4200 SH DEFINED 02 0 0 4200
D BUCKLE, INC. COMMON 118440106 20 900 SH DEFINED 05 0 0 900
D BUCKLE, INC. COMMON 118440106 0 6 SH DEFINED 6 0 0
D BUCKLE, INC. COMMON 118440106 1917 85200 SH DEFINED 01 60900 0 24300
D BUCKLE, INC. COMMON 118440106 34 1500 SH DEFINED 02 0 0 1500
D BUDGET GROUP INC COMMON 119003101 167 13600 SH DEFINED 01 13600 0 0
D BUDGET GROUP INC COMMON 119003101 31 2500 SH DEFINED 02 2500 0 0
D BUFETE INDL S A COMMON 11942H100 5747 1671600 SH DEFINED 1671600 0 0
D BUFFETS, INC. COMMON 119882108 396 40100 SH DEFINED 01 40100 0 0
D BUFFETS, INC. COMMON 119882108 395 39967 SH DEFINED 02 31500 0 8467
D BUFFETS, INC. COMMON 119882108 89 9000 SH OTHER 01 0 9000 0
D BUILDING ONE SERVICES CORPORAT COMMON 120114103 7735 450000 SH DEFINED 01 450000 0 0
D BURLINGTON COAT FACTORY WHSE. COMMON 121579106 13 1100 SH DEFINED 01 1100 0 0
D BURLINGTON COAT FACTORY WHSE. COMMON 121579106 112 9560 SH DEFINED 02 3600 0 5960
D BURLINGTON INDUSTRIES, INC. COMMON 121693105 643 97100 SH DEFINED 01 97100 0 0
D BURLINGTON INDUSTRIES, INC. COMMON 121693105 356 53800 SH DEFINED 02 51200 0 2600
D BURLINGTON NORTHERN SANTA FE COMMON 12189T104 175 5323 SH DEFINED 5323 0 0
D BURLINGTON NORTHERN SANTA FE COMMON 12189T104 30516 928243 SH DEFINED 01 651100 0 277143
D BURLINGTON NORTHERN SANTA FE COMMON 12189T104 45919 1396768 SH DEFINED 02 908868 0 487900
D BURLINGTON NORTHERN SANTA FE COMMON 12189T104 381 11600 SH OTHER 01 2600 9000 0
D BURLINGTON RESOURCES, INC. COMMON 122014103 81 2033 SH DEFINED 2033 0 0
D BURLINGTON RESOURCES, INC. COMMON 122014103 696 17431 SH DEFINED 01 17431 0 0
D BURLINGTON RESOURCES, INC. COMMON 122014103 84 2091 SH OTHER 01 0 2091 0
D BURNHAM PACIFIC PPTYS COMMON 12232C108 6808 656200 SH DEFINED 01 656200 0 0
D BURNHAM PACIFIC PPTYS COMMON 12232C108 12548 1209400 SH DEFINED 02 1062400 0 147000
D BURR-BROWN CORP. COMMON 122574106 0 11 SH DEFINED 11 0 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 39
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D BURR-BROWN CORP. COMMON 122574106 21 900 SH DEFINED 01 900 0 0
D BURR-BROWN CORP. COMMON 122574106 188 7987 SH DEFINED 02 0 0 7987
D BUSH, BOAKE, ALLEN, INC. COMMON 123162109 52 1900 SH DEFINED 05 0 0 1900
D BUSH, BOAKE, ALLEN, INC. COMMON 123162109 9922 360800 SH DEFINED 01 310900 0 49900
D BUSH, BOAKE, ALLEN, INC. COMMON 123162109 11083 403000 SH DEFINED 02 319600 0 83400
D C&D TECHNOLOGIES INC COMMON 124661109 0 15 SH DEFINED 15 0 0
D C&D TECHNOLOGIES INC COMMON 124661109 1032 41500 SH DEFINED 01 41500 0 0
D C&D TECHNOLOGIES INC COMMON 124661109 189 7600 SH DEFINED 02 7600 0 0
D CBL & ASSOCIATES PROPERTIES, I COMMON 124830100 3905 168100 SH DEFINED 01 168100 0 0
D CBL & ASSOCIATES PROPERTIES, I COMMON 124830100 3725 160200 SH DEFINED 02 150400 0 9800
D CCC INFORMATION SERVICES GROUP COMMON 12487Q109 396 34100 SH DEFINED 01 34100 0 0
D CCC INFORMATION SERVICES GROUP COMMON 12487Q109 870 74800 SH DEFINED 02 53400 0 21400
D CCB FINANCIAL CORP. COMMON 124875105 168 3100 SH DEFINED 01 0 0 3100
D CCB FINANCIAL CORP. COMMON 124875105 865 16000 SH DEFINED 02 5400 0 10600
D CBS CORP COMMON 12490K107 163 4000 SH DEFINED 05 1000 0 3000
D CBS CORP COMMON 12490K107 321 7860 SH DEFINED 7860 0 0
D CBS CORP COMMON 12490K107 1598 39148 SH DEFINED 01 0 0 39148
D CBS CORP COMMON 12490K107 8264 202476 SH DEFINED 02 0 0 202476
D CBS CORP COMMON 12490K107 229 5610 SH OTHER 01 0 5610 0
D CEC ENTERTAINMENT INC. COMMON 125137109 1718 47900 SH DEFINED 01 47900 0 0
D CEC ENTERTAINMENT INC. COMMON 125137109 1222 34050 SH DEFINED 02 19600 0 14450
D CEM CORP. COMMON 125165100 172 21000 SH DEFINED 02 0 0 21000
D C.H. ROBINSON WORLDWIDE, INC. COMMON 12541W100 2913 114500 SH DEFINED 01 114500 0 0
D C.H. ROBINSON WORLDWIDE, INC. COMMON 12541W100 8598 338000 SH DEFINED 02 260900 0 77100
D CHS ELECTRONICS INC COMMON 12542A206 194 60900 SH DEFINED 01 60900 0 0
D CHS ELECTRONICS INC COMMON 12542A206 132 41300 SH DEFINED 02 34700 0 6600
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 40
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D CIGNA CORP. COMMON 125509109 221 2642 SH DEFINED 2642 0 0
D CIGNA CORP. COMMON 125509109 39612 472627 SH DEFINED 01 319593 0 153034
D CIGNA CORP. COMMON 125509109 73987 882760 SH DEFINED 02 571860 0 310900
D CIGNA CORP. COMMON 125509109 578 6900 SH OTHER 01 3900 3000 0
D CIT GROUP, INC. CL A COMMON 125577106 3784 123800 SH DEFINED 05 51300 0 72500
D CIT GROUP, INC. CL A COMMON 125577106 486 15900 SH DEFINED 15900 0 0
D CIT GROUP, INC. CL A COMMON 125577106 49454 1618100 SH DEFINED 01 936200 0 681900
D CIT GROUP, INC. CL A COMMON 125577106 179647 5877940 SH DEFINED 02 4627740 0 1250200
D CIT GROUP, INC. CL A COMMON 125577106 217 7100 SH OTHER 05 7100 0 0
D CIT GROUP, INC. CL A COMMON 125577106 144 4700 SH OTHER 01 4700 0 0
D CKE RESTAURANTS, INC. COMMON 12561E105 50 2550 SH DEFINED 05 0 0 2550
D CKE RESTAURANTS, INC. COMMON 12561E105 1 36 SH DEFINED 36 0 0
D CKE RESTAURANTS, INC. COMMON 12561E105 7071 358020 SH DEFINED 01 295430 0 62590
D CKE RESTAURANTS, INC. COMMON 12561E105 4372 221362 SH DEFINED 02 144900 0 76462
D CLECO CORPORATION COMMON 12561M107 8124 275400 SH DEFINED 01 275400 0 0
D CLECO CORPORATION COMMON 12561M107 13187 447000 SH DEFINED 02 366100 0 80900
D CMAC INVESTMENT CORP. COMMON 125662106 0 9 SH DEFINED 9 0 0
D CMAC INVESTMENT CORP. COMMON 125662106 324 8300 SH DEFINED 01 0 0 8300
D CMG INFORMATION SERVICES, INC. COMMON 125750109 37 200 SH DEFINED 05 200 0 0
D CMG INFORMATION SERVICES, INC. COMMON 125750109 2892 15800 SH DEFINED 01 15800 0 0
D CMG INFORMATION SERVICES, INC. COMMON 125750109 1355 7400 SH DEFINED 02 6100 0 1300
D CMP GROUP INC COMMON 125887109 1648 89700 SH DEFINED 01 89700 0 0
D CMP GROUP INC COMMON 125887109 1196 65100 SH DEFINED 02 65100 0 0
D CMS ENERGY CORP. COMMON 125896100 11870 294900 SH DEFINED 01 210900 0 84000
D CMS ENERGY CORP. COMMON 125896100 23074 573268 SH DEFINED 02 379468 0 193800
D CMS ENERGY CORP. COMMON 125896100 36 900 SH OTHER 01 900 0 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 41
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D C-NET INC DEL COMMON 125945105 1271 13800 SH DEFINED 13800 0 0
D C-NET INC DEL COMMON 125945105 3372 36600 SH DEFINED 01 36600 0 0
D C-NET INC DEL COMMON 125945105 1465 15900 SH DEFINED 02 13100 0 2800
D C-NET INC DEL COMMON 125945105 8199 89000 SH OTHER 01 0 89000 0
D CTG RES INC COMMON 125957100 297 12300 SH DEFINED 02 12300 0 0
D CNA FINANCIAL CORP. COMMON 126117100 1351 34800 SH DEFINED 02 0 0 34800
D CNA SURETY CORPORATION COMMON 12612L108 309 25000 SH DEFINED 01 0 0 25000
D CNA SURETY CORPORATION COMMON 12612L108 687 55500 SH DEFINED 02 0 0 55500
D CNF TR I PREFERRED 12612V205 2980 53695 SH DEFINED
D CNF TRANSN INC COMMON 12612W104 12930 341935 SH DEFINED 01 280735 0 61200
D CNF TRANSN INC COMMON 12612W104 25396 671630 SH DEFINED 02 493530 0 178100
D CNF TRANSN INC COMMON 12612W104 261 6900 SH OTHER 01 2200 4700 0
D CNB BANCSHARES, INC. COMMON 126126101 747 18554 SH DEFINED 02 9600 0 8954
D CSG SYSTEMS INTERNATIONAL, INC COMMON 126349109 4737 120100 SH DEFINED 01 120100 0 0
D CSG SYSTEMS INTERNATIONAL, INC COMMON 126349109 12242 310400 SH DEFINED 02 130800 0 179600
D CSX CORP. COMMON 126408103 740 19000 SH DEFINED 05 6900 0 12100
D CSX CORP. COMMON 126408103 98 2524 SH DEFINED 2524 0 0
D CSX CORP. COMMON 126408103 39675 1018916 SH DEFINED 01 698526 0 320390
D CSX CORP. COMMON 126408103 81285 2087546 SH DEFINED 02 1482346 0 605200
D CSX CORP. COMMON 126408103 314 8070 SH OTHER 01 1600 6470 0
D CUNO INC COMMON 126583103 140 10000 SH DEFINED 10000 0 0
D CUNO INC COMMON 126583103 126 9000 SH DEFINED 02 0 0 9000
D CVB FINANCIAL CORP. COMMON 126600105 203 10545 SH DEFINED 02 5500 0 5045
D CVS CORP COMMON 126650100 38 800 SH DEFINED 05 800 0 0
D CVS CORP COMMON 126650100 195 4112 SH DEFINED 4112 0 0
D CVS CORP COMMON 126650100 4389 92408 SH DEFINED 01 76408 0 16000
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 42
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D CVS CORP COMMON 126650100 653 13738 SH DEFINED 02 1600 0 12138
D CVS CORP COMMON 126650100 7220 152008 SH OTHER 01 54098 97910 0
D CABLE & WIRELESS PUB LTD CO COMMON 126830207 384 10400 SH DEFINED 01 10400 0 0
D CABLEVISION SYSTEM CORP. CLASS COMMON 12686C109 82 1100 SH DEFINED 01 400 0 700
D CABLEVISION SYSTEM CORP. CLASS COMMON 12686C109 1720 23200 SH DEFINED 02 0 0 23200
D CABLETRON SYSTEMS, INC. COMMON 126920107 4 500 SH DEFINED 05 500 0 0
D CABLETRON SYSTEMS, INC. COMMON 126920107 16 1958 SH DEFINED 1958 0 0
D CABLETRON SYSTEMS, INC. COMMON 126920107 386 47190 SH DEFINED 01 46000 0 1190
D CABLETRON SYSTEMS, INC. COMMON 126920107 8 1000 SH DEFINED 02 0 0 1000
D CABLETRON SYSTEMS, INC. COMMON 126920107 17 2065 SH OTHER 01 0 2065 0
D CABOT CORP. COMMON 127055101 2131 100300 SH DEFINED 01 100300 0 0
D CABOT CORP. COMMON 127055101 793 37300 SH DEFINED 02 7900 0 29400
D CABOT CORP. COMMON 127055101 26 1200 SH OTHER 01 0 1200 0
D CABOT OIL & GAS CORP. COMMON 127097103 206 14300 SH DEFINED 02 0 0 14300
D CADENCE DESIGN SYSTEMS, INC. COMMON 127387108 2196 85300 SH DEFINED 06 85300 0 0
D CADENCE DESIGN SYSTEMS, INC. COMMON 127387108 112 4358 SH DEFINED 01 4358 0 0
D CALIFORNIA WATER SERVICE GROUP COMMON 130788102 206 8400 SH DEFINED 02 0 0 8400
D CALLAWAY GOLF COMPANY COMMON 131193104 122 12000 SH OTHER 01 12000 0 0
D CALPINE CORP COMMON 131347106 3644 100000 SH DEFINED 01 0 0 100000
D CAMBREX CORP. COMMON 132011107 650 29400 SH DEFINED 01 29400 0 0
D CAMBREX CORP. COMMON 132011107 292 13200 SH DEFINED 02 13200 0 0
D CAMBRIDGE TECHNOLOGY PARTNERS COMMON 132524109 1063 76600 SH DEFINED 01 76600 0 0
D CAMBRIDGE TECHNOLOGY PARTNERS COMMON 132524109 415 29900 SH DEFINED 02 5900 0 24000
D CAMBRIDGE TECHNOLOGY PARTNERS COMMON 132524109 28 2000 SH OTHER 05 0 2000 0
D CAMDEN PROPERTY TRUST S/B/I COMMON 133131102 2237 90400 SH DEFINED 01 90400 0 0
D CAMDEN PROPERTY TRUST S/B/I COMMON 133131102 1396 56400 SH DEFINED 02 53500 0 2900
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 43
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D CAMDEN PROPERTY TRUST $2.25 12 PREF-CONV 133131201 2922 125000 SH DEFINED 01
D CAMPBELL SOUP CO. COMMON 134429109 1326 32600 SH DEFINED 05 11000 0 21600
D CAMPBELL SOUP CO. COMMON 134429109 462783 11373933 SH DEFINED 11373933 0 0
D CAMPBELL SOUP CO. COMMON 134429109 37194 914125 SH DEFINED 01 603505 0 310620
D CAMPBELL SOUP CO. COMMON 134429109 62472 1535398 SH DEFINED 02 808848 0 726550
D CAMPBELL SOUP CO. COMMON 134429109 61 1500 SH OTHER 05 0 1500 0
D CAMPBELL SOUP CO. COMMON 134429109 1636 40200 SH OTHER 01 6600 33600 0
D CANADIAN PACIFIC LTD. COMMON 135923100 39 2000 SH DEFINED 05 2000 0 0
D CANADIAN PACIFIC LTD. COMMON 135923100 89 4550 SH DEFINED 01 0 0 4550
D CANANDAIGUA WINE, INC. COMMON 137219101 282 5850 SH DEFINED 02 0 0 5850
D CANDLEWOOD HOTEL COMPANY INC. COMMON 13741M108 163 40700 SH DEFINED 02 40700 0 0
D CAPITAL AUTOMOTIVE REIT COMMON 139733109 9943 799400 SH DEFINED 01 799400 0 0
D CAPITAL ONE FINANCIAL CORP. COMMON 14040H105 128 846 SH DEFINED 846 0 0
D CAPITAL ONE FINANCIAL CORP. COMMON 14040H105 5314 35190 SH DEFINED 01 23800 0 11390
D CAPITAL ONE FINANCIAL CORP. COMMON 14040H105 1284 8502 SH DEFINED 02 1502 0 7000
D CAPITAL ONE FINANCIAL CORP. COMMON 14040H105 2442 16175 SH OTHER 01 0 16175 0
D CAPITAL RE CORP. COMMON 140432105 8154 472700 SH DEFINED 01 470300 0 2400
D CAPITAL RE CORP. COMMON 140432105 9600 556500 SH DEFINED 02 444100 0 112400
D CAPITAL SOUTHWEST CORP. COMMON 140501107 102 1400 SH DEFINED 02 0 0 1400
D CAPSTEAD MORTGAGE CORP. COMMON 14067E100 22 4000 SH DEFINED 01 4000 0 0
D CAPSTEAD MORTGAGE CORP. COMMON 14067E100 99 18350 SH DEFINED 02 12700 0 5650
D CARBIDE/GRAPHITE GROUP INC COMMON 140777103 269 24700 SH DEFINED 01 24700 0 0
D CARBIDE/GRAPHITE GROUP INC COMMON 140777103 204 18800 SH DEFINED 02 14800 0 4000
D CARAUSTAR INDUSTRIES, INC. COMMON 140909102 6120 266100 SH DEFINED 01 266100 0 0
D CARAUSTAR INDUSTRIES, INC. COMMON 140909102 12547 545500 SH DEFINED 02 415200 0 130300
D CARDINAL HEALTH, INC. COMMON 14149Y108 8 121 SH DEFINED 05 121 0 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 44
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D CARDINAL HEALTH, INC. COMMON 14149Y108 244 3700 SH DEFINED 3700 0 0
D CARDINAL HEALTH, INC. COMMON 14149Y108 198 3000 SH DEFINED 3000 0 0
D CARDINAL HEALTH, INC. COMMON 14149Y108 561 8494 SH DEFINED 01 2515 0 5979
D CARDINAL HEALTH, INC. COMMON 14149Y108 511 7737 SH DEFINED 02 0 0 7737
D CARDINAL HEALTH, INC. COMMON 14149Y108 15 228 SH OTHER 01 0 228 0
D CAREMATRIX CORP COMMON 141706101 150 7900 SH DEFINED 01 7900 0 0
D CAREMATRIX CORP COMMON 141706101 473 24900 SH DEFINED 02 12300 0 12600
D CAREY DIVERSIFIED LLC COMMON 14174P105 400 22600 SH OTHER 01 0 22600 0
D CARLISLE COMPANIES, INC. COMMON 142339100 1758 37600 SH DEFINED 02 0 0 37600
D CARNIVAL CORP. CL. "A" COMMON 143658102 94 1940 SH DEFINED 05 0 0 1940
D CARNIVAL CORP. CL. "A" COMMON 143658102 328 6764 SH DEFINED 6764 0 0
D CARNIVAL CORP. CL. "A" COMMON 143658102 4915 101200 SH DEFINED 01 21600 0 79600
D CARNIVAL CORP. CL. "A" COMMON 143658102 5026 103500 SH DEFINED 02 0 0 103500
D CARNIVAL CORP. CL. "A" COMMON 143658102 2190 45100 SH OTHER 01 31500 13600 0
D CAROLINA POWER & LIGHT COMPANY COMMON 144141108 38 1000 SH DEFINED 05 1000 0 0
D CAROLINA POWER & LIGHT COMPANY COMMON 144141108 72 1892 SH DEFINED 1892 0 0
D CAROLINA POWER & LIGHT COMPANY COMMON 144141108 257 6800 SH DEFINED 02 3900 0 2900
D CAROLINA POWER & LIGHT COMPANY COMMON 144141108 38 1000 SH OTHER 01 0 1000 0
D CARPENTER TECHNOLOGY CORP. COMMON 144285103 13 500 SH DEFINED 01 500 0 0
D CARPENTER TECHNOLOGY CORP. COMMON 144285103 703 27100 SH DEFINED 02 23400 0 3700
D CARRAMERICA REALTY CORPORATION COMMON 144418100 556 25200 SH DEFINED 25200 0 0
D CARRAMERICA REALTY CORPORATION COMMON 144418100 1410 63900 SH DEFINED 01 59600 0 4300
D CARRAMERICA REALTY CORPORATION COMMON 144418100 2579 116900 SH DEFINED 02 106100 0 10800
D CARSON INC. CLASS C COMMON 145845103 5414 1237482 SH DEFINED 01 1187482 0 50000
D CARTER-WALLACE, INC. COMMON 146285101 25 1400 SH DEFINED 01 1400 0 0
D CARTER-WALLACE, INC. COMMON 146285101 713 39600 SH DEFINED 02 0 0 39600
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 45
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D CASEY'S GENERAL STORES, INC. COMMON 147528103 0 6 SH DEFINED 6 0 0
D CASEY'S GENERAL STORES, INC. COMMON 147528103 1369 92800 SH DEFINED 02 0 0 92800
D CASTLE (A. M.) & COMPANY COMMON 148411101 173 14150 SH DEFINED 02 0 0 14150
D CASTLE & COOKE, INC. COMMON 148433105 201 15000 SH DEFINED 02 0 0 15000
D CATALINA MARKETING CORP. COMMON 148867104 292 3400 SH DEFINED 02 0 0 3400
D CATELLUS DEVELOPMENT CORP. COMMON 149111106 396 29600 SH DEFINED 02 0 0 29600
D CATERPILLAR, INC. COMMON 149123101 1272 27687 SH DEFINED 05 9287 0 18400
D CATERPILLAR, INC. COMMON 149123101 1761 38324 SH DEFINED 38324 0 0
D CATERPILLAR, INC. COMMON 149123101 15719 342174 SH DEFINED 01 85940 0 256234
D CATERPILLAR, INC. COMMON 149123101 643 14004 SH DEFINED 02 13704 0 300
D CATERPILLAR, INC. COMMON 149123101 335 7300 SH OTHER 05 5500 1800 0
D CATERPILLAR, INC. COMMON 149123101 4675 101761 SH OTHER 01 52320 49441 0
D CATO CORP. COMMON 149205106 105 11300 SH DEFINED 01 11300 0 0
D CATO CORP. COMMON 149205106 122 13100 SH DEFINED 02 2000 0 11100
D CATSKILL FINANCIAL CORPORATION COMMON 149348104 167 11000 SH OTHER 01 0 11000 0
D CEDAR FAIR L.P. - DEPOSITARY U UNIT 150185106 1100 43800 SH OTHER 01
D CELL GENESYS, INC. COMMON 150921104 923 187000 SH DEFINED 187000 0 0
D CELL GENESYS, INC. COMMON 150921104 75 15200 SH DEFINED 02 0 0 15200
D CELGENE CORPORATION COMMON 151020104 1464 91500 SH DEFINED 91500 0 0
D CELLNET DATA SYSTEMS INC COMMON 15115M101 277 48100 SH DEFINED 02 0 0 48100
D CELLULAR COMMUNICATIONS OF PUE COMMON 15116N108 43 1600 SH DEFINED 01 1600 0 0
D CELLULAR COMMUNICATIONS OF PUE COMMON 15116N108 365 13500 SH DEFINED 02 5700 0 7800
D CENDANT CORPORATION COMMON 151313103 21 1300 SH DEFINED 05 1300 0 0
D CENDANT CORPORATION COMMON 151313103 2550 159994 SH DEFINED 159994 0 0
D CENDANT CORPORATION COMMON 151313103 108538 6810036 SH DEFINED 01 4396295 0 2413741
D CENDANT CORPORATION COMMON 151313103 292723 18366338 SH DEFINED 02 13986601 0 4379737
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 46
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D CENDANT CORPORATION COMMON 151313103 583 36600 SH OTHER 09 36600 0 0
D CENDANT CORPORATION COMMON 151313103 617 38695 SH OTHER 01 24220 14475 0
D CENTENNIAL CELLULAR CORP COMMON 15133V208 420 8894 SH DEFINED 02 0 0 8894
D CENTERPOINT PROPERTIES CORP. COMMON 151895109 3522 112700 SH DEFINED 01 112700 0 0
D CENTERPOINT PROPERTIES CORP. COMMON 151895109 4572 146300 SH DEFINED 02 134800 0 11500
D CENTEX CONSTRUCTION PRODUCTS COMMON 15231R109 404 11600 SH DEFINED 02 0 0 11600
D CENTEX CORP. COMMON 152312104 27 808 SH DEFINED 808 0 0
D CENTEX CORP. COMMON 152312104 7 200 SH DEFINED 01 200 0 0
D CENTEX CORP. COMMON 152312104 227 6800 SH DEFINED 02 6800 0 0
D CENTOCOR, INC. COMMON 152342101 1197 32400 SH DEFINED 32400 0 0
D CENTOCOR, INC. COMMON 152342101 1884 51001 SH DEFINED 01 51001 0 0
D CENTOCOR, INC. COMMON 152342101 783 21200 SH DEFINED 02 3800 0 17400
D CENTRAL & SOUTH WEST CORP. COMMON 152357109 23 1000 SH DEFINED 05 1000 0 0
D CENTRAL & SOUTH WEST CORP. COMMON 152357109 65 2781 SH DEFINED 2781 0 0
D CENTRAL & SOUTH WEST CORP. COMMON 152357109 50121 2138460 SH DEFINED 01 1532460 0 606000
D CENTRAL & SOUTH WEST CORP. COMMON 152357109 131694 5618827 SH DEFINED 02 4136727 0 1482100
D CENTRAL & SOUTH WEST CORP. COMMON 152357109 339 14450 SH OTHER 01 9800 4650 0
D CENTRAL HUDSON GAS & ELECTRIC COMMON 153609102 2095 58500 SH DEFINED 01 58500 0 0
D CENTRAL HUDSON GAS & ELECTRIC COMMON 153609102 3374 94200 SH DEFINED 02 66200 0 28000
D CENTRAL NEWSPAPERS, INC. CL. " COMMON 154647101 205 6600 SH DEFINED 02 0 0 6600
D CENTURY BUSINESS SVCS INC COMMON 156490104 788 72000 SH DEFINED 01 72000 0 0
D CENTURY BUSINESS SVCS INC COMMON 156490104 2413 220600 SH DEFINED 02 158000 0 62600
D CENTURY TELEPHONE ENTERPRISES, COMMON 156686107 474 6750 SH DEFINED 01 6750 0 0
D CENTURY TELEPHONE ENTERPRISES, COMMON 156686107 1110 15800 SH DEFINED 02 0 0 15800
D CERIDIAN CORP. COMMON 15677T106 69 1874 SH DEFINED 1874 0 0
D CERIDIAN CORP. COMMON 15677T106 228 6232 SH DEFINED 02 0 0 6232
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 47
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D CHAMPION INTERNATIONAL CORP. COMMON 158525105 306 7452 SH DEFINED 05 7452 0 0
D CHAMPION INTERNATIONAL CORP. COMMON 158525105 55 1347 SH DEFINED 1347 0 0
D CHAMPION INTERNATIONAL CORP. COMMON 158525105 693 16885 SH DEFINED 01 4100 0 12785
D CHAMPION INTERNATIONAL CORP. COMMON 158525105 1158 28202 SH DEFINED 02 5902 0 22300
D CHAMPION INTERNATIONAL CORP. COMMON 158525105 62 1500 SH OTHER 01 0 1500 0
D CHAMPIONSHIP AUTO RACING TEA COMMON 158711101 242 8300 SH DEFINED 02 0 0 8300
D CHANCELLOR MEDIA CORPORATION COMMON 158915108 1371 29100 SH DEFINED 02 0 0 29100
D CHARTER ONE FINANCIAL, INC. COMMON 160903100 40 1400 SH DEFINED 05 1400 0 0
D CHARTER ONE FINANCIAL, INC. COMMON 160903100 19783 685510 SH DEFINED 01 511410 0 174100
D CHARTER ONE FINANCIAL, INC. COMMON 160903100 45723 1584345 SH DEFINED 02 1030564 0 553781
D CHARTER ONE FINANCIAL, INC. COMMON 160903100 32 1100 SH OTHER 01 1100 0 0
D CHARMING SHOPPES 7.5% CSD 7/15 BOND 161133AA1 2294 2500000 PRN DEFINED 02
D CHARMING SHOPPES, INC. COMMON 161133103 198 51200 SH DEFINED 02 51200 0 0
D CHASE INDUSTRIES, INC. COMMON 161568100 4 500 SH DEFINED 01 500 0 0
D CHASE INDUSTRIES, INC. COMMON 161568100 133 17450 SH DEFINED 02 2400 0 15050
D CHASE MANHATTAN CORP. - NEW COMMON 16161A108 488 6000 SH DEFINED 06 6000 0 0
D CHASE MANHATTAN CORP. - NEW COMMON 16161A108 3804 46747 SH DEFINED 05 20847 0 25900
D CHASE MANHATTAN CORP. - NEW COMMON 16161A108 1556 19127 SH DEFINED 19127 0 0
D CHASE MANHATTAN CORP. - NEW COMMON 16161A108 23945 294250 SH DEFINED 01 184244 0 110006
D CHASE MANHATTAN CORP. - NEW COMMON 16161A108 33479 411412 SH DEFINED 02 277068 0 134344
D CHASE MANHATTAN CORP. - NEW COMMON 16161A108 73 900 SH OTHER 05 0 900 0
D CHASE MANHATTAN CORP. - NEW COMMON 16161A108 1040 12786 SH OTHER 01 2150 10636 0
D CHASE MANHATTAN CORP. - NEW COMMON 16161A108 814 10000 SH OTHER 0304 10000 0 0
D CHATEAU PROPERTIES, INC. COMMON 161726104 218 7919 SH DEFINED 02 0 0 7919
D CHATTEM, INC. COMMON 162456107 44 1400 SH DEFINED 01 1400 0 0
D CHATTEM, INC. COMMON 162456107 584 18700 SH DEFINED 02 0 0 18700
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 48
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D CHECKFREE HLDGS CORP COMMON 162816102 11 261 SH DEFINED 261 0 0
D CHECKFREE HLDGS CORP COMMON 162816102 485 11400 SH DEFINED 02 0 0 11400
D CHECKFREE HLDGS CORP COMMON 162816102 426 10000 SH OTHER 01 0 10000 0
D CHEESECAKE FACTORY, INC. COMMON 163072101 1 33 SH DEFINED 33 0 0
D CHEESECAKE FACTORY, INC. COMMON 163072101 29 1200 SH DEFINED 01 1200 0 0
D CHEESECAKE FACTORY, INC. COMMON 163072101 285 12000 SH DEFINED 02 0 0 12000
D CHEMED CORP. COMMON 163596109 917 35600 SH DEFINED 01 35600 0 0
D CHEMED CORP. COMMON 163596109 165 6400 SH DEFINED 02 6400 0 0
D CHEMFAB CORP. COMMON 16361L102 997 60400 SH OTHER 01 0 60400 0
D CHESAPEAKE ENERGY CORP. COMMON 165167107 2105 1530900 SH DEFINED 1530900 0 0
D CHEVRON CORPORATION COMMON 166751107 107 1200 SH DEFINED 06 1200 0 0
D CHEVRON CORPORATION COMMON 166751107 2645 29806 SH DEFINED 05 17550 0 12256
D CHEVRON CORPORATION COMMON 166751107 630 7095 SH DEFINED 7095 0 0
D CHEVRON CORPORATION COMMON 166751107 294332 3316419 SH DEFINED 01 356924 0 2959495
D CHEVRON CORPORATION COMMON 166751107 85804 966805 SH DEFINED 02 453580 0 513225
D CHEVRON CORPORATION COMMON 166751107 559 6300 SH OTHER 05 4000 2300 0
D CHEVRON CORPORATION COMMON 166751107 8855 99772 SH OTHER 01 22266 77506 0
D CHICAGO TITLE CORPORATION COMMON 168228104 1398 38436 SH DEFINED 01 37524 0 912
D CHICAGO TITLE CORPORATION COMMON 168228104 116 3180 SH OTHER 01 0 3180 0
D CHIEFTAIN INTERNATIONAL, INC. COMMON 16867C101 162 13200 SH DEFINED 02 0 0 13200
D CHOICE HOTELS INTERNATIONAL, I COMMON 169905106 195 13900 SH DEFINED 01 13900 0 0
D CHOICE HOTELS INTERNATIONAL, I COMMON 169905106 889 63200 SH DEFINED 02 0 0 63200
D CHIQUITA BRANDS INTERNATIONAL, COMMON 170032106 1237 121400 SH DEFINED 01 121400 0 0
D CHIQUITA BRANDS INTERNATIONAL, COMMON 170032106 439 43100 SH DEFINED 02 43100 0 0
D CHIREX, INC. COMMON 170038103 2450 100000 SH DEFINED 01 0 0 100000
D CHIREX, INC. COMMON 170038103 123 5000 SH DEFINED 02 0 0 5000
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 49
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D CHIRON CORP. COMMON 170040109 233 10600 SH DEFINED 10600 0 0
D CHIRON CORP. COMMON 170040109 12329 562012 SH DEFINED 01 427412 0 134600
D CHIRON CORP. COMMON 170040109 21701 989180 SH DEFINED 02 595880 0 393300
D CHIRON CORP. COMMON 170040109 59 2700 SH OTHER 01 2700 0 0
D CHITTENDEN CORP. COMMON 170228100 921 34500 SH DEFINED 01 34500 0 0
D CHITTENDEN CORP. COMMON 170228100 733 27456 SH DEFINED 02 19400 0 8056
D CHRIS CRAFT INDUSTRIES, INC COMMON 170520100 2541 55700 SH DEFINED 01 55700 0 0
D CHRIS CRAFT INDUSTRIES, INC COMMON 170520100 1747 38300 SH DEFINED 02 4700 0 33600
D CHUBB CORP. COMMON 171232101 908 15500 SH DEFINED 05 4500 0 11000
D CHUBB CORP. COMMON 171232101 116 1976 SH DEFINED 1976 0 0
D CHUBB CORP. COMMON 171232101 35821 611667 SH DEFINED 01 367005 0 244662
D CHUBB CORP. COMMON 171232101 46562 795068 SH DEFINED 02 509968 0 285100
D CHUBB CORP. COMMON 171232101 1316 22464 SH OTHER 01 9564 12900 0
D CHURCH & DWIGHT, INC. COMMON 171340102 663 16272 SH DEFINED 01 16272 0 0
D CHURCH & DWIGHT, INC. COMMON 171340102 11561 283709 SH OTHER 01 0 283709 0
D CIBER, INC. COMMON 17163B102 676 34900 SH DEFINED 01 34900 0 0
D CIBER, INC. COMMON 17163B102 200 10300 SH DEFINED 02 1700 0 8600
D CIENA CORP COMMON 171779101 1319 58600 SH DEFINED 58600 0 0
D CINAR CORPROATION COMMON 171905300 251 10900 SH DEFINED 05 0 0 10900
D CINAR CORPROATION COMMON 171905300 33203 1443600 SH DEFINED 01 1084600 0 359000
D CINAR CORPROATION COMMON 171905300 16332 710100 SH DEFINED 02 541000 0 169100
D CINCINNATI FINANCIAL CORP. COMMON 172062101 74 2036 SH DEFINED 2036 0 0
D CINCINNATI FINANCIAL CORP. COMMON 172062101 572 15700 SH DEFINED 01 0 0 15700
D CINCINNATI FINANCIAL CORP. COMMON 172062101 2666 73170 SH DEFINED 02 10870 0 62300
D CINERGY CORP. COMMON 172474108 7 265 SH DEFINED 05 0 0 265
D CINERGY CORP. COMMON 172474108 53 1919 SH DEFINED 1919 0 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 50
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D CINERGY CORP. COMMON 172474108 15070 548000 SH DEFINED 01 402800 0 145200
D CINERGY CORP. COMMON 172474108 20467 744264 SH DEFINED 02 461164 0 283100
D CINERGY CORP. COMMON 172474108 39 1400 SH OTHER 01 1400 0 0
D CIRCUIT CITY STORES, INC. COMMON 172737108 54 700 SH DEFINED 05 700 0 0
D CIRCUIT CITY STORES, INC. COMMON 172737108 100 1300 SH DEFINED 1300 0 0
D CIRCUIT CITY STORES, INC. COMMON 172737108 68118 888975 SH DEFINED 01 609925 0 279050
D CIRCUIT CITY STORES, INC. COMMON 172737108 279183 3643498 SH DEFINED 02 3005832 0 637666
D CIRCUIT CITY STORES, INC. COMMON 172737108 84 1100 SH OTHER 01 1100 0 0
D CISCO SYSTEMS, INC. COMMON 17275R102 8928 81489 SH DEFINED 05 31950 0 49539
D CISCO SYSTEMS, INC. COMMON 17275R102 7284 66481 SH DEFINED 66481 0 0
D CISCO SYSTEMS, INC. COMMON 17275R102 756501 6904709 SH DEFINED 01 3805420 0 3099289
D CISCO SYSTEMS, INC. COMMON 17275R102 1178268 10754250 SH DEFINED 02 7658912 0 3095338
D CISCO SYSTEMS, INC. COMMON 17275R102 986 9000 SH OTHER 101112 0 9000 0
D CISCO SYSTEMS, INC. COMMON 17275R102 5497 50175 SH OTHER 09 50175 0 0
D CISCO SYSTEMS, INC. COMMON 17275R102 40578 370361 SH OTHER 01 145920 224441 0
D CISCO SYSTEMS, INC. COMMON 17275R102 6026 55000 SH OTHER 0304 55000 0 0
D CIRRUS LOGIC INC. COMMON 172755100 110 17300 SH DEFINED 02 9700 0 7600
D CITATION CORP. COMMON 172895104 2064 201400 SH DEFINED 01 1400 0 200000
D CITATION CORP. COMMON 172895104 107 10400 SH DEFINED 02 9000 0 1400
D CINTAS CORP. COMMON 172908105 1543 23607 SH DEFINED 02 0 0 23607
D CINTAS CORP. COMMON 172908105 1262 19300 SH OTHER 01 0 19300 0
D CIRCUS CIRCUS ENTERPRISES, INC COMMON 172909103 3516 200200 SH DEFINED 01 177200 0 23000
D CIRCUS CIRCUS ENTERPRISES, INC COMMON 172909103 4703 267800 SH DEFINED 02 194200 0 73600
D CIRCUS CIRCUS ENTERPRISES, INC COMMON 172909103 21 1200 SH OTHER 01 1200 0 0
D CITIGROUP INC COMMON 172967101 2598 40670 SH DEFINED 05 12920 0 27750
D CITIGROUP INC COMMON 172967101 4193 65647 SH DEFINED 65647 0 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 51
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D CITIGROUP INC COMMON 172967101 461221 7220680 SH DEFINED 01 4439085 0 2781595
D CITIGROUP INC COMMON 172967101 973339 15238181 SH DEFINED 02 10840397 0 4397784
D CITIGROUP INC COMMON 172967101 338 5295 SH OTHER 05 3600 1695 0
D CITIGROUP INC COMMON 172967101 2502 39166 SH OTHER 09 39166 0 0
D CITIGROUP INC COMMON 172967101 17664 276542 SH OTHER 01 119193 157349 0
D CITIGROUP INC COMMON 172967101 2165 33900 SH OTHER 0304 33900 0 0
D CITIZENS BANKING CORP. (MI) COMMON 174420109 634 17600 SH DEFINED 02 8000 0 9600
D CITIZENS UTILITIES CO. CLASS " COMMON 177342201 2447 315709 SH DEFINED 01 315709 0 0
D CITIZENS UTILITIES CO. CLASS " COMMON 177342201 890 114900 SH DEFINED 02 26300 0 88600
D CITIZENS UTILITIES COMPANY 5% PREF-CONV 177351202 6038 150000 SH DEFINED 02
D CITRIX SYSTEMS, INC. COMMON 177376100 2604 68300 SH DEFINED 01 68300 0 0
D CITRIX SYSTEMS, INC. COMMON 177376100 1407 36900 SH DEFINED 02 5000 0 31900
D CLAIRE'S STORES, INC. COMMON 179584107 0 6 SH DEFINED 6 0 0
D CLAIRE'S STORES, INC. COMMON 179584107 84 2800 SH DEFINED 01 2800 0 0
D CLAIRE'S STORES, INC. COMMON 179584107 718 23850 SH DEFINED 02 0 0 23850
D CLARIFY, INC. COMMON 180492100 219 8200 SH DEFINED 02 0 0 8200
D CLAYTON HOMES, INC. COMMON 184190106 382 34502 SH DEFINED 01 18750 0 15752
D CLEAN HARBORS, INC. COMMON 184496107 298 176491 SH DEFINED 01 176491 0 0
D CLEAR CHANNEL COMMUNICATIONS, COMMON 184502102 134 2000 SH DEFINED 05 2000 0 0
D CLEAR CHANNEL COMMUNICATIONS, COMMON 184502102 206 3073 SH DEFINED 3073 0 0
D CLEAR CHANNEL COMMUNICATIONS, COMMON 184502102 684 10200 SH DEFINED 01 0 0 10200
D CLEAR CHANNEL COMMUNICATIONS, COMMON 184502102 2025 30200 SH DEFINED 02 0 0 30200
D CLEAR CHANNEL COMMUNICATIONS, COMMON 184502102 228 3400 SH OTHER 01 0 3400 0
D CLEVELAND CLIFFS, INC. COMMON 185896107 20 600 SH DEFINED 01 600 0 0
D CLEVELAND CLIFFS, INC. COMMON 185896107 296 8700 SH DEFINED 02 8100 0 600
D CLOROX CO. COMMON 189054109 379447 3237932 SH DEFINED 3237932 0 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 52
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D CLOROX CO. COMMON 189054109 536 4575 SH DEFINED 01 0 0 4575
D CLOROX CO. COMMON 189054109 234 2000 SH OTHER 01 0 2000 0
D CLOSURE MED CORP COMMON 189093107 133 3500 SH DEFINED 05 0 0 3500
D CLOSURE MED CORP COMMON 189093107 11598 305200 SH DEFINED 01 218500 0 86700
D CLOSURE MED CORP COMMON 189093107 232 6100 SH DEFINED 02 0 0 6100
D COACHMEN INDUSTRIES, INC. COMMON 189873102 402 19600 SH DEFINED 02 400 0 19200
D COAST FEDERAL LITIGATION TRUST COMMON 19034Q110 590 99400 SH DEFINED 99400 0 0
D COAST FEDERAL LITIGATION TRUST COMMON 19034Q110 14 2400 SH DEFINED 02 0 0 2400
D COASTAL CORP. COMMON 190441105 82 2480 SH DEFINED 2480 0 0
D COASTAL CORP. COMMON 190441105 345 10450 SH DEFINED 01 1250 0 9200
D COASTAL CORP. COMMON 190441105 1079 32700 SH DEFINED 02 0 0 32700
D COCA-COLA BOTTLING CO. CONSOLI COMMON 191098102 227 4100 SH DEFINED 02 0 0 4100
D COCA COLA CO. COMMON 191216100 4165 67867 SH DEFINED 05 38272 0 29595
D COCA COLA CO. COMMON 191216100 3205 52221 SH DEFINED 52221 0 0
D COCA COLA CO. COMMON 191216100 399409 6507680 SH DEFINED 01 3744140 0 2763540
D COCA COLA CO. COMMON 191216100 610561 9948035 SH DEFINED 02 6333591 0 3614444
D COCA COLA CO. COMMON 191216100 1522 24800 SH OTHER 05 24800 0 0
D COCA COLA CO. COMMON 191216100 2946 48000 SH OTHER 101112 0 48000 0
D COCA COLA CO. COMMON 191216100 1952 31800 SH OTHER 09 31800 0 0
D COCA COLA CO. COMMON 191216100 101598 1655366 SH OTHER 01 448547 1206819 0
D COCA COLA CO. COMMON 191216100 767 12500 SH OTHER 0304 12500 0 0
D COCA COLA ENTERPRISES, INC. COMMON 191219104 27775 918193 SH DEFINED 918193 0 0
D COCA COLA ENTERPRISES, INC. COMMON 191219104 590 19500 SH DEFINED 01 0 0 19500
D COGNEX CORP. COMMON 192422103 62 2600 SH DEFINED 05 0 0 2600
D COGNEX CORP. COMMON 192422103 6798 287000 SH DEFINED 01 215800 0 71200
D COGNEX CORP. COMMON 192422103 3447 145500 SH DEFINED 02 107400 0 38100
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 53
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D COHERENT, INC. COMMON 192479103 22 1600 SH DEFINED 01 1600 0 0
D COHERENT, INC. COMMON 192479103 204 14800 SH DEFINED 02 14800 0 0
D COLE KENNETH PRODUCTIONS, INC. COMMON 193294105 98 3700 SH DEFINED 05 0 0 3700
D COLE KENNETH PRODUCTIONS, INC. COMMON 193294105 8237 312300 SH DEFINED 01 221500 0 90800
D COLE KENNETH PRODUCTIONS, INC. COMMON 193294105 346 13100 SH DEFINED 02 0 0 13100
D COLEMAN, INC. COMMON 193559101 748 90700 SH DEFINED 90700 0 0
D COLGATE-PALMOLIVE CO. COMMON 194162103 1456 15828 SH DEFINED 05 8748 0 7080
D COLGATE-PALMOLIVE CO. COMMON 194162103 9493 103181 SH DEFINED 103181 0 0
D COLGATE-PALMOLIVE CO. COMMON 194162103 17463 189818 SH DEFINED 01 122302 0 67516
D COLGATE-PALMOLIVE CO. COMMON 194162103 17489 190102 SH DEFINED 02 114402 0 75700
D COLGATE-PALMOLIVE CO. COMMON 194162103 3497 38010 SH OTHER 01 20410 17600 0
D COLLINS & AIKMAN CORP. COMMON 194830105 151 31800 SH DEFINED 02 0 0 31800
D COLONIAL BANCGROUP, INC. COMMON 195493309 6434 536200 SH DEFINED 01 497000 0 39200
D COLONIAL BANCGROUP, INC. COMMON 195493309 11718 976540 SH DEFINED 02 633040 0 343500
D COLONIAL BANCGROUP, INC. COMMON 195493309 7 600 SH OTHER 01 600 0 0
D COLONIAL GAS CO. COMMON 195674106 204 5900 SH DEFINED 02 2600 0 3300
D COLT TELECOM GROUP PLC COMMON 196877104 668 9300 SH DEFINED 01 9300 0 0
D COLTEC INDUSTRIES, INC. COMMON 196879100 39858 2191420 SH DEFINED 01 1735400 0 456020
D COLTEC INDUSTRIES, INC. COMMON 196879100 98239 5401326 SH DEFINED 02 4149356 0 1251970
D COLTEC INDUSTRIES, INC. COMMON 196879100 22 1200 SH OTHER 01 1200 0 0
D COLUMBIA GAS SYSTEM, INC. COMMON 197648108 1170 22400 SH DEFINED 05 6700 0 15700
D COLUMBIA GAS SYSTEM, INC. COMMON 197648108 56 1068 SH DEFINED 1068 0 0
D COLUMBIA GAS SYSTEM, INC. COMMON 197648108 71184 1362368 SH DEFINED 01 778204 0 584164
D COLUMBIA GAS SYSTEM, INC. COMMON 197648108 336039 6431376 SH DEFINED 02 4955976 0 1475400
D COLUMBIA GAS SYSTEM, INC. COMMON 197648108 1032 19750 SH OTHER 09 19750 0 0
D COLUMBIA GAS SYSTEM, INC. COMMON 197648108 662 12675 SH OTHER 01 5300 7375 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 54
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D COLUMBIA/HCA HEALTHCARE CORP. COMMON 197677107 38 2000 SH DEFINED 05 2000 0 0
D COLUMBIA/HCA HEALTHCARE CORP. COMMON 197677107 316257 16699595 SH DEFINED 16699595 0 0
D COLUMBIA/HCA HEALTHCARE CORP. COMMON 197677107 46879 2475375 SH DEFINED 01 1695425 0 779950
D COLUMBIA/HCA HEALTHCARE CORP. COMMON 197677107 102515 5413195 SH DEFINED 02 3925995 0 1487200
D COLUMBIA/HCA HEALTHCARE CORP. COMMON 197677107 121 6400 SH OTHER 01 6400 0 0
D COLUMBIA SPORTSWEAR COMPANY COMMON 198516106 885 45100 SH DEFINED 01 45100 0 0
D COLUMBIA SPORTSWEAR COMPANY COMMON 198516106 489 24900 SH DEFINED 02 24900 0 0
D COMAIR HOLDINGS, INC. COMMON 199789108 1684 71271 SH DEFINED 02 2550 0 68721
D COMFORT SYS USA INC COMMON 199908104 1695 115900 SH DEFINED 01 115900 0 0
D COMFORT SYS USA INC COMMON 199908104 3096 211700 SH DEFINED 02 174900 0 36800
D COMCAST CORP. CLASS "A" COMMON 200300101 5055 82200 SH DEFINED 01 50600 0 31600
D COMCAST CORP. CLASS "A" SPECIA COMMON 200300200 145 2300 SH DEFINED 05
D COMCAST CORP. CLASS "A" SPECIA COMMON 200300200 253 4020 SH DEFINED
D COMCAST CORP. CLASS "A" SPECIA COMMON 200300200 98279 1561525 SH DEFINED 01
D COMCAST CORP. CLASS "A" SPECIA COMMON 200300200 123069 1955397 SH DEFINED 02
D COMCAST CORP. CLASS "A" SPECIA COMMON 200300200 1385 22000 SH OTHER 09
D COMCAST CORP. CLASS "A" SPECIA COMMON 200300200 4634 73626 SH OTHER 01
D COMDISCO, INC. COMMON 200336105 2935 164200 SH DEFINED 01 164200 0 0
D COMDISCO, INC. COMMON 200336105 1360 76100 SH DEFINED 02 13700 0 62400
D COMERICA, INC. COMMON 200340107 1199 19200 SH DEFINED 06 19200 0 0
D COMERICA, INC. COMMON 200340107 19 300 SH DEFINED 05 300 0 0
D COMERICA, INC. COMMON 200340107 128 2050 SH DEFINED 2050 0 0
D COMERICA, INC. COMMON 200340107 32 508 SH DEFINED 01 0 0 508
D COMERICA, INC. COMMON 200340107 81 1296 SH DEFINED 02 500 0 796
D COMMERCE BANCORP, INC. (NJ) COMMON 200519106 1383 33526 SH DEFINED 01 0 0 33526
D COMMERCE BANCORP, INC. (NJ) COMMON 200519106 62 1500 SH DEFINED 02 1500 0 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 55
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D COMMERCE BANCSHARES, INC. COMMON 200525103 11 276 SH DEFINED 276 0 0
D COMMERCE BANCSHARES, INC. COMMON 200525103 847 22000 SH DEFINED 01 15000 0 7000
D COMMERCE BANCSHARES, INC. COMMON 200525103 817 21220 SH DEFINED 02 9720 0 11500
D COMMERCE GROUP, INC. COMMON 200641108 32 1300 SH DEFINED 01 1300 0 0
D COMMERCE GROUP, INC. COMMON 200641108 371 15100 SH DEFINED 02 9600 0 5500
D COMMERCIAL FEDERAL CORP. COMMON 201647104 3143 135525 SH DEFINED 01 134625 0 900
D COMMERCIAL FEDERAL CORP. COMMON 201647104 6621 285549 SH DEFINED 02 223774 0 61775
D COMMERCIAL INTERTECH CORP. COMMON 201709102 231 20800 SH DEFINED 02 11800 0 9000
D COMMERCIAL METALS CO. COMMON 201723103 5520 276000 SH DEFINED 01 276000 0 0
D COMMERCIAL METALS CO. COMMON 201723103 9325 466266 SH DEFINED 02 378600 0 87666
D COMMERCIAL NET LEASE REALTY, I COMMON 202218103 461 41200 SH DEFINED 02 0 0 41200
D COMMONWEALTH ENERGY SYSTEM COMMON 202800108 657 17300 SH DEFINED 02 17300 0 0
D COMMONWEALTH INDS INC DEL COMMON 203004106 764 84900 SH DEFINED 01 84900 0 0
D COMMONWEALTH INDS INC DEL COMMON 203004106 862 95800 SH DEFINED 02 51000 0 44800
D COMMSCOPE, INC. COMMON 203372107 3201 152862 SH DEFINED 01 72499 0 80363
D COMMSCOPE, INC. COMMON 203372107 40544 1936371 SH DEFINED 02 1806041 0 130330
D COMMUNITY FIRST BANKSHARES, IN COMMON 203902101 4432 221600 SH DEFINED 01 221600 0 0
D COMMUNITY FIRST BANKSHARES, IN COMMON 203902101 8599 429938 SH DEFINED 02 331700 0 98238
D COMPANHIA SIDERURGICA NACION A COMMON 20440W105 16814 1026787 SH DEFINED 1026787 0 0
D COMPANIA ANONIMA NACIONL TEL COMMON 204421101 253 13900 SH DEFINED 13900 0 0
D COMPANIA DE MINAS BUENAVENTU A COMMON 204448104 977 73700 SH DEFINED 73700 0 0
D COMPANIA TELECOM CHILE COMMON 204449300 236 10000 SH DEFINED 10000 0 0
D COMPASS BANCSHARES, INC. COMMON 20449H109 31 900 SH DEFINED 05 900 0 0
D COMPASS BANCSHARES, INC. COMMON 20449H109 18644 540400 SH DEFINED 01 418700 0 121700
D COMPASS BANCSHARES, INC. COMMON 20449H109 37798 1095606 SH DEFINED 02 777606 0 318000
D COMPASS BANCSHARES, INC. COMMON 20449H109 31 900 SH OTHER 01 900 0 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 56
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D COMPAQ COMPUTER CORP. COMMON 204493100 5483 173017 SH DEFINED 05 73462 0 99555
D COMPAQ COMPUTER CORP. COMMON 204493100 13136 414550 SH DEFINED 414550 0 0
D COMPAQ COMPUTER CORP. COMMON 204493100 131408 4146932 SH DEFINED 01 2679224 0 1467708
D COMPAQ COMPUTER CORP. COMMON 204493100 216998 6847941 SH DEFINED 02 4909241 0 1938700
D COMPAQ COMPUTER CORP. COMMON 204493100 469 14800 SH OTHER 05 12500 2300 0
D COMPAQ COMPUTER CORP. COMMON 204493100 846 26700 SH OTHER 09 26700 0 0
D COMPAQ COMPUTER CORP. COMMON 204493100 4904 154747 SH OTHER 01 84070 70677 0
D COMPUCOM SYSTEMS, INC. COMMON 204780100 73 25000 SH DEFINED 25000 0 0
D COMPUCOM SYSTEMS, INC. COMMON 204780100 6 2000 SH DEFINED 01 2000 0 0
D COMPUCOM SYSTEMS, INC. COMMON 204780100 55 18700 SH DEFINED 02 0 0 18700
D COMPUTER ASSOCIATES INT'L, INC COMMON 204912109 389 10933 SH DEFINED 10933 0 0
D COMPUTER ASSOCIATES INT'L, INC COMMON 204912109 3969 111617 SH DEFINED 01 6850 0 104767
D COMPUTER ASSOCIATES INT'L, INC COMMON 204912109 11307 317948 SH DEFINED 02 234808 0 83140
D COMPUTER ASSOCIATES INT'L, INC COMMON 204912109 120 3375 SH OTHER 01 3375 0 0
D COMPUSA, INC. COMMON 204932107 1 100 SH DEFINED 05 100 0 0
D COMPUSA, INC. COMMON 204932107 3985 569225 SH DEFINED 01 402525 0 166700
D COMPUSA, INC. COMMON 204932107 5709 815500 SH DEFINED 02 584000 0 231500
D COMPUSA, INC. COMMON 204932107 8 1100 SH OTHER 01 1100 0 0
D COMPUTER SCIENCES CORP. COMMON 205363104 216 3920 SH DEFINED 3920 0 0
D COMPUTER SCIENCES CORP. COMMON 205363104 99 1800 SH DEFINED 01 1800 0 0
D COMPUTER SCIENCES CORP. COMMON 205363104 486 8802 SH DEFINED 02 0 0 8802
D COMPUTER SCIENCES CORP. COMMON 205363104 497 9000 SH OTHER 01 0 9000 0
D COMPUTER TASK GROUP, INC. COMMON 205477102 28 1300 SH DEFINED 01 1300 0 0
D COMPUTER TASK GROUP, INC. COMMON 205477102 348 16300 SH DEFINED 02 0 0 16300
D COMPUWARE CORP. COMMON 205638109 108 4536 SH DEFINED 4536 0 0
D COMPUWARE CORP. COMMON 205638109 463 19400 SH DEFINED 02 2600 0 16800
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 57
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D COMSTOCK RES INC COMMON 205768203 156 50900 SH DEFINED 02 6700 0 44200
D COMVERSE TECHNOLOGY INC. COMMON 205862402 1496 17600 SH DEFINED 01 17600 0 0
D COMVERSE TECHNOLOGY INC. COMMON 205862402 1194 14045 SH DEFINED 02 1300 0 12745
D CONAGRA, INC. COMMON 205887102 3024 118000 SH DEFINED 06 118000 0 0
D CONAGRA, INC. COMMON 205887102 1497 58421 SH DEFINED 58421 0 0
D CONAGRA, INC. COMMON 205887102 132 5150 SH DEFINED 01 850 0 4300
D CONCENTRIC NETWORK CORPORATION COMMON 20589R107 292 3900 SH DEFINED 05 0 0 3900
D CONCENTRIC NETWORK CORPORATION COMMON 20589R107 37936 507500 SH DEFINED 01 407700 0 99800
D CONCENTRIC NETWORK CORPORATION COMMON 20589R107 22477 300700 SH DEFINED 02 231800 0 68900
D CONCENTRA MANAGED CARE PFD CON PREF-CONV 20589TAB9 378000 6000000 SH DEFINED 02
D COMPUTER HORIZONS CORP COMMON 205908106 164 15000 SH DEFINED 01 15000 0 0
D COMPUTER HORIZONS CORP COMMON 205908106 118 10800 SH DEFINED 02 9300 0 1500
D CONCORD COMMUNICATIONS, INC. COMMON 206186108 74 1300 SH DEFINED 05 0 0 1300
D CONCORD COMMUNICATIONS, INC. COMMON 206186108 11480 201400 SH DEFINED 01 168700 0 32700
D CONCORD COMMUNICATIONS, INC. COMMON 206186108 12683 222500 SH DEFINED 02 166300 0 56200
D CONCORD EFS, INC. COMMON 206197105 140 5062 SH DEFINED 05 5062 0 0
D CONCORD EFS, INC. COMMON 206197105 143 5200 SH DEFINED 01 5200 0 0
D CONCORD EFS, INC. COMMON 206197105 1197 43437 SH DEFINED 02 600 0 42837
D CONCUR TECHNOLOGIES INC COMMON 206708109 50 1100 SH DEFINED 05 0 0 1100
D CONCUR TECHNOLOGIES INC COMMON 206708109 5744 127300 SH DEFINED 01 100100 0 27200
D CONCUR TECHNOLOGIES INC COMMON 206708109 3479 77100 SH DEFINED 02 57600 0 19500
D CONDOR TECHNOLOGY SOLUTIONS, I COMMON 206772105 72 7600 SH DEFINED 05 0 0 7600
D CONDOR TECHNOLOGY SOLUTIONS, I COMMON 206772105 6407 674400 SH DEFINED 01 486500 0 187900
D CONDOR TECHNOLOGY SOLUTIONS, I COMMON 206772105 195 20500 SH DEFINED 02 12300 0 8200
D CONECTIV INC COMMON 206829103 455 23500 SH DEFINED 02 23500 0 0
D CONECTIV INC COMMON 206829103 92 4750 SH OTHER 01 0 4750 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 58
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D CONMED CORP. COMMON 207410101 4352 140400 SH DEFINED 01 140400 0 0
D CONMED CORP. COMMON 207410101 9179 296100 SH DEFINED 02 232800 0 63300
D CONNETICS CORP COMMON 208192104 777 107200 SH DEFINED 107200 0 0
D CONOCO INC CLASS A COMMON 208251306 1911 77800 SH DEFINED 01 47900 0 29900
D CONOCO INC CLASS A COMMON 208251306 6105 248560 SH DEFINED 02 145460 0 103100
D CONSECO, INC. COMMON 208464107 104 3365 SH DEFINED 3365 0 0
D CONSECO, INC. COMMON 208464107 150 4870 SH DEFINED 01 3291 0 1579
D CONSECO, INC. COMMON 208464107 764 24754 SH DEFINED 02 0 0 24754
D CONSOLIDATED EDISON INC. COMMON 209115104 121 2675 SH DEFINED 2675 0 0
D CONSOLIDATED EDISON INC. COMMON 209115104 335 7400 SH DEFINED 01 2000 0 5400
D CONSOLIDATED EDISON INC. COMMON 209115104 290 6400 SH OTHER 01 0 6400 0
D CONSOLIDATED FGHT CORP COMMON 209232107 353 30000 SH DEFINED 01 23100 0 6900
D CONSOLIDATED FGHT CORP COMMON 209232107 279 23750 SH DEFINED 02 15650 0 8100
D CONSOLIDATED NATURAL GAS CO. COMMON 209615103 39 800 SH DEFINED 05 0 0 800
D CONSOLIDATED NATURAL GAS CO. COMMON 209615103 65 1345 SH DEFINED 1345 0 0
D CONSOLIDATED NATURAL GAS CO. COMMON 209615103 13652 280400 SH DEFINED 01 201700 0 78700
D CONSOLIDATED NATURAL GAS CO. COMMON 209615103 21694 445574 SH DEFINED 02 294174 0 151400
D CONSOLIDATED NATURAL GAS CO. COMMON 209615103 419 8599 SH OTHER 01 900 7699 0
D CONSOLIDATED PAPERS, INC. COMMON 209759109 1234 52500 SH DEFINED 01 52500 0 0
D CONSOLIDATED PAPERS, INC. COMMON 209759109 660 28100 SH DEFINED 02 5200 0 22900
D CONSOLIDATED STORES CORP. COMMON 210149100 43 1409 SH DEFINED 1409 0 0
D CONSOLIDATED STORES CORP. COMMON 210149100 625 20625 SH DEFINED 02 0 0 20625
D CONTINENTAL AIRLINES, INC. CL. COMMON 210795308 114 3000 SH DEFINED 01 3000 0 0
D CONTINENTAL AIRLINES, INC. CL. COMMON 210795308 433 11400 SH DEFINED 02 2700 0 8700
D CONVERGYS CORP COMMON 212485106 2 100 SH DEFINED 01 0 0 100
D CONVERGYS CORP COMMON 212485106 377 22008 SH DEFINED 02 8 0 22000
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 59
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D COOPER CAMERON CORP. COMMON 216640102 54 1600 SH DEFINED 05 0 0 1600
D COOPER CAMERON CORP. COMMON 216640102 945 27900 SH DEFINED 27900 0 0
D COOPER CAMERON CORP. COMMON 216640102 16261 480042 SH DEFINED 01 339590 0 140452
D COOPER CAMERON CORP. COMMON 216640102 53439 1577544 SH DEFINED 02 1405144 0 172400
D COOPER CAMERON CORP. COMMON 216640102 280 8260 SH OTHER 01 5836 2424 0
D COOPER INDUSTRIES, INC. COMMON 216669101 34 800 SH DEFINED 05 800 0 0
D COOPER INDUSTRIES, INC. COMMON 216669101 58 1369 SH DEFINED 1369 0 0
D COOPER INDUSTRIES, INC. COMMON 216669101 58580 1374300 SH DEFINED 01 888614 0 485686
D COOPER INDUSTRIES, INC. COMMON 216669101 210794 4945303 SH DEFINED 02 3745770 0 1199533
D COOPER INDUSTRIES, INC. COMMON 216669101 1978 46399 SH OTHER 01 36200 10199 0
D COOPER INDUSTRIES, INC. COMMON 216669101 1279 30000 SH OTHER 0304 30000 0 0
D COOPER TIRE & RUBBER CO. COMMON 216831107 19 1045 SH DEFINED 1045 0 0
D COOPER TIRE & RUBBER CO. COMMON 216831107 4761 259100 SH DEFINED 01 182100 0 77000
D COOPER TIRE & RUBBER CO. COMMON 216831107 5033 273900 SH DEFINED 02 161400 0 112500
D COOPER TIRE & RUBBER CO. COMMON 216831107 39 2100 SH OTHER 01 1000 1100 0
D COORS (ADOLPH) CO. CLASS "B" COMMON 217016104 24 436 SH DEFINED 436 0 0
D COORS (ADOLPH) CO. CLASS "B" COMMON 217016104 1955 36200 SH DEFINED 01 36200 0 0
D COORS (ADOLPH) CO. CLASS "B" COMMON 217016104 4957 91800 SH DEFINED 02 75200 0 16600
D COPART, INC. COMMON 217204106 261 12600 SH DEFINED 02 0 0 12600
D COPYTELE, INC. COMMON 217721109 956 600000 SH DEFINED 01 0 0 600000
D CORDANT TECHNOLOGIES INC COMMON 218412104 3708 93138 SH DEFINED 01 92900 0 238
D CORDANT TECHNOLOGIES INC COMMON 218412104 2719 68300 SH DEFINED 02 10200 0 58100
D CORDANT TECHNOLOGIES INC COMMON 218412104 76 1920 SH OTHER 01 1920 0 0
D CORIMON C.A. S.A.C.A. COMMON 218728509 66 75700 SH DEFINED 75700 0 0
D CORNERSTONE PPTYS INC COMMON 21922H103 3917 267800 SH DEFINED 01 261700 0 6100
D CORNERSTONE PPTYS INC COMMON 21922H103 6938 474400 SH DEFINED 02 425300 0 49100
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 60
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D CORNING, INC. COMMON 219350105 168 2796 SH DEFINED 2796 0 0
D CORNING, INC. COMMON 219350105 462 7692 SH DEFINED 01 3575 0 4117
D CORNING, INC. COMMON 219350105 101 1680 SH DEFINED 02 0 0 1680
D CORNING, INC. COMMON 219350105 72 1200 SH OTHER 05 1200 0 0
D CORNING, INC. COMMON 219350105 60 1000 SH OTHER 01 0 1000 0
D CORPORATE EXPRESS, INC. COMMON 219888104 2554 492200 SH DEFINED 01 436800 0 55400
D CORPORATE EXPRESS, INC. COMMON 219888104 2908 560500 SH DEFINED 02 401900 0 158600
D CORT BUSINESS SVCS CORP COMMON 220493100 222 9600 SH DEFINED 01 9600 0 0
D CORT BUSINESS SVCS CORP COMMON 220493100 74 3200 SH DEFINED 02 3200 0 0
D CORUS BANKSHARES, INC. COMMON 220873103 732 22800 SH DEFINED 02 0 0 22800
D COSTCO COMPANIES INC. 8/19/17 PREF-CONV 22160QAC6 143340 2326000 SH DEFINED
D COSTCO COMPANIES INC. 8/19/17 PREF-CONV 22160QAC6 184875 3000000 SH DEFINED 02
D COSTCO COMPANIES, INC. COMMON 22160Q102 9 100 SH DEFINED 05 100 0 0
D COSTCO COMPANIES, INC. COMMON 22160Q102 242 2642 SH DEFINED 2642 0 0
D COSTCO COMPANIES, INC. COMMON 22160Q102 55661 607900 SH DEFINED 01 416600 0 191300
D COSTCO COMPANIES, INC. COMMON 22160Q102 86371 943300 SH DEFINED 02 579900 0 363400
D COSTCO COMPANIES, INC. COMMON 22160Q102 323 3530 SH OTHER 01 1400 2130 0
D COUNTRYWIDE CREDIT INDUSTRIES, COMMON 222372104 4995 133200 SH DEFINED 06 133200 0 0
D COUNTRYWIDE CREDIT INDUSTRIES, COMMON 222372104 52 1385 SH DEFINED 1385 0 0
D COUNTRYWIDE CREDIT INDUSTRIES, COMMON 222372104 113 3000 SH DEFINED 01 3000 0 0
D COUSINS PROPERTIES, INC. COMMON 222795106 11182 386400 SH DEFINED 01 286400 0 100000
D COUSINS PROPERTIES, INC. COMMON 222795106 15360 530800 SH DEFINED 02 444100 0 86700
D COVAD COMMUNICATIONS GROUP I COMMON 222814204 20 300 SH DEFINED 05 0 0 300
D COVAD COMMUNICATIONS GROUP I COMMON 222814204 2623 39900 SH DEFINED 01 32900 0 7000
D COVAD COMMUNICATIONS GROUP I COMMON 222814204 2393 36400 SH DEFINED 02 28500 0 7900
D COVANCE INC COMMON 222816100 35 1400 SH DEFINED 05 0 0 1400
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 61
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D COVANCE INC COMMON 222816100 4650 185550 SH DEFINED 01 147400 0 38150
D COVANCE INC COMMON 222816100 3687 147120 SH DEFINED 02 99900 0 47220
D COVANCE INC COMMON 222816100 6 250 SH OTHER 01 0 250 0
D COVENANT TRANSPORT, INC. COMMON 22284P105 312 21000 SH DEFINED 02 0 0 21000
D COX COMMUNICATIONS, INC. CL. " COMMON 224044107 76 1000 SH DEFINED 05 1000 0 0
D COX COMMUNICATIONS, INC. CL. " COMMON 224044107 1015 13426 SH DEFINED 01 7282 0 6144
D COX COMMUNICATIONS, INC. CL. " COMMON 224044107 1203 15903 SH OTHER 01 0 15903 0
D CRAIG (JENNY), INC. COMMON 224206102 45 14800 SH DEFINED 02 0 0 14800
D CREDIT ACCEP CORP MICH COMMON 225310101 293 51500 SH DEFINED 01 41700 0 9800
D CREDIT ACCEP CORP MICH COMMON 225310101 102 17900 SH DEFINED 02 5100 0 12800
D CREDITRUST CORP COMMON 225429109 22 1100 SH DEFINED 05 0 0 1100
D CREDITRUST CORP COMMON 225429109 2528 128000 SH DEFINED 01 98500 0 29500
D CREDITRUST CORP COMMON 225429109 1469 74400 SH DEFINED 02 56700 0 17700
D CRESCENDO PHARMACEUTICALS CORP COMMON 225637107 5407 379415 SH DEFINED 01 346950 0 32465
D CRESCENDO PHARMACEUTICALS CORP COMMON 225637107 660 46314 SH DEFINED 02 43164 0 3150
D CRESCENT OPER INC COMMON 22575M100 198 54560 SH DEFINED 02 0 0 54560
D CRESCENT REAL ESTATE EQUITIES COMMON 225756105 10249 475400 SH DEFINED 01 465700 0 9700
D CRESCENT REAL ESTATE EQUITIES COMMON 225756105 39770 1849760 SH DEFINED 02 1525260 0 324500
D CRESCENT REAL ESTATE EQUITIES PREF-CONV 225756204 4207 265000 SH DEFINED 02
D CROMPTON & KNOWLES CORP. COMMON 227111101 1665 105700 SH DEFINED 01 86600 0 19100
D CROMPTON & KNOWLES CORP. COMMON 227111101 5722 363300 SH DEFINED 02 248000 0 115300
D CROMPTON & KNOWLES CORP. COMMON 227111101 8 500 SH OTHER 01 500 0 0
D CROSS TIMBERS ROYALTY TRUST - COMMON 22757R109 110 12100 SH DEFINED 05 0 0 12100
D CROSS TIMBERS OIL CO. COMMON 227573102 23 3200 SH DEFINED 01 3200 0 0
D CROSS TIMBERS OIL CO. COMMON 227573102 86 12200 SH DEFINED 02 0 0 12200
D CROSSMANN COMMUNITIES INC COMMON 22764E109 265 13300 SH DEFINED 02 0 0 13300
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 62
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D CROWN CENTRAL PETROLEUM CORP. COMMON 228219101 126 17900 SH DEFINED 02 0 0 17900
D CROWN CORK & SEAL CO., INC. COMMON 228255105 45 1581 SH DEFINED 1581 0 0
D CROWN CORK & SEAL CO., INC. COMMON 228255105 111 3877 SH DEFINED 01 877 0 3000
D CULLEN FROST BANKERS, INC. COMMON 229899109 960 20020 SH DEFINED 02 1100 0 18920
D CULP INC COMMON 230215105 85 14600 SH DEFINED 02 0 0 14600
D CUMMINS ENGINE, INC. COMMON 231021106 21 583 SH DEFINED 583 0 0
D CUMMINS ENGINE, INC. COMMON 231021106 1216 34200 SH DEFINED 01 34200 0 0
D CUMMINS ENGINE, INC. COMMON 231021106 480 13500 SH DEFINED 02 2500 0 11000
D CYMER, INC. COMMON 232572107 203 10200 SH DEFINED 02 0 0 10200
D CYPRESS SEMICONDUCTOR CORP. COMMON 232806109 59 6500 SH DEFINED 05 0 0 6500
D CYPRESS SEMICONDUCTOR CORP. COMMON 232806109 5488 609800 SH DEFINED 01 434800 0 175000
D CYPRESS SEMICONDUCTOR CORP. COMMON 232806109 657 73000 SH DEFINED 02 22000 0 51000
D CYTEC INDUSTRIES, INC. COMMON 232820100 1130 50655 SH DEFINED 01 43600 0 7055
D CYTEC INDUSTRIES, INC. COMMON 232820100 2628 117800 SH DEFINED 02 46400 0 71400
D CYTEC INDUSTRIES, INC. COMMON 232820100 36 1594 SH OTHER 01 100 1494 0
D D & N FINANCIAL CORP. COMMON 232864108 159 7000 SH DEFINED 01 7000 0 0
D D & N FINANCIAL CORP. COMMON 232864108 48 2100 SH DEFINED 02 2100 0 0
D CYTOTHERAPEUTICS, INC. COMMON 232923102 167 137333 SH DEFINED 137333 0 0
D CYTOTHERAPEUTICS, INC. COMMON 232923102 261 214257 SH DEFINED 01 214257 0 0
D DII GROUP, INC. COMMON 232949107 1217 41600 SH DEFINED 01 41600 0 0
D DII GROUP, INC. COMMON 232949107 562 19200 SH DEFINED 02 16100 0 3100
D DQE, INC. COMMON 23329J104 1224 31900 SH DEFINED 01 31900 0 0
D DQE, INC. COMMON 23329J104 169 4400 SH DEFINED 02 2000 0 2400
D DRS TECHNOLOGIES INC COMMON 23330X100 800 100000 SH DEFINED 01 0 0 100000
D D. R. HORTON, INC. COMMON 23331A109 3 158 SH DEFINED 158 0 0
D D. R. HORTON, INC. COMMON 23331A109 7559 451300 SH DEFINED 01 451300 0 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 63
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D D. R. HORTON, INC. COMMON 23331A109 15771 941548 SH DEFINED 02 707430 0 234118
D DSP COMMUNICATIONS, INC. COMMON 23332K106 308 19400 SH DEFINED 02 0 0 19400
D DST SYSTEMS, INC. COMMON 233326107 120 2000 SH DEFINED 05 2000 0 0
D DST SYSTEMS, INC. COMMON 233326107 559 9300 SH DEFINED 01 9300 0 0
D DST SYSTEMS, INC. COMMON 233326107 1360 22642 SH DEFINED 02 400 0 22242
D DAIN RAUSCHER CORPORATION COMMON 233856103 663 19500 SH DEFINED 02 1900 0 17600
D DAL-TILE INTL INC COMMON 23426R108 342 37700 SH DEFINED 02 100 0 37600
D DALLAS SEMICONDUCTOR CORP. COMMON 235204104 0 11 SH DEFINED 11 0 0
D DALLAS SEMICONDUCTOR CORP. COMMON 235204104 359 9300 SH DEFINED 01 9300 0 0
D DALLAS SEMICONDUCTOR CORP. COMMON 235204104 1012 26200 SH DEFINED 02 1600 0 24600
D DANA CORP. COMMON 235811106 45 1185 SH DEFINED 05 1185 0 0
D DANA CORP. COMMON 235811106 74 1950 SH DEFINED 1950 0 0
D DANA CORP. COMMON 235811106 40171 1057142 SH DEFINED 01 708057 0 349085
D DANA CORP. COMMON 235811106 74238 1953639 SH DEFINED 02 1323538 0 630101
D DANA CORP. COMMON 235811106 543 14300 SH OTHER 01 2300 12000 0
D DANAHER CORP. COMMON 235851102 87 1667 SH DEFINED 1667 0 0
D DANAHER CORP. COMMON 235851102 1718 32881 SH DEFINED 02 0 0 32881
D DANIEL INDUSTRIES, INC. COMMON 236235107 278 18207 SH DEFINED 02 0 0 18207
D DARDEN RESTAURANTS, INC. COMMON 237194105 35 1715 SH DEFINED 1715 0 0
D DARDEN RESTAURANTS, INC. COMMON 237194105 89 4300 SH DEFINED 01 4300 0 0
D DARDEN RESTAURANTS, INC. COMMON 237194105 194 9400 SH OTHER 01 0 9400 0
D DATA GENERAL CORP. COMMON 237688106 7 707 SH DEFINED 707 0 0
D DATA GENERAL CORP. COMMON 237688106 335 33100 SH DEFINED 01 33100 0 0
D DATA GENERAL CORP. COMMON 237688106 256 25300 SH DEFINED 02 18000 0 7300
D DATAMETRICS CORP COMMON 238085104 275 200000 SH DEFINED 01 0 0 200000
D DAVE & BUSTERS, INC. COMMON 23833N104 273 13300 SH DEFINED 02 0 0 13300
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 64
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D DAVOX CORP COMMON 239208101 540 87200 SH DEFINED 01 87200 0 0
D DAVOX CORP COMMON 239208101 293 47300 SH DEFINED 02 37600 0 9700
D DAYTON-HUDSON CORP. COMMON 239753106 220 3300 SH DEFINED 05 3300 0 0
D DAYTON-HUDSON CORP. COMMON 239753106 33507 502914 SH DEFINED 502914 0 0
D DAYTON-HUDSON CORP. COMMON 239753106 166848 2504288 SH DEFINED 01 1387234 0 1117054
D DAYTON-HUDSON CORP. COMMON 239753106 260364 3907899 SH DEFINED 02 2781929 0 1125970
D DAYTON-HUDSON CORP. COMMON 239753106 2279 34200 SH OTHER 09 34200 0 0
D DAYTON-HUDSON CORP. COMMON 239753106 7262 109000 SH OTHER 01 76590 32410 0
D DEERE & CO. COMMON 244199105 178 4600 SH DEFINED 05 4600 0 0
D DEERE & CO. COMMON 244199105 97 2522 SH DEFINED 2522 0 0
D DEERE & CO. COMMON 244199105 40440 1047000 SH DEFINED 01 710400 0 336600
D DEERE & CO. COMMON 244199105 64485 1669526 SH DEFINED 02 1104026 0 565500
D DEERE & CO. COMMON 244199105 170 4400 SH OTHER 01 4400 0 0
D DELCO REMY INTERNATIONAL INC COMMON 246626105 147 16100 SH DEFINED 02 2600 0 13500
D DELIA*S INC COMMON 246885107 1493 47400 SH DEFINED 01 47400 0 0
D DELIA*S INC COMMON 246885107 791 25100 SH DEFINED 02 25100 0 0
D DELL COMPUTER CORP. COMMON 247025109 144 3520 SH DEFINED 05 2800 0 720
D DELL COMPUTER CORP. COMMON 247025109 210257 5143904 SH DEFINED 5143904 0 0
D DELL COMPUTER CORP. COMMON 247025109 56044 1371100 SH DEFINED 01 801600 0 569500
D DELL COMPUTER CORP. COMMON 247025109 75033 1835670 SH DEFINED 02 1112870 0 722800
D DELL COMPUTER CORP. COMMON 247025109 8 200 SH OTHER 01 200 0 0
D DELPHI AUTOMOTIVE SYS COMMON 247126105 8545 481400 SH DEFINED 01 196000 0 285400
D DELPHI AUTOMOTIVE SYS COMMON 247126105 36902 2078980 SH DEFINED 02 1839280 0 239700
D DELPHI FINANCIAL GROUP, INC. C COMMON 247131105 1402 41400 SH DEFINED 01 41400 0 0
D DELPHI FINANCIAL GROUP, INC. C COMMON 247131105 1758 51900 SH DEFINED 02 26000 0 25900
D DELTA & PINE LAND CO. COMMON 247357106 204 6619 SH DEFINED 05 0 0 6619
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 65
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D DELTA & PINE LAND CO. COMMON 247357106 11651 378905 SH DEFINED 01 323805 0 55100
D DELTA & PINE LAND CO. COMMON 247357106 151 4900 SH DEFINED 02 0 0 4900
D DELTA AIR LINES, INC. COMMON 247361108 124 1777 SH DEFINED 1777 0 0
D DELTA AIR LINES, INC. COMMON 247361108 188 2700 SH DEFINED 02 1100 0 1600
D DELTA AIR LINES, INC. COMMON 247361108 56 800 SH OTHER 05 0 800 0
D DELTA FINANCIAL CORP COMMON 247918105 146 26000 SH DEFINED 02 0 0 26000
D DELUXE CORP. COMMON 248019101 32 1098 SH DEFINED 1098 0 0
D DELUXE CORP. COMMON 248019101 2569 88200 SH DEFINED 01 78200 0 10000
D DELUXE CORP. COMMON 248019101 1410 48400 SH DEFINED 02 7500 0 40900
D DELUXE CORP. COMMON 248019101 93 3200 SH OTHER 01 0 3200 0
D DENTSPLY INTERNATIONAL, INC. COMMON 249030107 1804 77600 SH DEFINED 01 77600 0 0
D DENTSPLY INTERNATIONAL, INC. COMMON 249030107 695 29900 SH DEFINED 02 5900 0 24000
D DESC S.A. DE C.V. - A/D/R COMMON 250309101 3594 134651 SH DEFINED 134651 0 0
D DEVELOPERS DIVERSIFIED REALTY COMMON 251591103 2506 175100 SH DEFINED 01 175100 0 0
D DEVELOPERS DIVERSIFIED REALTY COMMON 251591103 4959 346500 SH DEFINED 02 308100 0 38400
D DEVON ENERGY CORP. COMMON 251799102 107 3900 SH DEFINED 05 0 0 3900
D DEVON ENERGY CORP. COMMON 251799102 12558 455600 SH DEFINED 01 356300 0 99300
D DEVON ENERGY CORP. COMMON 251799102 5223 189500 SH DEFINED 02 138500 0 51000
D DEVRY, INC. COMMON 251893103 0 6 SH DEFINED 6 0 0
D DEVRY, INC. COMMON 251893103 15414 531500 SH DEFINED 01 462800 0 68700
D DEVRY, INC. COMMON 251893103 421 14500 SH DEFINED 02 0 0 14500
D DIAGNOSTIC PRODUCTS CORP. COMMON 252450101 65 2700 SH DEFINED 01 2700 0 0
D DIAGNOSTIC PRODUCTS CORP. COMMON 252450101 354 14600 SH DEFINED 02 6200 0 8400
D DIAL CORP NEW COMMON 25247D101 138 4000 SH DEFINED 05 0 0 4000
D DIAL CORP NEW COMMON 25247D101 550 15990 SH DEFINED 01 0 0 15990
D DIALOGIC CORP. COMMON 252499108 61 2000 SH DEFINED 05 0 0 2000
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 66
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D DIALOGIC CORP. COMMON 252499108 0 6 SH DEFINED 6 0 0
D DIALOGIC CORP. COMMON 252499108 5344 175200 SH DEFINED 01 126000 0 49200
D DIALOGIC CORP. COMMON 252499108 55 1800 SH DEFINED 02 0 0 1800
D DIAMOND OFFSHORE DRILLING IN BOND 25271CAA0 1141 1229000 PRN DEFINED
D DIAMOND OFFSHORE DRILLING, INC COMMON 25271C102 4744 150000 SH DEFINED 01 89400 0 60600
D DIAMOND OFFSHORE DRILLING, INC COMMON 25271C102 8978 283896 SH DEFINED 02 176796 0 107100
D DIAMOND OFFSHORE DRILLING, INC COMMON 25271C102 19 600 SH OTHER 01 600 0 0
D DIAMOND TECHNOLOGY PARTNERS COMMON 252762109 95 4100 SH DEFINED 05 0 0 4100
D DIAMOND TECHNOLOGY PARTNERS COMMON 252762109 8340 361600 SH DEFINED 01 258700 0 102900
D DIAMOND TECHNOLOGY PARTNERS COMMON 252762109 99 4300 SH DEFINED 02 0 0 4300
D DIEBOLD, INC. COMMON 253651103 279 11616 SH DEFINED 01 0 0 11616
D DIGITAL MICROWAVE CORP. COMMON 253859102 5 600 SH DEFINED 01 600 0 0
D DIGITAL MICROWAVE CORP. COMMON 253859102 344 41100 SH DEFINED 02 0 0 41100
D DIGITAL RIV INC COMMON 25388B104 2760 69000 SH DEFINED 01 68000 0 1000
D DIGITAL RIV INC COMMON 25388B104 6256 156400 SH DEFINED 02 113300 0 43100
D DILLARD'S INC. CL A COMMON 254067101 5 200 SH DEFINED 05 200 0 0
D DILLARD'S INC. CL A COMMON 254067101 36 1435 SH DEFINED 1435 0 0
D DILLARD'S INC. CL A COMMON 254067101 11655 459300 SH DEFINED 01 350100 0 109200
D DILLARD'S INC. CL A COMMON 254067101 27724 1092576 SH DEFINED 02 686176 0 406400
D DILLARD'S INC. CL A COMMON 254067101 25 1000 SH OTHER 01 1000 0 0
D DIME BANCORP, INC. COMMON 25429Q102 22453 968284 SH DEFINED 01 665484 0 302800
D DIME BANCORP, INC. COMMON 25429Q102 73864 3185442 SH DEFINED 02 1910106 0 1275336
D DIME BANCORP, INC. COMMON 25429Q102 32 1400 SH OTHER 01 1400 0 0
D DIMON, INC. COMMON 254394109 2 500 SH DEFINED 01 500 0 0
D DIMON, INC. COMMON 254394109 94 24600 SH DEFINED 02 0 0 24600
D DIONEX CORP. COMMON 254546104 815 21600 SH DEFINED 02 0 0 21600
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 67
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D DISNEY (WALT) & CO. COMMON 254687106 3140 100886 SH DEFINED 05 40870 0 60016
D DISNEY (WALT) & CO. COMMON 254687106 8736 280673 SH DEFINED 280673 0 0
D DISNEY (WALT) & CO. COMMON 254687106 105514 3390024 SH DEFINED 01 946889 0 2443135
D DISNEY (WALT) & CO. COMMON 254687106 31807 1021920 SH DEFINED 02 424720 0 597200
D DISNEY (WALT) & CO. COMMON 254687106 241 7757 SH OTHER 05 4857 2900 0
D DISNEY (WALT) & CO. COMMON 254687106 2939 94434 SH OTHER 101112 0 94434 0
D DISNEY (WALT) & CO. COMMON 254687106 32366 1039865 SH OTHER 01 268681 771184 0
D DOLE FOOD COMPANY, INC. COMMON 256605106 2409 80300 SH DEFINED 01 80300 0 0
D DOLE FOOD COMPANY, INC. COMMON 256605106 1392 46400 SH DEFINED 02 6300 0 40100
D DOLLAR GENERAL CORP. COMMON 256669102 73 2158 SH DEFINED 2158 0 0
D DOLLAR GENERAL CORP. COMMON 256669102 5811 170900 SH DEFINED 01 170900 0 0
D DOLLAR GENERAL CORP. COMMON 256669102 1949 57313 SH DEFINED 02 0 0 57313
D DOLLAR THRIFTY AUTOMOTIVE GROU COMMON 256743105 749 43400 SH DEFINED 01 43400 0 0
D DOLLAR THRIFTY AUTOMOTIVE GROU COMMON 256743105 298 17300 SH DEFINED 02 17300 0 0
D DOMINION RESOURCES, INC. - VIR COMMON 257470104 1093 29600 SH DEFINED 05 7500 0 22100
D DOMINION RESOURCES, INC. - VIR COMMON 257470104 87 2352 SH DEFINED 2352 0 0
D DOMINION RESOURCES, INC. - VIR COMMON 257470104 12456 337225 SH DEFINED 01 183700 0 153525
D DOMINION RESOURCES, INC. - VIR COMMON 257470104 16535 447630 SH DEFINED 02 265330 0 182300
D DOMINION RESOURCES, INC. - VIR COMMON 257470104 48 1300 SH OTHER 05 0 1300 0
D DOMINION RESOURCES, INC. - VIR COMMON 257470104 578 15650 SH OTHER 01 6475 9175 0
D DONALDSON, INC. COMMON 257651109 371 20600 SH DEFINED 02 0 0 20600
D DONALDSON LUFKIN & JENRETTE, I COMMON 257661108 230 3300 SH DEFINED 01 3300 0 0
D DONALDSON LUFKIN & JENRETTE, I COMMON 257661108 63 900 SH DEFINED 02 0 0 900
D DONNELLEY (R. R.) & SONS, CO. COMMON 257867101 142 4400 SH DEFINED 05 0 0 4400
D DONNELLEY (R. R.) & SONS, CO. COMMON 257867101 56 1746 SH DEFINED 1746 0 0
D DONNELLEY (R. R.) & SONS, CO. COMMON 257867101 28857 896500 SH DEFINED 01 555400 0 341100
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 68
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D DONNELLEY (R. R.) & SONS, CO. COMMON 257867101 53230 1653730 SH DEFINED 02 1124530 0 529200
D DONNELLEY (R. R.) & SONS, CO. COMMON 257867101 356 11050 SH OTHER 01 3450 7600 0
D DONNELLEY (R. R.) & SONS, CO. COMMON 257867101 1288 40000 SH OTHER 0304 40000 0 0
D DOUBLECLICK INC. COMMON 258609304 438 2408 SH DEFINED 2408 0 0
D DOUBLECLICK INC. COMMON 258609304 20147 110660 SH DEFINED 01 12600 0 98060
D DOUBLECLICK INC. COMMON 258609304 6117 33600 SH DEFINED 02 25500 0 8100
D DOVER CORP. COMMON 260003108 16519 502476 SH DEFINED 502476 0 0
D DOVER CORP. COMMON 260003108 2254 68571 SH DEFINED 01 25700 0 42871
D DOVER CORP. COMMON 260003108 2735 83200 SH DEFINED 02 23300 0 59900
D DOVER CORP. COMMON 260003108 973 29600 SH OTHER 01 0 29600 0
D DOVER DOWNS ENTMT INC COMMON 260086103 316 20400 SH DEFINED 02 0 0 20400
D DOW CHEMICAL CO. COMMON 260543103 466 5000 SH DEFINED 06 5000 0 0
D DOW CHEMICAL CO. COMMON 260543103 221 2375 SH DEFINED 05 875 0 1500
D DOW CHEMICAL CO. COMMON 260543103 251 2694 SH DEFINED 2694 0 0
D DOW CHEMICAL CO. COMMON 260543103 115368 1238015 SH DEFINED 01 895025 0 342990
D DOW CHEMICAL CO. COMMON 260543103 238959 2564268 SH DEFINED 02 1495748 0 1068520
D DOW CHEMICAL CO. COMMON 260543103 5046 54144 SH OTHER 01 13987 40157 0
D DOW CHEMICAL CO. COMMON 260543103 3355 36000 SH OTHER 0304 36000 0 0
D DOW JONES & CO, INC. COMMON 260561105 60 1265 SH DEFINED 1265 0 0
D DOW JONES & CO, INC. COMMON 260561105 783 16600 SH DEFINED 02 0 0 16600
D DOW JONES & CO, INC. COMMON 260561105 686 14541 SH OTHER 01 0 14541 0
D DOWNEY FINANCIAL CORP. COMMON 261018105 37 2000 SH DEFINED 01 2000 0 0
D DOWNEY FINANCIAL CORP. COMMON 261018105 198 10800 SH DEFINED 02 10800 0 0
D DREYER'S GRAND ICE CREAM, INC. COMMON 261878102 26 2000 SH DEFINED 01 0 0 2000
D DREYER'S GRAND ICE CREAM, INC. COMMON 261878102 261 20200 SH DEFINED 02 0 0 20200
D DU PONT (E. I.) DE NEMOURS & C COMMON 263534109 6415 110491 SH DEFINED 05 59091 0 51400
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 69
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D DU PONT (E. I.) DE NEMOURS & C COMMON 263534109 41795 719824 SH DEFINED 719824 0 0
D DU PONT (E. I.) DE NEMOURS & C COMMON 263534109 103780 1787374 SH DEFINED 01 888583 0 898791
D DU PONT (E. I.) DE NEMOURS & C COMMON 263534109 11753 202413 SH DEFINED 02 77213 0 125200
D DU PONT (E. I.) DE NEMOURS & C COMMON 263534109 639 11000 SH OTHER 05 8400 2600 0
D DU PONT (E. I.) DE NEMOURS & C COMMON 263534109 17688 304643 SH OTHER 01 120398 184245 0
D DUFF & PHELPS CREDIT RATING CO COMMON 26432F109 304 5800 SH DEFINED 02 0 0 5800
D DUKE POWER CO. COMMON 264399106 2094 38200 SH DEFINED 05 11800 0 26400
D DUKE POWER CO. COMMON 264399106 208 3791 SH DEFINED 3791 0 0
D DUKE POWER CO. COMMON 264399106 14918 272162 SH DEFINED 01 149969 0 122193
D DUKE POWER CO. COMMON 264399106 955 17427 SH DEFINED 02 0 0 17427
D DUKE POWER CO. COMMON 264399106 263 4800 SH OTHER 05 0 4800 0
D DUKE POWER CO. COMMON 264399106 6995 127614 SH OTHER 01 58839 68775 0
D DUN & BRADSTREET CORPORATION COMMON 26483B106 76 2134 SH DEFINED 2134 0 0
D DUN & BRADSTREET CORPORATION COMMON 26483B106 983 27582 SH DEFINED 01 13400 0 14182
D DUN & BRADSTREET CORPORATION COMMON 26483B106 1012 28400 SH DEFINED 02 0 0 28400
D DUN & BRADSTREET CORPORATION COMMON 26483B106 71 2000 SH OTHER 05 0 2000 0
D DUN & BRADSTREET CORPORATION COMMON 26483B106 356 10000 SH OTHER 101112 0 10000 0
D DUN & BRADSTREET CORPORATION COMMON 26483B106 2453 68869 SH OTHER 01 3782 65087 0
D DURA AUTOMOTIVE SYSTEMS CORP COMMON 265903104 438 15493 SH DEFINED 02 3040 0 12453
D DUPONT PHOTOMASKS, INC. COMMON 26613X101 388 9800 SH DEFINED 01 9800 0 0
D DUPONT PHOTOMASKS, INC. COMMON 26613X101 67 1700 SH DEFINED 02 1700 0 0
D DURA PHARMACEUTICALS, INC. COMMON 26632S109 1 100 SH DEFINED 01 100 0 0
D DURA PHARMACEUTICALS, INC. COMMON 26632S109 165 11700 SH DEFINED 02 0 0 11700
D DYNEX CAP INC COMMON 26817Q100 89 26900 SH DEFINED 02 9900 0 17000
D ECI TELECOMMUNICATIONS LTD. DE COMMON 268258100 105 3000 SH DEFINED 05 3000 0 0
D ECI TELECOMMUNICATIONS LTD. DE COMMON 268258100 286 8184 SH DEFINED 02 0 0 8184
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 70
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D EG & G, INC. COMMON 268457108 12 455 SH DEFINED 455 0 0
D EG & G, INC. COMMON 268457108 21 800 SH DEFINED 01 0 0 800
D EG & G, INC. COMMON 268457108 680 25800 SH OTHER 01 0 25800 0
D EMC CORP. CV PFD 144A 03/15/20 BOND 268648AC6 2305 900000 PRN DEFINED 02
D EMC CORP. COMMON 268648102 4688 36700 SH DEFINED 05 7600 0 29100
D EMC CORP. COMMON 268648102 702 5497 SH DEFINED 5497 0 0
D EMC CORP. COMMON 268648102 505387 3956066 SH DEFINED 01 2297704 0 1658362
D EMC CORP. COMMON 268648102 840749 6581209 SH DEFINED 02 4841602 0 1739607
D EMC CORP. COMMON 268648102 166 1300 SH OTHER 05 0 1300 0
D EMC CORP. COMMON 268648102 1022 8000 SH OTHER 101112 0 8000 0
D EMC CORP. COMMON 268648102 3756 29400 SH OTHER 09 29400 0 0
D EMC CORP. COMMON 268648102 39260 307321 SH OTHER 01 139755 167566 0
D EMC CORP. COMMON 268648102 7665 60000 SH OTHER 0304 60000 0 0
D EMC CORP BOND 26865YAA2 45900 27000000 PRN DEFINED
D EMC CORP BOND 26865YAA2 1445 850000 PRN DEFINED 01
D ENSCO INTERNATIONAL, INC. COMMON 26874Q100 5603 420900 SH DEFINED 01 333000 0 87900
D ENSCO INTERNATIONAL, INC. COMMON 26874Q100 7648 574512 SH DEFINED 02 336312 0 238200
D ENSCO INTERNATIONAL, INC. COMMON 26874Q100 13 1000 SH OTHER 01 1000 0 0
D E.SPIRE COMMUNICATIONS INC. COMMON 269153102 985 71600 SH DEFINED 71600 0 0
D E.SPIRE COMMUNICATIONS INC. COMMON 269153102 202 14700 SH DEFINED 02 0 0 14700
D E'TOWN CORP. COMMON 269242103 4390 108900 SH DEFINED 01 108900 0 0
D E'TOWN CORP. COMMON 269242103 7389 183300 SH DEFINED 02 149200 0 34100
D E TRADE GROUP, INC. COMMON 269246104 2659 45600 SH DEFINED 01 45600 0 0
D E TRADE GROUP, INC. COMMON 269246104 2647 45400 SH DEFINED 02 23000 0 22400
D EAGLE HARDWARE & GARDEN INC. COMMON 26959B101 11224 293906 SH DEFINED 293906 0 0
D EARTHGRAINS CO. COMMON 270319106 1549 69800 SH DEFINED 01 69800 0 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 71
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D EARTHGRAINS CO. COMMON 270319106 2678 120700 SH DEFINED 02 32900 0 87800
D EARTHSHELL CORP COMMON 27032B100 1098 112600 SH DEFINED 01 12600 0 100000
D EARTHSHELL CORP COMMON 27032B100 22 2300 SH DEFINED 02 2300 0 0
D EAST WEST BANCORP INC COMMON 27579R104 13407 1500000 SH DEFINED 01 1500000 0 0
D EASTERN ENTERPRISES COMMON 27637F100 7 200 SH DEFINED 200 0 0
D EASTERN ENTERPRISES COMMON 27637F100 611 16800 SH DEFINED 01 16800 0 0
D EASTERN ENTERPRISES COMMON 27637F100 204 5600 SH DEFINED 02 5600 0 0
D EASTERN UTILITIES ASSOCIATES COMMON 277173100 62 2200 SH DEFINED 01 2200 0 0
D EASTERN UTILITIES ASSOCIATES COMMON 277173100 173 6100 SH DEFINED 02 3900 0 2200
D EASTMAN CHEMICAL CO. COMMON 277432100 1405 33400 SH DEFINED 06 33400 0 0
D EASTMAN CHEMICAL CO. COMMON 277432100 31 726 SH DEFINED 05 726 0 0
D EASTMAN CHEMICAL CO. COMMON 277432100 42 1010 SH DEFINED 1010 0 0
D EASTMAN CHEMICAL CO. COMMON 277432100 84 1986 SH DEFINED 01 501 0 1485
D EASTMAN CHEMICAL CO. COMMON 277432100 808 19200 SH DEFINED 02 0 0 19200
D EASTMAN CHEMICAL CO. COMMON 277432100 156 3711 SH OTHER 01 0 3711 0
D EASTMAN KODAK CO. COMMON 277461109 128 2005 SH DEFINED 05 2005 0 0
D EASTMAN KODAK CO. COMMON 277461109 222 3470 SH DEFINED 3470 0 0
D EASTMAN KODAK CO. COMMON 277461109 102957 1611849 SH DEFINED 01 1127932 0 483917
D EASTMAN KODAK CO. COMMON 277461109 186261 2916024 SH DEFINED 02 1916424 0 999600
D EASTMAN KODAK CO. COMMON 277461109 2719 42571 SH OTHER 01 4200 38371 0
D EATON CORP. COMMON 278058102 172 2400 SH DEFINED 05 300 0 2100
D EATON CORP. COMMON 278058102 64 889 SH DEFINED 889 0 0
D EATON CORP. COMMON 278058102 26245 367062 SH DEFINED 01 220462 0 146600
D EATON CORP. COMMON 278058102 58496 818120 SH DEFINED 02 593420 0 224700
D EATON CORP. COMMON 278058102 72 1000 SH OTHER 05 1000 0 0
D EATON CORP. COMMON 278058102 1862 26048 SH OTHER 01 2900 23148 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 72
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D EATON CORP. COMMON 278058102 2145 30000 SH OTHER 0304 30000 0 0
D EATON VANCE CORP. COMMON 278265103 612 30400 SH DEFINED 02 0 0 30400
D ECHOSTAR COMMUNICATIONS CL. "A COMMON 278762109 82 1000 SH DEFINED 01 1000 0 0
D ECHOSTAR COMMUNICATIONS CL. "A COMMON 278762109 759 9300 SH DEFINED 02 0 0 9300
D ECOLAB, INC. COMMON 278865100 50 1410 SH DEFINED 1410 0 0
D ECOLAB, INC. COMMON 278865100 57 1600 SH DEFINED 01 1600 0 0
D ECOLAB, INC. COMMON 278865100 632 17800 SH DEFINED 02 0 0 17800
D ECOLAB, INC. COMMON 278865100 178 5000 SH OTHER 01 5000 0 0
D EDISON INTERNATIONAL COMMON 281020107 16 700 SH DEFINED 05 700 0 0
D EDISON INTERNATIONAL COMMON 281020107 89 3984 SH DEFINED 3984 0 0
D EDISON INTERNATIONAL COMMON 281020107 27899 1253900 SH DEFINED 01 926100 0 327800
D EDISON INTERNATIONAL COMMON 281020107 49825 2239339 SH DEFINED 02 1384606 0 854733
D EDISON INTERNATIONAL COMMON 281020107 127 5700 SH OTHER 01 3300 2400 0
D EDUCATION MGMT CORP COMMON 28139T101 366 11900 SH DEFINED 05 0 0 11900
D EDUCATION MGMT CORP COMMON 28139T101 32435 1054800 SH DEFINED 01 816800 0 238000
D EDUCATION MGMT CORP COMMON 28139T101 16356 531900 SH DEFINED 02 408900 0 123000
D J D EDWARDS & CO COMMON 281667105 715 59900 SH DEFINED 01 59900 0 0
D J D EDWARDS & CO COMMON 281667105 275 23000 SH DEFINED 02 4500 0 18500
D EDWARDS (A. G.), INC. COMMON 281760108 4978 152295 SH DEFINED 01 85545 0 66750
D EDWARDS (A. G.), INC. COMMON 281760108 258 7900 SH DEFINED 02 0 0 7900
D EDWARDS (A. G.), INC. COMMON 281760108 1539 47081 SH OTHER 01 37650 9431 0
D EDWARDS (A. G.), INC. COMMON 281760108 981 30000 SH OTHER 0304 30000 0 0
D EL PASO ELECTRIC COMPANY COMMON 283677854 8354 1095600 SH DEFINED 01 1095600 0 0
D EL PASO ELECTRIC COMPANY COMMON 283677854 461 60400 SH DEFINED 02 54100 0 6300
D EL PASO ENERGY CAP TRUST 4.75% PREF-CONV 283678209 5005 104000 SH DEFINED 01
D EL PASO ENERGY CAP TRUST 4.75% PREF-CONV 283678209 17662 367000 SH DEFINED 02
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 73
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D EL PASO ENERGY CORP DEL COMMON 283905107 20 600 SH DEFINED 05 600 0 0
D EL PASO ENERGY CORP DEL COMMON 283905107 3978 121700 SH DEFINED 121700 0 0
D EL PASO ENERGY CORP DEL COMMON 283905107 14747 451150 SH DEFINED 01 342000 0 109150
D EL PASO ENERGY CORP DEL COMMON 283905107 66622 2038120 SH DEFINED 02 1381820 0 656300
D EL PASO ENERGY CORP DEL COMMON 283905107 170 5210 SH OTHER 01 1100 4110 0
D ELAN PLC A/D/R COMMON 284131208 1235 17700 SH DEFINED 17700 0 0
D ELAN PLC A/D/R COMMON 284131208 540 7748 SH DEFINED 01 0 0 7748
D ELAN PLC A/D/R COMMON 284131208 1634 23421 SH DEFINED 02 0 0 23421
D ELCOM INTL INC COMMON 284434107 594 200000 SH DEFINED 01 0 0 200000
D ELECTRIC FUEL CORP COMMON 284871100 269 100000 SH DEFINED 01 0 0 100000
D ELECTRO SCIENTIFIC INDUSTRIES, COMMON 285229100 9 200 SH DEFINED 01 200 0 0
D ELECTRO SCIENTIFIC INDUSTRIES, COMMON 285229100 544 11700 SH DEFINED 02 5100 0 6600
D ELECTRONIC ARTS, INC. COMMON 285512109 7534 158600 SH DEFINED 01 121100 0 37500
D ELECTRONIC ARTS, INC. COMMON 285512109 11357 239088 SH DEFINED 02 130588 0 108500
D ELECTRONIC ARTS, INC. COMMON 285512109 19 400 SH OTHER 01 400 0 0
D ELECTRONIC DATA SYSTEMS CORP. COMMON 285661104 34 700 SH DEFINED 05 0 0 700
D ELECTRONIC DATA SYSTEMS CORP. COMMON 285661104 491 10087 SH DEFINED 10087 0 0
D ELECTRONIC DATA SYSTEMS CORP. COMMON 285661104 2053 42170 SH DEFINED 01 24850 0 17320
D ELECTRONIC DATA SYSTEMS CORP. COMMON 285661104 4906 100758 SH DEFINED 02 19750 0 81008
D ELECTRONIC DATA SYSTEMS CORP. COMMON 285661104 1383 28408 SH OTHER 01 812 27596 0
D ELECTRONICS FOR IMAGING, INC. COMMON 286082102 4278 109700 SH DEFINED 01 109700 0 0
D ELECTRONICS FOR IMAGING, INC. COMMON 286082102 1763 45200 SH DEFINED 02 40600 0 4600
D ELSEVIER N.V. SPONS. A/D/R COMMON 290259100 165 5500 SH DEFINED 05 500 0 5000
D ELSEVIER N.V. SPONS. A/D/R COMMON 290259100 473 15750 SH OTHER 01 0 15750 0
D EMBOTELLADORA ANDINA S.A. COMMON 29081P204 831 54700 SH DEFINED 54700 0 0
D EMERSON ELECTRIC CO. COMMON 291011104 2460 46465 SH DEFINED 05 13360 0 33105
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 74
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D EMERSON ELECTRIC CO. COMMON 291011104 249 4709 SH DEFINED 4709 0 0
D EMERSON ELECTRIC CO. COMMON 291011104 95694 1807659 SH DEFINED 01 1237000 0 570659
D EMERSON ELECTRIC CO. COMMON 291011104 132953 2511482 SH DEFINED 02 1453356 0 1058126
D EMERSON ELECTRIC CO. COMMON 291011104 95 1800 SH OTHER 05 1800 0 0
D EMERSON ELECTRIC CO. COMMON 291011104 929 17550 SH OTHER 09 17550 0 0
D EMERSON ELECTRIC CO. COMMON 291011104 4066 76813 SH OTHER 01 19268 57545 0
D EMERSON ELECTRIC CO. COMMON 291011104 529 10000 SH OTHER 0304 10000 0 0
D EMMIS BROADCASTING CORP. CL. " COMMON 291525103 85 1700 SH DEFINED 05 0 0 1700
D EMMIS BROADCASTING CORP. CL. " COMMON 291525103 10910 218200 SH DEFINED 01 178400 0 39800
D EMMIS BROADCASTING CORP. CL. " COMMON 291525103 6720 134400 SH DEFINED 02 104500 0 29900
D EMPRESA NACIONAL DE ELCTRCID A COMMON 29244T101 437 31100 SH DEFINED 31100 0 0
D ENERGEN CORP. COMMON 29265N108 1095 73300 SH DEFINED 02 3900 0 69400
D ENERGY EAST CORPORATION COMMON 29266M109 158 3000 SH DEFINED 01 3000 0 0
D ENERGY EAST CORPORATION COMMON 29266M109 888 16900 SH DEFINED 02 0 0 16900
D ENERSIS S.A. SPONS. A/D/R COMMON 29274F104 1056 39400 SH DEFINED 39400 0 0
D ENGELHARD CORP. COMMON 292845104 30 1772 SH DEFINED 1772 0 0
D ENGELHARD CORP. COMMON 292845104 2541 150000 SH DEFINED 01 49800 0 100200
D ENGELHARD CORP. COMMON 292845104 876 51700 SH DEFINED 02 5700 0 46000
D ENGELHARD CORP. COMMON 292845104 302 17839 SH OTHER 01 0 17839 0
D ENGINEERING ANIMATION, INC. COMMON 292872108 753 17870 SH DEFINED 17870 0 0
D ENGINEERING ANIMATION, INC. COMMON 292872108 63 1500 SH OTHER 01 0 1500 0
D ENDOCARDIAL SOLUTIONS, INC. COMMON 292962107 128 14200 SH DEFINED 02 12800 0 1400
D ENHANCE FINANCIAL SVCS GROUP, COMMON 293310108 5685 247187 SH DEFINED 01 247187 0 0
D ENHANCE FINANCIAL SVCS GROUP, COMMON 293310108 350 15200 SH DEFINED 02 0 0 15200
D ENNIS BUSINESS FORMS, INC. COMMON 293389102 141 17500 SH DEFINED 02 0 0 17500
D ENRON CORP. COMMON 293561106 679 10575 SH DEFINED 05 8380 0 2195
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 75
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D ENRON CORP. COMMON 293561106 6650 103503 SH DEFINED 103503 0 0
D ENRON CORP. COMMON 293561106 13766 214255 SH DEFINED 01 150275 0 63980
D ENRON CORP. COMMON 293561106 39608 616467 SH DEFINED 02 464800 0 151667
D ENRON CORP. COMMON 293561106 2947 45867 SH OTHER 01 11120 34747 0
D ENRON OIL & GAS CO. COMMON 293562104 132 7950 SH DEFINED 01 0 0 7950
D ENRON OIL & GAS CO. COMMON 293562104 1036 62300 SH DEFINED 02 0 0 62300
D ENTERCOM COMMUNICATIONS CORP COMMON 293639100 50 1400 SH DEFINED 05 0 0 1400
D ENTERCOM COMMUNICATIONS CORP COMMON 293639100 6990 197600 SH DEFINED 01 160300 0 37300
D ENTERCOM COMMUNICATIONS CORP COMMON 293639100 6859 193900 SH DEFINED 02 146100 0 47800
D ENTERGY CORP. COMMON 29364G103 15426 560942 SH DEFINED 560942 0 0
D ENTERGY CORP. COMMON 29364G103 22569 820700 SH DEFINED 01 592000 0 228700
D ENTERGY CORP. COMMON 29364G103 61832 2248424 SH DEFINED 02 1624424 0 624000
D ENTERGY CORP. COMMON 29364G103 316 11475 SH OTHER 01 5300 6175 0
D ENTERTAINMENT PPTYS TR COMMON 29380T105 604 35000 SH DEFINED 02 0 0 35000
D ENTRUST TECHNOLOGIES INC COMMON 293848107 57300 1697787 SH DEFINED 01 1697787 0 0
D ENZON, INC. COMMON 293904108 1239 84000 SH DEFINED 84000 0 0
D ENVIRONMENTAL TECHNOLOGIES C COMMON 293961108 75 100000 SH DEFINED 01 0 0 100000
D ENVOY CORP. COMMON 293982104 3784 84800 SH DEFINED 84800 0 0
D ENVOY CORP. COMMON 293982104 13 300 SH DEFINED 01 300 0 0
D ENVOY CORP. COMMON 293982104 120 2700 SH DEFINED 02 0 0 2700
D EQUANT NV-NY REGISTERED SHARE COMMON 294409107 5072 67400 SH DEFINED 01 67400 0 0
D EQUANT NV-NY REGISTERED SHARE COMMON 294409107 10076 133900 SH DEFINED 02 102200 0 31700
D EQUIFAX, INC. COMMON 294429105 62 1800 SH DEFINED 05 1800 0 0
D EQUIFAX, INC. COMMON 294429105 63 1830 SH DEFINED 1830 0 0
D EQUIFAX, INC. COMMON 294429105 43275 1258900 SH DEFINED 01 832200 0 426700
D EQUIFAX, INC. COMMON 294429105 76912 2237426 SH DEFINED 02 1452026 0 785400
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 76
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D EQUIFAX, INC. COMMON 294429105 168 4900 SH OTHER 01 2900 2000 0
D EQUITABLE COMPANIES, INC. COMMON 29444G107 18802 268600 SH DEFINED 01 194800 0 73800
D EQUITABLE COMPANIES, INC. COMMON 29444G107 37664 538052 SH DEFINED 02 303952 0 234100
D EQUITABLE COMPANIES, INC. COMMON 29444G107 42 600 SH OTHER 01 600 0 0
D EQUITY INNS, INC. COMMON 294703103 360 42400 SH DEFINED 02 0 0 42400
D EQUITY OFFICE PROPERTIES TRUST COMMON 294741103 12254 482903 SH DEFINED 01 462003 0 20900
D EQUITY OFFICE PROPERTIES TRUST COMMON 294741103 24290 957230 SH DEFINED 02 842493 0 114737
D EQUITY OFFICE PROPERTIES TRU PREF-CONV 294741509 4220 105000 SH DEFINED 02
D EQUITY RESIDENTIAL PROPERTIES COMMON 29476L107 598 14500 SH DEFINED 14500 0 0
D EQUITY RESIDENTIAL PROPERTIES COMMON 29476L107 11629 282402 SH DEFINED 01 274702 0 7700
D EQUITY RESIDENTIAL PROPERTIES COMMON 29476L107 15879 384951 SH DEFINED 02 330878 0 54073
D EQUITY RESIDENTIAL PPTYS TR PREF-CONV 29476L826 1222 47000 SH DEFINED 02 47000 0 0
D EQUITY RESIDENTIAL PROPS 7% 12 PREF-CONV 29476L883 6342 275000 SH DEFINED 02
D ERICSSON (L.M.) TELEPHONE CO. COMMON 294821400 44 1840 SH DEFINED 05 0 0 1840
D ERICSSON (L.M.) TELEPHONE CO. COMMON 294821400 176 7400 SH DEFINED 01 7400 0 0
D ERICSSON (L.M.) TELEPHONE CO. COMMON 294821400 105 4400 SH OTHER 05 0 4400 0
D ERICSSON (L.M.) TELEPHONE CO. COMMON 294821400 171 7200 SH OTHER 01 0 7200 0
D ESTERLINE TECHNOLOGIES CORP. COMMON 297425100 158 12200 SH DEFINED 02 8800 0 3400
D ETHAN ALLEN INTERIORS, INC. COMMON 297602104 607 14600 SH DEFINED 02 2800 0 11800
D EVEREN CAPITAL CORP COMMON 299761106 366 18700 SH DEFINED 01 18700 0 0
D EVEREN CAPITAL CORP COMMON 299761106 49 2500 SH DEFINED 02 2500 0 0
D EVEREST REINSURANCE HOLDINGS, COMMON 299808105 1569 50300 SH DEFINED 01 48900 0 1400
D EVEREST REINSURANCE HOLDINGS, COMMON 299808105 639 20500 SH DEFINED 02 2500 0 18000
D EVERGREEN RES INC COMMON 299900308 1098 54900 SH OTHER 01 27450 27450 0
D EXAR CORP. COMMON 300645108 39 2400 SH DEFINED 05 0 0 2400
D EXAR CORP. COMMON 300645108 5160 320000 SH DEFINED 01 261100 0 58900
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 77
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D EXAR CORP. COMMON 300645108 3437 213150 SH DEFINED 02 163900 0 49250
D EXCEL SWITCHING CORPORATION COMMON 30067V108 1898 90400 SH DEFINED 01 90400 0 0
D EXCEL SWITCHING CORPORATION COMMON 30067V108 1252 59600 SH DEFINED 02 58100 0 1500
D EXCHANGE APPLICATIONS COMMON 300867108 48 1900 SH DEFINED 05 0 0 1900
D EXCHANGE APPLICATIONS COMMON 300867108 4068 161900 SH DEFINED 01 114200 0 47700
D EXCHANGE APPLICATIONS COMMON 300867108 53 2100 SH DEFINED 02 0 0 2100
D EXCITE, INC. COMMON 300904109 1974 14100 SH DEFINED 14100 0 0
D EXCITE, INC. COMMON 300904109 637 4551 SH DEFINED 4551 0 0
D EXCITE, INC. COMMON 300904109 1539 10995 SH DEFINED 01 9948 0 1047
D EXCITE, INC. COMMON 300904109 910 6500 SH DEFINED 02 3700 0 2800
D EXCITE, INC. COMMON 300904109 419 2992 SH OTHER 01 2992 0 0
D EXECUTONE INFORMATION SYSTEMS, COMMON 301607107 94 25900 SH DEFINED 02 0 0 25900
D EXODUS COMMUNICATIONS, INC. COMMON 302088109 242 1800 SH DEFINED 05 0 0 1800
D EXODUS COMMUNICATIONS, INC. COMMON 302088109 30774 228800 SH DEFINED 01 183200 0 45600
D EXODUS COMMUNICATIONS, INC. COMMON 302088109 20242 150500 SH DEFINED 02 112900 0 37600
D EXPEDITORS INT'L OF WASHINGTON COMMON 302130109 648 12000 SH DEFINED 01 12000 0 0
D EXPEDITORS INT'L OF WASHINGTON COMMON 302130109 22 400 SH DEFINED 02 0 0 400
D EXPEDITORS INT'L OF WASHINGTON COMMON 302130109 216 4000 SH OTHER 01 0 4000 0
D EXPRESS SCRIPTS, INC. COMMON 302182100 309 3600 SH DEFINED 02 0 0 3600
D EXTENDED STAY AMERICA, INC. COMMON 30224P101 5487 538600 SH DEFINED 01 466700 0 71900
D EXTENDED STAY AMERICA, INC. COMMON 30224P101 10089 990254 SH DEFINED 02 762154 0 228100
D EXXON CORP. COMMON 302290101 30436 431331 SH DEFINED 05 315101 0 116230
D EXXON CORP. COMMON 302290101 5557 78759 SH DEFINED 78759 0 0
D EXXON CORP. COMMON 302290101 927887 13149764 SH DEFINED 01 4587135 0 8562629
D EXXON CORP. COMMON 302290101 629453 8920435 SH DEFINED 02 5877381 0 3043054
D EXXON CORP. COMMON 302290101 1128 15989 SH OTHER 05 7120 8869 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 78
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D EXXON CORP. COMMON 302290101 170819 2420800 SH OTHER 101112 0 2420800 0
D EXXON CORP. COMMON 302290101 2964 42000 SH OTHER 09 42000 0 0
D EXXON CORP. COMMON 302290101 196326 2782280 SH OTHER 01 1719837 1062443 0
D EXXON CORP. COMMON 302290101 1623 23000 SH OTHER 0304 23000 0 0
D EXXON CORP. COMMON 302290101 127013 1800000 SH DEFINED 1800000 0 0
D F & M NATIONAL CORP. COMMON 302374103 367 15300 SH DEFINED 02 0 0 15300
D FBL FINL GROUP INC COMMON 30239F106 82 4600 SH DEFINED 01 4600 0 0
D FBL FINL GROUP INC COMMON 30239F106 488 27500 SH DEFINED 02 27500 0 0
D FMC CORP. COMMON 302491303 889 18000 SH DEFINED 06 18000 0 0
D FMC CORP. COMMON 302491303 15 300 SH DEFINED 300 0 0
D FMC CORP. COMMON 302491303 968 19600 SH DEFINED 01 19600 0 0
D FMC CORP. COMMON 302491303 316 6400 SH DEFINED 02 1500 0 4900
D FNB FINANCIAL SERVICES CORPORA COMMON 302526108 6 400 SH DEFINED 05 0 0 400
D FNB FINANCIAL SERVICES CORPORA COMMON 302526108 1379 86200 SH DEFINED 01 59900 0 26300
D FNB FINANCIAL SERVICES CORPORA COMMON 302526108 14 900 SH DEFINED 02 0 0 900
D FPIC INS GROUP INC COMMON 302563101 257 6200 SH DEFINED 02 6200 0 0
D FPL GROUP, INC. COMMON 302571104 90 1687 SH DEFINED 05 187 0 1500
D FPL GROUP, INC. COMMON 302571104 117 2197 SH DEFINED 2197 0 0
D FPL GROUP, INC. COMMON 302571104 25859 485622 SH DEFINED 01 312572 0 173050
D FPL GROUP, INC. COMMON 302571104 21799 409370 SH DEFINED 02 213570 0 195800
D FPL GROUP, INC. COMMON 302571104 985 18500 SH OTHER 01 1200 17300 0
D FSI INTERTIONAL, INC. COMMON 302633102 7 1100 SH DEFINED 05 0 0 1100
D FSI INTERTIONAL, INC. COMMON 302633102 596 99300 SH DEFINED 01 69200 0 30100
D FSI INTERTIONAL, INC. COMMON 302633102 14 2300 SH DEFINED 02 0 0 2300
D FAB INDUSTRIES, INC. COMMON 302747100 569 37600 SH DEFINED 02 0 0 37600
D FAIRFIELD COMMUNITIES, INC. COMMON 304231301 24 2700 SH DEFINED 01 2700 0 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 79
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D FAIRFIELD COMMUNITIES, INC. COMMON 304231301 172 19200 SH DEFINED 02 0 0 19200
D FANTOM TECHNOLOGIES INC. COMMON 306906108 101 10000 SH OTHER 01 10000 0 0
D FAMILY DOLLAR STORES, INC. COMMON 307000109 1785 77600 SH DEFINED 01 77600 0 0
D FAMILY DOLLAR STORES, INC. COMMON 307000109 692 30100 SH DEFINED 02 5800 0 24300
D FAMILY GOLF CENTERS INC. 5.75% BOND 30701AAA4 3051 3250000 PRN DEFINED 02
D FAMILY GOLF CTRS INC COMMON 30701A106 234 31500 SH DEFINED 01 31500 0 0
D FAMILY GOLF CTRS INC COMMON 30701A106 200 26950 SH DEFINED 02 13600 0 13350
D FARMER BROTHERS CO. COMMON 307675108 61 300 SH DEFINED 01 0 0 300
D FARMER BROTHERS CO. COMMON 307675108 589 2900 SH DEFINED 02 0 0 2900
D FASTENAL CO. COMMON 311900104 189 5400 SH DEFINED 01 5400 0 0
D FASTENAL CO. COMMON 311900104 1119 31900 SH DEFINED 02 500 0 31400
D FDX CORPORATION COMMON 31304N107 179 1929 SH DEFINED 1929 0 0
D FDX CORPORATION COMMON 31304N107 37 400 SH DEFINED 01 0 0 400
D FDX CORPORATION COMMON 31304N107 670 7206 SH DEFINED 02 2406 0 4800
D FEDERAL HOME LOAN MORTGAGE COR COMMON 313400301 106 1850 SH DEFINED 05 0 0 1850
D FEDERAL HOME LOAN MORTGAGE COR COMMON 313400301 1169 20400 SH DEFINED 20400 0 0
D FEDERAL HOME LOAN MORTGAGE COR COMMON 313400301 495 8634 SH DEFINED 8634 0 0
D FEDERAL HOME LOAN MORTGAGE COR COMMON 313400301 15366 268100 SH DEFINED 01 239400 0 28700
D FEDERAL HOME LOAN MORTGAGE COR COMMON 313400301 4440 77470 SH DEFINED 02 46270 0 31200
D FEDERAL HOME LOAN MORTGAGE COR COMMON 313400301 2293 40000 SH OTHER 101112 0 40000 0
D FEDERAL HOME LOAN MORTGAGE COR COMMON 313400301 16392 286000 SH OTHER 01 0 286000 0
D FEDERAL MOGUL CORP. COMMON 313549107 3617 84600 SH DEFINED 01 84600 0 0
D FEDERAL MOGUL CORP. COMMON 313549107 2150 50300 SH DEFINED 02 26100 0 24200
D FEDERAL NAT'L MORTGAGE ASSOCIA COMMON 313586109 3372 48700 SH DEFINED 05 15300 0 33400
D FEDERAL NAT'L MORTGAGE ASSOCIA COMMON 313586109 773 11162 SH DEFINED 11162 0 0
D FEDERAL NAT'L MORTGAGE ASSOCIA COMMON 313586109 128774 1859551 SH DEFINED 01 894960 0 964591
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 80
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D FEDERAL NAT'L MORTGAGE ASSOCIA COMMON 313586109 150990 2180365 SH DEFINED 02 1257015 0 923350
D FEDERAL NAT'L MORTGAGE ASSOCIA COMMON 313586109 810 11700 SH OTHER 09 11700 0 0
D FEDERAL NAT'L MORTGAGE ASSOCIA COMMON 313586109 19808 286038 SH OTHER 01 34775 251263 0
D FEDERAL NAT'L MORTGAGE ASSOCIA COMMON 313586109 2078 30000 SH OTHER 0304 30000 0 0
D FEDERAL REALTY INVESTMENT TR. COMMON 313747206 3827 180600 SH DEFINED 01 180600 0 0
D FEDERAL REALTY INVESTMENT TR. COMMON 313747206 7702 363500 SH DEFINED 02 323000 0 40500
D FEDERATED DEPARTMENT STORES, I COMMON 31410H101 64 1600 SH DEFINED 05 1600 0 0
D FEDERATED DEPARTMENT STORES, I COMMON 31410H101 2105 52457 SH DEFINED 52457 0 0
D FEDERATED DEPARTMENT STORES, I COMMON 31410H101 97989 2442098 SH DEFINED 01 1567385 0 874713
D FEDERATED DEPARTMENT STORES, I COMMON 31410H101 237704 5924088 SH DEFINED 02 4524138 0 1399950
D FEDERATED DEPARTMENT STORES, I COMMON 31410H101 1241 30925 SH OTHER 09 30925 0 0
D FEDERATED DEPARTMENT STORES, I COMMON 31410H101 3219 80228 SH OTHER 01 47950 32278 0
D FELCOR LODGING TRUST INC COMMON 31430F101 7077 305400 SH DEFINED 01 300500 0 4900
D FELCOR LODGING TRUST INC COMMON 31430F101 8389 361800 SH DEFINED 02 320800 0 41000
D FELCOR LODGING TRUST INC $1.95 PREF-CONV 31430F200 2324 110000 SH DEFINED 02
D FIDELITY NATIONAL FINANCIAL, I COMMON 316326107 45 3000 SH DEFINED 01 3000 0 0
D FIDELITY NATIONAL FINANCIAL, I COMMON 316326107 254 16932 SH DEFINED 02 0 0 16932
D FIFTH THIRD BANCORP COMMON 316773100 396 6000 SH DEFINED 05 6000 0 0
D FIFTH THIRD BANCORP COMMON 316773100 201 3041 SH DEFINED 3041 0 0
D FIFTH THIRD BANCORP COMMON 316773100 4124 62550 SH DEFINED 01 62550 0 0
D FIFTH THIRD BANCORP COMMON 316773100 6654 100912 SH OTHER 01 0 100912 0
D FILENET CORP. COMMON 316869106 240 34327 SH DEFINED 01 2900 0 31427
D FILENET CORP. COMMON 316869106 64 9100 SH DEFINED 02 0 0 9100
D FINANCIAL FEDERAL CORP. COMMON 317492106 127 6700 SH DEFINED 05 0 0 6700
D FINANCIAL FEDERAL CORP. COMMON 317492106 10614 558650 SH DEFINED 01 416650 0 142000
D FINANCIAL FEDERAL CORP. COMMON 317492106 135 7100 SH DEFINED 02 0 0 7100
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 81
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D FINANCIAL SECURITY ASSURN HLDG COMMON 31769P100 12014 242102 SH DEFINED 01 201490 0 40612
D FINANCIAL SECURITY ASSURN HLDG COMMON 31769P100 21101 425200 SH DEFINED 02 293100 0 132100
D FINANCIAL SECURITY ASSURN HLDG COMMON 31769P100 1553 31300 SH OTHER 09 31300 0 0
D FINANCIAL SECURITY ASSURN HLDG COMMON 31769P100 8517 171628 SH OTHER 01 6750 164878 0
D FINISH LINE, INC. CLASS "A" COMMON 317923100 1147 89100 SH DEFINED 01 89100 0 0
D FINISH LINE, INC. CLASS "A" COMMON 317923100 3653 283700 SH DEFINED 02 190000 0 93700
D FINISH LINE, INC. CLASS "A" COMMON 317923100 193 15000 SH OTHER 01 0 15000 0
D FINOVA GROUP, INC. COMMON 317928109 21 400 SH DEFINED 05 400 0 0
D FINOVA GROUP, INC. COMMON 317928109 13596 262092 SH DEFINED 01 181500 0 80592
D FINOVA GROUP, INC. COMMON 317928109 33690 649438 SH DEFINED 02 474138 0 175300
D FINOVA GROUP, INC. COMMON 317928109 21 400 SH OTHER 01 400 0 0
D FINOVA FIN TR PREF-CONV 31808E207 3600 50000 SH DEFINED 02
D FIRST AMERICAN FINANCIAL CORP. COMMON 318522307 1490 94200 SH DEFINED 01 94200 0 0
D FIRST AMERICAN FINANCIAL CORP. COMMON 318522307 1384 87496 SH DEFINED 02 33000 0 54496
D FIRSTBANK CORPORATION COMMON 318672102 356 14800 SH DEFINED 02 0 0 14800
D FIRST AMERICAN CORP. TN COMMON 318900107 7871 213460 SH DEFINED 01 148500 0 64960
D FIRST AMERICAN CORP. TN COMMON 318900107 10914 295969 SH DEFINED 02 153230 0 142739
D FIRST AMERICAN CORP. TN COMMON 318900107 26 700 SH OTHER 01 700 0 0
D FIRST CITIZENS BANCSHARES, INC COMMON 31946M103 1774 21900 SH DEFINED 02 0 0 21900
D FIRST COMMONWEALTH FINANCIAL C COMMON 319829107 194 9107 SH DEFINED 05 9107 0 0
D FIRST COMMONWEALTH FINANCIAL C COMMON 319829107 141 6612 SH DEFINED 01 6612 0 0
D FIRST DATA CORP. COMMON 319963104 265 6204 SH DEFINED 05 6204 0 0
D FIRST DATA CORP. COMMON 319963104 200 4687 SH DEFINED 4687 0 0
D FIRST DATA CORP. COMMON 319963104 40289 942423 SH DEFINED 01 664207 0 278216
D FIRST DATA CORP. COMMON 319963104 60644 1418566 SH DEFINED 02 854586 0 563980
D FIRST DATA CORP. COMMON 319963104 4084 95542 SH OTHER 01 7800 87742 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 82
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D FIRST INDUSTRIAL REALTY TRUST, COMMON 32054K103 551 23010 SH DEFINED 23010 0 0
D FIRST INTERNATIONAL BANCORP, I COMMON 32054Q100 253 26600 SH DEFINED 01 26600 0 0
D FIRST INTERNATIONAL BANCORP, I COMMON 32054Q100 219 23000 SH DEFINED 02 23000 0 0
D FIRST MIDWEST BANCORP, INC. (D COMMON 320867104 346 9100 SH DEFINED 01 9100 0 0
D FIRST MIDWEST BANCORP, INC. (D COMMON 320867104 578 15212 SH DEFINED 02 4500 0 10712
D FIRST HEALTH GROUP CORP. COMMON 320960107 164 10200 SH DEFINED 02 0 0 10200
D FIRST SIERRA FINANCIAL INC COMMON 335944104 201 22300 SH DEFINED 01 22300 0 0
D FIRST SIERRA FINANCIAL INC COMMON 335944104 167 18600 SH DEFINED 02 18600 0 0
D FIRST TENNESSEE NATIONAL CORP. COMMON 337162101 1377 37600 SH DEFINED 05 13000 0 24600
D FIRST TENNESSEE NATIONAL CORP. COMMON 337162101 1283 35040 SH DEFINED 01 11640 0 23400
D FIRST TENNESSEE NATIONAL CORP. COMMON 337162101 125 3400 SH OTHER 05 1400 2000 0
D FIRST TENNESSEE NATIONAL CORP. COMMON 337162101 908 24800 SH OTHER 01 19600 5200 0
D FIRST UNION CORP. COMMON 337358105 6212 116242 SH DEFINED 05 58614 0 57628
D FIRST UNION CORP. COMMON 337358105 32889 615464 SH DEFINED 615464 0 0
D FIRST UNION CORP. COMMON 337358105 236711 4429643 SH DEFINED 01 2790760 0 1638883
D FIRST UNION CORP. COMMON 337358105 537420 10056890 SH DEFINED 02 7191244 0 2865646
D FIRST UNION CORP. COMMON 337358105 678 12684 SH OTHER 05 4000 8684 0
D FIRST UNION CORP. COMMON 337358105 2101 39325 SH OTHER 09 39325 0 0
D FIRST UNION CORP. COMMON 337358105 13298 248857 SH OTHER 01 134390 114467 0
D FIRST UNION CORP. COMMON 337358105 1630 30500 SH OTHER 0304 30500 0 0
D FIRST VIRGINIA BANKS, INC. COMMON 337477103 2545 55700 SH DEFINED 01 34400 0 21300
D FIRST VIRGINIA BANKS, INC. COMMON 337477103 1564 34234 SH DEFINED 02 16034 0 18200
D FIRST VIRGINIA BANKS, INC. COMMON 337477103 497 10875 SH OTHER 01 750 10125 0
D FIRST WASHINGTON RLTY 9.75% CV PREF-CONV 337489603 5737 211500 SH DEFINED 01
D FIRST WESTERN BANCORP, INC. COMMON 337505101 381 12100 SH DEFINED 02 0 0 12100
D FIRSTAR CORPORATION COMMON 33763V109 306 3420 SH DEFINED 05 380 0 3040
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 83
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D FIRSTAR CORPORATION COMMON 33763V109 233 2607 SH DEFINED 2607 0 0
D FIRSTAR CORPORATION COMMON 33763V109 6547 73153 SH DEFINED 01 35197 0 37956
D FIRSTAR CORPORATION COMMON 33763V109 734 8203 SH DEFINED 02 3400 0 4803
D FIRSTAR CORPORATION COMMON 33763V109 401 4484 SH OTHER 01 532 3952 0
D FISERV, INC. COMMON 337738108 713 13300 SH DEFINED 02 0 0 13300
D FIRSTFED FINANCIAL CORPORATION COMMON 337907109 4811 299500 SH DEFINED 01 299500 0 0
D FIRSTFED FINANCIAL CORPORATION COMMON 337907109 7493 466500 SH DEFINED 02 387300 0 79200
D FIRSTMERIT CORP. COMMON 337915102 2562 99500 SH DEFINED 01 52000 0 47500
D FIRSTMERIT CORP. COMMON 337915102 3715 144266 SH DEFINED 02 56166 0 88100
D FIRSTMERIT CORP. COMMON 337915102 3 100 SH OTHER 01 100 0 0
D FLAGSTAR BANCORP, INC. COMMON 337930101 4346 164000 SH DEFINED 01 164000 0 0
D FLAGSTAR BANCORP, INC. COMMON 337930101 8098 305600 SH DEFINED 02 257200 0 48400
D FIRSTENERGY CORP. COMMON 337932107 12063 430837 SH DEFINED 430837 0 0
D FIRSTENERGY CORP. COMMON 337932107 137 4900 SH DEFINED 01 500 0 4400
D FIRSTENERGY CORP. COMMON 337932107 1537 54900 SH DEFINED 02 0 0 54900
D FLEET FINANCIAL GROUP, INC. COMMON 338915101 1919 51000 SH DEFINED 06 51000 0 0
D FLEET FINANCIAL GROUP, INC. COMMON 338915101 77 2048 SH DEFINED 05 2048 0 0
D FLEET FINANCIAL GROUP, INC. COMMON 338915101 235 6234 SH DEFINED 6234 0 0
D FLEET FINANCIAL GROUP, INC. COMMON 338915101 29804 792122 SH DEFINED 01 361484 0 430638
D FLEET FINANCIAL GROUP, INC. COMMON 338915101 9760 259406 SH DEFINED 02 73580 0 185826
D FLEET FINANCIAL GROUP, INC. COMMON 338915101 11080 294487 SH OTHER 01 77648 216839 0
D FLEET FIN'L GROUP - WTS. EXP 1 WARRANT 338915119 202 5768 SH DEFINED 02
D FLEET FIN'L GROUP - WTS. EXP 1 WARRANT 338915119 1 28 SH OTHER 01
D FLEXIINTERNATIONAL SOFTWARE COMMON 338923105 249 233904 SH DEFINED 233904 0 0
D FLEMING COMPANIES, INC. COMMON 339130106 1010 117900 SH DEFINED 01 117900 0 0
D FLEMING COMPANIES, INC. COMMON 339130106 260 30400 SH DEFINED 02 30400 0 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 84
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D FLORIDA EAST COAST INDUSTRIES COMMON 340632108 1647 55000 SH DEFINED 01 52000 0 3000
D FLORIDA EAST COAST INDUSTRIES COMMON 340632108 647 21600 SH DEFINED 02 0 0 21600
D FLORIDA EAST COAST INDUSTRIES COMMON 340632108 551 18400 SH OTHER 01 0 18400 0
D FLORIDA PANTHERS HOLDINGS, INC COMMON 341064103 1033 133300 SH DEFINED 01 133300 0 0
D FLORIDA PANTHERS HOLDINGS, INC COMMON 341064103 2162 279000 SH DEFINED 02 222200 0 56800
D FLORIDA PROGRESS CORP. COMMON 341109106 113 3000 SH DEFINED 01 3000 0 0
D FLORIDA PROGRESS CORP. COMMON 341109106 1023 27100 SH DEFINED 02 0 0 27100
D FLORIDA PROGRESS CORP. COMMON 341109106 340 9000 SH OTHER 01 0 9000 0
D FLORIDA ROCK INDUSTRIES, INC. COMMON 341140101 0 3 SH DEFINED 3 0 0
D FLORIDA ROCK INDUSTRIES, INC. COMMON 341140101 113 3300 SH DEFINED 01 3300 0 0
D FLORIDA ROCK INDUSTRIES, INC. COMMON 341140101 1703 49900 SH DEFINED 02 16000 0 33900
D FLORSHEIM SHOE CO. COMMON 343302105 213 38666 SH DEFINED 01 0 0 38666
D FLOW INTERNATIONAL CORP. COMMON 343468104 108 10900 SH DEFINED 02 0 0 10900
D FLOWSERVE CORPORATION COMMON 34354P105 129 8300 SH DEFINED 02 4100 0 4200
D FLOWSERVE CORPORATION COMMON 34354P105 86 5546 SH OTHER 01 0 5546 0
D FLUOR CORP. COMMON 343861100 28 1045 SH DEFINED 1045 0 0
D FLUOR CORP. COMMON 343861100 486 18000 SH OTHER 01 0 18000 0
D FLUSHING FINANCIAL CORP. COMMON 343873105 93 6538 SH DEFINED 01 6538 0 0
D FLUSHING FINANCIAL CORP. COMMON 343873105 12928 907219 SH OTHER 01 0 907219 0
D FOCAL, INC. COMMON 343909107 209 29800 SH DEFINED 01 29800 0 0
D FOCAL, INC. COMMON 343909107 608 86900 SH DEFINED 02 66300 0 20600
D FOAMEX INTERNATIONAL, INC. COMMON 344123104 3 588 SH DEFINED 588 0 0
D FOAMEX INTERNATIONAL, INC. COMMON 344123104 109 19400 SH DEFINED 02 0 0 19400
D FOAMEX INTERNATIONAL, INC. COMMON 344123104 51 9000 SH OTHER 01 0 9000 0
D FOMENTO ECONOMICO MEXICANO, SA COMMON 344419106 10254 331434 SH DEFINED 331434 0 0
D FOOD LION, INC. CL. "B" COMMON 344775101 486 54000 SH DEFINED 01 0 0 54000
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 85
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D FOOD LION, INC. CL. "A" COMMON 344775200 497 54000 SH DEFINED 01 0 0 54000
D FOOD LION, INC. CL. "A" COMMON 344775200 1665 180900 SH DEFINED 02 0 0 180900
D FOODMAKER, INC. COMMON 344839204 13 500 SH DEFINED 05 0 0 500
D FOODMAKER, INC. COMMON 344839204 1161 45540 SH DEFINED 01 32300 0 13240
D FOODMAKER, INC. COMMON 344839204 717 28100 SH DEFINED 02 0 0 28100
D FOOTSTAR INC COMMON 344912100 83 2591 SH DEFINED 01 2591 0 0
D FOOTSTAR INC COMMON 344912100 483 15100 SH DEFINED 02 15100 0 0
D FOOTSTAR INC COMMON 344912100 92 2868 SH OTHER 01 2663 205 0
D FORCENERGY, INC. COMMON 345206106 0 1100 SH DEFINED 01 1100 0 0
D FORCENERGY, INC. COMMON 345206106 0 26000 SH DEFINED 02 0 0 26000
D FORD MOTOR CO. COMMON 345370100 2822 49784 SH DEFINED 05 24117 0 25667
D FORD MOTOR CO. COMMON 345370100 767 13535 SH DEFINED 13535 0 0
D FORD MOTOR CO. COMMON 345370100 89399 1577028 SH DEFINED 01 1082775 0 494253
D FORD MOTOR CO. COMMON 345370100 147016 2593428 SH DEFINED 02 1762828 0 830600
D FORD MOTOR CO. COMMON 345370100 300 5300 SH OTHER 05 5300 0 0
D FORD MOTOR CO. COMMON 345370100 5182 91413 SH OTHER 01 19691 71722 0
D FORE SYSTEMS, INC. COMMON 345449102 919 48600 SH DEFINED 01 48600 0 0
D FORE SYSTEMS, INC. COMMON 345449102 495 26200 SH DEFINED 02 5600 0 20600
D FOREST CITY ENTERPRISES, INC. COMMON 345550107 685 28300 SH DEFINED 02 0 0 28300
D FOREST LABORATORIES, INC. COMMON 345838106 45 800 SH DEFINED 05 600 0 200
D FOREST LABORATORIES, INC. COMMON 345838106 149145 2645582 SH DEFINED 01 1553855 0 1091727
D FOREST LABORATORIES, INC. COMMON 345838106 424932 7537600 SH DEFINED 02 5744230 0 1793370
D FOREST LABORATORIES, INC. COMMON 345838106 1533 27200 SH OTHER 09 27200 0 0
D FOREST LABORATORIES, INC. COMMON 345838106 1172 20785 SH OTHER 01 9070 11715 0
D FORT JAMES CORPORATION COMMON 347471104 364 11489 SH DEFINED 05 11489 0 0
D FORT JAMES CORPORATION COMMON 347471104 82 2602 SH DEFINED 2602 0 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 86
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D FORT JAMES CORPORATION COMMON 347471104 190902 6024419 SH DEFINED 01 5837030 0 187389
D FORT JAMES CORPORATION COMMON 347471104 25437 802740 SH DEFINED 02 499540 0 303200
D FORT JAMES CORPORATION COMMON 347471104 54 1700 SH OTHER 01 1700 0 0
D FORTUNE BRANDS, INC. COMMON 349631101 235 6100 SH DEFINED 05 0 0 6100
D FORTUNE BRANDS, INC. COMMON 349631101 81 2095 SH DEFINED 2095 0 0
D FORTUNE BRANDS, INC. COMMON 349631101 200 5204 SH DEFINED 01 0 0 5204
D FORTUNE BRANDS, INC. COMMON 349631101 2379 61800 SH DEFINED 02 0 0 61800
D FORTUNE BRANDS, INC. COMMON 349631101 123 3200 SH OTHER 01 0 3200 0
D FOSTER WHEELER CORP. COMMON 350244109 5 400 SH DEFINED 400 0 0
D FOSTER WHEELER CORP. COMMON 350244109 119 9800 SH DEFINED 02 0 0 9800
D FOUNDATION HEALTH SYS INC COMMON 350404109 1214 99600 SH DEFINED 01 99600 0 0
D FOUNDATION HEALTH SYS INC COMMON 350404109 440 36100 SH DEFINED 02 7200 0 28900
D FOUR SEASONS HOTEL, INC. COMMON 35100E104 906 21700 SH DEFINED 01 21700 0 0
D FOUR SEASONS HOTEL, INC. COMMON 35100E104 455 10900 SH DEFINED 02 10900 0 0
D FOX ENTERTAINMENT GROUP, INC. COMMON 35138T107 27 1000 SH DEFINED 01 0 0 1000
D FOX ENTERTAINMENT GROUP, INC. COMMON 35138T107 266 9800 SH DEFINED 02 0 0 9800
D FRANCHISE FINANCE CORP. OF AME COMMON 351807102 1375 65300 SH DEFINED 01 65300 0 0
D FRANCHISE FINANCE CORP. OF AME COMMON 351807102 2959 140500 SH DEFINED 02 113600 0 26900
D FRANKLIN COVEY CO. COMMON 353469109 108 12000 SH DEFINED 02 6100 0 5900
D FRANKLIN RESOURCES, INC. COMMON 354613101 84 2978 SH DEFINED 2978 0 0
D FRANKLIN RESOURCES, INC. COMMON 354613101 13742 488600 SH DEFINED 01 348300 0 140300
D FRANKLIN RESOURCES, INC. COMMON 354613101 18337 651990 SH DEFINED 02 379590 0 272400
D FRANKLIN RESOURCES, INC. COMMON 354613101 42 1500 SH OTHER 01 1500 0 0
D FREEDOM SECURITIES CORPORATION COMMON 35644K103 271 17000 SH DEFINED 01 17000 0 0
D FREEDOM SECURITIES CORPORATION COMMON 35644K103 40 2500 SH DEFINED 02 2500 0 0
D FREEPORT-MCMORAN COPPER & GOLD COMMON 35671D105 2057 200700 SH DEFINED 01 60000 0 140700
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 87
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D FREEPORT-MCMORAN COPPER & GOLD COMMON 35671D105 5352 522100 SH DEFINED 02 316100 0 206000
D FREEPORT-MCMORAN COPPER 5% CV. PREF-CONV 35671D501 3175 200000 SH DEFINED 01
D FREEPORT-MCMORAN COPPER 5% CV. PREF-CONV 35671D501 11975 754300 SH DEFINED 02
D FREEPORT-MCMORAN COPPER & GOLD COMMON 35671D857 23 2150 SH DEFINED 2150 0 0
D FREEPORT-MCMORAN COPPER & GOLD COMMON 35671D857 3443 316600 SH DEFINED 01 298400 0 18200
D FREEPORT-MCMORAN COPPER & GOLD COMMON 35671D857 5623 517100 SH DEFINED 02 409400 0 107700
D FREEPORT-MCMORAN COPPER & GOLD COMMON 35671D857 1249 114846 SH OTHER 01 0 114846 0
D FREMONT GENERAL CORP. COMMON 357288109 4480 235000 SH DEFINED 01 185100 0 49900
D FREMONT GENERAL CORP. COMMON 357288109 12650 663594 SH DEFINED 02 469760 0 193834
D FREMONT GENERAL CORP. COMMON 357288109 15 800 SH OTHER 01 800 0 0
D FRESENIUS MED CARE AG COMMON 358029106 587 29069 SH DEFINED 01 0 0 29069
D FRONTIER CORP. COMMON 35906P105 1323 25500 SH DEFINED 25500 0 0
D FRONTIER CORP. COMMON 35906P105 108 2089 SH DEFINED 2089 0 0
D FRONTIER CORP. COMMON 35906P105 23339 449915 SH DEFINED 01 330540 0 119375
D FRONTIER CORP. COMMON 35906P105 79299 1528658 SH DEFINED 02 1087558 0 441100
D FRONTIER CORP. COMMON 35906P105 183 3525 SH OTHER 01 1325 2200 0
D FRONTIER INSURANCE GROUP, INC. COMMON 359081106 199 16770 SH DEFINED 02 0 0 16770
D FUISZ TECHNOLOGIES LTD. COMMON 359536109 190 29000 SH DEFINED 02 0 0 29000
D FUND AMERICAN COMPANIES, INC. COMMON 360768105 798 6000 SH DEFINED 01 0 0 6000
D FUND AMERICAN COMPANIES, INC. COMMON 360768105 1623 12200 SH DEFINED 02 0 0 12200
D FURNITURE BRANDS INTERNATIONAL COMMON 360921100 20 900 SH DEFINED 05 0 0 900
D FURNITURE BRANDS INTERNATIONAL COMMON 360921100 15152 684843 SH DEFINED 01 584343 0 100500
D FURNITURE BRANDS INTERNATIONAL COMMON 360921100 10319 466400 SH DEFINED 02 292600 0 173800
D FURNITURE BRANDS INTERNATIONAL COMMON 360921100 15 700 SH OTHER 01 700 0 0
D FURON CO. COMMON 361106107 130 10300 SH DEFINED 02 0 0 10300
D G & K SERVICES, INC. COMMON 361268105 596 12900 SH DEFINED 02 0 0 12900
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 88
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D GATX CORP. COMMON 361448103 1341 40700 SH DEFINED 01 40700 0 0
D GATX CORP. COMMON 361448103 955 29000 SH DEFINED 02 15100 0 13900
D GATX CORP. COMMON 361448103 296 9000 SH OTHER 01 0 9000 0
D GBC BANCORP (CA) COMMON 361475106 2972 198100 SH DEFINED 01 198100 0 0
D GBC BANCORP (CA) COMMON 361475106 5492 366100 SH DEFINED 02 250800 0 115300
D GST TELECOMMUNICATIONS INC COMMON 361942105 1969 180000 SH DEFINED 01 180000 0 0
D GP STRATEGIES CORP COMMON 36225V104 3550 200000 SH DEFINED 01 0 0 200000
D GPU, INC. COMMON 36225X100 61 1625 SH DEFINED 1625 0 0
D GPU, INC. COMMON 36225X100 195 5225 SH DEFINED 01 4425 0 800
D GPU, INC. COMMON 36225X100 1235 33100 SH DEFINED 02 7500 0 25600
D GTE CORP. COMMON 362320103 1960 32400 SH DEFINED 06 32400 0 0
D GTE CORP. COMMON 362320103 5723 94600 SH DEFINED 05 41800 0 52800
D GTE CORP. COMMON 362320103 146854 2427337 SH DEFINED 2427337 0 0
D GTE CORP. COMMON 362320103 328598 5431372 SH DEFINED 01 3526907 0 1904465
D GTE CORP. COMMON 362320103 766900 12676041 SH DEFINED 02 9395663 0 3280378
D GTE CORP. COMMON 362320103 696 11500 SH OTHER 05 5300 6200 0
D GTE CORP. COMMON 362320103 2512 41525 SH OTHER 09 41525 0 0
D GTE CORP. COMMON 362320103 16011 264652 SH OTHER 01 97361 167291 0
D GTE CORP. COMMON 362320103 3933 65000 SH OTHER 0304 65000 0 0
D GT INTERACTIVE SOFTWARE CORP. COMMON 36236E109 101 21800 SH DEFINED 02 0 0 21800
D GABELLI ASSET MGMT INC COMMON 36239Y102 30 1900 SH DEFINED 05 0 0 1900
D GABELLI ASSET MGMT INC COMMON 36239Y102 4305 276600 SH DEFINED 01 227300 0 49300
D GABELLI ASSET MGMT INC COMMON 36239Y102 4443 285500 SH DEFINED 02 217000 0 68500
D GABLES RESIDENTIAL TRUST S/B/I COMMON 362418105 2494 113700 SH DEFINED 01 113700 0 0
D GABLES RESIDENTIAL TRUST S/B/I COMMON 362418105 3440 156800 SH DEFINED 02 144100 0 12700
D GALEY & LORD, INC. COMMON 36352K103 83 18700 SH DEFINED 01 18700 0 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 89
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D GALEY & LORD, INC. COMMON 36352K103 82 18500 SH DEFINED 02 11100 0 7400
D GALILEO INTERNATIONAL, INC. COMMON 363547100 1040 21500 SH DEFINED 02 0 0 21500
D GALLAGHER (ARTHUR J.) & CO. COMMON 363576109 405 8800 SH DEFINED 02 0 0 8800
D GANNETT, INC. COMMON 364730101 447 7100 SH DEFINED 05 7100 0 0
D GANNETT, INC. COMMON 364730101 195 3093 SH DEFINED 3093 0 0
D GANNETT, INC. COMMON 364730101 95584 1517204 SH DEFINED 01 1084530 0 432674
D GANNETT, INC. COMMON 364730101 144200 2288892 SH DEFINED 02 1483360 0 805532
D GANNETT, INC. COMMON 364730101 10722 170198 SH OTHER 01 58214 111984 0
D GAP, INC. COMMON 364760108 71 1053 SH DEFINED 05 750 0 303
D GAP, INC. COMMON 364760108 416 6173 SH DEFINED 6173 0 0
D GAP, INC. COMMON 364760108 88797 1319165 SH DEFINED 01 726615 0 592550
D GAP, INC. COMMON 364760108 47304 702749 SH DEFINED 02 337649 0 365100
D GAP, INC. COMMON 364760108 8922 132550 SH OTHER 01 72500 60050 0
D GARDEN RIDGE CORP. COMMON 36541P104 1412 207300 SH DEFINED 01 207300 0 0
D GARDEN RIDGE CORP. COMMON 36541P104 525 77100 SH DEFINED 02 76400 0 700
D GARDNER DENVER MACHINERY, INC. COMMON 365558105 289 18200 SH DEFINED 01 18200 0 0
D GARDNER DENVER MACHINERY, INC. COMMON 365558105 256 16100 SH DEFINED 02 11600 0 4500
D GASONICS INTERNATIONAL CORP. COMMON 367278108 22 2000 SH DEFINED 05 0 0 2000
D GASONICS INTERNATIONAL CORP. COMMON 367278108 1865 169500 SH DEFINED 01 120200 0 49300
D GASONICS INTERNATIONAL CORP. COMMON 367278108 24 2200 SH DEFINED 02 0 0 2200
D GATEWAY 2000, INC. COMMON 367833100 133 1942 SH DEFINED 1942 0 0
D GATEWAY 2000, INC. COMMON 367833100 15718 229250 SH DEFINED 01 179050 0 50200
D GATEWAY 2000, INC. COMMON 367833100 18313 267100 SH DEFINED 02 158200 0 108900
D GATEWAY 2000, INC. COMMON 367833100 27 400 SH OTHER 01 400 0 0
D GAYLORD CONTAINER CORP. CLASS COMMON 368145108 932 124200 SH DEFINED 01 124200 0 0
D GAYLORD CONTAINER CORP. CLASS COMMON 368145108 1997 266200 SH DEFINED 02 198900 0 67300
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 90
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D GELTEX PHARMACEUTICALS, INC. COMMON 368538104 900 64000 SH DEFINED 64000 0 0
D GELTEX PHARMACEUTICALS, INC. COMMON 368538104 17 1200 SH DEFINED 02 0 0 1200
D GENCORP, INC. COMMON 368682100 50 2800 SH DEFINED 01 2800 0 0
D GENCORP, INC. COMMON 368682100 553 30700 SH DEFINED 02 11900 0 18800
D GENE LOGIC INC COMMON 368689105 137 28038 SH OTHER 01 0 28038 0
D GENENTECH, INC. - SPECIAL COMM COMMON 368710307 399 4500 SH DEFINED 4500 0 0
D GENENTECH, INC. - SPECIAL COMM COMMON 368710307 89 1000 SH DEFINED 01 0 0 1000
D GENENTECH, INC. - SPECIAL COMM COMMON 368710307 3288 37100 SH DEFINED 02 0 0 37100
D GENENTECH, INC. - SPECIAL COMM COMMON 368710307 222 2500 SH OTHER 01 0 2500 0
D GENER S A COMMON 368731105 437 23800 SH DEFINED 23800 0 0
D GENERAL CABLE CORP COMMON 369300108 83 7900 SH DEFINED 01 7900 0 0
D GENERAL CABLE CORP COMMON 369300108 54 5100 SH DEFINED 02 3200 0 1900
D GENERAL CIGAR HOLDINGS, INC. C COMMON 36933P100 441 47400 SH DEFINED 02 0 0 47400
D GENERAL CHEMICAL GROUP, INC. COMMON 369332101 50 3800 SH DEFINED 05 0 0 3800
D GENERAL CHEMICAL GROUP, INC. COMMON 369332101 9858 751100 SH DEFINED 01 651100 0 100000
D GENERAL CHEMICAL GROUP, INC. COMMON 369332101 7812 595200 SH DEFINED 02 492000 0 103200
D GENERAL COMMUNICATION, INC. CL COMMON 369385109 121 26600 SH DEFINED 02 8200 0 18400
D GENERAL DATACOMM INDUSTRIES, I COMMON 369487103 27 10600 SH DEFINED 02 0 0 10600
D GENERAL DYNAMICS CORP. COMMON 369550108 99 1537 SH DEFINED 1537 0 0
D GENERAL DYNAMICS CORP. COMMON 369550108 855 13300 SH DEFINED 01 6100 0 7200
D GENERAL DYNAMICS CORP. COMMON 369550108 1722 26800 SH DEFINED 02 0 0 26800
D GENERAL DYNAMICS CORP. COMMON 369550108 173 2700 SH OTHER 01 0 2700 0
D GENERAL ELECTRIC COMPANY COMMON 369604103 16349 147785 SH DEFINED 05 90710 0 57075
D GENERAL ELECTRIC COMPANY COMMON 369604103 8344 75427 SH DEFINED 75427 0 0
D GENERAL ELECTRIC COMPANY COMMON 369604103 899748 8133314 SH DEFINED 01 4395462 0 3737852
D GENERAL ELECTRIC COMPANY COMMON 369604103 795993 7195420 SH DEFINED 02 4367620 0 2827800
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 91
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D GENERAL ELECTRIC COMPANY COMMON 369604103 2655 24000 SH OTHER 1314 0 24000 0
D GENERAL ELECTRIC COMPANY COMMON 369604103 2268 20500 SH OTHER 05 10000 10500 0
D GENERAL ELECTRIC COMPANY COMMON 369604103 2412 21800 SH OTHER 09 21800 0 0
D GENERAL ELECTRIC COMPANY COMMON 369604103 255495 2309561 SH OTHER 01 523897 1785664 0
D GENERAL ELECTRIC COMPANY COMMON 369604103 2213 20000 SH OTHER 0304 20000 0 0
D GENERAL INSTR CORP DEL COMMON 370120107 65 2131 SH DEFINED 2131 0 0
D GENERAL INSTR CORP DEL COMMON 370120107 931 30700 SH DEFINED 01 30200 0 500
D GENERAL INSTR CORP DEL COMMON 370120107 361 11900 SH DEFINED 02 2400 0 9500
D GENERAL MAGIC, INC. COMMON 370253106 111 30600 SH DEFINED 02 0 0 30600
D GENERAL MILLS, INC. COMMON 370334104 234 3100 SH DEFINED 05 1800 0 1300
D GENERAL MILLS, INC. COMMON 370334104 142 1876 SH DEFINED 1876 0 0
D GENERAL MILLS, INC. COMMON 370334104 27483 363710 SH DEFINED 01 283640 0 80070
D GENERAL MILLS, INC. COMMON 370334104 28932 382892 SH DEFINED 02 224592 0 158300
D GENERAL MILLS, INC. COMMON 370334104 393 5200 SH OTHER 05 0 5200 0
D GENERAL MILLS, INC. COMMON 370334104 5449 72107 SH OTHER 01 6000 66107 0
D GENERAL MILLS, INC. COMMON 370334104 2796 37000 SH OTHER 0304 37000 0 0
D GENERAL MOTORS CORP. COMMON 370442105 1227 14100 SH DEFINED 05 4200 0 9900
D GENERAL MOTORS CORP. COMMON 370442105 633 7275 SH DEFINED 7275 0 0
D GENERAL MOTORS CORP. COMMON 370442105 60633 696936 SH DEFINED 01 475240 0 221696
D GENERAL MOTORS CORP. COMMON 370442105 96905 1113854 SH DEFINED 02 785494 0 328360
D GENERAL MOTORS CORP. COMMON 370442105 270 3100 SH OTHER 05 1000 2100 0
D GENERAL MOTORS CORP. COMMON 370442105 8894 102235 SH OTHER 01 21470 80765 0
D GENERAL MOTORS CORPORATION CL COMMON 370442832 10 200 SH DEFINED 05 200 0 0
D GENERAL MOTORS CORPORATION CL COMMON 370442832 232 4600 SH DEFINED 01 4600 0 0
D GENERAL MOTORS CORPORATION CL COMMON 370442832 1473 29202 SH DEFINED 02 17300 0 11902
D GENERAL MOTORS CORPORATION CL COMMON 370442832 50 1000 SH OTHER 05 0 1000 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 92
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D GENERAL MOTORS CORPORATION CL COMMON 370442832 4 78 SH OTHER 01 78 0 0
D GENERAL NUTRITION COMPANIES, I COMMON 37047F103 52 3700 SH DEFINED 05 0 0 3700
D GENERAL NUTRITION COMPANIES, I COMMON 37047F103 4080 291400 SH DEFINED 01 213800 0 77600
D GENERAL NUTRITION COMPANIES, I COMMON 37047F103 6938 495600 SH DEFINED 02 345200 0 150400
D GENERAL SEMICONDUCTOR, INC. COMMON 370787103 146 20200 SH DEFINED 01 11100 0 9100
D GENERAL SEMICONDUCTOR, INC. COMMON 370787103 2147 296136 SH DEFINED 02 282036 0 14100
D GENESCO INC 5.5% 04/15/05 BOND 371532AK8 5333 9000000 PRN DEFINED 02
D GENESCO, INC. COMMON 371532102 1227 132600 SH DEFINED 01 132600 0 0
D GENESCO, INC. COMMON 371532102 633 68400 SH DEFINED 02 67400 0 1000
D GENESEE & WYOMING, INC. CLASS COMMON 371559105 1196 111900 SH DEFINED 01 111900 0 0
D GENESEE & WYOMING, INC. CLASS COMMON 371559105 529 49500 SH DEFINED 02 49500 0 0
D GENTEX CORP. COMMON 371901109 0 11 SH DEFINED 11 0 0
D GENTEX CORP. COMMON 371901109 690 32000 SH DEFINED 02 0 0 32000
D GENESIS HEALTH VENTURES, INC. COMMON 371912106 639 131000 SH DEFINED 01 131000 0 0
D GENESIS HEALTH VENTURES, INC. COMMON 371912106 220 45200 SH DEFINED 02 45200 0 0
D GENRAD, INC. COMMON 372447102 246 17100 SH DEFINED 02 200 0 16900
D GENSIA, INC. COMMON 372450106 600 213365 SH DEFINED 01 211265 0 2100
D GENSIA, INC. COMMON 372450106 137 48757 SH DEFINED 02 43729 0 5028
D GENSIA, INC. $3.75 CV. PFD. PREF-CONV 372450205 5456 215000 SH DEFINED 01
D GENSIA, INC. $3.75 CV. PFD. PREF-CONV 372450205 6235 245700 SH DEFINED 02
D GEON COMPANY COMMON 37246W105 73 3200 SH DEFINED 05 0 0 3200
D GEON COMPANY COMMON 37246W105 13809 607000 SH DEFINED 01 520800 0 86200
D GEON COMPANY COMMON 37246W105 13677 601200 SH DEFINED 02 478600 0 122600
D GENUINE PARTS CO. COMMON 372460105 58 2007 SH DEFINED 2007 0 0
D GENUINE PARTS CO. COMMON 372460105 25486 884525 SH DEFINED 01 552100 0 332425
D GENUINE PARTS CO. COMMON 372460105 36692 1273446 SH DEFINED 02 766746 0 506700
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 93
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D GENUINE PARTS CO. COMMON 372460105 801 27808 SH OTHER 01 15386 12422 0
D GENZYME CORP-GENL DIVISION 5.2 BOND 372917AE4 4335 4000000 PRN DEFINED 02
D GENZYME CORP 5.25% BOND 372917AF1 3247 3000000 PRN DEFINED 01
D GENZYME CORP 5.25% BOND 372917AF1 5411 5000000 PRN DEFINED 02
D GENZYME CORP. COMMON 372917104 55 1100 SH DEFINED 05 1100 0 0
D GENZYME CORP. COMMON 372917104 86385 1712702 SH DEFINED 01 1172970 0 539732
D GENZYME CORP. COMMON 372917104 245500 4867362 SH DEFINED 02 3904862 0 962500
D GENZYME CORP. COMMON 372917104 822 16300 SH OTHER 09 16300 0 0
D GENZYME CORP. COMMON 372917104 1572 31161 SH OTHER 01 17300 13861 0
D GENZYME CORP. COM-TISSUE REP. COMMON 372917401 116 50100 SH DEFINED 02 50100 0 0
D GENZYME CORP. COM-TISSUE REP. COMMON 372917401 0 150 SH OTHER 01 0 150 0
D GENZYME MOLECULAR ONCOLOGY COMMON 372917500 1 161 SH DEFINED 05 161 0 0
D GENZYME MOLECULAR ONCOLOGY COMMON 372917500 13 3388 SH DEFINED 01 2280 0 1108
D GENZYME MOLECULAR ONCOLOGY COMMON 372917500 166 44203 SH DEFINED 02 43955 0 248
D GENZYME MOLECULAR ONCOLOGY COMMON 372917500 6 1684 SH OTHER 01 1080 604 0
D GEORGIA GULF CORP. COMMON 373200203 2217 198200 SH DEFINED 01 188300 0 9900
D GEORGIA GULF CORP. COMMON 373200203 1192 106500 SH DEFINED 02 45700 0 60800
D GEORGIA PACIFIC CORP. COMMON 373298108 30 400 SH DEFINED 05 400 0 0
D GEORGIA PACIFIC CORP. COMMON 373298108 91 1223 SH DEFINED 1223 0 0
D GEORGIA PACIFIC CORP. COMMON 373298108 46406 625000 SH DEFINED 01 470200 0 154800
D GEORGIA PACIFIC CORP. COMMON 373298108 124107 1671472 SH DEFINED 02 1348572 0 322900
D GEORGIA PACIFIC CORP. COMMON 373298108 314 4225 SH OTHER 01 2200 2025 0
D GEORGIA PACIFIC CORPORATION COMMON 373298702 2390 106500 SH DEFINED 01 105500 0 1000
D GEORGIA PACIFIC CORPORATION COMMON 373298702 882 39300 SH DEFINED 02 10200 0 29100
D GEORGIA PACIFIC CORPORATION COMMON 373298702 45 2025 SH OTHER 01 0 2025 0
D GEOTEL COMMUNICATIONS CORP COMMON 373656107 817 17800 SH DEFINED 01 17800 0 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 94
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D GEOTEL COMMUNICATIONS CORP COMMON 373656107 326 7100 SH DEFINED 02 5700 0 1400
D GERBER SCIENTIFIC, INC. COMMON 373730100 81 4000 SH DEFINED 01 3000 0 1000
D GERBER SCIENTIFIC, INC. COMMON 373730100 218 10800 SH DEFINED 02 2500 0 8300
D GETCHELL GOLD CORP. COMMON 374265106 730 27883 SH DEFINED 02 700 0 27183
D GETTY IMAGES INC CONV 4.75% 6/ BOND 374276AA1 3738 4600000 PRN DEFINED 02
D GETTY IMAGES INC COMMON 374276103 80 3800 SH DEFINED 05 0 0 3800
D GETTY IMAGES INC COMMON 374276103 6978 332300 SH DEFINED 01 228800 0 103500
D GETTY IMAGES INC COMMON 374276103 92 4400 SH DEFINED 02 0 0 4400
D GETTY PETE MARKETING INC COMMON 374292100 42 14600 SH DEFINED 02 0 0 14600
D GETTY RLTY CORP NEW COMMON 374297109 276 22100 SH DEFINED 02 0 0 22100
D GIANT INDUSTRIES, INC. COMMON 374508109 163 19000 SH DEFINED 02 0 0 19000
D GIBSON GREETINGS, INC. COMMON 374827103 132 18000 SH DEFINED 02 3600 0 14400
D GILEAD SCIENCES, INC. COMMON 375558103 2776 61000 SH DEFINED 61000 0 0
D GILEAD SCIENCES, INC. COMMON 375558103 14 300 SH DEFINED 01 300 0 0
D GILEAD SCIENCES, INC. COMMON 375558103 546 12000 SH DEFINED 02 0 0 12000
D GILLETTE CO. COMMON 375766102 3691 62104 SH DEFINED 05 19400 0 42704
D GILLETTE CO. COMMON 375766102 716 12040 SH DEFINED 12040 0 0
D GILLETTE CO. COMMON 375766102 61107 1028072 SH DEFINED 01 452992 0 575080
D GILLETTE CO. COMMON 375766102 62920 1058587 SH DEFINED 02 860987 0 197600
D GILLETTE CO. COMMON 375766102 476 8000 SH OTHER 05 8000 0 0
D GILLETTE CO. COMMON 375766102 3804 64000 SH OTHER 101112 0 64000 0
D GILLETTE CO. COMMON 375766102 49520 833130 SH OTHER 01 30714 802416 0
D GILLETTE CO. COMMON 375766102 2378 40000 SH OTHER 0304 40000 0 0
D GLATFELTER (P. H.) CO. COMMON 377316104 92 8200 SH DEFINED 01 8200 0 0
D GLATFELTER (P. H.) CO. COMMON 377316104 74 6600 SH DEFINED 02 6600 0 0
D GLAXO WELLCOME PLC SPONSRD. A/ COMMON 37733W105 295 4400 SH DEFINED 01 0 0 4400
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 95
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D GLEASON CORP. COMMON 377339106 286 16900 SH DEFINED 01 16900 0 0
D GLEASON CORP. COMMON 377339106 300 17700 SH DEFINED 02 15900 0 1800
D GLENAYRE TECHNOLOGIES, INC. COMMON 377899109 534 155300 SH DEFINED 01 155300 0 0
D GLENAYRE TECHNOLOGIES, INC. COMMON 377899109 330 95850 SH DEFINED 02 69700 0 26150
D GLOBAL INDUSTRIAL TECHNOLOGIES COMMON 379335102 323 31100 SH DEFINED 02 21000 0 10100
D GLOBAL INDUSTRIES LTD. COMMON 379336100 810 80000 SH DEFINED 01 80000 0 0
D GLOBAL INDUSTRIES LTD. COMMON 379336100 299 29500 SH DEFINED 02 5300 0 24200
D GLOBAL MARINE, INC. COMMON 379352404 546 46500 SH DEFINED 46500 0 0
D GLOBAL MARINE, INC. COMMON 379352404 6075 517000 SH DEFINED 01 358700 0 158300
D GLOBAL MARINE, INC. COMMON 379352404 10965 933150 SH DEFINED 02 642950 0 290200
D GLOBAL MARINE, INC. COMMON 379352404 16 1400 SH OTHER 01 1400 0 0
D GLOBAL TELESYSTEMS GROUP, INC. COMMON 37936U104 7630 136400 SH DEFINED 01 136400 0 0
D GLOBAL TELESYSTEMS GROUP, INC. COMMON 37936U104 654 11700 SH DEFINED 02 2300 0 9400
D GLOBO CABO S A SPONS ADR PREFERRED 37957X102 67 56810 SH DEFINED
D GOLDEN STATE BANCORP INC. COMMON 381197102 1457 65500 SH DEFINED 01 65500 0 0
D GOLDEN STATE BANCORP INC. COMMON 381197102 740 33268 SH DEFINED 02 4800 0 28468
D GOLDEN STATE BANCORP WARRANT 381197136 317 65500 SH DEFINED 01
D GOLDEN STATE BANCORP WARRANT 381197136 146 30168 SH DEFINED 02
D GOLDEN WEST FINANCIAL CORP. COMMON 381317106 778 8145 SH DEFINED 06 8145 0 0
D GOLDEN WEST FINANCIAL CORP. COMMON 381317106 70 733 SH DEFINED 733 0 0
D GOLDEN WEST FINANCIAL CORP. COMMON 381317106 10811 113200 SH DEFINED 01 77400 0 35800
D GOLDEN WEST FINANCIAL CORP. COMMON 381317106 15907 166568 SH DEFINED 02 104568 0 62000
D GOLDEN WEST FINANCIAL CORP. COMMON 381317106 38 400 SH OTHER 01 400 0 0
D GOODRICH (B. F.) CO. COMMON 382388106 33 959 SH DEFINED 959 0 0
D GOODRICH (B. F.) CO. COMMON 382388106 21 600 SH DEFINED 01 0 0 600
D GOODRICH (B. F.) CO. COMMON 382388106 2533 73821 SH DEFINED 02 55000 0 18821
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 96
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D GOODYEAR TIRE & RUBBER CO. COMMON 382550101 30 600 SH DEFINED 05 600 0 0
D GOODYEAR TIRE & RUBBER CO. COMMON 382550101 97 1946 SH DEFINED 1946 0 0
D GOODYEAR TIRE & RUBBER CO. COMMON 382550101 48753 978725 SH DEFINED 01 658925 0 319800
D GOODYEAR TIRE & RUBBER CO. COMMON 382550101 97519 1957702 SH DEFINED 02 1159202 0 798500
D GOODYEAR TIRE & RUBBER CO. COMMON 382550101 369 7400 SH OTHER 01 2200 5200 0
D GOTTSCHALKS, INC. COMMON 383485109 289 42000 SH OTHER 01 0 42000 0
D GRACE W R & CO COMMON 38388F108 12 968 SH DEFINED 968 0 0
D GRACE W R & CO COMMON 38388F108 3452 284700 SH DEFINED 01 274700 0 10000
D GRACE W R & CO COMMON 38388F108 1319 108800 SH DEFINED 02 24000 0 84800
D GRACE W R & CO COMMON 38388F108 42 3500 SH OTHER 01 0 3500 0
D GRACO, INC. COMMON 384109104 0 9 SH DEFINED 9 0 0
D GRACO, INC. COMMON 384109104 469 21262 SH DEFINED 02 0 0 21262
D GRAINGER (W. W.), INC. COMMON 384802104 1990 46200 SH DEFINED 05 15300 0 30900
D GRAINGER (W. W.), INC. COMMON 384802104 58 1354 SH DEFINED 1354 0 0
D GRAINGER (W. W.), INC. COMMON 384802104 55178 1281327 SH DEFINED 01 645169 0 636158
D GRAINGER (W. W.), INC. COMMON 384802104 65381 1518262 SH DEFINED 02 1097534 0 420728
D GRAINGER (W. W.), INC. COMMON 384802104 5622 130550 SH OTHER 01 61250 69300 0
D GRANITE CONSTRUCTION, INC. COMMON 387328107 510 21825 SH DEFINED 02 0 0 21825
D GREAT ATLANTIC & PACIFIC TEA, COMMON 390064103 412 13719 SH DEFINED 13719 0 0
D GREAT ATLANTIC & PACIFIC TEA, COMMON 390064103 15 487 SH OTHER 01 0 487 0
D GREAT LAKES CHEMICAL CORP. COMMON 390568103 1433 39000 SH DEFINED 06 39000 0 0
D GREAT LAKES CHEMICAL CORP. COMMON 390568103 30 811 SH DEFINED 811 0 0
D GREAT LAKES CHEMICAL CORP. COMMON 390568103 129 3500 SH DEFINED 01 3000 0 500
D GREAT LAKES CHEMICAL CORP. COMMON 390568103 481 13100 SH DEFINED 02 0 0 13100
D GREAT LAKES CHEMICAL CORP. COMMON 390568103 371 10100 SH OTHER 01 0 10100 0
D GREAT PLAINS SOFTWARE, INC. COMMON 39119E105 418 10800 SH DEFINED 01 10800 0 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 97
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D GREAT PLAINS SOFTWARE, INC. COMMON 39119E105 35 900 SH DEFINED 02 900 0 0
D GREENPOINT FINANCIAL CORP. COMMON 395384100 11716 337142 SH DEFINED 01 257442 0 79700
D GREENPOINT FINANCIAL CORP. COMMON 395384100 38164 1098238 SH DEFINED 02 775938 0 322300
D GREENPOINT FINANCIAL CORP. COMMON 395384100 21 600 SH OTHER 01 600 0 0
D GREY ADVERTISING, INC. COMMON 397838103 347 1000 SH DEFINED 02 0 0 1000
D GREY WOLF INC COMMON 397888108 15 10600 SH DEFINED 02 0 0 10600
D GRIFFON CORP. COMMON 398433102 2 300 SH DEFINED 01 300 0 0
D GRIFFON CORP. COMMON 398433102 76 11000 SH DEFINED 02 1500 0 9500
D CGI GROUP, INC. COMMON 39945C109 698 32000 SH DEFINED 01 0 0 32000
D GRUBB & ELLIS CO COMMON 400095204 88 13300 SH DEFINED 02 0 0 13300
D GRUPO CASA AUTREY S.A. DE C.V. COMMON 40048P104 1 200 SH DEFINED 200 0 0
D GRUPO CASA AUTREY S.A. DE C.V. COMMON 40048P104 1543 301008 SH DEFINED 01 301008 0 0
D GRUPO CASA AUTREY S.A. DE C.V. COMMON 40048P104 3777 736934 SH DEFINED 02 563652 0 173282
D GRUPO TELEVISA SA DE CV ADR COMMON 40049J206 380 12100 SH DEFINED 12100 0 0
D GRUPO TELEVISA SA DE CV ADR COMMON 40049J206 925 29467 SH DEFINED 29467 0 0
D GRUPO IUSACELL SA DE CV ADR COMMON 40049W306 549 68600 SH DEFINED 68600 0 0
D GRUPO IUSACELL SA DE CV ADR COMMON 40049W306 2070 258720 SH DEFINED 01 258720 0 0
D GTECH HOLDINGS CORP. COMMON 400518106 848 34800 SH DEFINED 01 34800 0 0
D GTECH HOLDINGS CORP. COMMON 400518106 388 15900 SH DEFINED 02 15600 0 300
D GUCCI GROUP NV - NY REGISTERED COMMON 401566104 1803 22400 SH DEFINED 22400 0 0
D GUCCI GROUP NV - NY REGISTERED COMMON 401566104 24 300 SH DEFINED 01 0 0 300
D GUIDANT CORP. COMMON 401698105 19 320 SH DEFINED 05 0 0 320
D GUIDANT CORP. COMMON 401698105 199 3296 SH DEFINED 3296 0 0
D GUITAR CTR MGMT INC COMMON 402040109 1185 58000 SH DEFINED 01 58000 0 0
D GUITAR CTR MGMT INC COMMON 402040109 515 25200 SH DEFINED 02 25200 0 0
D GULF CANADA RESOURCES LTD. - O COMMON 40218L305 134 50000 SH DEFINED 50000 0 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 98
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D GULF CANADA RESOURCES LTD. - O COMMON 40218L305 3951 1470000 SH DEFINED 01 1470000 0 0
D GULFSTREAM AEROSPACE CORP COMMON 402734107 3179 73300 SH DEFINED 01 69700 0 3600
D GULFSTREAM AEROSPACE CORP COMMON 402734107 1145 26400 SH DEFINED 02 5500 0 20900
D GYMBOREE CORP. COMMON 403777105 16 1800 SH DEFINED 05 0 0 1800
D GYMBOREE CORP. COMMON 403777105 1470 164465 SH DEFINED 01 118065 0 46400
D GYMBOREE CORP. COMMON 403777105 18 2000 SH DEFINED 02 0 0 2000
D HMT TECHNOLOGY CORP 5.75% 01/1 BOND 403917AB3 1305 2000000 PRN DEFINED 02
D HMT TECHNOLOGY CORP 5.75% 01/1 BOND 403917AD9 3660 6000000 PRN DEFINED 02
D HMT TECHNOLOGY CORP. COMMON 403917107 33 9400 SH DEFINED 05 0 0 9400
D HMT TECHNOLOGY CORP. COMMON 403917107 3318 948100 SH DEFINED 01 671800 0 276300
D HMT TECHNOLOGY CORP. COMMON 403917107 275 78600 SH DEFINED 02 51200 0 27400
D HCR MANOR CARE INC COMMON 404134108 27 1200 SH DEFINED 05 1200 0 0
D HCR MANOR CARE INC COMMON 404134108 4 189 SH DEFINED 189 0 0
D HCR MANOR CARE INC COMMON 404134108 32 1395 SH DEFINED 1395 0 0
D HCR MANOR CARE INC COMMON 404134108 19907 872635 SH DEFINED 01 524875 0 347760
D HCR MANOR CARE INC COMMON 404134108 35066 1537108 SH DEFINED 02 1090608 0 446500
D HCR MANOR CARE INC COMMON 404134108 514 22512 SH OTHER 01 10100 12412 0
D HNC SOFTWARE INC BOND 40425PAA5 1715 1550000 PRN DEFINED 01
D HNC SOFTWARE, INC. COMMON 40425P107 187 5700 SH DEFINED 05 0 0 5700
D HNC SOFTWARE, INC. COMMON 40425P107 17630 538335 SH DEFINED 01 408100 0 130235
D HNC SOFTWARE, INC. COMMON 40425P107 9078 277200 SH DEFINED 02 201200 0 76000
D HRPT PROPERTIES TRUST COMMON 40426W101 104 7700 SH DEFINED 01 7700 0 0
D HRPT PROPERTIES TRUST COMMON 40426W101 358 26500 SH DEFINED 02 0 0 26500
D HUBCO, INC. COMMON 404382103 11861 353409 SH DEFINED 01 351298 0 2111
D HUBCO, INC. COMMON 404382103 12922 385015 SH DEFINED 02 281305 0 103710
D HA-LO INDUSTRIES INC COMMON 404429102 1 60 SH DEFINED 60 0 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 99
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D HA-LO INDUSTRIES INC COMMON 404429102 2979 241950 SH DEFINED 01 241950 0 0
D HA-LO INDUSTRIES INC COMMON 404429102 7964 646800 SH DEFINED 02 487500 0 159300
D HADCO CORP. COMMON 404681108 709 22500 SH DEFINED 01 22500 0 0
D HADCO CORP. COMMON 404681108 592 18800 SH DEFINED 02 9600 0 9200
D HALLIBURTON COMPANY COMMON 406216101 154 4000 SH DEFINED 05 4000 0 0
D HALLIBURTON COMPANY COMMON 406216101 1109 28817 SH DEFINED 28817 0 0
D HALLIBURTON COMPANY COMMON 406216101 1363 35408 SH DEFINED 01 2000 0 33408
D HALLIBURTON COMPANY COMMON 406216101 293 7618 SH DEFINED 02 1700 0 5918
D HALLIBURTON COMPANY COMMON 406216101 1801 46788 SH OTHER 01 0 46788 0
D HALLMARK FINL SVCS INC EC COMMON 40624Q104 188 500000 SH DEFINED 01 0 0 500000
D HALTER MARINE GROUP INC 4.50% BOND 40642YAC9 5440 8500000 PRN DEFINED 02
D HAMILTON BANCORP, INC. COMMON 407013101 13 500 SH DEFINED 05 0 0 500
D HAMILTON BANCORP, INC. COMMON 407013101 4201 162350 SH DEFINED 01 149900 0 12450
D HAMILTON BANCORP, INC. COMMON 407013101 4950 191300 SH DEFINED 02 147300 0 44000
D HANDLEMAN CO. COMMON 410252100 35 2600 SH DEFINED 01 2600 0 0
D HANDLEMAN CO. COMMON 410252100 227 17000 SH DEFINED 02 14400 0 2600
D HANNA (M. A.) CO. COMMON 410522106 233 18200 SH DEFINED 02 18200 0 0
D HANNAFORD BROS. CO. COMMON 410550107 41 900 SH DEFINED 05 900 0 0
D HANNAFORD BROS. CO. COMMON 410550107 29248 643700 SH DEFINED 01 437700 0 206000
D HANNAFORD BROS. CO. COMMON 410550107 53576 1179100 SH DEFINED 02 800400 0 378700
D HANNAFORD BROS. CO. COMMON 410550107 23 500 SH OTHER 01 500 0 0
D HARBINGER CORP. COMMON 41145C103 5 787 SH DEFINED 787 0 0
D HARBINGER CORP. COMMON 41145C103 1350 200000 SH DEFINED 01 0 0 200000
D HARCOURT GENERAL, INC. COMMON 41163G101 44 992 SH DEFINED 992 0 0
D HARCOURT GENERAL, INC. COMMON 41163G101 75 1700 SH DEFINED 01 0 0 1700
D HARCOURT GENERAL, INC. COMMON 41163G101 2880 65000 SH OTHER 01 0 65000 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 100
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D HARKEN ENERGY CORP. COMMON 412552101 2 1500 SH DEFINED 01 1500 0 0
D HARKEN ENERGY CORP. COMMON 412552101 52 32200 SH DEFINED 02 0 0 32200
D HARLEY DAVIDSON, INC. COMMON 412822108 13 220 SH DEFINED 05 0 0 220
D HARLEY DAVIDSON, INC. COMMON 412822108 1331 23200 SH DEFINED 01 20000 0 3200
D HARLEY DAVIDSON, INC. COMMON 412822108 344 6000 SH DEFINED 02 0 0 6000
D HARNISCHFEGER INDUSTRIES, INC. COMMON 413345109 3 524 SH DEFINED 524 0 0
D HARNISCHFEGER INDUSTRIES, INC. COMMON 413345109 9 1500 SH DEFINED 01 1500 0 0
D HARNISCHFEGER INDUSTRIES, INC. COMMON 413345109 47 8286 SH DEFINED 02 0 0 8286
D HARRAH'S ENTERTAINMENT, INC. COMMON 413619107 31 1641 SH DEFINED 1641 0 0
D HARRAH'S ENTERTAINMENT, INC. COMMON 413619107 1664 87300 SH DEFINED 01 87300 0 0
D HARRAH'S ENTERTAINMENT, INC. COMMON 413619107 890 46700 SH DEFINED 02 9500 0 37200
D HARRIS CORP. COMMON 413875105 1483 51800 SH DEFINED 05 20600 0 31200
D HARRIS CORP. COMMON 413875105 32 1102 SH DEFINED 1102 0 0
D HARRIS CORP. COMMON 413875105 40393 1411092 SH DEFINED 01 840572 0 570520
D HARRIS CORP. COMMON 413875105 89884 3140059 SH DEFINED 02 2455859 0 684200
D HARRIS CORP. COMMON 413875105 192 6700 SH OTHER 05 3000 3700 0
D HARRIS CORP. COMMON 413875105 2184 76300 SH OTHER 01 47700 28600 0
D HARRIS CORP. COMMON 413875105 1718 60000 SH OTHER 0304 60000 0 0
D HARRY'S FARMERS MARKET, INC. C COMMON 415863109 109 100000 SH DEFINED 01 0 0 100000
D HARTE-HANKS COMMUNICATIONS, IN COMMON 416196103 274 10000 SH DEFINED 05 10000 0 0
D HARTE-HANKS COMMUNICATIONS, IN COMMON 416196103 1468 53500 SH DEFINED 01 53500 0 0
D HARTE-HANKS COMMUNICATIONS, IN COMMON 416196103 1904 69400 SH DEFINED 02 4600 0 64800
D HARTE-HANKS COMMUNICATIONS, IN COMMON 416196103 1317 48000 SH OTHER 01 15000 33000 0
D HARTFORD FINANCIAL SVCS GROUP COMMON 416515104 64 1134 SH DEFINED 05 1134 0 0
D HARTFORD FINANCIAL SVCS GROUP COMMON 416515104 152 2673 SH DEFINED 2673 0 0
D HARTFORD FINANCIAL SVCS GROUP COMMON 416515104 13400 235868 SH DEFINED 01 110028 0 125840
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 101
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D HARTFORD FINANCIAL SVCS GROUP COMMON 416515104 8101 142590 SH DEFINED 02 54090 0 88500
D HARTFORD FINANCIAL SVCS GROUP COMMON 416515104 2142 37700 SH OTHER 01 31800 5900 0
D HARTFORD LIFE, INC. COMMON 416592103 204 3700 SH DEFINED 02 3700 0 0
D HASBRO, INC. COMMON 418056107 74 2544 SH DEFINED 2544 0 0
D HASBRO, INC. COMMON 418056107 18901 653150 SH DEFINED 01 441500 0 211650
D HASBRO, INC. COMMON 418056107 42220 1458978 SH DEFINED 02 1034778 0 424200
D HEALTHSOUTH CORPORATION 3.25% BOND 421924AF8 941 1250000 PRN DEFINED
D HEALTHSOUTH CORPORATION 3.25% BOND 421924AF8 3010 4000000 PRN DEFINED 01
D HEALTHSOUTH CORPORATION 3.25% BOND 421924AF8 5268 7000000 PRN DEFINED 02
D HEALTHSOUTH REHABILITATION COR COMMON 421924101 17 1600 SH DEFINED 05 1600 0 0
D HEALTHSOUTH REHABILITATION COR COMMON 421924101 49 4682 SH DEFINED 4682 0 0
D HEALTHSOUTH REHABILITATION COR COMMON 421924101 42948 4139543 SH DEFINED 01 2649175 0 1490368
D HEALTHSOUTH REHABILITATION COR COMMON 421924101 167584 16152684 SH DEFINED 02 12760880 0 3391804
D HEALTHSOUTH REHABILITATION COR COMMON 421924101 781 75300 SH OTHER 09 75300 0 0
D HEALTHSOUTH REHABILITATION COR COMMON 421924101 435 41918 SH OTHER 01 10700 31218 0
D HEALTH MANAGEMENT ASSOCIATES, COMMON 421933102 7 550 SH DEFINED 05 550 0 0
D HEALTH MANAGEMENT ASSOCIATES, COMMON 421933102 21536 1766971 SH DEFINED 01 954531 0 812440
D HEALTH MANAGEMENT ASSOCIATES, COMMON 421933102 36551 2998953 SH DEFINED 02 2075910 0 923043
D HEALTH MANAGEMENT ASSOCIATES, COMMON 421933102 704 57731 SH OTHER 01 28007 29724 0
D HEALTHCARE REALTY TRUST, INC. COMMON 421946104 513 27000 SH DEFINED 02 26900 0 100
D HECLA MINING COMPANY COMMON 422704106 4 1500 SH DEFINED 01 1500 0 0
D HECLA MINING COMPANY COMMON 422704106 140 52100 SH DEFINED 02 0 0 52100
D HEFTEL BROADCASTING CORP. CL. COMMON 422799106 39 900 SH DEFINED 01 900 0 0
D HEFTEL BROADCASTING CORP. CL. COMMON 422799106 169 3900 SH DEFINED 02 0 0 3900
D HEINZ (H.J.) CO. COMMON 423074103 4666 98482 SH DEFINED 06 98482 0 0
D HEINZ (H.J.) CO. COMMON 423074103 519 10950 SH DEFINED 05 2700 0 8250
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 102
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D HEINZ (H.J.) CO. COMMON 423074103 3069 64790 SH DEFINED 64790 0 0
D HEINZ (H.J.) CO. COMMON 423074103 29959 632388 SH DEFINED 01 408599 0 223789
D HEINZ (H.J.) CO. COMMON 423074103 45035 950600 SH DEFINED 02 446800 0 503800
D HEINZ (H.J.) CO. COMMON 423074103 237 5000 SH OTHER 05 0 5000 0
D HEINZ (H.J.) CO. COMMON 423074103 3610 76192 SH OTHER 01 4700 71492 0
D HELIX TECHNOLOGY CORP. COMMON 423319102 3 200 SH DEFINED 01 200 0 0
D HELIX TECHNOLOGY CORP. COMMON 423319102 195 12700 SH DEFINED 02 0 0 12700
D HELLER FINANCIAL INC COMMON 423328103 3095 131700 SH DEFINED 01 131700 0 0
D HELLER FINANCIAL INC COMMON 423328103 4359 185500 SH DEFINED 02 127800 0 57700
D HELMERICH & PAYNE, INC. COMMON 423452101 16 699 SH DEFINED 699 0 0
D HELMERICH & PAYNE, INC. COMMON 423452101 1239 54600 SH DEFINED 01 54600 0 0
D HELMERICH & PAYNE, INC. COMMON 423452101 3272 144200 SH DEFINED 02 25000 0 119200
D HERCULES, INC. COMMON 427056106 202 8000 SH DEFINED 06 8000 0 0
D HERCULES, INC. COMMON 427056106 28 1098 SH DEFINED 1098 0 0
D HERCULES, INC. COMMON 427056106 23 900 SH DEFINED 01 900 0 0
D HERSHEY FOODS CORP. COMMON 427866108 1121 20000 SH DEFINED 06 20000 0 0
D HERSHEY FOODS CORP. COMMON 427866108 628 11200 SH DEFINED 05 5200 0 6000
D HERSHEY FOODS CORP. COMMON 427866108 105 1873 SH DEFINED 1873 0 0
D HERSHEY FOODS CORP. COMMON 427866108 18220 325000 SH DEFINED 01 228500 0 96500
D HERSHEY FOODS CORP. COMMON 427866108 32423 578324 SH DEFINED 02 337124 0 241200
D HERSHEY FOODS CORP. COMMON 427866108 168 3000 SH OTHER 01 1000 2000 0
D HERTZ CORPORATION CL A COMMON 428040109 3221 60200 SH DEFINED 01 60200 0 0
D HERTZ CORPORATION CL A COMMON 428040109 2038 38100 SH DEFINED 02 4100 0 34000
D HERTZ CORPORATION CL A COMMON 428040109 107 2000 SH OTHER 01 0 2000 0
D HESKA CORP COMMON 42805E108 325 100000 SH DEFINED 01 0 0 100000
D HEWLETT-PACKARD CO PREF-CONV 428236AA1 428288 8100000 SH DEFINED
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 103
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D HEWLETT-PACKARD CO. COMMON 428236103 1869 27558 SH DEFINED 05 14429 0 13129
D HEWLETT-PACKARD CO. COMMON 428236103 764 11259 SH DEFINED 11259 0 0
D HEWLETT-PACKARD CO. COMMON 428236103 56715 836342 SH DEFINED 01 341700 0 494642
D HEWLETT-PACKARD CO. COMMON 428236103 63712 939530 SH DEFINED 02 748330 0 191200
D HEWLETT-PACKARD CO. COMMON 428236103 285 4200 SH OTHER 05 2000 2200 0
D HEWLETT-PACKARD CO. COMMON 428236103 9111 134355 SH OTHER 01 25769 108586 0
D HI / FN INC COMMON 428358105 26 700 SH DEFINED 05 0 0 700
D HI / FN INC COMMON 428358105 3585 95600 SH DEFINED 01 79300 0 16300
D HI / FN INC COMMON 428358105 3514 93700 SH DEFINED 02 71000 0 22700
D HIBBETT SPORTING GOODS INC COMMON 428565105 42 2000 SH DEFINED 05 0 0 2000
D HIBBETT SPORTING GOODS INC COMMON 428565105 4056 194300 SH DEFINED 01 138300 0 56000
D HIBBETT SPORTING GOODS INC COMMON 428565105 61 2900 SH DEFINED 02 0 0 2900
D HIBERNIA CORP. CLASS "A" COMMON 428656102 4017 304600 SH DEFINED 01 220000 0 84600
D HIBERNIA CORP. CLASS "A" COMMON 428656102 6288 476816 SH DEFINED 02 303116 0 173700
D HIBERNIA CORP. CLASS "A" COMMON 428656102 13 1000 SH OTHER 01 1000 0 0
D HIGHWOODS PROPERTIES, INC. COMMON 431284108 3007 127600 SH DEFINED 01 123800 0 3800
D HIGHWOODS PROPERTIES, INC. COMMON 431284108 5648 239700 SH DEFINED 02 213700 0 26000
D HILB, ROGAL & HAMILTON CO. COMMON 431294107 368 21700 SH DEFINED 02 0 0 21700
D HILLENBRAND INDUSTRIES, INC. COMMON 431573104 531 11500 SH DEFINED 02 0 0 11500
D HILTON HOTELS CORP. COMMON 432848109 39 2800 SH DEFINED 2800 0 0
D HILTON HOTELS CORP. COMMON 432848109 14990 1065900 SH DEFINED 01 934700 0 131200
D HILTON HOTELS CORP. COMMON 432848109 30023 2134926 SH DEFINED 02 1520526 0 614400
D HILTON HOTELS CORP. COMMON 432848109 73 5200 SH OTHER 01 5200 0 0
D HOLLINGER INTERNATIONAL, INC. COMMON 435569108 838 61800 SH DEFINED 01 61800 0 0
D HOLLINGER INTERNATIONAL, INC. COMMON 435569108 666 49100 SH DEFINED 02 32900 0 16200
D HOLLINGER INTERNATIONAL, INC. COMMON 435569108 102 7500 SH OTHER 01 0 7500 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 104
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D HOLLY CORP. COMMON 435758305 948 70900 SH DEFINED 01 70900 0 0
D HOLLY CORP. COMMON 435758305 504 37700 SH DEFINED 02 36200 0 1500
D HOLLYWOOD ENTERTAINMENT CORP. COMMON 436141105 862 46300 SH DEFINED 01 46300 0 0
D HOLLYWOOD ENTERTAINMENT CORP. COMMON 436141105 1108 59500 SH DEFINED 02 16500 0 43000
D HOLOGIC, INC. COMMON 436440101 54 6000 SH DEFINED 6000 0 0
D HOLOGIC, INC. COMMON 436440101 3 300 SH DEFINED 01 300 0 0
D HOLOGIC, INC. COMMON 436440101 38 4200 SH DEFINED 02 0 0 4200
D HOME DEPOT, INC. COMMON 437076102 5980 96058 SH DEFINED 05 44998 0 51060
D HOME DEPOT, INC. COMMON 437076102 1002 16102 SH DEFINED 16102 0 0
D HOME DEPOT, INC. COMMON 437076102 194867 3130391 SH DEFINED 01 1405017 0 1725374
D HOME DEPOT, INC. COMMON 437076102 157917 2536826 SH DEFINED 02 1618226 0 918600
D HOME DEPOT, INC. COMMON 437076102 1058 17000 SH OTHER 05 15000 2000 0
D HOME DEPOT, INC. COMMON 437076102 1064 17100 SH OTHER 09 17100 0 0
D HOME DEPOT, INC. COMMON 437076102 15038 241567 SH OTHER 01 86640 154927 0
D HOMEBASE, INC. COMMON 43738E108 615 138600 SH DEFINED 01 138600 0 0
D HOMEBASE, INC. COMMON 43738E108 232 52300 SH DEFINED 02 52300 0 0
D HOMESTAKE MINING CO. COMMON 437614100 91 10500 SH DEFINED 10500 0 0
D HOMESTAKE MINING CO. COMMON 437614100 25 2917 SH DEFINED 2917 0 0
D HOMESTAKE MINING CO. COMMON 437614100 1352 156700 SH DEFINED 01 156400 0 300
D HOMESTAKE MINING CO. COMMON 437614100 477 55300 SH DEFINED 02 10800 0 44500
D HOMESTAKE MINING CO. COMMON 437614100 28 3300 SH OTHER 01 0 3300 0
D HOMESTEAD VLG PPTYS INC COMMON 437851108 1232 505258 SH DEFINED 01 505258 0 0
D HONEYWELL, INC. COMMON 438506107 20018 264045 SH DEFINED 264045 0 0
D HONEYWELL, INC. COMMON 438506107 9378 123700 SH DEFINED 01 69300 0 54400
D HONEYWELL, INC. COMMON 438506107 10121 133500 SH DEFINED 02 52900 0 80600
D HONEYWELL, INC. COMMON 438506107 190 2500 SH OTHER 01 2500 0 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 105
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D HORACE MANN EDUCATORS CORP. COMMON 440327104 1184 51070 SH DEFINED 01 50000 0 1070
D HORACE MANN EDUCATORS CORP. COMMON 440327104 608 26200 SH DEFINED 02 3500 0 22700
D HORIZON HEALTH CORPORATION COMMON 44041Y104 1656 250000 SH DEFINED 01 0 0 250000
D HORMEL (GEORGE A.) & CO. COMMON 440452100 656 18400 SH DEFINED 01 18400 0 0
D HORMEL (GEORGE A.) & CO. COMMON 440452100 317 8900 SH DEFINED 02 1700 0 7200
D HOST MARRIOTT SERVICES CORP. COMMON 440914109 90 13400 SH DEFINED 01 13400 0 0
D HOST MARRIOTT SERVICES CORP. COMMON 440914109 168 24900 SH DEFINED 02 24900 0 0
D HOST MARRIOTT CORP NEW COMMON 44107P104 7672 689652 SH DEFINED 01 689652 0 0
D HOST MARRIOTT CORP NEW COMMON 44107P104 9651 867502 SH DEFINED 02 372783 0 494719
D HOST MARRIOTT CORP NEW COMMON 44107P104 459 41258 SH OTHER 01 0 41258 0
D HOUGHTON MIFFLIN CO. COMMON 441560109 244 5200 SH DEFINED 02 0 0 5200
D HOUSEHOLD INTERNATIONAL, INC. COMMON 441815107 712 15613 SH DEFINED 05 913 0 14700
D HOUSEHOLD INTERNATIONAL, INC. COMMON 441815107 241 5287 SH DEFINED 5287 0 0
D HOUSEHOLD INTERNATIONAL, INC. COMMON 441815107 47121 1032791 SH DEFINED 01 740899 0 291892
D HOUSEHOLD INTERNATIONAL, INC. COMMON 441815107 87287 1913133 SH DEFINED 02 1221833 0 691300
D HOUSEHOLD INTERNATIONAL, INC. COMMON 441815107 583 12768 SH OTHER 01 3000 9768 0
D HOVNANIAN ENTERPRISES, INC. CL COMMON 442487203 179 23800 SH DEFINED 02 0 0 23800
D HUANENG POWER INTL PLC 1.75% 5 PREF-CONV 443304AA8 907483 12517000 SH DEFINED
D HUBBELL, INC. CLASS "B" COMMON 443510201 4034 100860 SH DEFINED 01 61230 0 39630
D HUBBELL, INC. CLASS "B" COMMON 443510201 2986 74650 SH DEFINED 02 22850 0 51800
D HUMANA, INC. COMMON 444859102 10 600 SH DEFINED 05 600 0 0
D HUMANA, INC. COMMON 444859102 37 2132 SH DEFINED 2132 0 0
D HUMANA, INC. COMMON 444859102 22742 1318350 SH DEFINED 01 940200 0 378150
D HUMANA, INC. COMMON 444859102 85616 4963242 SH DEFINED 02 4310442 0 652800
D HUMANA, INC. COMMON 444859102 40 2300 SH OTHER 01 2300 0 0
D HUMAN GENOME SCIENCES, INC. COMMON 444903108 177 5100 SH DEFINED 05 0 0 5100
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 106
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D HUMAN GENOME SCIENCES, INC. COMMON 444903108 26661 768600 SH DEFINED 01 624700 0 143900
D HUMAN GENOME SCIENCES, INC. COMMON 444903108 26276 757500 SH DEFINED 02 618900 0 138600
D HUMAN GENOME SCIENCES, INC. COMMON 444903108 132 3800 SH OTHER 01 2500 1300 0
D HUNTCO, INC. COMMON 445661101 39 15400 SH DEFINED 02 0 0 15400
D HUNTINGTON BANCSHARES, INC. COMMON 446150104 13 413 SH DEFINED 413 0 0
D HUNTINGTON BANCSHARES, INC. COMMON 446150104 78 2528 SH DEFINED 2528 0 0
D HUNTINGTON BANCSHARES, INC. COMMON 446150104 736 23800 SH DEFINED 01 18200 0 5600
D HUNTINGTON BANCSHARES, INC. COMMON 446150104 1607 51931 SH DEFINED 02 8704 0 43227
D HUSSMAN INTERNATIONAL, INC. COMMON 448110106 333 22700 SH DEFINED 01 22700 0 0
D HUSSMAN INTERNATIONAL, INC. COMMON 448110106 101 6900 SH DEFINED 02 6900 0 0
D HUTCHINSON TECHNOLOGY 6% 03/15 BOND 448407AA4 1653 2000000 PRN DEFINED 02
D HUTCHINSON TECHNOLOGY 6.000% C BOND 448407AC0 1653 2000000 PRN DEFINED 01
D HUTCHINSON TECHNOLOGY, INC. COMMON 448407106 62 2500 SH DEFINED 05 0 0 2500
D HUTCHINSON TECHNOLOGY, INC. COMMON 448407106 8868 356500 SH DEFINED 01 290200 0 66300
D HUTCHINSON TECHNOLOGY, INC. COMMON 448407106 4522 181800 SH DEFINED 02 143700 0 38100
D HVIDE MARINE INC CLASS A COMMON 448515106 66 15200 SH DEFINED 02 0 0 15200
D ICN PHARMACEUTICALS, INC. COMMON 448924100 1078 42900 SH DEFINED 01 42900 0 0
D ICN PHARMACEUTICALS, INC. COMMON 448924100 736 29297 SH DEFINED 02 3400 0 25897
D IDT CORP. COMMON 448947101 311 17300 SH DEFINED 02 0 0 17300
D HYPERCOM CORPORATION COMMON 44913M105 90 14100 SH DEFINED 02 0 0 14100
D IBP, INC. COMMON 449223106 3535 189800 SH DEFINED 01 189800 0 0
D IBP, INC. COMMON 449223106 1477 79300 SH DEFINED 02 16700 0 62600
D ICG COMMUNICATIONS, INC. COMMON 449246107 16 800 SH DEFINED 800 0 0
D ICG COMMUNICATIONS, INC. COMMON 449246107 1014 50700 SH DEFINED 01 50700 0 0
D ICG COMMUNICATIONS, INC. COMMON 449246107 686 34300 SH DEFINED 02 19100 0 15200
D ICOS CORP. COMMON 449295104 826 24475 SH DEFINED 01 23100 0 1375
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 107
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D ICOS CORP. COMMON 449295104 1087 32200 SH DEFINED 02 7100 0 25100
D IDEC PHARMACEUTICALS CORP. COMMON 449370105 197 3836 SH DEFINED 05 2736 0 1100
D IDEC PHARMACEUTICALS CORP. COMMON 449370105 11890 231436 SH DEFINED 01 200900 0 30536
D IDEC PHARMACEUTICALS CORP. COMMON 449370105 13147 255900 SH DEFINED 02 206300 0 49600
D IDEC PHARMACEUTICALS CORP. COMMON 449370105 27 516 SH OTHER 01 516 0 0
D IDX SYSTEMS CORP. COMMON 449491109 45 3100 SH DEFINED 05 0 0 3100
D IDX SYSTEMS CORP. COMMON 449491109 4852 334600 SH DEFINED 01 259200 0 75400
D IDX SYSTEMS CORP. COMMON 449491109 2804 193400 SH DEFINED 02 145800 0 47600
D IMC GLOBAL INC COMMON 449669100 3709 181500 SH DEFINED 01 155700 0 25800
D IMC GLOBAL INC COMMON 449669100 3097 151520 SH DEFINED 02 56420 0 95100
D IMC GLOBAL INC COMMON 449669100 639 31288 SH OTHER 01 200 31088 0
D IMC GLOBAL INC COMMON 449669118 35 80933 SH DEFINED 80933 0 0
D IMC GLOBAL INC COMMON 449669118 1 1966 SH DEFINED 02 0 0 1966
D IMC GLOBAL INC COMMON 449669118 3 6810 SH OTHER 01 630 6180 0
D IMCO RECYCLING, INC. COMMON 449681105 175 13600 SH DEFINED 02 0 0 13600
D IMS HEALTH INCORPORATED COMMON 449934108 116 3507 SH DEFINED 3507 0 0
D IMS HEALTH INCORPORATED COMMON 449934108 3295 99464 SH DEFINED 01 72100 0 27364
D IMS HEALTH INCORPORATED COMMON 449934108 1305 39400 SH DEFINED 02 0 0 39400
D IMS HEALTH INCORPORATED COMMON 449934108 133 4000 SH OTHER 05 0 4000 0
D IMS HEALTH INCORPORATED COMMON 449934108 663 20000 SH OTHER 101112 0 20000 0
D IMS HEALTH INCORPORATED COMMON 449934108 5543 167344 SH OTHER 01 15764 151580 0
D IRT PROPERTY CO. COMMON 450058102 2368 268743 SH DEFINED 01 268000 0 743
D IRT PROPERTY CO. COMMON 450058102 4387 497800 SH DEFINED 02 458200 0 39600
D ITC DELTACOM, INC. COMMON 45031T104 2434 111600 SH DEFINED 01 111600 0 0
D ITC DELTACOM, INC. COMMON 45031T104 5536 253800 SH DEFINED 02 196600 0 57200
D ITEQ INC COMMON 450430103 406 200000 SH DEFINED 01 0 0 200000
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 108
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D ITEQ INC COMMON 450430103 10 5000 SH DEFINED 02 0 0 5000
D ITT EDUCATIONAL SERVICES, INC. COMMON 45068B109 210 5600 SH DEFINED 05 0 0 5600
D ITT EDUCATIONAL SERVICES, INC. COMMON 45068B109 24250 645575 SH DEFINED 01 510400 0 135175
D ITT EDUCATIONAL SERVICES, INC. COMMON 45068B109 13782 366900 SH DEFINED 02 278700 0 88200
D IXC COMMUNICATIONS INC COMMON 450713102 1840 40100 SH DEFINED 40100 0 0
D IXC COMMUNICATIONS INC COMMON 450713102 220 4800 SH DEFINED 02 0 0 4800
D ITT INDUSTRIES, INC. COMMON 450911102 48 1366 SH DEFINED 1366 0 0
D ITT INDUSTRIES, INC. COMMON 450911102 17934 506955 SH DEFINED 01 347155 0 159800
D ITT INDUSTRIES, INC. COMMON 450911102 45897 1297449 SH DEFINED 02 812742 0 484707
D ITT INDUSTRIES, INC. COMMON 450911102 46 1300 SH OTHER 01 1300 0 0
D IDEX CORP. COMMON 45167R104 646 27427 SH DEFINED 27427 0 0
D IDEX CORP. COMMON 45167R104 6056 257000 SH DEFINED 01 250300 0 6700
D IDEX CORP. COMMON 45167R104 8184 347325 SH DEFINED 02 277100 0 70225
D IDEXX LABORATORIES, INC. COMMON 45168D104 122 5100 SH DEFINED 05 0 0 5100
D IDEXX LABORATORIES, INC. COMMON 45168D104 12060 503800 SH DEFINED 01 386900 0 116900
D IDEXX LABORATORIES, INC. COMMON 45168D104 859 35900 SH DEFINED 02 26000 0 9900
D IKON OFFICE SOLUTIONS COMMON 451713101 23 1832 SH DEFINED 1832 0 0
D IKON OFFICE SOLUTIONS COMMON 451713101 820 64000 SH DEFINED 02 64000 0 0
D ILLINOIS TOOL WORKS, INC. COMMON 452308109 860 13900 SH DEFINED 06 13900 0 0
D ILLINOIS TOOL WORKS, INC. COMMON 452308109 174 2807 SH DEFINED 2807 0 0
D ILLINOIS TOOL WORKS, INC. COMMON 452308109 251 4050 SH DEFINED 01 2150 0 1900
D ILLINOIS TOOL WORKS, INC. COMMON 452308109 0 6 SH DEFINED 02 6 0 0
D ILLINOIS TOOL WORKS, INC. COMMON 452308109 377 6100 SH OTHER 01 0 6100 0
D ILLINOVA CORP. COMMON 452317100 2123 100200 SH DEFINED 01 43900 0 56300
D ILLINOVA CORP. COMMON 452317100 2697 127308 SH DEFINED 02 76808 0 50500
D IMALL INC COMMON 45244X306 3225 200000 SH DEFINED 01 0 0 200000
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 109
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D IMATION CORP. COMMON 45245A107 0 19 SH DEFINED 05 19 0 0
D IMATION CORP. COMMON 45245A107 26 1585 SH DEFINED 01 999 0 586
D IMATION CORP. COMMON 45245A107 269 16300 SH DEFINED 02 12100 0 4200
D IMATION CORP. COMMON 45245A107 12 757 SH OTHER 01 0 757 0
D IMMUNEX CORP. COMMON 452528102 1041 12500 SH DEFINED 12500 0 0
D IMMUNEX CORP. COMMON 452528102 250 3000 SH DEFINED 3000 0 0
D IMMUNEX CORP. COMMON 452528102 25974 312000 SH DEFINED 01 268900 0 43100
D IMMUNEX CORP. COMMON 452528102 43079 517468 SH DEFINED 02 314868 0 202600
D IMPERIAL BANCORP COMMON 452556103 1 43 SH DEFINED 43 0 0
D IMPERIAL BANCORP COMMON 452556103 378 22051 SH DEFINED 02 0 0 22051
D IMPERIAL CREDIT COMM MTG INV C COMMON 45272T102 3874 402500 SH DEFINED 01 402500 0 0
D IMPERIAL CREDIT COMM MTG INV C COMMON 45272T102 129 13400 SH DEFINED 02 13400 0 0
D IN FOCUS SYSTEMS, INC. COMMON 452919103 35 4000 SH DEFINED 05 0 0 4000
D IN FOCUS SYSTEMS, INC. COMMON 452919103 3042 347600 SH DEFINED 01 245800 0 101800
D IN FOCUS SYSTEMS, INC. COMMON 452919103 46 5200 SH DEFINED 02 0 0 5200
D INACOM CORP. COMMON 45323G109 4 515 SH DEFINED 515 0 0
D INACOM CORP. COMMON 45323G109 249 32100 SH DEFINED 01 32100 0 0
D INACOM CORP. COMMON 45323G109 102 13200 SH DEFINED 02 12900 0 300
D INCO, LTD. COMMON 453258402 30 2245 SH DEFINED 2245 0 0
D INCO, LTD. COMMON 453258402 588 44200 SH DEFINED 01 44200 0 0
D INCO, LTD. COMMON 453258402 224 16800 SH DEFINED 02 3600 0 13200
D INCYTE PHARMACEUTICALS, INC. COMMON 45337C102 1515 75500 SH DEFINED 01 75500 0 0
D INCYTE PHARMACEUTICALS, INC. COMMON 45337C102 666 33200 SH DEFINED 02 29000 0 4200
D INDIANA ENERGY, INC. COMMON 454707100 1369 72300 SH DEFINED 01 72300 0 0
D INDIANA ENERGY, INC. COMMON 454707100 875 46200 SH DEFINED 02 36200 0 10000
D INDUSTRI-MATEMATIK INTL CORP COMMON 455792101 2 800 SH DEFINED 01 800 0 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 110
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D INDUSTRI-MATEMATIK INTL CORP COMMON 455792101 23 11200 SH DEFINED 02 0 0 11200
D INMC MORTGAGE HOLDINGS, INC. COMMON 456607100 128 11800 SH DEFINED 02 0 0 11800
D INFERENCE CORP. CLASS "A" COMMON 45662K109 6120 1125332 SH DEFINED 1125332 0 0
D INFORMIX CORP. COMMON 456779107 1324 179500 SH DEFINED 01 179500 0 0
D INFORMIX CORP. COMMON 456779107 926 125500 SH DEFINED 02 61000 0 64500
D INFOSEEK CORP COMMON 45678M107 635 8584 SH DEFINED 8584 0 0
D INFOSEEK CORP COMMON 45678M107 562 7600 SH DEFINED 01 7600 0 0
D INFOSEEK CORP COMMON 45678M107 266 3600 SH DEFINED 02 2900 0 700
D INFOUSA INC CLASS B COMMON 456818103 96 21300 SH DEFINED 02 0 0 21300
D ING GROEP N.V. COMMON 456837103 51 935 SH DEFINED 05 0 0 935
D ING GROEP N.V. COMMON 456837103 1312 23884 SH DEFINED 01 0 0 23884
D ING GROEP N.V. COMMON 456837103 743 13520 SH DEFINED 02 0 0 13520
D ING GROEP N.V. COMMON 456837103 6149 111920 SH OTHER 01 0 111920 0
D INGERSOLL-RAND CO. COMMON 456866102 1077 21700 SH DEFINED 06 21700 0 0
D INGERSOLL-RAND CO. COMMON 456866102 186 3750 SH DEFINED 05 0 0 3750
D INGERSOLL-RAND CO. COMMON 456866102 97 1961 SH DEFINED 1961 0 0
D INGERSOLL-RAND CO. COMMON 456866102 1475 29720 SH DEFINED 01 2220 0 27500
D INGERSOLL-RAND CO. COMMON 456866102 233 4700 SH DEFINED 02 1600 0 3100
D INGERSOLL-RAND CO. COMMON 456866102 74 1500 SH OTHER 05 0 1500 0
D INGLES MARKETS, INC. COMMON 457030104 653 56800 SH DEFINED 01 52300 0 4500
D INGLES MARKETS, INC. COMMON 457030104 577 50200 SH DEFINED 02 35100 0 15100
D INGRAM MICRO INC COMMON 457153104 11 500 SH DEFINED 01 500 0 0
D INGRAM MICRO INC COMMON 457153104 550 24100 SH DEFINED 02 0 0 24100
D INHALE THERAPEUTIC SYSTEMS COMMON 457191104 627 23100 SH DEFINED 01 23100 0 0
D INHALE THERAPEUTIC SYSTEMS COMMON 457191104 1739 64100 SH DEFINED 02 45000 0 19100
D INKTOMI CORPORATION COMMON 457277101 1552 18100 SH DEFINED 01 18100 0 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 111
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D INKTOMI CORPORATION COMMON 457277101 4142 48300 SH DEFINED 02 37200 0 11100
D INNKEEPERS USA TR COMMON 4576J0104 851 91400 SH DEFINED 01 91400 0 0
D INNKEEPERS USA TR COMMON 4576J0104 513 55100 SH DEFINED 02 55100 0 0
D INNKEEPERS USA TRUST PREF-CONV 4576J0302 3538 200000 SH DEFINED 02
D INNOVEX, INC. COMMON 457647105 78 5800 SH DEFINED 01 5800 0 0
D INNOVEX, INC. COMMON 457647105 321 24000 SH DEFINED 02 4200 0 19800
D INPUT/OUTPUT, INC. COMMON 457652105 4985 789700 SH DEFINED 01 721900 0 67800
D INPUT/OUTPUT, INC. COMMON 457652105 20520 3250492 SH DEFINED 02 1885592 0 1364900
D INPUT/OUTPUT, INC. COMMON 457652105 221 35000 SH OTHER 0304 35000 0 0
D INSITUFORM TECHNOLOGIES, INC. COMMON 457667103 200 11400 SH DEFINED 01 11400 0 0
D INSITUFORM TECHNOLOGIES, INC. COMMON 457667103 12 700 SH DEFINED 02 700 0 0
D INSIGNIA/ESG HOLDINGS, INCORPO COMMON 45767A105 304 21599 SH DEFINED 02 600 0 20999
D INSURANCE MGMT SOLUTIONS GRO COMMON 458045101 1350 150000 SH DEFINED 01 0 0 150000
D INTEGRATED ELECTRICAL SERVICES COMMON 45811E103 235 14700 SH DEFINED 01 14700 0 0
D INTEGRATED ELECTRICAL SERVICES COMMON 45811E103 96 6000 SH DEFINED 02 6000 0 0
D INTEGRATED CIRCUIT SYSTEMS, IN COMMON 45811K109 3976 220100 SH DEFINED 01 100 0 220000
D INTEGRATED CIRCUIT SYSTEMS, IN COMMON 45811K109 2 100 SH DEFINED 02 0 0 100
D INTEGRA INC COMMON 45811M105 147 100000 SH DEFINED 01 0 0 100000
D INTEGRATED DEVICE TECHNOLOGY, COMMON 458118106 48 8800 SH DEFINED 05 0 0 8800
D INTEGRATED DEVICE TECHNOLOGY, COMMON 458118106 5350 989700 SH DEFINED 01 747400 0 242300
D INTEGRATED DEVICE TECHNOLOGY, COMMON 458118106 815 150700 SH DEFINED 02 124400 0 26300
D INTEGRATED HEALTH SERVICES, IN COMMON 45812C106 1248 226900 SH DEFINED 01 226900 0 0
D INTEGRATED HEALTH SERVICES, IN COMMON 45812C106 475 86300 SH DEFINED 02 21500 0 64800
D INTEGRATED PROCESS EQUIP 6.25 PREF-CONV 45812KAD0 258000 4000000 SH DEFINED 02
D INTEGRATED SYSTEMS, INC. COMMON 45812M104 759 59200 SH DEFINED 01 59200 0 0
D INTEGRATED SYSTEMS, INC. COMMON 45812M104 316 24700 SH DEFINED 02 24700 0 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 112
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D INTEGRATED SYSTEMS, INC. COMMON 45812M104 154 12000 SH OTHER 101112 0 12000 0
D INTEGRATED SURGICAL SYS INC COMMON 45812Y108 100 50000 SH DEFINED 02 0 0 50000
D INTEGRATED SURGICAL SYS INC WARRANT 45812Y116 27 50000 SH DEFINED 02
D INTELIDATA TECHNOLOGIES CORP COMMON 45814T107 244 200000 SH DEFINED 01 0 0 200000
D INTEL CORP. COMMON 458140100 9189 77302 SH DEFINED 05 33202 0 44100
D INTEL CORP. COMMON 458140100 2402 20209 SH DEFINED 20209 0 0
D INTEL CORP. COMMON 458140100 756232 6361573 SH DEFINED 01 3558060 0 2803513
D INTEL CORP. COMMON 458140100 1244472 10468744 SH DEFINED 02 7281402 0 3187342
D INTEL CORP. COMMON 458140100 535 4500 SH OTHER 05 3000 1500 0
D INTEL CORP. COMMON 458140100 2984 25100 SH OTHER 09 25100 0 0
D INTEL CORP. COMMON 458140100 30826 259314 SH OTHER 01 56415 202899 0
D INTEL CORP. COMMON 458140100 2853 24000 SH OTHER 0304 24000 0 0
D INTELLIGENT POLYMERS LIMITED UNIT 45815V200 7840 280000 SH DEFINED 01
D INTELLIGENT SYSTEMS CORPORATIO COMMON 45816D100 34 15000 SH DEFINED 01 0 0 15000
D INTERFACE, INC. CLASS "A" COMMON 458665106 250 26000 SH DEFINED 02 0 0 26000
D INTERIM SERVICES, INC. COMMON 45868P100 1115 74300 SH DEFINED 01 74300 0 0
D INTERIM SERVICES, INC. COMMON 45868P100 626 41700 SH DEFINED 02 36700 0 5000
D INTERMEDIA COMMUNICATIONS, INC COMMON 458801107 69 2600 SH DEFINED 05 0 0 2600
D INTERMEDIA COMMUNICATIONS, INC COMMON 458801107 836 31400 SH DEFINED 31400 0 0
D INTERMEDIA COMMUNICATIONS, INC COMMON 458801107 7479 280886 SH DEFINED 01 220186 0 60700
D INTERMEDIA COMMUNICATIONS, INC COMMON 458801107 1670 62708 SH DEFINED 02 39642 0 23066
D INTERMET CORP. COMMON 45881K104 0 6 SH DEFINED 6 0 0
D INTERMET CORP. COMMON 45881K104 4685 350300 SH DEFINED 01 350300 0 0
D INTERMET CORP. COMMON 45881K104 5405 404100 SH DEFINED 02 316800 0 87300
D INTERNATIONAL BUSINESS MACHINE COMMON 459200101 7755 43751 SH DEFINED 05 22111 0 21640
D INTERNATIONAL BUSINESS MACHINE COMMON 459200101 301 1700 SH DEFINED 1700 0 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 113
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D INTERNATIONAL BUSINESS MACHINE COMMON 459200101 1790 10097 SH DEFINED 10097 0 0
D INTERNATIONAL BUSINESS MACHINE COMMON 459200101 813430 4589170 SH DEFINED 01 2929824 0 1659346
D INTERNATIONAL BUSINESS MACHINE COMMON 459200101 1296558 7314856 SH DEFINED 02 5249562 0 2065294
D INTERNATIONAL BUSINESS MACHINE COMMON 459200101 934 5268 SH OTHER 05 0 5268 0
D INTERNATIONAL BUSINESS MACHINE COMMON 459200101 4267 24075 SH OTHER 09 24075 0 0
D INTERNATIONAL BUSINESS MACHINE COMMON 459200101 157027 885906 SH OTHER 01 97387 788519 0
D INT'L FLAVORS & FRAGRANCES, IN COMMON 459506101 1961 52200 SH DEFINED 06 52200 0 0
D INT'L FLAVORS & FRAGRANCES, IN COMMON 459506101 54 1443 SH DEFINED 1443 0 0
D INT'L FLAVORS & FRAGRANCES, IN COMMON 459506101 772 20559 SH DEFINED 01 20559 0 0
D INT'L FLAVORS & FRAGRANCES, IN COMMON 459506101 204446 5442762 SH OTHER 1314 0 5442762 0
D INT'L FLAVORS & FRAGRANCES, IN COMMON 459506101 563 15000 SH OTHER 101112 0 15000 0
D INT'L FLAVORS & FRAGRANCES, IN COMMON 459506101 206 5484 SH OTHER 01 4284 1200 0
D INTERNATIONAL HOME FOODS, INC. COMMON 459655106 1947 121200 SH DEFINED 01 121200 0 0
D INTERNATIONAL HOME FOODS, INC. COMMON 459655106 785 48900 SH DEFINED 02 8900 0 40000
D INTERNATIONAL GAME TECHNOLOGY COMMON 459902102 10 700 SH DEFINED 05 700 0 0
D INTERNATIONAL GAME TECHNOLOGY COMMON 459902102 27715 1895044 SH DEFINED 01 1440545 0 454499
D INTERNATIONAL GAME TECHNOLOGY COMMON 459902102 110652 7565950 SH DEFINED 02 6199280 0 1366670
D INTERNATIONAL GAME TECHNOLOGY COMMON 459902102 528 36100 SH OTHER 09 36100 0 0
D INTERNATIONAL GAME TECHNOLOGY COMMON 459902102 429 29315 SH OTHER 01 5790 23525 0
D INTERNATIONAL NETWORK SVCS COMMON 460053101 282 4035 SH DEFINED 05 4035 0 0
D INTERNATIONAL NETWORK SVCS COMMON 460053101 6 79 SH DEFINED 79 0 0
D INTERNATIONAL NETWORK SVCS COMMON 460053101 5546 79297 SH DEFINED 01 75262 0 4035
D INTERNATIONAL NETWORK SVCS COMMON 460053101 2259 32300 SH DEFINED 02 29200 0 3100
D INTERNATIONAL NETWORK SVCS COMMON 460053101 48 693 SH OTHER 01 693 0 0
D INTERNATIONAL PAPER CO. COMMON 460146103 719 17050 SH DEFINED 05 8750 0 8300
D INTERNATIONAL PAPER CO. COMMON 460146103 141 3336 SH DEFINED 3336 0 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 114
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D INTERNATIONAL PAPER CO. COMMON 460146103 7885 186905 SH DEFINED 01 145725 0 41180
D INTERNATIONAL PAPER CO. COMMON 460146103 1717 40700 SH DEFINED 02 5700 0 35000
D INTERNATIONAL PAPER CO. COMMON 460146103 228 5400 SH OTHER 05 4600 800 0
D INTERNATIONAL PAPER CO. COMMON 460146103 3912 92728 SH OTHER 01 35400 57328 0
D INTERNATIONAL RECTIFIER CORP. COMMON 460254105 209 29900 SH DEFINED 01 29900 0 0
D INTERNATIONAL RECTIFIER CORP. COMMON 460254105 114 16300 SH DEFINED 02 11700 0 4600
D INTERNATIONAL SPEEDWAY CORP COMMON 460335201 359 6800 SH DEFINED 02 0 0 6800
D INTERPUBLIC GROUP COMPANY, INC COMMON 460690100 64 825 SH DEFINED 05 0 0 825
D INTERPUBLIC GROUP COMPANY, INC COMMON 460690100 17733 227715 SH DEFINED 227715 0 0
D INTERPUBLIC GROUP COMPANY, INC COMMON 460690100 467 6000 SH DEFINED 01 0 0 6000
D INTERPUBLIC GROUP COMPANY, INC COMMON 460690100 1378 17700 SH OTHER 01 0 17700 0
D INTERSTATE BAKERIES CORP. COMMON 46072H108 3849 178500 SH DEFINED 01 178500 0 0
D INTERSTATE BAKERIES CORP. COMMON 46072H108 3174 147200 SH DEFINED 02 13900 0 133300
D INTERSTATE ENERGY CORP. COMMON 460845100 615 23100 SH DEFINED 01 23100 0 0
D INTERSTATE ENERGY CORP. COMMON 460845100 176 6600 SH DEFINED 02 300 0 6300
D INTERWEST BANCORP INC COMMON 460931108 1267 53200 SH DEFINED 01 53200 0 0
D INTERWEST BANCORP INC COMMON 460931108 514 21600 SH DEFINED 02 21600 0 0
D INTERVOICE, INC. COMMON 461142101 158 14400 SH DEFINED 02 0 0 14400
D INTEVAC, INC. COMMON 461148108 46 8000 SH DEFINED 05 0 0 8000
D INTEVAC, INC. COMMON 461148108 4141 720200 SH DEFINED 01 495900 0 224300
D INTEVAC, INC. COMMON 461148108 56 9700 SH DEFINED 02 0 0 9700
D INTIMATE BRANDS, INC. CL. "A" COMMON 461156101 5010 104100 SH DEFINED 02 0 0 104100
D INTUIT, INC. COMMON 461202103 987 9700 SH DEFINED 01 9700 0 0
D INTUIT, INC. COMMON 461202103 366 3600 SH DEFINED 02 700 0 2900
D INTUIT, INC. COMMON 461202103 611 6000 SH OTHER 101112 0 6000 0
D INVACARE CORP. COMMON 461203101 348 14300 SH DEFINED 02 2900 0 11400
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 115
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D INVESTORS FINANCIAL SERVICES C COMMON 461915100 0 6 SH DEFINED 6 0 0
D INVESTORS FINANCIAL SERVICES C COMMON 461915100 868 30200 SH DEFINED 01 30200 0 0
D INVESTORS FINANCIAL SERVICES C COMMON 461915100 640 22270 SH DEFINED 02 17200 0 5070
D IOMEGA CORP. COMMON 462030107 902 176000 SH DEFINED 01 176000 0 0
D IOMEGA CORP. COMMON 462030107 341 66500 SH DEFINED 02 13800 0 52700
D IONICS, INC. COMMON 462218108 437 14500 SH DEFINED 01 14500 0 0
D IONICS, INC. COMMON 462218108 392 13000 SH DEFINED 02 11900 0 1100
D IPALCO ENTERPRISES, INC. COMMON 462613100 290 13200 SH DEFINED 02 0 0 13200
D IRON MOUNTIAN, INC. COMMON 46284P104 314 10050 SH DEFINED 02 0 0 10050
D IRWIN FINANCIAL CORP. COMMON 464119106 1007 50200 SH DEFINED 01 50200 0 0
D IRWIN FINANCIAL CORP. COMMON 464119106 433 21600 SH DEFINED 02 21600 0 0
D ISAACS I C & CO INC COMMON 464192103 250 200000 SH DEFINED 01 0 0 200000
D ISIS PHARMACEUTICALS, INC. COMMON 464330109 128 14200 SH DEFINED 02 0 0 14200
D I2 TECHNOLOGIES, INC. COMMON 465754109 13 500 SH DEFINED 500 0 0
D I2 TECHNOLOGIES, INC. COMMON 465754109 864 32500 SH DEFINED 01 32500 0 0
D I2 TECHNOLOGIES, INC. COMMON 465754109 2197 82600 SH DEFINED 02 61700 0 20900
D IVAX CORP. COMMON 465823102 241 20389 SH DEFINED 02 0 0 20389
D IVAX CORP. COMMON 465823102 2 150 SH OTHER 01 0 150 0
D IVEX PACKAGING CORPORATION COMMON 465855104 88 5800 SH DEFINED 05 0 0 5800
D IVEX PACKAGING CORPORATION COMMON 465855104 9467 623300 SH DEFINED 01 491600 0 131700
D IVEX PACKAGING CORPORATION COMMON 465855104 4130 271900 SH DEFINED 02 210800 0 61100
D JLG INDUSTRIES, INC. COMMON 466210101 0 6 SH DEFINED 6 0 0
D JLG INDUSTRIES, INC. COMMON 466210101 395 29000 SH DEFINED 02 0 0 29000
D JPS TEXTILE GROUP INC COMMON 46624E405 106 18800 SH DEFINED 18800 0 0
D JABIL CIRCUIT, INC. COMMON 466313103 5237 129300 SH DEFINED 01 129300 0 0
D JABIL CIRCUIT, INC. COMMON 466313103 1000 24700 SH DEFINED 02 24700 0 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 116
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D JACOR COMMUNUNICATIONS, INC. C COMMON 469858401 213 2800 SH DEFINED 02 0 0 2800
D JEFFBANKS INC COMMON 472317106 169 8100 SH DEFINED 01 8100 0 0
D JEFFBANKS INC COMMON 472317106 121 5800 SH DEFINED 02 5800 0 0
D JEFFERIES GROUP, INC. COMMON 472318104 2 44 SH DEFINED 44 0 0
D JEFFERIES GROUP, INC. COMMON 472318104 512 10800 SH DEFINED 02 0 0 10800
D JEFFERSON PILOT CORP. COMMON 475070108 98 1444 SH DEFINED 1444 0 0
D JEFFERSON PILOT CORP. COMMON 475070108 47 700 SH DEFINED 01 0 0 700
D JEFFERSON PILOT CORP. COMMON 475070108 1707 25200 SH OTHER 101112 0 25200 0
D JOHNS MANVILLE CORP. COMMON 478129109 16514 957325 SH DEFINED 01 907200 0 50125
D JOHNS MANVILLE CORP. COMMON 478129109 1867 108204 SH DEFINED 02 0 0 108204
D JOHNSON & JOHNSON COMMON 478160104 6301 67391 SH DEFINED 05 23029 0 44362
D JOHNSON & JOHNSON COMMON 478160104 1336 14293 SH DEFINED 14293 0 0
D JOHNSON & JOHNSON COMMON 478160104 201210 2151978 SH DEFINED 01 976347 0 1175631
D JOHNSON & JOHNSON COMMON 478160104 144596 1546478 SH DEFINED 02 876486 0 669992
D JOHNSON & JOHNSON COMMON 478160104 2244 24000 SH OTHER 1314 0 24000 0
D JOHNSON & JOHNSON COMMON 478160104 1667 17832 SH OTHER 05 6000 11832 0
D JOHNSON & JOHNSON COMMON 478160104 88655 948177 SH OTHER 01 341603 606574 0
D JOHNSON CONTROLS, INC. COMMON 478366107 3300 52900 SH DEFINED 05 18700 0 34200
D JOHNSON CONTROLS, INC. COMMON 478366107 72 1156 SH DEFINED 1156 0 0
D JOHNSON CONTROLS, INC. COMMON 478366107 63945 1025170 SH DEFINED 01 666070 0 359100
D JOHNSON CONTROLS, INC. COMMON 478366107 109048 1748260 SH DEFINED 02 1273060 0 475200
D JOHNSON CONTROLS, INC. COMMON 478366107 1603 25700 SH OTHER 09 25700 0 0
D JOHNSON CONTROLS, INC. COMMON 478366107 6867 110095 SH OTHER 01 39645 70450 0
D JOHNSON CONTROLS, INC. COMMON 478366107 1528 24500 SH OTHER 0304 24500 0 0
D JONES APPAREL GROUP, INC. COMMON 480074103 36 1300 SH DEFINED 05 1300 0 0
D JONES APPAREL GROUP, INC. COMMON 480074103 24362 872000 SH DEFINED 01 570900 0 301100
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 117
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D JONES APPAREL GROUP, INC. COMMON 480074103 64267 2300350 SH DEFINED 02 1861750 0 438600
D JONES APPAREL GROUP, INC. COMMON 480074103 34 1200 SH OTHER 01 1200 0 0
D JONES LANG LASALLE INC COMMON 48020Q107 336 11200 SH DEFINED 02 0 0 11200
D JONES INTERCABLE, INC. CLASS " COMMON 480206200 1025 26000 SH DEFINED 01 26000 0 0
D JONES INTERCABLE, INC. CLASS " COMMON 480206200 514 13043 SH DEFINED 02 6200 0 6843
D JONES MEDICAL INDUSTRIES, INC. COMMON 480236108 0 6 SH DEFINED 6 0 0
D JONES MEDICAL INDUSTRIES, INC. COMMON 480236108 466 13400 SH DEFINED 01 13400 0 0
D JONES MEDICAL INDUSTRIES, INC. COMMON 480236108 188 5400 SH DEFINED 02 4800 0 600
D JOURNAL REGISTER CO COMMON 481138105 44 3700 SH DEFINED 05 0 0 3700
D JOURNAL REGISTER CO COMMON 481138105 4457 371400 SH DEFINED 01 288300 0 83100
D JOURNAL REGISTER CO COMMON 481138105 233 19400 SH DEFINED 02 12900 0 6500
D JUST FOR FEET, INC. COMMON 48213P106 0 22 SH DEFINED 22 0 0
D JUST FOR FEET, INC. COMMON 48213P106 1658 132600 SH DEFINED 01 32600 0 100000
D JUST FOR FEET, INC. COMMON 48213P106 333 26600 SH DEFINED 02 14300 0 12300
D KBK CAPITAL CORP COMMON 482412103 945 135000 SH DEFINED 01 0 0 135000
D KCS ENERGY, INC. COMMON 482434206 119 63700 SH DEFINED 02 0 0 63700
D KLA INSTRUMENTS CORP. COMMON 482480100 55 1129 SH DEFINED 1129 0 0
D KLA INSTRUMENTS CORP. COMMON 482480100 646 13300 SH DEFINED 01 13300 0 0
D KLA INSTRUMENTS CORP. COMMON 482480100 889 18300 SH DEFINED 02 1000 0 17300
D K MART CORP. COMMON 482584109 29 1705 SH DEFINED 05 1705 0 0
D K MART CORP. COMMON 482584109 94 5585 SH DEFINED 5585 0 0
D K MART CORP. COMMON 482584109 44272 2633204 SH DEFINED 01 1713000 0 920204
D K MART CORP. COMMON 482584109 99047 5891117 SH DEFINED 02 4355111 0 1536006
D K MART CORP. COMMON 482584109 126 7500 SH OTHER 01 7500 0 0
D K N ENERGY, INC. COMMON 482620101 24 1200 SH DEFINED 05 1200 0 0
D K N ENERGY, INC. COMMON 482620101 15260 765350 SH DEFINED 01 593200 0 172150
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 118
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D K N ENERGY, INC. COMMON 482620101 28355 1422142 SH DEFINED 02 967742 0 454400
D K N ENERGY, INC. COMMON 482620101 12 600 SH OTHER 01 600 0 0
D K2, INC. COMMON 482732104 326 41382 SH DEFINED 02 0 0 41382
D KAMAN CORP. CL. "A" NON-VTG. COMMON 483548103 137 10700 SH DEFINED 02
D KANSAS CITY SOUTHERN INDUSTRIE COMMON 485170104 2052 36000 SH DEFINED 06 36000 0 0
D KANSAS CITY SOUTHERN INDUSTRIE COMMON 485170104 29 500 SH DEFINED 01 500 0 0
D KATY INDUSTRIES, INC. COMMON 486026107 0 1 SH DEFINED 01 0 0 1
D KATY INDUSTRIES, INC. COMMON 486026107 390 30000 SH DEFINED 02 0 0 30000
D KAUFMAN & BROAD HOME CORP. COMMON 486168107 14 624 SH DEFINED 624 0 0
D KAUFMAN & BROAD HOME CORP. COMMON 486168107 618 27400 SH DEFINED 01 27400 0 0
D KAUFMAN & BROAD HOME CORP. COMMON 486168107 1331 59000 SH DEFINED 02 10900 0 48100
D KAYDON CORP. COMMON 486587108 260 9000 SH DEFINED 02 7600 0 1400
D KEANE, INC. COMMON 486665102 2417 113400 SH DEFINED 01 113400 0 0
D KEANE, INC. COMMON 486665102 1782 83600 SH DEFINED 02 9500 0 74100
D KEEBLER FOODS CO COMMON 487256109 73 2000 SH DEFINED 05 0 0 2000
D KEEBLER FOODS CO COMMON 487256109 10090 276450 SH DEFINED 01 223900 0 52550
D KEEBLER FOODS CO COMMON 487256109 10198 279400 SH DEFINED 02 215600 0 63800
D KELLOGG CO. COMMON 487836108 27 800 SH DEFINED 05 0 0 800
D KELLOGG CO. COMMON 487836108 154 4559 SH DEFINED 4559 0 0
D KELLOGG CO. COMMON 487836108 1563 46220 SH DEFINED 01 14400 0 31820
D KELLOGG CO. COMMON 487836108 1221 36102 SH DEFINED 02 502 0 35600
D KELLOGG CO. COMMON 487836108 122 3600 SH OTHER 05 0 3600 0
D KELLOGG CO. COMMON 487836108 1524 45086 SH OTHER 01 7628 37458 0
D KELLEY OIL & GAS CORP. COMMON 487906109 62 117600 SH DEFINED 02 0 0 117600
D KELLWOOD CO. COMMON 488044108 4 200 SH DEFINED 01 200 0 0
D KELLWOOD CO. COMMON 488044108 635 28800 SH DEFINED 02 1100 0 27700
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 119
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D KEMET CORP. COMMON 488360108 169 14700 SH DEFINED 02 14700 0 0
D KENAN TRANSPORT COMPANY COMMON 488539107 26271 811460 SH DEFINED 01 1200 0 810260
D KENAN TRANSPORT COMPANY COMMON 488539107 9713 300000 SH DEFINED 300000 0 0
D KENDLE INTERNATIONAL INC. COMMON 48880L107 99 4900 SH DEFINED 05 0 0 4900
D KENDLE INTERNATIONAL INC. COMMON 48880L107 8628 428700 SH DEFINED 01 297400 0 131300
D KENDLE INTERNATIONAL INC. COMMON 48880L107 2345 116500 SH DEFINED 02 80600 0 35900
D KENNAMETAL, INC. COMMON 489170100 4 200 SH DEFINED 01 200 0 0
D KENNAMETAL, INC. COMMON 489170100 282 16000 SH DEFINED 02 10400 0 5600
D KENSEY NASH CORP. COMMON 490057106 2136 271200 SH DEFINED 01 271200 0 0
D KENSEY NASH CORP. COMMON 490057106 3723 472700 SH DEFINED 02 373600 0 99100
D KERR-MCGEE CORP. COMMON 492386107 4300 131035 SH DEFINED 131035 0 0
D KERR-MCGEE CORP. COMMON 492386107 730 22250 SH DEFINED 01 22100 0 150
D KERR-MCGEE CORP. COMMON 492386107 234 7136 SH DEFINED 02 1700 0 5436
D KEYCORP COMMON 493267108 4286 141400 SH DEFINED 06 141400 0 0
D KEYCORP COMMON 493267108 167 5500 SH DEFINED 05 2500 0 3000
D KEYCORP COMMON 493267108 30469 1005162 SH DEFINED 1005162 0 0
D KEYCORP COMMON 493267108 90874 2997840 SH DEFINED 01 1942535 0 1055305
D KEYCORP COMMON 493267108 250227 8254786 SH DEFINED 02 6120186 0 2134600
D KEYCORP COMMON 493267108 1470 48500 SH OTHER 09 48500 0 0
D KEYCORP COMMON 493267108 1428 47095 SH OTHER 01 7760 39335 0
D KEYCORP COMMON 493267108 1819 60000 SH OTHER 0304 60000 0 0
D KEYSTONE AUTOMOTIVE INDUSTRIES COMMON 49338N109 258 15900 SH DEFINED 02 0 0 15900
D KEYSTONE FINANCIAL, INC. COMMON 493482103 214 6650 SH DEFINED 02 0 0 6650
D KILROY RLTY CORP COMMON 49427F108 564 27494 SH DEFINED 27494 0 0
D KIMBALL INTERNATIONAL, INC. CL COMMON 494274103 46 3100 SH DEFINED 01 3100 0 0
D KIMBALL INTERNATIONAL, INC. CL COMMON 494274103 126 8500 SH DEFINED 02 7200 0 1300
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 120
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D KIMBERLY-CLARK CORP. COMMON 494368103 10 200 SH DEFINED 06 200 0 0
D KIMBERLY-CLARK CORP. COMMON 494368103 1417 29566 SH DEFINED 05 12406 0 17160
D KIMBERLY-CLARK CORP. COMMON 494368103 283 5897 SH DEFINED 5897 0 0
D KIMBERLY-CLARK CORP. COMMON 494368103 129265 2696495 SH DEFINED 01 1713759 0 982736
D KIMBERLY-CLARK CORP. COMMON 494368103 311490 6497766 SH DEFINED 02 4854106 0 1643660
D KIMBERLY-CLARK CORP. COMMON 494368103 371 7744 SH OTHER 05 0 7744 0
D KIMBERLY-CLARK CORP. COMMON 494368103 1400 29200 SH OTHER 09 29200 0 0
D KIMBERLY-CLARK CORP. COMMON 494368103 13380 279120 SH OTHER 01 33240 245880 0
D KIMBERLY-CLARK CORP. COMMON 494368103 959 20000 SH OTHER 0304 20000 0 0
D KIMCO REALTY CORP. COMMON 49446R109 922 25000 SH DEFINED 01 25000 0 0
D KIMCO REALTY CORP. COMMON 49446R109 553 15000 SH DEFINED 02 2700 0 12300
D KINDER MORGAN ENERGY PARTNER UNIT 494550106 232 6700 SH DEFINED 01
D KINDER MORGAN ENERGY PARTNER UNIT 494550106 48 1390 SH OTHER 01
D KING WORLD PRODUCTIONS, INC. COMMON 495667107 30 971 SH DEFINED 971 0 0
D KING WORLD PRODUCTIONS, INC. COMMON 495667107 6898 225700 SH DEFINED 01 198700 0 27000
D KING WORLD PRODUCTIONS, INC. COMMON 495667107 10853 355100 SH DEFINED 02 246800 0 108300
D KITTY HAWK INC COMMON 498326107 80 10100 SH DEFINED 02 0 0 10100
D K MART FINANCING 7.75% CV. PFD PREF-CONV 498778208 6050 100000 SH DEFINED 01
D K MART FINANCING 7.75% CV. PFD PREF-CONV 498778208 10581 174900 SH DEFINED 02
D KNOLL, INC. COMMON 498904101 17221 699350 SH DEFINED 01 699350 0 0
D KNOLL, INC. COMMON 498904101 81 3300 SH DEFINED 02 3300 0 0
D KNIGHT RIDDER, INC. COMMON 499040103 51 1018 SH DEFINED 1018 0 0
D KNIGHT RIDDER, INC. COMMON 499040103 23050 461000 SH DEFINED 01 315000 0 146000
D KNIGHT RIDDER, INC. COMMON 499040103 35594 711884 SH DEFINED 02 446684 0 265200
D KNIGHT RIDDER, INC. COMMON 499040103 6660 133200 SH OTHER 01 1600 131600 0
D KOHL'S CORP. COMMON 500255104 136 1923 SH DEFINED 1923 0 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 121
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D KOHL'S CORP. COMMON 500255104 631 8900 SH DEFINED 01 1800 0 7100
D KOMAG, INC. COMMON 500453105 42 9500 SH DEFINED 01 9500 0 0
D KOMAG, INC. COMMON 500453105 40 9100 SH DEFINED 02 9100 0 0
D KONINKLIJKE AHOLD NV - SPNSRD COMMON 500467303 518 13534 SH DEFINED 13534 0 0
D KONINKLIJKE PHILIPS ELECTRS COMMON 500472105 420 5100 SH DEFINED 01 0 0 5100
D KROGER COMPANY COMMON 501044101 721 12046 SH DEFINED 12046 0 0
D KROGER COMPANY COMMON 501044101 32544 543540 SH DEFINED 01 394655 0 148885
D KROGER COMPANY COMMON 501044101 67147 1121446 SH DEFINED 02 782996 0 338450
D KROGER COMPANY COMMON 501044101 144 2400 SH OTHER 01 600 1800 0
D KROLL-O'GARA COMPANY COMMON 501050108 4272 157500 SH DEFINED 01 57500 0 100000
D KROLL-O'GARA COMPANY COMMON 501050108 4009 147800 SH DEFINED 02 111800 0 36000
D KULICKE & SOFFA INDUSTRIES, IN COMMON 501242101 0 14 SH DEFINED 14 0 0
D KULICKE & SOFFA INDUSTRIES, IN COMMON 501242101 283 11200 SH DEFINED 02 0 0 11200
D LASMO PLC 10% PFD. SER "A" PREFERRED 501730303 18207 813700 SH DEFINED 01
D LASMO PLC 10% PFD. SER "A" PREFERRED 501730303 13969 624300 SH DEFINED 02
D LCC INTERNATIONAL, INC. COMMON 501810105 127 30800 SH DEFINED 02 0 0 30800
D LG&E ENERGY CORP. COMMON 501917108 295 14158 SH OTHER 01 10484 3674 0
D LNR PPTY CORP COMMON 501940100 199 10100 SH DEFINED 01 10100 0 0
D LNR PPTY CORP COMMON 501940100 373 18900 SH DEFINED 02 5700 0 13200
D LSI INDUSTRIES, INC. COMMON 50216C108 292 17325 SH DEFINED 02 0 0 17325
D LTX CORP. COMMON 502392103 62 12900 SH DEFINED 02 0 0 12900
D L-3 COMMUNICATIONS HOLDINGS IN COMMON 502424104 176 3800 SH DEFINED 05 0 0 3800
D L-3 COMMUNICATIONS HOLDINGS IN COMMON 502424104 22436 485100 SH DEFINED 01 380100 0 105000
D L-3 COMMUNICATIONS HOLDINGS IN COMMON 502424104 17247 372900 SH DEFINED 02 288800 0 84100
D LA-Z-BOY CHAIR CO. COMMON 505336107 1012 53800 SH DEFINED 01 53800 0 0
D LA-Z-BOY CHAIR CO. COMMON 505336107 593 31500 SH DEFINED 02 31500 0 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 122
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D LABORATORY CORP. OF AMERICA HL COMMON 50540R102 110 62700 SH DEFINED 02 1800 0 60900
D LADISH INC COMMON 505754200 688 100000 SH DEFINED 01 0 0 100000
D LADISH INC COMMON 505754200 96 14000 SH DEFINED 02 0 0 14000
D LAFARGE CORP. COMMON 505862102 456 16300 SH DEFINED 02 100 0 16200
D LAM RESEARCH CORP. COMMON 512807108 61 2100 SH DEFINED 05 0 0 2100
D LAM RESEARCH CORP. COMMON 512807108 8123 280100 SH DEFINED 01 225400 0 54700
D LAM RESEARCH CORP. COMMON 512807108 7968 274750 SH DEFINED 02 204800 0 69950
D LANCASTER COLONY CORP. COMMON 513847103 927 34799 SH DEFINED 02 0 0 34799
D LANDAMERICA FINANCIAL GROUP IN COMMON 514936103 307 10600 SH DEFINED 01 10600 0 0
D LANDAMERICA FINANCIAL GROUP IN COMMON 514936103 93 3200 SH DEFINED 02 3200 0 0
D LANDRY'S SEAFOOD RESTAURANTS, COMMON 51508L103 0 6 SH DEFINED 6 0 0
D LANDRY'S SEAFOOD RESTAURANTS, COMMON 51508L103 531 82900 SH DEFINED 01 82900 0 0
D LANDRY'S SEAFOOD RESTAURANTS, COMMON 51508L103 139 21700 SH DEFINED 02 18400 0 3300
D LASALLE HOTEL PROPERITIES COMMON 517942108 1232 93000 SH DEFINED 01 93000 0 0
D LASALLE HOTEL PROPERITIES COMMON 517942108 1150 86800 SH DEFINED 02 40200 0 46600
D LASER TECHNOLOGY, INC. COMMON 518074208 288 200000 SH DEFINED 01 0 0 200000
D LATTICE SEMICONDUCTOR CORP. COMMON 518415104 7 159 SH DEFINED 159 0 0
D LATTICE SEMICONDUCTOR CORP. COMMON 518415104 724 15900 SH DEFINED 01 15900 0 0
D LATTICE SEMICONDUCTOR CORP. COMMON 518415104 718 15750 SH DEFINED 02 5700 0 10050
D LAUDER (ESTEE) COMPANIES, INC. COMMON 518439104 95 1000 SH DEFINED 05 1000 0 0
D LAUDER (ESTEE) COMPANIES, INC. COMMON 518439104 47 500 SH DEFINED 01 500 0 0
D LAUDER (ESTEE) COMPANIES, INC. COMMON 518439104 284 3000 SH OTHER 01 3000 0 0
D LEAR CORP. COMMON 521865105 1276 29900 SH DEFINED 05 7900 0 22000
D LEAR CORP. COMMON 521865105 39284 920250 SH DEFINED 01 619500 0 300750
D LEAR CORP. COMMON 521865105 122460 2868716 SH DEFINED 02 2254016 0 614700
D LEAR CORP. COMMON 521865105 55 1300 SH OTHER 05 0 1300 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 123
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D LEAR CORP. COMMON 521865105 256 6000 SH OTHER 01 4500 1500 0
D LEARNING COMPANY, INC. COMMON 522008101 3909 134800 SH DEFINED 134800 0 0
D LEARNING COMPANY, INC. COMMON 522008101 2946 101600 SH DEFINED 01 101600 0 0
D LEARNING COMPANY, INC. COMMON 522008101 1474 50820 SH DEFINED 02 7900 0 42920
D LEE ENTERPRISES, INC. COMMON 523768109 580 20000 SH OTHER 01 0 20000 0
D LEGATO SYSTEMS, INC. COMMON 524651106 67 1300 SH DEFINED 05 0 0 1300
D LEGATO SYSTEMS, INC. COMMON 524651106 9370 181500 SH DEFINED 01 149800 0 31700
D LEGATO SYSTEMS, INC. COMMON 524651106 10392 201300 SH DEFINED 02 141800 0 59500
D LEGGETT & PLATT, INC. COMMON 524660107 28 1400 SH DEFINED 05 1400 0 0
D LEGGETT & PLATT, INC. COMMON 524660107 25926 1296300 SH DEFINED 01 920600 0 375700
D LEGGETT & PLATT, INC. COMMON 524660107 52565 2628246 SH DEFINED 02 1754046 0 874200
D LEGGETT & PLATT, INC. COMMON 524660107 54 2700 SH OTHER 01 2700 0 0
D LEGG MASON, INC. COMMON 524901105 1 22 SH DEFINED 22 0 0
D LEGG MASON, INC. COMMON 524901105 155 4600 SH DEFINED 01 4600 0 0
D LEGG MASON, INC. COMMON 524901105 684 20300 SH DEFINED 02 400 0 19900
D LEHMAN BROTHERS HOLDINGS, INC. COMMON 524908100 10 175 SH DEFINED 05 0 0 175
D LEHMAN BROTHERS HOLDINGS, INC. COMMON 524908100 90 1500 SH DEFINED 1500 0 0
D LEHMAN BROTHERS HOLDINGS, INC. COMMON 524908100 17653 295450 SH DEFINED 01 230300 0 65150
D LEHMAN BROTHERS HOLDINGS, INC. COMMON 524908100 13907 232748 SH DEFINED 02 141148 0 91600
D LEHMAN BROTHERS HOLDINGS, INC. COMMON 524908100 12 200 SH OTHER 05 0 200 0
D LEHMAN BROTHERS HOLDINGS, INC. COMMON 524908100 79 1320 SH OTHER 01 700 620 0
D LENNAR CORP. COMMON 526057104 4784 213800 SH DEFINED 01 213800 0 0
D LENNAR CORP. COMMON 526057104 1123 50200 SH DEFINED 02 9300 0 40900
D LEUCADIA NATIONAL CORP. COMMON 527288104 61 2000 SH DEFINED 05 2000 0 0
D LEUCADIA NATIONAL CORP. COMMON 527288104 42 1400 SH DEFINED 01 0 0 1400
D LEUCADIA NATIONAL CORP. COMMON 527288104 266 8800 SH DEFINED 02 0 0 8800
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 124
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D LEVEL 3 COMMUNICATIONS INC COMMON 52729N100 15 200 SH DEFINED 05 200 0 0
D LEVEL 3 COMMUNICATIONS INC COMMON 52729N100 67660 929225 SH DEFINED 01 517750 0 411475
D LEVEL 3 COMMUNICATIONS INC COMMON 52729N100 222067 3049830 SH DEFINED 02 2372230 0 677600
D LEVEL 3 COMMUNICATIONS INC COMMON 52729N100 437 6000 SH OTHER 101112 0 6000 0
D LEVEL 3 COMMUNICATIONS INC COMMON 52729N100 1085 14900 SH OTHER 09 14900 0 0
D LEVEL 3 COMMUNICATIONS INC COMMON 52729N100 783 10750 SH OTHER 01 4250 6500 0
D LEVEL ONE COMMUNICATIONS, INC. COMMON 527295109 2621 53900 SH DEFINED 53900 0 0
D LEVEL ONE COMMUNICATIONS, INC. COMMON 527295109 34 700 SH DEFINED 02 0 0 700
D LEXMARK INTERNATIONAL GROUP, I COMMON 529771107 671 6000 SH DEFINED 06 6000 0 0
D LIBBEY, INC. COMMON 529898108 288 9300 SH DEFINED 02 6300 0 3000
D LIBERTY ALL-STAR GROWTH FD I COMMON 529900102 561 52833 SH OTHER 01
D LIBERTY CORP. COMMON 530370105 231 4400 SH DEFINED 02 0 0 4400
D LIBERTY FINANCIAL COMPANIES, I COMMON 530512102 335 14200 SH DEFINED 01 14200 0 0
D LIBERTY FINANCIAL COMPANIES, I COMMON 530512102 201 8519 SH DEFINED 02 800 0 7719
D LIBERTY PROPERTY TRUST S/B/I COMMON 531172104 2382 114800 SH DEFINED 01 114800 0 0
D LIBERTY PROPERTY TRUST S/B/I COMMON 531172104 5034 242600 SH DEFINED 02 222600 0 20000
D LIFE USA HOLDING, INC. COMMON 531918209 24 2200 SH DEFINED 01 2200 0 0
D LIFE USA HOLDING, INC. COMMON 531918209 106 9900 SH DEFINED 02 7700 0 2200
D LIFECELL CORPORATION COMMON 531927101 328 71000 SH DEFINED 71000 0 0
D LIFELINE SYSTEMS, INC. COMMON 532192101 2438 102400 SH DEFINED 01 102400 0 0
D LIFELINE SYSTEMS, INC. COMMON 532192101 2419 101600 SH DEFINED 02 86900 0 14700
D LIGAND PHARMACEUTICALS, INC. C COMMON 53220K207 75 9200 SH DEFINED 05 0 0 9200
D LIGAND PHARMACEUTICALS, INC. C COMMON 53220K207 10085 1231689 SH DEFINED 01 995300 0 236389
D LIGAND PHARMACEUTICALS, INC. C COMMON 53220K207 11588 1415300 SH DEFINED 02 1242500 0 172800
D LILLY (ELI) & CO. COMMON 532457108 1528 18000 SH DEFINED 06 18000 0 0
D LILLY (ELI) & CO. COMMON 532457108 1791 21104 SH DEFINED 05 19004 0 2100
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 125
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D LILLY (ELI) & CO. COMMON 532457108 1692 19935 SH DEFINED 19935 0 0
D LILLY (ELI) & CO. COMMON 532457108 168922 1990239 SH DEFINED 01 1181349 0 808890
D LILLY (ELI) & CO. COMMON 532457108 253116 2982222 SH DEFINED 02 1869872 0 1112350
D LILLY (ELI) & CO. COMMON 532457108 111684 1315862 SH OTHER 01 1230798 85064 0
D LIMITED, INC. COMMON 532716107 100 2528 SH DEFINED 2528 0 0
D LIMITED, INC. COMMON 532716107 70378 1776100 SH DEFINED 01 1700 0 1774400
D LIMITED, INC. COMMON 532716107 844 21300 SH DEFINED 02 17000 0 4300
D LINCARE HOLDINGS, INC. COMMON 532791100 2374 84400 SH DEFINED 01 84400 0 0
D LINCARE HOLDINGS, INC. COMMON 532791100 1378 49000 SH DEFINED 02 7500 0 41500
D LINCOLN ELECTRIC HOLDINGS COMMON 533900106 1 54 SH DEFINED 54 0 0
D LINCOLN ELECTRIC HOLDINGS COMMON 533900106 294 15800 SH DEFINED 01 15800 0 0
D LINCOLN ELECTRIC HOLDINGS COMMON 533900106 691 37100 SH DEFINED 02 16500 0 20600
D LINCOLN NATIONAL CORP. COMMON 534187109 128 1293 SH DEFINED 1293 0 0
D LINCOLN NATIONAL CORP. COMMON 534187109 208 2100 SH DEFINED 01 2100 0 0
D LINCOLN NATIONAL CORP. COMMON 534187109 10 106 SH DEFINED 02 106 0 0
D LINEAR TECHNOLOGY CORP. COMMON 535678106 2768 54000 SH DEFINED 06 54000 0 0
D LINEAR TECHNOLOGY CORP. COMMON 535678106 103 2000 SH DEFINED 01 2000 0 0
D LIPOSOME CO., INC. COMMON 536310105 3252 242000 SH DEFINED 242000 0 0
D LIPOSOME CO., INC. COMMON 536310105 24 1800 SH DEFINED 01 1800 0 0
D LIPOSOME CO., INC. COMMON 536310105 24 1800 SH DEFINED 02 0 0 1800
D LITCHFIELD FINANCIAL CORP. COMMON 536619109 4158 244600 SH DEFINED 01 244600 0 0
D LITCHFIELD FINANCIAL CORP. COMMON 536619109 8363 491925 SH DEFINED 02 404030 0 87895
D LITHIA MOTORS,INC. "A" COMMON 536797103 2691 169500 SH DEFINED 01 169500 0 0
D LITHIA MOTORS,INC. "A" COMMON 536797103 4558 287100 SH DEFINED 02 236400 0 50700
D LO-JACK CORP. COMMON 539451104 98 12700 SH DEFINED 02 0 0 12700
D LOCKHEED MARTIN CORP. COMMON 539830109 30 800 SH DEFINED 05 800 0 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 126
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D LOCKHEED MARTIN CORP. COMMON 539830109 166 4387 SH DEFINED 4387 0 0
D LOCKHEED MARTIN CORP. COMMON 539830109 3051 80810 SH DEFINED 01 63000 0 17810
D LOCKHEED MARTIN CORP. COMMON 539830109 31185 826100 SH DEFINED 02 601800 0 224300
D LOCKHEED MARTIN CORP. COMMON 539830109 227 6000 SH OTHER 01 0 6000 0
D LODGIAN INC COMMON 54021P106 58 13000 SH DEFINED 02 0 0 13000
D LOEWS CORP. COMMON 540424108 140 1875 SH DEFINED 05 0 0 1875
D LOEWS CORP. COMMON 540424108 109 1467 SH DEFINED 1467 0 0
D LOEWS CORP. COMMON 540424108 3821 51200 SH DEFINED 01 50000 0 1200
D LOEWS CORP. COMMON 540424108 2843 38100 SH DEFINED 02 0 0 38100
D LONE STAR TECHNOLOGIES, INC. COMMON 542312103 169 13000 SH DEFINED 02 0 0 13000
D LONG BEACH FINANCIAL CORP. COMMON 542446109 1742 181000 SH DEFINED 02 0 0 181000
D LONGS DRUG STORES CORP. COMMON 543162101 268 8813 SH DEFINED 8813 0 0
D LONGS DRUG STORES CORP. COMMON 543162101 16 520 SH DEFINED 01 520 0 0
D LOUISIANA PACIFIC CORP. COMMON 546347105 26 1417 SH DEFINED 1417 0 0
D LOUISIANA PACIFIC CORP. COMMON 546347105 207 11100 SH DEFINED 01 500 0 10600
D LOUISIANA PACIFIC CORP. COMMON 546347105 103 5548 SH DEFINED 02 1848 0 3700
D LOWE'S COMPANIES, INC. COMMON 548661107 235 3886 SH DEFINED 3886 0 0
D LOWE'S COMPANIES, INC. COMMON 548661107 16476 272335 SH DEFINED 01 181850 0 90485
D LOWE'S COMPANIES, INC. COMMON 548661107 26036 430345 SH DEFINED 02 381245 0 49100
D LOWE'S COMPANIES, INC. COMMON 548661107 357 5900 SH OTHER 01 100 5800 0
D LUBRIZOL CORP. COMMON 549271104 11 500 SH DEFINED 05 500 0 0
D LUBRIZOL CORP. COMMON 549271104 68 3000 SH DEFINED 01 2000 0 1000
D LUBRIZOL CORP. COMMON 549271104 450 20000 SH OTHER 101112 0 20000 0
D LUCASVARITY PLC COMMON 549395101 530 11454 SH DEFINED 02 0 0 11454
D LUCENT TECHNOLOGIES, INC. COMMON 549463107 8012 74182 SH DEFINED 05 26804 0 47378
D LUCENT TECHNOLOGIES, INC. COMMON 549463107 5777 53489 SH DEFINED 53489 0 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 127
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D LUCENT TECHNOLOGIES, INC. COMMON 549463107 417187 3862847 SH DEFINED 01 2508089 0 1354758
D LUCENT TECHNOLOGIES, INC. COMMON 549463107 701687 6497100 SH DEFINED 02 4402625 0 2094475
D LUCENT TECHNOLOGIES, INC. COMMON 549463107 773 7158 SH OTHER 05 3562 3596 0
D LUCENT TECHNOLOGIES, INC. COMMON 549463107 1400 12960 SH OTHER 101112 0 12960 0
D LUCENT TECHNOLOGIES, INC. COMMON 549463107 1760 16300 SH OTHER 09 16300 0 0
D LUCENT TECHNOLOGIES, INC. COMMON 549463107 12707 117660 SH OTHER 01 43216 74444 0
D LYCOS, INC. COMMON 550818108 86 1000 SH DEFINED 1000 0 0
D LYCOS, INC. COMMON 550818108 340 3946 SH DEFINED 3946 0 0
D LYCOS, INC. COMMON 550818108 10379 120598 SH DEFINED 01 21500 0 99098
D LYCOS, INC. COMMON 550818108 2840 33000 SH DEFINED 02 19600 0 13400
D LYONDELL PETROCHEMICAL CO. COMMON 552078107 40 2900 SH DEFINED 05 2900 0 0
D LYONDELL PETROCHEMICAL CO. COMMON 552078107 17118 1250600 SH DEFINED 01 924400 0 326200
D LYONDELL PETROCHEMICAL CO. COMMON 552078107 29849 2180700 SH DEFINED 02 1643000 0 537700
D LYONDELL PETROCHEMICAL CO. COMMON 552078107 7 500 SH OTHER 01 500 0 0
D M & F WORLDWIDE CORP. COMMON 552541104 105 15000 SH DEFINED 02 0 0 15000
D M & T BANK CORPORATION COMMON 55261F104 5940 12400 SH DEFINED 01 8100 0 4300
D M & T BANK CORPORATION COMMON 55261F104 9202 19210 SH DEFINED 02 7110 0 12100
D M & T BANK CORPORATION COMMON 55261F104 192 400 SH OTHER 01 0 400 0
D MBIA, INC. COMMON 55262C100 2306 39750 SH DEFINED 05 12650 0 27100
D MBIA, INC. COMMON 55262C100 76 1310 SH DEFINED 1310 0 0
D MBIA, INC. COMMON 55262C100 60232 1038479 SH DEFINED 01 715000 0 323479
D MBIA, INC. COMMON 55262C100 157340 2712762 SH DEFINED 02 1889312 0 823450
D MBIA, INC. COMMON 55262C100 75 1300 SH OTHER 05 0 1300 0
D MBIA, INC. COMMON 55262C100 3698 63756 SH OTHER 01 34195 29561 0
D MBIA, INC. COMMON 55262C100 3480 60000 SH OTHER 0304 60000 0 0
D MBNA CORP. COMMON 55262L100 3214 134600 SH DEFINED 06 134600 0 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 128
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D MBNA CORP. COMMON 55262L100 424 17775 SH DEFINED 05 14625 0 3150
D MBNA CORP. COMMON 55262L100 208 8706 SH DEFINED 8706 0 0
D MBNA CORP. COMMON 55262L100 1384 57975 SH DEFINED 01 5250 0 52725
D MBNA CORP. COMMON 55262L100 1059 44370 SH DEFINED 02 33470 0 10900
D MBL INT'L FIN. BER. 3% CSD 11/ BOND 55262XAA2 6560 8000000 PRN DEFINED 01
D MCI WORLDCOM INC COMMON 55268B106 14041 158548 SH DEFINED 05 60857 0 97691
D MCI WORLDCOM INC COMMON 55268B106 63 706 SH DEFINED 706 0 0
D MCI WORLDCOM INC COMMON 55268B106 881323 9951365 SH DEFINED 9951365 0 0
D MCI WORLDCOM INC COMMON 55268B106 854937 9653431 SH DEFINED 01 4986423 0 4667008
D MCI WORLDCOM INC COMMON 55268B106 1476192 16668270 SH DEFINED 02 11961996 0 4706274
D MCI WORLDCOM INC COMMON 55268B106 493 5565 SH OTHER 05 1700 3865 0
D MCI WORLDCOM INC COMMON 55268B106 6226 70300 SH OTHER 09 70300 0 0
D MCI WORLDCOM INC COMMON 55268B106 50560 570898 SH OTHER 01 244240 326658 0
D MCI WORLDCOM INC COMMON 55268B106 4871 55000 SH OTHER 0304 55000 0 0
D MFS MULTIMARKET INCOME TRUST - COMMON 552737108 191 30000 SH DEFINED 01
D MGI PROPERTIES, INC. COMMON 552885105 30 1100 SH DEFINED 01 1100 0 0
D MGI PROPERTIES, INC. COMMON 552885105 246 9000 SH DEFINED 02 0 0 9000
D MGM GRAND, INC. COMMON 552953101 34 1000 SH DEFINED 05 0 0 1000
D MGM GRAND, INC. COMMON 552953101 7838 233100 SH DEFINED 01 198900 0 34200
D MGM GRAND, INC. COMMON 552953101 9263 275479 SH DEFINED 02 203113 0 72366
D MGM GRAND, INC. COMMON 552953101 10 300 SH OTHER 01 300 0 0
D MMI COMPANIES, INC. COMMON 553087107 2889 187913 SH DEFINED 187913 0 0
D MMI COMPANIES, INC. COMMON 553087107 174 11300 SH DEFINED 02 0 0 11300
D MSC INDUSTRIAL DIRECT CO., INC COMMON 553530106 85 5000 SH DEFINED 01 5000 0 0
D MTI TECHNOLOGY CORP COMMON 553903105 127 23000 SH DEFINED 02 0 0 23000
D MACDERMID, INC. COMMON 554273102 641 18900 SH DEFINED 02 0 0 18900
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 129
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D MACDERMID, INC. COMMON 554273102 950 28000 SH OTHER 01 0 28000 0
D MACERICH CO. COMMON 554382101 6661 293600 SH DEFINED 01 293600 0 0
D MACERICH CO. COMMON 554382101 11541 508700 SH DEFINED 02 444100 0 64600
D MACROCHEM CORPORATION COMMON 555903103 232 24700 SH DEFINED 02 0 0 24700
D MACROMEDIA, INC. COMMON 556100105 150 3300 SH DEFINED 05 0 0 3300
D MACROMEDIA, INC. COMMON 556100105 17572 387800 SH DEFINED 01 305400 0 82400
D MACROMEDIA, INC. COMMON 556100105 5311 117200 SH DEFINED 02 89100 0 28100
D STEVEN MADDEN, LTD. COMMON 556269108 60 7100 SH DEFINED 05 0 0 7100
D STEVEN MADDEN, LTD. COMMON 556269108 5382 637800 SH DEFINED 01 465000 0 172800
D STEVEN MADDEN, LTD. COMMON 556269108 94 11100 SH DEFINED 02 3400 0 7700
D MADISON GAS & ELECTRIC CO. COMMON 557497104 339 17375 SH DEFINED 02 0 0 17375
D MAGAININ PHARMACEUTICALS, INC. COMMON 559036108 195 125000 SH DEFINED 125000 0 0
D MAGNA INTERNATIONAL INC PFD CV BOND 559222AE4 3105 3000000 PRN DEFINED 02
D MAGNETEK, INC. COMMON 559424106 2295 274000 SH DEFINED 01 274000 0 0
D MAGNETEK, INC. COMMON 559424106 892 106500 SH DEFINED 02 106500 0 0
D MALLINCKRODT INC COMMON 561232109 160 6000 SH DEFINED 05 0 0 6000
D MALLINCKRODT INC COMMON 561232109 26 989 SH DEFINED 989 0 0
D MALLINCKRODT INC COMMON 561232109 40 1500 SH DEFINED 01 1500 0 0
D MANITOWOC, INC. COMMON 563571108 1683 40200 SH DEFINED 01 40200 0 0
D MANITOWOC, INC. COMMON 563571108 876 20925 SH DEFINED 02 13500 0 7425
D MANPOWER, INC. COMMON 56418H100 432 18500 SH DEFINED 01 18500 0 0
D MANPOWER, INC. COMMON 56418H100 157 6700 SH DEFINED 02 1400 0 5300
D MANSUR INDUSTRIES, INC. COMMON 564491108 457 53000 SH DEFINED 01 53000 0 0
D MANUFACTURED HOME COMMUNITIES, COMMON 564682102 4332 180500 SH DEFINED 01 180500 0 0
D MANUFACTURED HOME COMMUNITIES, COMMON 564682102 7291 303800 SH DEFINED 02 240300 0 63500
D MAPICS, INC. COMMON 564910107 62 8000 SH DEFINED 05 0 0 8000
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 130
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D MAPICS, INC. COMMON 564910107 5189 674900 SH DEFINED 01 489500 0 185400
D MAPICS, INC. COMMON 564910107 3047 396280 SH DEFINED 02 310680 0 85600
D MARCUS CORP. COMMON 566330106 245 20387 SH DEFINED 02 16000 0 4387
D MARINER POST-ACUTE NETWORK I COMMON 568459101 457 208900 SH DEFINED 01 208900 0 0
D MARINER POST-ACUTE NETWORK I COMMON 568459101 198 90300 SH DEFINED 02 87200 0 3100
D MARK IV INDUSTRIES, INC. COMMON 570387100 244 18800 SH DEFINED 02 0 0 18800
D MARKEL CORP. COMMON 570535104 306 1700 SH DEFINED 02 0 0 1700
D MARKWEST HYDROCARBON INC COMMON 570762104 11 1500 SH DEFINED 05 0 0 1500
D MARKWEST HYDROCARBON INC COMMON 570762104 835 111300 SH DEFINED 01 82200 0 29100
D MARSH & MCLENNAN COMPANIES, IN COMMON 571748102 397 5351 SH DEFINED 05 3251 0 2100
D MARSH & MCLENNAN COMPANIES, IN COMMON 571748102 8378 112835 SH DEFINED 112835 0 0
D MARSH & MCLENNAN COMPANIES, IN COMMON 571748102 142678 1921594 SH DEFINED 01 1240115 0 681479
D MARSH & MCLENNAN COMPANIES, IN COMMON 571748102 377826 5088568 SH DEFINED 02 3978866 0 1109702
D MARSH & MCLENNAN COMPANIES, IN COMMON 571748102 2256 30387 SH OTHER 09 30387 0 0
D MARSH & MCLENNAN COMPANIES, IN COMMON 571748102 13022 175385 SH OTHER 01 40930 134455 0
D MARSH & MCLENNAN COMPANIES, IN COMMON 571748102 3453 46500 SH OTHER 0304 46500 0 0
D MARSHALL & ILSLEY CORP. COMMON 571834100 27 490 SH DEFINED 05 490 0 0
D MARSHALL & ILSLEY CORP. COMMON 571834100 19 345 SH DEFINED 345 0 0
D MARSHALL & ILSLEY CORP. COMMON 571834100 3448 62200 SH DEFINED 01 43400 0 18800
D MARSHALL & ILSLEY CORP. COMMON 571834100 4728 85283 SH DEFINED 02 35042 0 50241
D MARRIOTT INTERNATIONAL INC COMMON 571903202 94 2806 SH DEFINED 2806 0 0
D MARRIOTT INTERNATIONAL INC COMMON 571903202 968 28800 SH DEFINED 02 0 0 28800
D MARSHALL INDUSTRIES COMMON 572393106 1 100 SH DEFINED 100 0 0
D MARSHALL INDUSTRIES COMMON 572393106 302 22400 SH DEFINED 02 5400 0 17000
D MARTEK BIOSCIENCES CORP. COMMON 572901106 4 700 SH DEFINED 05 0 0 700
D MARTEK BIOSCIENCES CORP. COMMON 572901106 403 71700 SH DEFINED 01 50000 0 21700
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 131
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D MARTEK BIOSCIENCES CORP. COMMON 572901106 6 1000 SH DEFINED 02 0 0 1000
D MARVEL ENTERPRISES INC COMMON 57383M108 225 34300 SH DEFINED 02 0 0 34300
D MASCO CORP. COMMON 574599106 102 3618 SH DEFINED 3618 0 0
D MASCO CORP. COMMON 574599106 2016 71376 SH DEFINED 01 9400 0 61976
D MASCO CORP. COMMON 574599106 1054 37300 SH DEFINED 02 27400 0 9900
D MASCO CORP. COMMON 574599106 452 16000 SH OTHER 01 0 16000 0
D MASCOTECH, INC 4.5% CSD DUE 12 BOND 574670AB1 3220 4000000 PRN DEFINED 02
D MASCOTECH, INC. COMMON 574670105 178 11500 SH DEFINED 02 0 0 11500
D MATTEL, INC. COMMON 577081102 888 35600 SH DEFINED 05 7600 0 28000
D MATTEL, INC. COMMON 577081102 78 3132 SH DEFINED 3132 0 0
D MATTEL, INC. COMMON 577081102 104449 4188346 SH DEFINED 01 2628989 0 1559357
D MATTEL, INC. COMMON 577081102 304536 12211730 SH DEFINED 02 9128530 0 3083200
D MATTEL, INC. COMMON 577081102 1207 48400 SH OTHER 09 48400 0 0
D MATTEL, INC. COMMON 577081102 3530 141558 SH OTHER 01 113008 28550 0
D MATTEL, INC. COMMON 577081102 1122 45000 SH OTHER 0304 45000 0 0
D MATTHEWS INTL CORP COMMON 577128101 318 11600 SH DEFINED 02 0 0 11600
D MAXIM INTEGRATED PRODUCTS, INC COMMON 57772K101 541 10000 SH DEFINED 06 10000 0 0
D MAXIM INTEGRATED PRODUCTS, INC COMMON 57772K101 1970 36400 SH DEFINED 02 0 0 36400
D MAXTOR CORP COMMON 577729205 71 10000 SH DEFINED 05 0 0 10000
D MAXTOR CORP COMMON 577729205 7385 1045600 SH DEFINED 01 784150 0 261450
D MAXTOR CORP COMMON 577729205 3763 532800 SH DEFINED 02 397500 0 135300
D MAY DEPARTMENT STORES CO. COMMON 577778103 2054 52500 SH DEFINED 06 52500 0 0
D MAY DEPARTMENT STORES CO. COMMON 577778103 68 1750 SH DEFINED 05 1750 0 0
D MAY DEPARTMENT STORES CO. COMMON 577778103 163 4156 SH DEFINED 4156 0 0
D MAY DEPARTMENT STORES CO. COMMON 577778103 43100 1101600 SH DEFINED 01 772950 0 328650
D MAY DEPARTMENT STORES CO. COMMON 577778103 70961 1813702 SH DEFINED 02 1097760 0 715942
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 132
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D MAY DEPARTMENT STORES CO. COMMON 577778103 1003 25632 SH OTHER 01 7302 18330 0
D MAXXAM, INC. COMMON 577913106 443 8800 SH DEFINED 02 1600 0 7200
D MAVERICK TUBE CORP. COMMON 577914104 132 18700 SH DEFINED 02 0 0 18700
D MCCORMICK & CO., INC. NON-VOTI COMMON 579780206 438 15090 SH DEFINED 01
D MCDONALD'S CORP. COMMON 580135101 1523 33600 SH DEFINED 05 6000 0 27600
D MCDONALD'S CORP. COMMON 580135101 389207 8589308 SH DEFINED 8589308 0 0
D MCDONALD'S CORP. COMMON 580135101 78890 1740998 SH DEFINED 01 715748 0 1025250
D MCDONALD'S CORP. COMMON 580135101 51872 1144746 SH DEFINED 02 436846 0 707900
D MCDONALD'S CORP. COMMON 580135101 19439 429000 SH OTHER 01 44600 384400 0
D MCGRAW-HILL, INC. COMMON 580645109 144 2638 SH DEFINED 2638 0 0
D MCGRAW-HILL, INC. COMMON 580645109 4555 83576 SH DEFINED 01 64712 0 18864
D MCGRAW-HILL, INC. COMMON 580645109 1286 23600 SH DEFINED 02 0 0 23600
D MCGRAW-HILL, INC. COMMON 580645109 4236 77728 SH OTHER 01 0 77728 0
D MCKESSON HBOC INC COMMON 58155Q103 66 1000 SH DEFINED 05 1000 0 0
D MCKESSON HBOC INC COMMON 58155Q103 194 2938 SH DEFINED 2938 0 0
D MCKESSON HBOC INC COMMON 58155Q103 2863 43374 SH DEFINED 02 0 0 43374
D MEAD CORP. COMMON 582834107 1261 41000 SH DEFINED 05 10300 0 30700
D MEAD CORP. COMMON 582834107 42 1376 SH DEFINED 1376 0 0
D MEAD CORP. COMMON 582834107 8215 267150 SH DEFINED 01 189100 0 78050
D MEAD CORP. COMMON 582834107 11052 359426 SH DEFINED 02 236526 0 122900
D MEAD CORP. COMMON 582834107 2676 87034 SH OTHER 01 13800 73234 0
D MEAD CORP. COMMON 582834107 923 30000 SH OTHER 0304 30000 0 0
D MEDAPHIS CORP. COMMON 584028104 1 300 SH DEFINED 01 300 0 0
D MEDAPHIS CORP. COMMON 584028104 37 15000 SH DEFINED 02 0 0 15000
D MEDIAONE GROUP INC COMMON 58440J104 2601 41000 SH DEFINED 05 15900 0 25100
D MEDIAONE GROUP INC COMMON 58440J104 428 6749 SH DEFINED 6749 0 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 133
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D MEDIAONE GROUP INC COMMON 58440J104 51067 804994 SH DEFINED 01 423591 0 381403
D MEDIAONE GROUP INC COMMON 58440J104 50147 790490 SH DEFINED 02 481190 0 309300
D MEDIAONE GROUP INC COMMON 58440J104 285 4500 SH OTHER 05 4500 0 0
D MEDIAONE GROUP INC COMMON 58440J104 14775 232907 SH OTHER 01 69970 162937 0
D MEDIAONE GROUP INC PFD CV SERI PREF-CONV 58440J203 11976 93149 SH OTHER 01
D MEDIA GENERAL, INC. CLASS "A" COMMON 584404107 2790 60000 SH OTHER 101112 0 60000 0
D MEDIA GENERAL, INC. CLASS "A" COMMON 584404107 233 5000 SH OTHER 01 0 5000 0
D MEDICIS PHARMACEUTICAL CORP. COMMON 584690309 711 23700 SH DEFINED 02 0 0 23700
D MEDIMMUNE, INC. COMMON 584699102 414 7000 SH DEFINED 7000 0 0
D MEDIMMUNE, INC. COMMON 584699102 30198 510200 SH DEFINED 01 421100 0 89100
D MEDIMMUNE, INC. COMMON 584699102 58663 991124 SH DEFINED 02 752524 0 238600
D MEDIMMUNE, INC. COMMON 584699102 166 2800 SH OTHER 01 2800 0 0
D MEDQUIST, INC. COMMON 584949101 168 5600 SH DEFINED 05 0 0 5600
D MEDQUIST, INC. COMMON 584949101 15153 505100 SH DEFINED 01 362400 0 142700
D MEDQUIST, INC. COMMON 584949101 1176 39200 SH DEFINED 02 22700 0 16500
D MEDITRUST COMPANIES COMMON 58501T306 842 67700 SH DEFINED 01 67700 0 0
D MEDITRUST COMPANIES COMMON 58501T306 13060 1049990 SH DEFINED 02 935840 0 114150
D MEDTRONIC, INC. COMMON 585055106 259 3600 SH DEFINED 05 2400 0 1200
D MEDTRONIC, INC. COMMON 585055106 95307 1326007 SH DEFINED 1326007 0 0
D MEDTRONIC, INC. COMMON 585055106 61456 855040 SH DEFINED 01 252912 0 602128
D MEDTRONIC, INC. COMMON 585055106 90688 1261746 SH DEFINED 02 1032480 0 229266
D MEDTRONIC, INC. COMMON 585055106 20226 281400 SH OTHER 01 900 280500 0
D MELLON BANK CORP. COMMON 585509102 422 6000 SH DEFINED 05 6000 0 0
D MELLON BANK CORP. COMMON 585509102 915 12997 SH DEFINED 12997 0 0
D MELLON BANK CORP. COMMON 585509102 36247 515058 SH DEFINED 01 310742 0 204316
D MELLON BANK CORP. COMMON 585509102 36241 514970 SH DEFINED 02 255870 0 259100
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 134
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D MELLON BANK CORP. COMMON 585509102 1486 21118 SH OTHER 01 3878 17240 0
D MENTOR CORP. COMMON 587188103 267 18200 SH DEFINED 02 0 0 18200
D MERCANTILE BANCORPORATION, INC COMMON 587342106 87 1832 SH DEFINED 1832 0 0
D MERCANTILE BANCORPORATION, INC COMMON 587342106 16155 340100 SH DEFINED 01 244400 0 95700
D MERCANTILE BANCORPORATION, INC COMMON 587342106 37895 797796 SH DEFINED 02 564246 0 233550
D MERCANTILE BANCORPORATION, INC COMMON 587342106 48 1000 SH OTHER 01 1000 0 0
D MERCANTILE BANKSHARES CORP. COMMON 587405101 9 234 SH DEFINED 234 0 0
D MERCANTILE BANKSHARES CORP. COMMON 587405101 2215 59856 SH DEFINED 01 22300 0 37556
D MERCANTILE BANKSHARES CORP. COMMON 587405101 2944 79556 SH DEFINED 02 36256 0 43300
D MERCANTILE BANKSHARES CORP. COMMON 587405101 83 2250 SH OTHER 01 0 2250 0
D MERCK & CO., INC. COMMON 589331107 11640 145268 SH DEFINED 05 62902 0 82366
D MERCK & CO., INC. COMMON 589331107 3153 39348 SH DEFINED 39348 0 0
D MERCK & CO., INC. COMMON 589331107 674578 8419074 SH DEFINED 01 3181150 0 5237924
D MERCK & CO., INC. COMMON 589331107 452139 5642924 SH DEFINED 02 3824224 0 1818700
D MERCK & CO., INC. COMMON 589331107 1487 18558 SH OTHER 05 5458 13100 0
D MERCK & CO., INC. COMMON 589331107 4167 52000 SH OTHER 101112 0 52000 0
D MERCK & CO., INC. COMMON 589331107 2308 28800 SH OTHER 09 28800 0 0
D MERCK & CO., INC. COMMON 589331107 205851 2569120 SH OTHER 01 451548 2117572 0
D MERCURY COMPUTER SYS COMMON 589378108 430 23900 SH OTHER 01 0 23900 0
D MERCURY GENERAL CORP. COMMON 589400100 7 200 SH DEFINED 05 200 0 0
D MERCURY GENERAL CORP. COMMON 589400100 15802 453100 SH DEFINED 01 285300 0 167800
D MERCURY GENERAL CORP. COMMON 589400100 46661 1337948 SH DEFINED 02 957648 0 380300
D MERCURY GENERAL CORP. COMMON 589400100 21 600 SH OTHER 01 600 0 0
D MERCURY INTERACTIVE CORPORATIO COMMON 589405109 175 4900 SH DEFINED 01 4900 0 0
D MERCURY INTERACTIVE CORPORATIO COMMON 589405109 620 17400 SH DEFINED 02 1600 0 15800
D MEREDITH CORP. COMMON 589433101 21 679 SH DEFINED 679 0 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 135
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D MEREDITH CORP. COMMON 589433101 997 31700 SH DEFINED 01 31700 0 0
D MEREDITH CORP. COMMON 589433101 248 7900 SH DEFINED 02 1600 0 6300
D MERIDIAN INDL TR INC COMMON 589643105 0 3500 SH DEFINED 01 3500 0 0
D MERIDIAN INDL TR INC COMMON 589643105 0 23200 SH DEFINED 02 23200 0 0
D MERIDIAN RESOURCE CORP COMMON 58977Q109 58 17280 SH DEFINED 02 0 0 17280
D MERISTAR HOSPITALITY CORP COMMON 58984Y103 5698 313266 SH DEFINED 01 313266 0 0
D MERISTAR HOSPITALITY CORP COMMON 58984Y103 6410 352404 SH DEFINED 02 266207 0 86197
D MERISEL, INC. COMMON 589849108 32 24100 SH DEFINED 01 24100 0 0
D MERISEL, INC. COMMON 589849108 66 49100 SH DEFINED 02 11900 0 37200
D MERIDIAN GOLD INC COMMON 589975101 99 16800 SH DEFINED 02 0 0 16800
D MERRILL CORP. COMMON 590175105 486 36300 SH DEFINED 01 36300 0 0
D MERRILL CORP. COMMON 590175105 369 27600 SH DEFINED 02 26800 0 800
D MERRILL LYNCH & CO., INC. COMMON 590188108 53 600 SH DEFINED 05 600 0 0
D MERRILL LYNCH & CO., INC. COMMON 590188108 430 4864 SH DEFINED 4864 0 0
D MERRILL LYNCH & CO., INC. COMMON 590188108 16877 190700 SH DEFINED 01 167000 0 23700
D MERRILL LYNCH & CO., INC. COMMON 590188108 13310 150400 SH DEFINED 02 57200 0 93200
D METALS USA INC COMMON 591324108 102 11700 SH DEFINED 02 0 0 11700
D METAMORE WORLDWIDE INC BOND 59133PAA8 2498 3000000 PRN DEFINED 02
D METAMOR WORLDWIDE, INC. COMMON 59133P100 4 300 SH DEFINED 01 300 0 0
D METAMOR WORLDWIDE, INC. COMMON 59133P100 123 8800 SH DEFINED 02 0 0 8800
D METAMOR WORLDWIDE, INC. COMMON 59133P100 63 4500 SH OTHER 01 0 4500 0
D METHODE ELECTRONICS, INC. COMMON 591520200 168 15100 SH DEFINED 01 15100 0 0
D METHODE ELECTRONICS, INC. COMMON 591520200 260 23400 SH DEFINED 02 6600 0 16800
D METRIKA SYSTEMS CORP COMMON 59159M106 775 100000 SH DEFINED 01 0 0 100000
D METRIS COMPANIES, INC COMMON 591598107 226 5600 SH DEFINED 01 5600 0 0
D METRIS COMPANIES, INC COMMON 591598107 123 3050 SH DEFINED 02 2100 0 950
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 136
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D METRO INFORMATION SERVICES I COMMON 59162P104 1119 61500 SH DEFINED 01 61500 0 0
D METRO INFORMATION SERVICES I COMMON 59162P104 491 27000 SH DEFINED 02 27000 0 0
D METRO ONE TELECOMMUNICATIONS COMMON 59163F105 34 2400 SH DEFINED 05 0 0 2400
D METRO ONE TELECOMMUNICATIONS COMMON 59163F105 3031 212700 SH DEFINED 01 154500 0 58200
D METRO ONE TELECOMMUNICATIONS COMMON 59163F105 37 2600 SH DEFINED 02 0 0 2600
D METROCALL, INC. COMMON 591647102 0 5 SH DEFINED 5 0 0
D METROCALL, INC. COMMON 591647102 82 26900 SH DEFINED 02 0 0 26900
D METRONET COMMUNICATIONS CORP. COMMON 59169Y108 913 16600 SH DEFINED 01 16600 0 0
D METRONET COMMUNICATIONS CORP. COMMON 59169Y108 352 6400 SH DEFINED 02 4400 0 2000
D METROMEDIA INTERNATIONAL GROUP COMMON 591695101 22 4500 SH DEFINED 01 0 0 4500
D METROMEDIA INTERNATIONAL GROUP COMMON 591695101 12 2457 SH DEFINED 02 0 0 2457
D METTLER TOLEDO INTERNATIONAL COMMON 592688105 3517 142100 SH DEFINED 01 142100 0 0
D METTLER TOLEDO INTERNATIONAL COMMON 592688105 9608 388200 SH DEFINED 02 302700 0 85500
D METZLER GROUP INC COMMON 592903108 0 6 SH DEFINED 6 0 0
D METZLER GROUP INC COMMON 592903108 1104 35200 SH DEFINED 01 35200 0 0
D METZLER GROUP INC COMMON 592903108 3072 97900 SH DEFINED 02 76700 0 21200
D MEYER FRED, INC. COMMON 592907109 698 11860 SH DEFINED 11860 0 0
D MEYER FRED, INC. COMMON 592907109 4157 70600 SH DEFINED 01 57700 0 12900
D MEYER FRED, INC. COMMON 592907109 39888 677500 SH DEFINED 02 429100 0 248400
D MICHAEL FOODS, INC. COMMON 594079105 44 2324 SH DEFINED 01 0 0 2324
D MICHAEL FOODS, INC. COMMON 594079105 480 25200 SH DEFINED 02 0 0 25200
D MICHAELS STORES, INC. COMMON 594087108 978 39600 SH DEFINED 01 39600 0 0
D MICHAELS STORES, INC. COMMON 594087108 469 19000 SH DEFINED 02 18100 0 900
D MICROSOFT CORP. COMMON 594918104 15143 168961 SH DEFINED 05 63749 0 105212
D MICROSOFT CORP. COMMON 594918104 248197 2769288 SH DEFINED 2769288 0 0
D MICROSOFT CORP. COMMON 594918104 970875 10832634 SH DEFINED 01 6121337 0 4711297
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 137
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D MICROSOFT CORP. COMMON 594918104 1636875 18263596 SH DEFINED 02 12497226 0 5766370
D MICROSOFT CORP. COMMON 594918104 2384 26600 SH OTHER 05 20800 5800 0
D MICROSOFT CORP. COMMON 594918104 4732 52800 SH OTHER 09 52800 0 0
D MICROSOFT CORP. COMMON 594918104 110739 1235580 SH OTHER 01 323404 912176 0
D MICROSOFT CORPORATION PFD A PREFERRED 594918203 3989 40500 SH DEFINED 01
D MICROSOFT CORPORATION PFD A PREFERRED 594918203 4679 47500 SH DEFINED 02
D MICROAGE, INC. - RESTRICTED COMMON 594928103 34 6300 SH DEFINED 01 6300 0 0
D MICROAGE, INC. - RESTRICTED COMMON 594928103 93 17250 SH DEFINED 02 6600 0 10650
D MICROSTRATEGY INC COMMON 594972101 89 4600 SH DEFINED 05 0 0 4600
D MICROSTRATEGY INC COMMON 594972101 9881 513300 SH DEFINED 01 395200 0 118100
D MICROSTRATEGY INC COMMON 594972101 5498 285600 SH DEFINED 02 215200 0 70400
D MICRO WAREHOUSE, INC. COMMON 59501B105 587 36400 SH DEFINED 01 36400 0 0
D MICRO WAREHOUSE, INC. COMMON 59501B105 442 27395 SH DEFINED 02 21800 0 5595
D MICROCHIP TECHNOLOGY, INC. COMMON 595017104 3559 102800 SH DEFINED 01 102800 0 0
D MICROCHIP TECHNOLOGY, INC. COMMON 595017104 805 23250 SH DEFINED 02 15800 0 7450
D MICROFINANCIAL INC COMMON 595072109 371 25600 SH DEFINED 01 25600 0 0
D MICROFINANCIAL INC COMMON 595072109 1027 70800 SH DEFINED 02 55400 0 15400
D MICRON ELECTRONICS INC COMMON 595100108 360 30600 SH DEFINED 01 30600 0 0
D MICRON ELECTRONICS INC COMMON 595100108 141 12000 SH DEFINED 02 11800 0 200
D MIDAMERICAN ENERGY HLDGS NEW COMMON 59562V107 5695 203400 SH DEFINED 01 153400 0 50000
D MIDAMERICAN ENERGY HLDGS NEW COMMON 59562V107 1691 60400 SH DEFINED 02 10200 0 50200
D MIDLAND BAND PLC 8.875% PREFERRED 597433309 22011 854782 SH DEFINED 06
D MIDWAY GAMES INC COMMON 598148104 21 2400 SH DEFINED 01 2400 0 0
D MIDWAY GAMES INC COMMON 598148104 243 27918 SH DEFINED 02 14500 0 13418
D MIKASA, INC. COMMON 59862T109 153 20800 SH DEFINED 02 7800 0 13000
D MILACRON INC COMMON 598709103 10 617 SH DEFINED 617 0 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 138
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D MILACRON INC COMMON 598709103 3137 199200 SH DEFINED 01 189000 0 10200
D MILACRON INC COMMON 598709103 1753 111300 SH DEFINED 02 42400 0 68900
D MILLENNIUM PHARMACEUTICALS, IN COMMON 599902103 194 6200 SH DEFINED 05 0 0 6200
D MILLENNIUM PHARMACEUTICALS, IN COMMON 599902103 347 11100 SH DEFINED 11100 0 0
D MILLENNIUM PHARMACEUTICALS, IN COMMON 599902103 22841 730900 SH DEFINED 01 574800 0 156100
D MILLENNIUM PHARMACEUTICALS, IN COMMON 599902103 12747 407900 SH DEFINED 02 286300 0 121600
D MILLIPORE CORP. COMMON 601073109 14 562 SH DEFINED 562 0 0
D MILLS CORP. COMMON 601148109 6388 356100 SH DEFINED 01 356100 0 0
D MILLS CORP. COMMON 601148109 7575 422300 SH DEFINED 02 358200 0 64100
D MINDSPRING ENTERPRISES COMMON 602683104 491 5700 SH DEFINED 01 5700 0 0
D MINDSPRING ENTERPRISES COMMON 602683104 207 2400 SH DEFINED 02 2200 0 200
D MINE SAFETY APPLIANCES, CO. COMMON 602720104 75 1300 SH DEFINED 05 1300 0 0
D MINE SAFETY APPLIANCES, CO. COMMON 602720104 70 1200 SH DEFINED 02 1200 0 0
D MINE SAFETY APPLIANCES, CO. COMMON 602720104 139 2400 SH OTHER 01 0 2400 0
D MINERALS TECHNOLOGIES, INC. COMMON 603158106 3586 74700 SH DEFINED 01 73900 0 800
D MINERALS TECHNOLOGIES, INC. COMMON 603158106 5621 117100 SH DEFINED 02 97100 0 20000
D MINIMED, INC. COMMON 60365K108 22086 217325 SH DEFINED 01 217325 0 0
D MINIMED, INC. COMMON 60365K108 1382 13600 SH DEFINED 02 10100 0 3500
D MINNESOTA MINING & MANUFACTURI COMMON 604059105 991 14000 SH DEFINED 06 14000 0 0
D MINNESOTA MINING & MANUFACTURI COMMON 604059105 758 10720 SH DEFINED 05 4320 0 6400
D MINNESOTA MINING & MANUFACTURI COMMON 604059105 304 4299 SH DEFINED 4299 0 0
D MINNESOTA MINING & MANUFACTURI COMMON 604059105 20338 287469 SH DEFINED 01 113938 0 173531
D MINNESOTA MINING & MANUFACTURI COMMON 604059105 71 1000 SH DEFINED 02 1000 0 0
D MINNESOTA MINING & MANUFACTURI COMMON 604059105 42 600 SH OTHER 05 600 0 0
D MINNESOTA MINING & MANUFACTURI COMMON 604059105 14789 209036 SH OTHER 01 38944 170092 0
D MINNESOTA POWER & LIGHT CO. COMMON 604110106 300 15200 SH DEFINED 01 15200 0 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 139
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D MINNESOTA POWER & LIGHT CO. COMMON 604110106 180 9100 SH DEFINED 02 9100 0 0
D MIRAGE RESORTS, INC. COMMON 60462E104 51 2400 SH DEFINED 05 2400 0 0
D MIRAGE RESORTS, INC. COMMON 60462E104 45 2106 SH DEFINED 2106 0 0
D MIRAGE RESORTS, INC. COMMON 60462E104 66315 3120700 SH DEFINED 01 2392500 0 728200
D MIRAGE RESORTS, INC. COMMON 60462E104 272077 12803638 SH DEFINED 02 10642038 0 2161600
D MIRAGE RESORTS, INC. COMMON 60462E104 87 4100 SH OTHER 01 4100 0 0
D MISSISSIPPI CHEMICAL CORP. COMMON 605288208 2 200 SH DEFINED 01 200 0 0
D MISSISSIPPI CHEMICAL CORP. COMMON 605288208 195 20800 SH DEFINED 02 4500 0 16300
D MISSISSIPPI VALLEY BANCSHARES, COMMON 605720101 257 8000 SH DEFINED 8000 0 0
D MITCHELL ENERGY & DEV. CORP. C COMMON 606592202 160 12900 SH DEFINED 02 0 0 12900
D MOBIL CORP. COMMON 607059102 5361 60920 SH DEFINED 05 28820 0 32100
D MOBIL CORP. COMMON 607059102 6461 73425 SH DEFINED 73425 0 0
D MOBIL CORP. COMMON 607059102 592892 6737411 SH DEFINED 01 3108475 0 3628936
D MOBIL CORP. COMMON 607059102 971085 11035061 SH DEFINED 02 7994759 0 3040302
D MOBIL CORP. COMMON 607059102 790 8980 SH OTHER 05 2000 6980 0
D MOBIL CORP. COMMON 607059102 3265 37100 SH OTHER 09 37100 0 0
D MOBIL CORP. COMMON 607059102 35194 399930 SH OTHER 01 56579 343351 0
D MOBIL CORP. COMMON 607059102 2640 30000 SH OTHER 0304 30000 0 0
D MODINE MANUFACTURING CO. COMMON 607828100 11770 419420 SH DEFINED 01 289820 0 129600
D MODINE MANUFACTURING CO. COMMON 607828100 14556 518700 SH DEFINED 02 360900 0 157800
D MODIS PROFESSIONAL SERVICES, I COMMON 607830106 2694 297300 SH DEFINED 01 97300 0 200000
D MODIS PROFESSIONAL SERVICES, I COMMON 607830106 334 36800 SH DEFINED 02 7400 0 29400
D MOHAWK INDUSTRIES, INC. COMMON 608190104 2508 83600 SH DEFINED 01 83600 0 0
D MOHAWK INDUSTRIES, INC. COMMON 608190104 1258 41938 SH DEFINED 02 9400 0 32538
D MOLEX, INC. COMMON 608554101 269 9152 SH OTHER 01 0 9152 0
D MOLEX, INC. CLASS "A" COMMON 608554200 532 20567 SH DEFINED 01
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 140
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D MOLEX, INC. CLASS "A" COMMON 608554200 237 9152 SH OTHER 01
D MONARCH DENTAL CORPORATION COMMON 609044102 153 48900 SH DEFINED 01 48900 0 0
D MONARCH DENTAL CORPORATION COMMON 609044102 67 21400 SH DEFINED 02 21400 0 0
D MONDAVI (ROBERT) CORPORATION C COMMON 609200100 114 3200 SH DEFINED 05 0 0 3200
D MONDAVI (ROBERT) CORPORATION C COMMON 609200100 10940 306000 SH DEFINED 01 218600 0 87400
D MONDAVI (ROBERT) CORPORATION C COMMON 609200100 175 4900 SH DEFINED 02 1000 0 3900
D MONSANTO CO. COMMON 611662107 1025 22316 SH DEFINED 05 7116 0 15200
D MONSANTO CO. COMMON 611662107 315 6854 SH DEFINED 6854 0 0
D MONSANTO CO. COMMON 611662107 264938 5767304 SH DEFINED 01 3638720 0 2128584
D MONSANTO CO. COMMON 611662107 743015 16174303 SH DEFINED 02 12328719 0 3845584
D MONSANTO CO. COMMON 611662107 2697 58700 SH OTHER 09 58700 0 0
D MONSANTO CO. COMMON 611662107 8172 177898 SH OTHER 01 106880 71018 0
D MONSANTO CO. COMMON 611662107 1608 35000 SH OTHER 0304 35000 0 0
D MONTANA POWER CO. COMMON 612085100 2825 38400 SH DEFINED 01 38400 0 0
D MONTANA POWER CO. COMMON 612085100 493 6700 SH DEFINED 02 900 0 5800
D MONTANA POWER CO. COMMON 612085100 309 4200 SH OTHER 01 0 4200 0
D MOOG, INC. COMMON 615394202 58 1900 SH DEFINED 01 1900 0 0
D MOOG, INC. COMMON 615394202 165 5400 SH DEFINED 02 1800 0 3600
D MORGAN (J. P.) & CO. COMMON 616880100 1362 11041 SH DEFINED 05 5141 0 5900
D MORGAN (J. P.) & CO. COMMON 616880100 33403 270746 SH DEFINED 01 112351 0 158395
D MORGAN (J. P.) & CO. COMMON 616880100 12 100 SH DEFINED 02 0 0 100
D MORGAN (J. P.) & CO. COMMON 616880100 2112 17116 SH OTHER 05 600 16516 0
D MORGAN (J. P.) & CO. COMMON 616880100 23157 187693 SH OTHER 01 12000 175693 0
D MORGAN (J. P.) & CO. COMMON 616880100 3948 32000 SH OTHER 0304 32000 0 0
D MORGAN KEEGAN, INC. COMMON 617410105 252 15187 SH DEFINED 02 0 0 15187
D MORGAN STANLEY EMERGING MKTS. COMMON 61744G107 197 20630 SH DEFINED 01 0 0 20630
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 141
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D MORGAN STAN EMG MKT DEBT FD COMMON 61744H105 14489 1931922 SH DEFINED 01 0 0 1931922
D MORGN ST D WITTR DISCV COMMON 617446448 297 2974 SH DEFINED 05 2574 0 400
D MORGN ST D WITTR DISCV COMMON 617446448 162511 1626120 SH DEFINED 01 1057932 0 568188
D MORGN ST D WITTR DISCV COMMON 617446448 256801 2569604 SH DEFINED 02 1708634 0 860970
D MORGN ST D WITTR DISCV COMMON 617446448 9008 90140 SH OTHER 01 46180 43960 0
D MORRISON HEALTH CARE INC COMMON 61841L108 53 2959 SH DEFINED 01 400 0 2559
D MORRISON HEALTH CARE INC COMMON 61841L108 511 28600 SH DEFINED 02 12600 0 16000
D MORTON INTERNATIONAL, INC. COMMON 619335102 7 200 SH DEFINED 05 200 0 0
D MORTON INTERNATIONAL, INC. COMMON 619335102 58 1591 SH DEFINED 1591 0 0
D MORTON INTERNATIONAL, INC. COMMON 619335102 287 7800 SH DEFINED 01 0 0 7800
D MORTON INTERNATIONAL, INC. COMMON 619335102 165 4500 SH OTHER 05 0 4500 0
D MORTON INTERNATIONAL, INC. COMMON 619335102 845 23000 SH OTHER 01 7200 15800 0
D MORTON'S RESTAURANT GROUP, INC COMMON 619429103 183 11800 SH DEFINED 02 0 0 11800
D MOTOROLA, INC. COMMON 620076109 3201 43700 SH DEFINED 05 20300 0 23400
D MOTOROLA, INC. COMMON 620076109 485 6616 SH DEFINED 6616 0 0
D MOTOROLA, INC. COMMON 620076109 129934 1773846 SH DEFINED 01 739029 0 1034817
D MOTOROLA, INC. COMMON 620076109 112755 1539324 SH DEFINED 02 897724 0 641600
D MOTOROLA, INC. COMMON 620076109 908 12400 SH OTHER 05 7600 4800 0
D MOTOROLA, INC. COMMON 620076109 22271 304047 SH OTHER 01 82754 221293 0
D MOTOROLA, INC. COMMON 620076109 1465 20000 SH OTHER 0304 20000 0 0
D MOTOROLA, INC. COMMON 620076109 1172 16000 SH OTHER 15 16000 0 0
D MOVADO GROUP, INC. COMMON 624580106 5003 200101 SH DEFINED 01 101 0 200000
D MUELLER INDUSTRIES, INC. COMMON 624756102 63 2800 SH DEFINED 05 0 0 2800
D MUELLER INDUSTRIES, INC. COMMON 624756102 16045 717100 SH DEFINED 01 654400 0 62700
D MUELLER INDUSTRIES, INC. COMMON 624756102 23809 1064100 SH DEFINED 02 658100 0 406000
D MUELLER INDUSTRIES, INC. COMMON 624756102 112 5000 SH OTHER 01 0 5000 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 142
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D MYERS INDUSTRIES, INC. COMMON 628464109 24 1131 SH DEFINED 1131 0 0
D MYERS INDUSTRIES, INC. COMMON 628464109 416 19690 SH DEFINED 02 0 0 19690
D MYLAN LABORATORIES, INC. COMMON 628530107 2974 108400 SH DEFINED 01 108400 0 0
D MYLAN LABORATORIES, INC. COMMON 628530107 1655 60300 SH DEFINED 02 9400 0 50900
D NCR CORP NEW COMMON 62886E108 2318 46360 SH DEFINED 01 45350 0 1010
D NCR CORP NEW COMMON 62886E108 795 15906 SH DEFINED 02 3200 0 12706
D NCR CORP NEW COMMON 62886E108 22 441 SH OTHER 01 18 423 0
D NAC RE CORP. COMMON 628907107 703 13100 SH DEFINED 13100 0 0
D NAC RE CORP. COMMON 628907107 693 12900 SH DEFINED 02 0 0 12900
D NS GROUP, INC. COMMON 628916108 70 12500 SH DEFINED 02 0 0 12500
D NIPSCO INDUSTRIES, INC. COMMON 629140104 472 17480 SH DEFINED 05 14000 0 3480
D NIPSCO INDUSTRIES, INC. COMMON 629140104 3383 125300 SH DEFINED 01 87300 0 38000
D NIPSCO INDUSTRIES, INC. COMMON 629140104 5344 197910 SH DEFINED 02 66810 0 131100
D NIPSCO INDUSTRIES, INC. COMMON 629140104 1091 40400 SH OTHER 01 11100 29300 0
D NPS PHARMACEUTICALS INC COMMON 62936P103 375 50000 SH DEFINED 50000 0 0
D NPC INTERNATIONAL, INC. COMMON 629360306 270 17300 SH DEFINED 01 17300 0 0
D NPC INTERNATIONAL, INC. COMMON 629360306 878 56200 SH DEFINED 02 10900 0 45300
D NTL INCORPORATED COMMON 629407107 1953 24000 SH DEFINED 01 24000 0 0
D NTL INCORPORATED COMMON 629407107 3586 44066 SH DEFINED 02 9400 0 34666
D NUI CORP. COMMON 629430109 524 24300 SH DEFINED 01 24300 0 0
D NUI CORP. COMMON 629430109 345 16000 SH DEFINED 02 15800 0 200
D NVR, INC. COMMON 62944T105 282 6700 SH DEFINED 01 6700 0 0
D NVR, INC. COMMON 62944T105 1803 42800 SH DEFINED 02 2700 0 40100
D NABISCO HOLDINGS CORP. CL. "A" COMMON 629526104 1294 31125 SH DEFINED 01 21100 0 10025
D NABISCO HOLDINGS CORP. CL. "A" COMMON 629526104 1846 44404 SH DEFINED 02 17204 0 27200
D NABISCO HOLDINGS CORP. CL. "A" COMMON 629526104 349 8400 SH OTHER 01 0 8400 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 143
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D NABORS INDUSTRIES, INC. COMMON 629568106 454 24950 SH DEFINED 01 24950 0 0
D NABORS INDUSTRIES, INC. COMMON 629568106 278 15300 SH DEFINED 02 0 0 15300
D NABORS INDUSTRIES, INC. COMMON 629568106 264 14500 SH OTHER 01 0 14500 0
D NACCO INDUSTRIES, INC. CLASS " COMMON 629579103 7 100 SH DEFINED 100 0 0
D NACCO INDUSTRIES, INC. CLASS " COMMON 629579103 200 2700 SH DEFINED 02 2700 0 0
D NALCO CHEMICAL CO. COMMON 629853102 537 20200 SH DEFINED 06 20200 0 0
D NALCO CHEMICAL CO. COMMON 629853102 25 947 SH DEFINED 947 0 0
D NALCO CHEMICAL CO. COMMON 629853102 3432 129200 SH DEFINED 01 79300 0 49900
D NALCO CHEMICAL CO. COMMON 629853102 3134 117980 SH DEFINED 02 68680 0 49300
D NATIONAL AUSTRALIA BK LTD PREF-CONV 632525309 2223 71000 SH DEFINED 01
D NATIONAL AUSTRALIA BK LTD PREF-CONV 632525309 8141 260000 SH DEFINED 02
D NATIONAL BANCORP OF ALASKA, IN COMMON 632587101 439 15600 SH DEFINED 02 6400 0 9200
D NATIONAL CITY BANCSHARES, INC. COMMON 635313109 840 34300 SH DEFINED 02 0 0 34300
D NATIONAL CITY CORP. COMMON 635405103 1925 29000 SH DEFINED 06 29000 0 0
D NATIONAL CITY CORP. COMMON 635405103 531 8000 SH DEFINED 05 8000 0 0
D NATIONAL CITY CORP. COMMON 635405103 246 3703 SH DEFINED 3703 0 0
D NATIONAL CITY CORP. COMMON 635405103 5122 77163 SH DEFINED 01 47913 0 29250
D NATIONAL CITY CORP. COMMON 635405103 6395 96350 SH DEFINED 02 43810 0 52540
D NATIONAL CITY CORP. COMMON 635405103 1055 15900 SH OTHER 01 11500 4400 0
D NATIONAL COMMERCE BANCORP COMMON 635449101 210 9200 SH DEFINED 05 0 0 9200
D NATIONAL COMMERCE BANCORP COMMON 635449101 35992 1577700 SH DEFINED 01 1337000 0 240700
D NATIONAL COMMERCE BANCORP COMMON 635449101 53294 2336108 SH DEFINED 02 1585008 0 751100
D NATIONAL COMMERCE BANCORP COMMON 635449101 14 600 SH OTHER 01 600 0 0
D NATIONAL COMPUTER SYSTEMS, INC COMMON 635519101 27 1100 SH DEFINED 05 0 0 1100
D NATIONAL COMPUTER SYSTEMS, INC COMMON 635519101 2413 98500 SH DEFINED 01 70600 0 27900
D NATIONAL COMPUTER SYSTEMS, INC COMMON 635519101 29 1200 SH DEFINED 02 0 0 1200
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 144
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D NATIONAL DATA CORP. COMMON 635621105 151 3600 SH DEFINED 01 3600 0 0
D NATIONAL DATA CORP. COMMON 635621105 739 17600 SH DEFINED 02 500 0 17100
D NATIONAL FUEL GAS CO. COMMON 636180101 6 150 SH DEFINED 01 0 0 150
D NATIONAL FUEL GAS CO. COMMON 636180101 133 3400 SH DEFINED 02 0 0 3400
D NATIONAL FUEL GAS CO. COMMON 636180101 86 2200 SH OTHER 01 0 2200 0
D NATIONAL GOLF PROPERTIES, INC. COMMON 63623G109 7102 322800 SH DEFINED 01 322800 0 0
D NATIONAL GOLF PROPERTIES, INC. COMMON 63623G109 7711 350500 SH DEFINED 02 266000 0 84500
D NATIONAL-OILWELL INC COMMON 637071101 45 3900 SH DEFINED 05 0 0 3900
D NATIONAL-OILWELL INC COMMON 637071101 7160 619200 SH DEFINED 01 495100 0 124100
D NATIONAL-OILWELL INC COMMON 637071101 4388 379500 SH DEFINED 02 289100 0 90400
D NATIONAL-OILWELL INC COMMON 637071101 809 70000 SH OTHER 01 0 70000 0
D NATIONAL R V HLDGS INC COMMON 637277104 137 6200 SH DEFINED 01 6200 0 0
D NATIONAL R V HLDGS INC COMMON 637277104 332 15000 SH DEFINED 02 11300 0 3700
D NATIONAL SEMICONDUCTOR 6.50% BOND 637640AB9 3440 4000000 PRN DEFINED 02
D NATIONAL SEMICONDUCTOR CORP. COMMON 637640103 19 2044 SH DEFINED 2044 0 0
D NATIONAL SEMICONDUCTOR CORP. COMMON 637640103 123 13200 SH DEFINED 01 0 0 13200
D NATIONAL SEMICONDUCTOR CORP. COMMON 637640103 2025 217400 SH DEFINED 02 204600 0 12800
D NATIONAL SERVICE INDUSTRIES, I COMMON 637657107 20 587 SH DEFINED 587 0 0
D NATIONAL SERVICE INDUSTRIES, I COMMON 637657107 630 18500 SH DEFINED 01 16900 0 1600
D NATIONAL SERVICE INDUSTRIES, I COMMON 637657107 2170 63700 SH DEFINED 02 57200 0 6500
D NATIONAL STEEL CORP. CLASS "B" COMMON 637844309 83 10000 SH DEFINED 10000 0 0
D NATIONAL STEEL CORP. CLASS "B" COMMON 637844309 54 6600 SH DEFINED 02 6600 0 0
D NATIONAL WESTMINSTER BANK PLC COMMON 638539403 332 2424 SH DEFINED 02 0 0 2424
D NATIONAL WESTMINSTER BK PLC PREFERRED 638539700 19621 751040 SH DEFINED 06
D NATIONAL WESTMINSTER PFD 8.625 PREFERRED 638539882 5968 229000 SH DEFINED 06
D NATIONWIDE FINANCIAL SERVICES, COMMON 638612101 63 1500 SH DEFINED 02 1500 0 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 145
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D NATIONWIDE HEALTH PROPERTIES, COMMON 638620104 340 17900 SH DEFINED 02 9900 0 8000
D NAVIGATORS GROUP, INC. COMMON 638904102 171 12200 SH DEFINED 02 0 0 12200
D NATURE'S SUNSHINE PRODUCTS, IN COMMON 639027101 7 600 SH DEFINED 01 600 0 0
D NATURE'S SUNSHINE PRODUCTS, IN COMMON 639027101 2109 191769 SH DEFINED 02 0 0 191769
D NAUTICA ENTERPRISES, INC. COMMON 639089101 43 3800 SH DEFINED 05 0 0 3800
D NAUTICA ENTERPRISES, INC. COMMON 639089101 0 11 SH DEFINED 11 0 0
D NAUTICA ENTERPRISES, INC. COMMON 639089101 3808 336600 SH DEFINED 01 233000 0 103600
D NAUTICA ENTERPRISES, INC. COMMON 639089101 257 22750 SH DEFINED 02 0 0 22750
D NAVISTAR INTERNATIONAL CORP. COMMON 63934E108 37 932 SH DEFINED 932 0 0
D NAVISTAR INTERNATIONAL CORP. COMMON 63934E108 2146 53400 SH DEFINED 01 53400 0 0
D NAVISTAR INTERNATIONAL CORP. COMMON 63934E108 1294 32200 SH DEFINED 02 4300 0 27900
D NEIMAN-MARCUS GROUP, INC. COMMON 640204103 1717 75900 SH DEFINED 01 75900 0 0
D NEIMAN-MARCUS GROUP, INC. COMMON 640204103 665 29400 SH DEFINED 02 6100 0 23300
D NEOMAGIC CORP COMMON 640497103 131 13200 SH DEFINED 02 0 0 13200
D NEON SYS INC COMMON 640509105 55 1000 SH DEFINED 05 0 0 1000
D NEON SYS INC COMMON 640509105 5825 105900 SH DEFINED 01 80050 0 25850
D NEON SYS INC COMMON 640509105 2398 43600 SH DEFINED 02 32200 0 11400
D NEOSE TECHNOLOGIES INC COMMON 640522108 657 48000 SH DEFINED 48000 0 0
D NETWORK ASSOCIATES INC 0% 2/13 BOND 640938AB2 1129 3000000 PRN DEFINED
D NETWORK ASSOCIATES INC 0% 2/13 BOND 640938AB2 3763 10000000 PRN DEFINED 02
D NETWORKS ASSOCIATES, INC. COMMON 640938106 2 54 SH DEFINED 54 0 0
D NETWORKS ASSOCIATES, INC. COMMON 640938106 7362 239900 SH DEFINED 01 202800 0 37100
D NETWORKS ASSOCIATES, INC. COMMON 640938106 15602 508392 SH DEFINED 02 329556 0 178836
D NETWORKS ASSOCIATES, INC. COMMON 640938106 102 3322 SH OTHER 01 900 2422 0
D NETWORK APPLIANCE, INC. COMMON 64120L104 1185 23400 SH DEFINED 01 23400 0 0
D NETWORK APPLIANCE, INC. COMMON 64120L104 1245 24600 SH DEFINED 02 9200 0 15400
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 146
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D NETWORK SOLUTIONS, INC. CL A COMMON 64121Q102 48344 457158 SH DEFINED 457158 0 0
D NETWORK SOLUTIONS, INC. CL A COMMON 64121Q102 677 6400 SH DEFINED 01 6400 0 0
D NETWORK SOLUTIONS, INC. CL A COMMON 64121Q102 275 2600 SH DEFINED 02 2200 0 400
D NEVADA POWER CO. COMMON 641423108 329 13300 SH DEFINED 01 13300 0 0
D NEVADA POWER CO. COMMON 641423108 186 7500 SH DEFINED 02 7500 0 0
D NEW CENTURY ENERGIES, INC. COMMON 64352U103 50 1461 SH DEFINED 1461 0 0
D NEW CENTURY ENERGIES, INC. COMMON 64352U103 14 425 SH DEFINED 01 425 0 0
D NEW CENTURY ENERGIES, INC. COMMON 64352U103 1036 30400 SH DEFINED 02 0 0 30400
D NEW CENTURY ENERGIES, INC. COMMON 64352U103 15 437 SH OTHER 01 0 437 0
D NEW ENGLAND BUSINESS SERVICES, COMMON 643872104 1179 41100 SH DEFINED 02 0 0 41100
D NEW ENGLAND ELECTRIC SYSTEM COMMON 644001109 19326 398475 SH DEFINED 01 318275 0 80200
D NEW ENGLAND ELECTRIC SYSTEM COMMON 644001109 41002 845400 SH DEFINED 02 570300 0 275100
D NEW ENGLAND ELECTRIC SYSTEM COMMON 644001109 582 12000 SH OTHER 01 600 11400 0
D NEW ENGLAND ELECTRIC SYSTEM COMMON 644001109 1940 40000 SH OTHER 0304 40000 0 0
D NEW ERA OF NETWORKS INC COMMON 644312100 81 1200 SH DEFINED 05 0 0 1200
D NEW ERA OF NETWORKS INC COMMON 644312100 20680 305238 SH DEFINED 01 147200 0 158038
D NEW ERA OF NETWORKS INC COMMON 644312100 9173 135400 SH DEFINED 02 100300 0 35100
D NEW JERSEY RESOURCES CORP. COMMON 646025106 1298 36500 SH DEFINED 02 0 0 36500
D NEW PLAN EXCEL REALTY TRUST COMMON 648053106 347 18100 SH DEFINED 02 18100 0 0
D NEW YORK TIMES CO. CLASS "A" COMMON 650111107 62 2182 SH DEFINED 2182 0 0
D NEW YORK TIMES CO. CLASS "A" COMMON 650111107 32514 1140852 SH DEFINED 01 754500 0 386352
D NEW YORK TIMES CO. CLASS "A" COMMON 650111107 59945 2103316 SH DEFINED 02 1402416 0 700900
D NEW YORK TIMES CO. CLASS "A" COMMON 650111107 160 5600 SH OTHER 01 3600 2000 0
D NEWCOURT CR GROUP INC COMMON 650905102 13764 508600 SH DEFINED 01 296000 0 212600
D NEWCOURT CR GROUP INC COMMON 650905102 117965 4358900 SH DEFINED 02 3047400 0 1311500
D NEWCOURT CR GROUP INC COMMON 650905102 836 30900 SH OTHER 09 30900 0 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 147
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D NEWCOURT CR GROUP INC COMMON 650905102 341 12600 SH OTHER 01 2800 9800 0
D NEWFIELD EXPLORATION COMPANY COMMON 651290108 14335 633600 SH DEFINED 01 633600 0 0
D NEWFIELD EXPLORATION COMPANY COMMON 651290108 13272 586600 SH DEFINED 02 464000 0 122600
D NEWMONT MINING CORP. COMMON 651639106 36 2033 SH DEFINED 2033 0 0
D NEWMONT MINING CORP. COMMON 651639106 33 1869 SH DEFINED 01 102 0 1767
D NEWMONT MINING CORP. COMMON 651639106 164 9351 SH OTHER 01 0 9351 0
D NEWPARK RESOURCES, INC. COMMON 651718504 2175 300000 SH DEFINED 01 0 0 300000
D NEWPARK RESOURCES, INC. COMMON 651718504 153 21140 SH DEFINED 02 0 0 21140
D NEWPORT NEWS SHIPBUILDING IN COMMON 652228107 57 1800 SH DEFINED 05 0 0 1800
D NEWPORT NEWS SHIPBUILDING IN COMMON 652228107 555 17500 SH DEFINED 17500 0 0
D NEWPORT NEWS SHIPBUILDING IN COMMON 652228107 5038 158975 SH DEFINED 01 112600 0 46375
D NEWPORT NEWS SHIPBUILDING IN COMMON 652228107 295 9300 SH DEFINED 02 0 0 9300
D NEWPORT NEWS SHIPBUILDING IN COMMON 652228107 32 1000 SH OTHER 01 0 1000 0
D NEWS CORP., LTD. A/D/R COMMON 652487703 18749 635573 SH DEFINED 01 280000 0 355573
D NEWS CORP., LTD. A/D/R COMMON 652487703 80187 2718200 SH DEFINED 02 2446700 0 271500
D NEWS CORP., LTD. A/D/R COMMON 652487703 864 29300 SH OTHER 09 29300 0 0
D NEWS CORP., LTD. A/D/R COMMON 652487703 1302 44135 SH OTHER 01 27820 16315 0
D NEWS CORP LTD. COMMON 652487802 580 21083 SH DEFINED 02 0 0 21083
D NEXTEL COMMUNICATIONS, INC. CL COMMON 65332V103 118 3234 SH DEFINED 3234 0 0
D NEXTEL COMMUNICATIONS, INC. CL COMMON 65332V103 142 3870 SH DEFINED 01 2580 0 1290
D NEXTEL COMMUNICATIONS, INC. CL COMMON 65332V103 61 1674 SH DEFINED 02 0 0 1674
D NEXTLINK COMMUNICATIONS, INC. COMMON 65333H707 213 3800 SH DEFINED 05 0 0 3800
D NEXTLINK COMMUNICATIONS, INC. COMMON 65333H707 24410 435900 SH DEFINED 01 326100 0 109800
D NEXTLINK COMMUNICATIONS, INC. COMMON 65333H707 9212 164500 SH DEFINED 02 119500 0 45000
D NIELSEN MEDIA RESEARCH INC COMMON 653929307 12 500 SH DEFINED 05 0 0 500
D NIELSEN MEDIA RESEARCH INC COMMON 653929307 1118 45266 SH DEFINED 01 32566 0 12700
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 148
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D NIELSEN MEDIA RESEARCH INC COMMON 653929307 12 500 SH DEFINED 02 0 0 500
D NIELSEN MEDIA RESEARCH INC COMMON 653929307 16 666 SH OTHER 05 0 666 0
D NIELSEN MEDIA RESEARCH INC COMMON 653929307 578 23401 SH OTHER 01 2626 20775 0
D NICOR, INC. COMMON 654086107 22 626 SH DEFINED 626 0 0
D NICOR, INC. COMMON 654086107 460 12800 SH DEFINED 01 12800 0 0
D NICOR, INC. COMMON 654086107 377 10500 SH DEFINED 02 6600 0 3900
D NIKE, INC. CLASS "B" COMMON 654106103 181 3146 SH DEFINED 3146 0 0
D NIKE, INC. CLASS "B" COMMON 654106103 225 3900 SH DEFINED 01 3200 0 700
D NIKE, INC. CLASS "B" COMMON 654106103 4154 72000 SH DEFINED 02 71800 0 200
D NINE WEST GROUP INC BOND 65440DAC6 3345 5020000 PRN DEFINED 02
D NINE WEST GROUP, INC. COMMON 65440D102 5937 240500 SH DEFINED 01 160000 0 80500
D NINE WEST GROUP, INC. COMMON 65440D102 8085 327498 SH DEFINED 02 217798 0 109700
D NOBLE AFFILIATES, INC. COMMON 654894104 2659 91700 SH DEFINED 01 91700 0 0
D NOBLE AFFILIATES, INC. COMMON 654894104 1267 43700 SH DEFINED 02 6800 0 36900
D NOBLE DRILLING CORP. COMMON 655042109 506 29100 SH DEFINED 29100 0 0
D NOBLE DRILLING CORP. COMMON 655042109 413 23775 SH DEFINED 02 0 0 23775
D NOEL GROUP, INC. - RESTRICTED COMMON 655260107 13 11300 SH DEFINED 02 0 0 11300
D NORDSTROM, INC. COMMON 655664100 74 1815 SH DEFINED 1815 0 0
D NORDSTROM, INC. COMMON 655664100 3470 84900 SH DEFINED 01 16400 0 68500
D NORDSTROM, INC. COMMON 655664100 6600 161462 SH DEFINED 02 69362 0 92100
D NORDSTROM, INC. COMMON 655664100 760 18600 SH OTHER 01 0 18600 0
D NORFOLK SOUTHERN CORP. COMMON 655844108 63 2400 SH DEFINED 05 2400 0 0
D NORFOLK SOUTHERN CORP. COMMON 655844108 101 3819 SH DEFINED 3819 0 0
D NORFOLK SOUTHERN CORP. COMMON 655844108 25673 973377 SH DEFINED 01 698620 0 274757
D NORFOLK SOUTHERN CORP. COMMON 655844108 33794 1281300 SH DEFINED 02 835200 0 446100
D NORFOLK SOUTHERN CORP. COMMON 655844108 1347 51078 SH OTHER 01 14800 36278 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 149
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D NORSK HYDRO A S COMMON 656531605 434 10750 SH DEFINED 01 0 0 10750
D NORTEK, INC. COMMON 656559101 225 9100 SH DEFINED 02 0 0 9100
D NORTH FORK BANCORPORATION NY COMMON 659424105 9956 471300 SH DEFINED 01 397500 0 73800
D NORTH FORK BANCORPORATION NY COMMON 659424105 13102 620222 SH DEFINED 02 356362 0 263860
D NORTH FORK BANCORPORATION NY COMMON 659424105 19 900 SH OTHER 01 900 0 0
D NORTHEAST UTILITIES COMMON 664397106 4919 354500 SH DEFINED 01 251600 0 102900
D NORTHEAST UTILITIES COMMON 664397106 12559 905132 SH DEFINED 02 582432 0 322700
D NORTHEAST UTILITIES COMMON 664397106 15 1100 SH OTHER 01 1100 0 0
D NORTHERN STATES POWER CO. MINN COMMON 665772109 1253 54050 SH DEFINED 05 30850 0 23200
D NORTHERN STATES POWER CO. MINN COMMON 665772109 44 1879 SH DEFINED 1879 0 0
D NORTHERN STATES POWER CO. MINN COMMON 665772109 58740 2533198 SH DEFINED 01 1804425 0 728773
D NORTHERN STATES POWER CO. MINN COMMON 665772109 167445 7221174 SH DEFINED 02 5604810 0 1616364
D NORTHERN STATES POWER CO. MINN COMMON 665772109 167 7200 SH OTHER 05 5200 2000 0
D NORTHERN STATES POWER CO. MINN COMMON 665772109 1048 45200 SH OTHER 09 45200 0 0
D NORTHERN STATES POWER CO. MINN COMMON 665772109 4304 185595 SH OTHER 01 67405 118190 0
D NORTHERN STATES POWER CO. MINN COMMON 665772109 1396 60200 SH OTHER 0304 60200 0 0
D NORTHERN TELECOM LTD. COMMON 665815106 52297 841798 SH DEFINED 841798 0 0
D NORTHERN TELECOM LTD. COMMON 665815106 7593 122218 SH DEFINED 01 22382 0 99836
D NORTHERN TELECOM LTD. COMMON 665815106 1306 21020 SH DEFINED 02 7620 0 13400
D NORTHERN TELECOM LTD. COMMON 665815106 9 150 SH OTHER 01 0 150 0
D NORTHERN TRUST CORP. COMMON 665859104 128 1438 SH DEFINED 1438 0 0
D NORTHERN TRUST CORP. COMMON 665859104 3020 34000 SH DEFINED 01 0 0 34000
D NORTHFIELD LABORATORIES, INC. COMMON 666135108 638 58000 SH DEFINED 58000 0 0
D NORTHROP CORP. COMMON 666807102 55 914 SH DEFINED 914 0 0
D NORTHROP CORP. COMMON 666807102 18 300 SH DEFINED 01 300 0 0
D NORTHROP CORP. COMMON 666807102 180 3010 SH DEFINED 02 0 0 3010
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 150
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D NORTHWEST NATURAL GAS CO. COMMON 667655104 1200 54850 SH DEFINED 02 0 0 54850
D NOVELL, INC. COMMON 670006105 103 4090 SH DEFINED 4090 0 0
D NOVELL, INC. COMMON 670006105 1574 62500 SH DEFINED 01 58800 0 3700
D NOVELL, INC. COMMON 670006105 937 37200 SH DEFINED 02 0 0 37200
D NOVELL, INC. COMMON 670006105 50 2000 SH OTHER 01 0 2000 0
D NOVELLUS SYSTEMS, INC. COMMON 670008101 11 200 SH DEFINED 01 200 0 0
D NOVELLUS SYSTEMS, INC. COMMON 670008101 921 16700 SH DEFINED 02 1900 0 14800
D NOVEN PHARMACEUTICALS, INC. COMMON 670009109 597 129000 SH DEFINED 129000 0 0
D NOVOSTE CORP COMMON 67010C100 53 2200 SH DEFINED 05 0 0 2200
D NOVOSTE CORP COMMON 67010C100 486 20251 SH DEFINED 20251 0 0
D NOVOSTE CORP COMMON 67010C100 5804 241825 SH DEFINED 01 186600 0 55225
D NOVOSTE CORP COMMON 67010C100 3494 145600 SH DEFINED 02 103900 0 41700
D NU SKIN ASIA INC COMMON 67018T105 364 15900 SH DEFINED 01 15900 0 0
D NU SKIN ASIA INC COMMON 67018T105 133 5800 SH DEFINED 02 1300 0 4500
D NUCOR CORP. COMMON 670346105 50 1127 SH DEFINED 1127 0 0
D NUCOR CORP. COMMON 670346105 388 8800 SH DEFINED 01 7300 0 1500
D NUCOR CORP. COMMON 670346105 392 8900 SH DEFINED 02 700 0 8200
D NUEVO ENERGY CO. COMMON 670509108 1 100 SH DEFINED 01 100 0 0
D NUEVO ENERGY CO. COMMON 670509108 167 12400 SH DEFINED 02 700 0 11700
D OEC-MEDICAL SYSTEMS, INC. COMMON 670828102 232 10100 SH DEFINED 01 10100 0 0
D OEC-MEDICAL SYSTEMS, INC. COMMON 670828102 101 4400 SH DEFINED 02 4400 0 0
D OEC-MEDICAL SYSTEMS, INC. COMMON 670828102 506 22000 SH OTHER 01 0 22000 0
D OAK INDUSTRIES INC BOND 671400AL3 6370 7000000 PRN DEFINED 02
D OAK INDUSTRIES, INC. COMMON 671400505 332 10460 SH DEFINED 02 0 0 10460
D OAK TECHNOLOGY, INC. COMMON 671802106 10 3400 SH DEFINED 01 3400 0 0
D OAK TECHNOLOGY, INC. COMMON 671802106 43 14200 SH DEFINED 02 0 0 14200
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 151
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D OAKWOOD HOMES CORP. COMMON 674098108 0 11 SH DEFINED 11 0 0
D OAKWOOD HOMES CORP. COMMON 674098108 188 13400 SH DEFINED 01 13400 0 0
D OAKWOOD HOMES CORP. COMMON 674098108 385 27500 SH DEFINED 02 5900 0 21600
D OCCIDENTAL PETROLEUM CORP. COMMON 674599105 68 3751 SH DEFINED 3751 0 0
D OCCIDENTAL PETROLEUM CORP. COMMON 674599105 11533 640725 SH DEFINED 01 375725 0 265000
D OCCIDENTAL PETROLEUM CORP. COMMON 674599105 15847 880374 SH DEFINED 02 430874 0 449500
D OCCIDENTAL PETROLEUM CORP. COMMON 674599105 479 26600 SH OTHER 01 1600 25000 0
D OCEAN ENERGY INC COMMON 674812201 0 34420 SH DEFINED 02 0 0 34420
D OCEANEERING INTERNATIONAL, INC COMMON 675232102 8 500 SH DEFINED 500 0 0
D OCEANEERING INTERNATIONAL, INC COMMON 675232102 1513 100000 SH DEFINED 01 0 0 100000
D OCTEL CORP COMMON 675727101 56 4600 SH DEFINED 02 0 0 4600
D OCTEL CORP COMMON 675727101 80 6525 SH OTHER 01 0 6525 0
D OCWEN ASSET INVESTMENT CORP. COMMON 67574M106 1853 502500 SH DEFINED 01 502500 0 0
D OCWEN ASSET INVESTMENT CORP. COMMON 67574M106 50 13500 SH DEFINED 02 0 0 13500
D OCWEN FINANCIAL CORP COMMON 675746101 35 4000 SH DEFINED 05 0 0 4000
D OCWEN FINANCIAL CORP COMMON 675746101 11716 1329400 SH DEFINED 01 1063100 0 266300
D OCWEN FINANCIAL CORP COMMON 675746101 26490 3005800 SH DEFINED 02 2472100 0 533700
D OCWEN FINANCIAL CORP COMMON 675746101 3 300 SH OTHER 01 300 0 0
D OFFICEMAX, INC. COMMON 67622M108 1185 137400 SH DEFINED 01 137400 0 0
D OFFICEMAX, INC. COMMON 67622M108 298 34600 SH DEFINED 02 13100 0 21500
D OFFICE DEPOT, INC. COMMON 676220106 225 6000 SH DEFINED 6000 0 0
D OFFICE DEPOT, INC. COMMON 676220106 449 12000 SH DEFINED 01 0 0 12000
D OFFICE DEPOT, INC. COMMON 676220106 839 22400 SH DEFINED 02 0 0 22400
D OGDEN CORP. COMMON 676346109 29 1200 SH DEFINED 01 1200 0 0
D OGDEN CORP. COMMON 676346109 286 11900 SH DEFINED 02 11900 0 0
D OHIO CASUALTY CORP. COMMON 677240103 1817 46600 SH DEFINED 01 27900 0 18700
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 152
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D OHIO CASUALTY CORP. COMMON 677240103 3423 87760 SH DEFINED 02 62960 0 24800
D OHIO CASUALTY CORP. COMMON 677240103 1170 30000 SH OTHER 0304 30000 0 0
D OLD REPUBLIC INTERNATIONAL COR COMMON 680223104 22 1200 SH DEFINED 05 0 0 1200
D OLIN CORP. COMMON 680665205 2 200 SH DEFINED 05 200 0 0
D OLIN CORP. COMMON 680665205 0 6 SH DEFINED 02 0 0 6
D OLSTEN CORP. COMMON 681385100 812 131300 SH DEFINED 01 131300 0 0
D OLSTEN CORP. COMMON 681385100 312 50500 SH DEFINED 02 50500 0 0
D OMNICARE INC. 5% 12/01/07 BOND 681904AD0 0 2577000 PRN DEFINED
D OMNICOM GROUP, INC. COMMON 681919106 160 2000 SH DEFINED 05 2000 0 0
D OMNICOM GROUP, INC. COMMON 681919106 121 1518 SH DEFINED 1518 0 0
D OMNICOM GROUP, INC. COMMON 681919106 2274 28444 SH DEFINED 01 24444 0 4000
D OMNICOM GROUP, INC. COMMON 681919106 393 4920 SH OTHER 05 0 4920 0
D OMNICOM GROUP, INC. COMMON 681919106 3994 49967 SH OTHER 01 0 49967 0
D OMNIQUIP INTL INC COMMON 681969101 229 19500 SH DEFINED 02 0 0 19500
D OMNIPOINT CORP. COMMON 68212D102 9 651 SH DEFINED 651 0 0
D OMNIPOINT CORP. COMMON 68212D102 1102 76300 SH DEFINED 01 76300 0 0
D OMNIPOINT CORP. COMMON 68212D102 306 21200 SH DEFINED 02 5800 0 15400
D ON ASSIGNMENT, INC. COMMON 682159108 126 4900 SH DEFINED 05 0 0 4900
D ON ASSIGNMENT, INC. COMMON 682159108 0 12 SH DEFINED 12 0 0
D ON ASSIGNMENT, INC. COMMON 682159108 13986 545800 SH DEFINED 01 422600 0 123200
D ON ASSIGNMENT, INC. COMMON 682159108 8315 324500 SH DEFINED 02 241800 0 82700
D ONE VALLEY BANCORP OF WEST VA. COMMON 682419106 324 9296 SH DEFINED 02 1000 0 8296
D ONEIDA LTD. COMMON 682505102 545 32050 SH DEFINED 02 0 0 32050
D ONEOK INC NEW COMMON 682680103 5 200 SH DEFINED 200 0 0
D ONEOK INC NEW COMMON 682680103 3166 127900 SH DEFINED 02 5900 0 122000
D ONEOK INC NEW COMMON 682680103 149 6000 SH OTHER 05 0 6000 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 153
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D ONYX SOFTWARE CORP COMMON 683402101 27 700 SH DEFINED 05 0 0 700
D ONYX SOFTWARE CORP COMMON 683402101 2481 63400 SH DEFINED 01 45300 0 18100
D ONYX SOFTWARE CORP COMMON 683402101 27 700 SH DEFINED 02 0 0 700
D OPTICAL COATING LABORATORIES, COMMON 683829105 437 9100 SH DEFINED 02 0 0 9100
D ORACLE SYSTEMS CORP. COMMON 68389X105 135 5137 SH DEFINED 05 3450 0 1687
D ORACLE SYSTEMS CORP. COMMON 68389X105 671 25445 SH DEFINED 25445 0 0
D ORACLE SYSTEMS CORP. COMMON 68389X105 88159 3342512 SH DEFINED 01 2145096 0 1197416
D ORACLE SYSTEMS CORP. COMMON 68389X105 193029 7318617 SH DEFINED 02 4879056 0 2439561
D ORACLE SYSTEMS CORP. COMMON 68389X105 1645 62386 SH OTHER 01 24552 37834 0
D ORACLE SYSTEMS CORP. COMMON 68389X105 1187 45000 SH OTHER 0304 45000 0 0
D ORBITAL SCIENCES CORP. COMMON 685564106 139 4900 SH DEFINED 05 0 0 4900
D ORBITAL SCIENCES CORP. COMMON 685564106 19335 681400 SH DEFINED 01 549500 0 131900
D ORBITAL SCIENCES CORP. COMMON 685564106 12308 433750 SH DEFINED 02 298950 0 134800
D ORGANOGENESIS, INC. COMMON 685906109 19 1600 SH DEFINED 01 1600 0 0
D ORGANOGENESIS, INC. COMMON 685906109 230 19908 SH DEFINED 02 0 0 19908
D O'REILLY AUTOMOTIVE, INC. COMMON 686091109 18 396 SH DEFINED 396 0 0
D O'REILLY AUTOMOTIVE, INC. COMMON 686091109 121 2700 SH DEFINED 01 2700 0 0
D O'REILLY AUTOMOTIVE, INC. COMMON 686091109 291 6500 SH DEFINED 02 1200 0 5300
D ORION CAPITAL CORP. COMMON 686268103 1216 38900 SH DEFINED 01 38900 0 0
D ORION CAPITAL CORP. COMMON 686268103 1265 40474 SH DEFINED 02 18000 0 22474
D ORYX ENERGY CO. 7.5% CSD DUE 5 BOND 68763FAD2 1183 1250000 PRN DEFINED 02
D OSHKOSH B'GOSH, INC. CLASS "A" COMMON 688222207 248 14000 SH DEFINED 02 0 0 14000
D OSHKOSH TRUCK CORP. CLASS "B" COMMON 688239201 250 7700 SH DEFINED 02 0 0 7700
D OSHKOSH TRUCK CORP. CLASS "B" COMMON 688239201 130 4000 SH OTHER 01 0 4000 0
D OSTEOTECH, INC. COMMON 688582105 449 13050 SH DEFINED 01 13050 0 0
D OSTEOTECH, INC. COMMON 688582105 1310 38100 SH DEFINED 02 29700 0 8400
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 154
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D O'SULLIVAN CORP. COMMON 688605104 277 33600 SH DEFINED 02 0 0 33600
D OUTBACK STEAKHOUSE, INC. COMMON 689899102 4994 152500 SH DEFINED 01 152500 0 0
D OUTBACK STEAKHOUSE, INC. COMMON 689899102 1936 59100 SH DEFINED 02 12000 0 47100
D OUTDOOR SYSTEMS, INC. COMMON 690057104 1386 46200 SH DEFINED 02 0 0 46200
D OWENS CORNING COMMON 69073F103 21 660 SH DEFINED 660 0 0
D OWENS CORNING COMMON 69073F103 10346 325200 SH DEFINED 01 257200 0 68000
D OWENS CORNING COMMON 69073F103 10943 343986 SH DEFINED 02 186486 0 157500
D OWENS CORNING COMMON 69073F103 22 700 SH OTHER 01 700 0 0
D OWENS & MINOR, INC. COMMON 690732102 368 36363 SH DEFINED 01 24900 0 11463
D OWENS & MINOR, INC. COMMON 690732102 1303 128675 SH DEFINED 02 4100 0 124575
D OWENS-ILLINOIS, INC. COMMON 690768403 49 1951 SH DEFINED 1951 0 0
D OWENS-ILLINOIS, INC. COMMON 690768403 1998 79900 SH DEFINED 02 65000 0 14900
D OWENS-ILLINOIS INC 4.75% 12/31 PREF-CONV 690768502 4555 125000 SH DEFINED 01
D OWENS-ILLINOIS INC 4.75% 12/31 PREF-CONV 690768502 2988 82000 SH DEFINED 02
D P-COM INC. 4.25% 11/01/02 BOND 693262AA5 3800 8000000 PRN DEFINED 02
D P-COM, INC. COMMON 693262107 380 49900 SH DEFINED 01 49900 0 0
D P-COM, INC. COMMON 693262107 340 44600 SH DEFINED 02 20000 0 24600
D PECO ENERGY CO. COMMON 693304107 33377 721667 SH DEFINED 721667 0 0
D PECO ENERGY CO. COMMON 693304107 5 100 SH DEFINED 01 100 0 0
D PG&E CORP COMMON 69331C108 127 4086 SH DEFINED 4086 0 0
D PG&E CORP COMMON 69331C108 33943 1092717 SH DEFINED 01 783267 0 309450
D PG&E CORP COMMON 69331C108 53567 1724467 SH DEFINED 02 985566 0 738900
D PG&E CORP COMMON 69331C108 545 17544 SH OTHER 01 3400 14144 0
D PNC FINANCIAL CORP. COMMON 693475105 17 300 SH DEFINED 05 300 0 0
D PNC FINANCIAL CORP. COMMON 693475105 183 3300 SH DEFINED 3300 0 0
D PNC FINANCIAL CORP. COMMON 693475105 48156 866690 SH DEFINED 01 589400 0 277290
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 155
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D PNC FINANCIAL CORP. COMMON 693475105 113727 2046820 SH DEFINED 02 1534600 0 512220
D PNC FINANCIAL CORP. COMMON 693475105 1511 27187 SH OTHER 01 13520 13667 0
D P P & L RESOURCES, INC. COMMON 693499105 54 2200 SH DEFINED 05 2200 0 0
D P P & L RESOURCES, INC. COMMON 693499105 49 1992 SH DEFINED 1992 0 0
D P P & L RESOURCES, INC. COMMON 693499105 55794 2254318 SH DEFINED 01 1630400 0 623918
D P P & L RESOURCES, INC. COMMON 693499105 193027 7799060 SH DEFINED 02 5831160 0 1967900
D P P & L RESOURCES, INC. COMMON 693499105 896 36200 SH OTHER 09 36200 0 0
D P P & L RESOURCES, INC. COMMON 693499105 717 28980 SH OTHER 01 8300 20680 0
D PPG INDUSTRIES, INC. COMMON 693506107 5540 108100 SH DEFINED 06 108100 0 0
D PPG INDUSTRIES, INC. COMMON 693506107 109 2134 SH DEFINED 2134 0 0
D PPG INDUSTRIES, INC. COMMON 693506107 19644 383300 SH DEFINED 01 179500 0 203800
D PPG INDUSTRIES, INC. COMMON 693506107 31752 619550 SH DEFINED 02 333450 0 286100
D PPG INDUSTRIES, INC. COMMON 693506107 333 6500 SH OTHER 01 500 6000 0
D PSS WORLD MEDICAL, INC COMMON 69366A100 0 28 SH DEFINED 28 0 0
D PSS WORLD MEDICAL, INC COMMON 69366A100 123 14000 SH DEFINED 01 1000 0 13000
D PSS WORLD MEDICAL, INC COMMON 69366A100 20 2300 SH DEFINED 02 0 0 2300
D PXRE CORP. COMMON 693674103 520 28900 SH DEFINED 01 28900 0 0
D PXRE CORP. COMMON 693674103 378 21000 SH DEFINED 02 21000 0 0
D PACCAR, INC. COMMON 693718108 42 1022 SH DEFINED 1022 0 0
D PACCAR, INC. COMMON 693718108 9288 225500 SH DEFINED 01 153700 0 71800
D PACCAR, INC. COMMON 693718108 6631 160990 SH DEFINED 02 76090 0 84900
D PACCAR, INC. COMMON 693718108 21 500 SH OTHER 01 500 0 0
D PACIFIC CENTY FINL CORP COMMON 694058108 8240 394740 SH DEFINED 01 349340 0 45400
D PACIFIC CENTY FINL CORP COMMON 694058108 25601 1226400 SH DEFINED 02 805600 0 420800
D PACIFIC CENTY FINL CORP COMMON 694058108 1044 49990 SH OTHER 01 22774 27216 0
D PACIFIC SUNWEAR CALIFORNIA, IN COMMON 694873100 70 2000 SH DEFINED 05 0 0 2000
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 156
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D PACIFIC SUNWEAR CALIFORNIA, IN COMMON 694873100 8562 246400 SH DEFINED 01 196000 0 50400
D PACIFIC SUNWEAR CALIFORNIA, IN COMMON 694873100 3798 109300 SH DEFINED 02 83600 0 25700
D PACIFICARE HEALTH SYS DEL COMMON 695112201 8524 124900 SH DEFINED 01 102100 0 22800
D PACIFICARE HEALTH SYS DEL COMMON 695112201 6972 102159 SH DEFINED 02 43070 0 59089
D PAGEMART WIRELESS, INC. CLASS COMMON 69553J104 6 1147 SH DEFINED 1147 0 0
D PAGEMART WIRELESS, INC. CLASS COMMON 69553J104 149 30513 SH DEFINED 30513 0 0
D PAGEMART WIRELESS, INC. CLASS COMMON 69553J104 50 10300 SH DEFINED 02 0 0 10300
D PAGING NETWORK, INC. COMMON 695542100 68 14600 SH DEFINED 05 0 0 14600
D PAGING NETWORK, INC. COMMON 695542100 6147 1311200 SH DEFINED 01 937600 0 373600
D PAGING NETWORK, INC. COMMON 695542100 76 16300 SH DEFINED 02 0 0 16300
D PAINE WEBBER GROUP, INC. COMMON 695629105 10910 273600 SH DEFINED 01 197100 0 76500
D PAINE WEBBER GROUP, INC. COMMON 695629105 15258 382658 SH DEFINED 02 226258 0 156400
D PAINE WEBBER GROUP, INC. COMMON 695629105 36 900 SH OTHER 01 900 0 0
D PAIRGAIN TECHNOLOGIES, INC. COMMON 695934109 39 4000 SH DEFINED 05 0 0 4000
D PAIRGAIN TECHNOLOGIES, INC. COMMON 695934109 3384 347100 SH DEFINED 01 237800 0 109300
D PAIRGAIN TECHNOLOGIES, INC. COMMON 695934109 43 4400 SH DEFINED 02 0 0 4400
D PALL CORP. COMMON 696429307 28 1665 SH DEFINED 1665 0 0
D PALL CORP. COMMON 696429307 547 32997 SH OTHER 01 0 32997 0
D PAPA JOHN'S INTERNATIONAL, INC COMMON 698813102 3 57 SH DEFINED 57 0 0
D PAPA JOHN'S INTERNATIONAL, INC COMMON 698813102 2749 62300 SH DEFINED 01 62300 0 0
D PAPA JOHN'S INTERNATIONAL, INC COMMON 698813102 1262 28600 SH DEFINED 02 27100 0 1500
D PARAMETRIC TECHNOLOGY CORP. COMMON 699173100 19767 1000886 SH DEFINED 1000886 0 0
D PARAMETRIC TECHNOLOGY CORP. COMMON 699173100 174 8800 SH DEFINED 01 4800 0 4000
D PARAMETRIC TECHNOLOGY CORP. COMMON 699173100 1038 52534 SH DEFINED 02 0 0 52534
D PARK ELECTROCHEM. 5.5% CSN 3/0 BOND 700416AB6 719 963000 PRN OTHER 01
D PARK ELECTROCHEMICAL CORP. COMMON 700416209 71 3000 SH DEFINED 01 3000 0 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 157
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D PARK ELECTROCHEMICAL CORP. COMMON 700416209 475 20200 SH DEFINED 02 800 0 19400
D PARK NATIONAL CORP. COMMON 700658107 1075 11200 SH DEFINED 02 0 0 11200
D PARK PLACE ENTERTAINMENT CORP COMMON 700690100 14 1900 SH DEFINED 01 1900 0 0
D PARK PLACE ENTERTAINMENT CORP COMMON 700690100 163 21606 SH DEFINED 02 6 0 21600
D PARKER-HANNIFIN CORP. COMMON 701094104 48 1414 SH DEFINED 1414 0 0
D PARKER-HANNIFIN CORP. COMMON 701094104 13107 382700 SH DEFINED 01 291400 0 91300
D PARKER-HANNIFIN CORP. COMMON 701094104 20285 592252 SH DEFINED 02 398452 0 193800
D PARKER-HANNIFIN CORP. COMMON 701094104 41 1200 SH OTHER 01 1200 0 0
D PARKERVISION, INC. COMMON 701354102 236 8300 SH DEFINED 02 0 0 8300
D PARLUX FRAGRANCES INC COMMON 701645103 206 150000 SH DEFINED 01 0 0 150000
D PARTY CITY CORPORATION COMMON 702145103 393 99700 SH DEFINED 01 99700 0 0
D PARTY CITY CORPORATION COMMON 702145103 164 41700 SH DEFINED 02 41700 0 0
D PATRIOT AMERN HOSPITALITY DE COMMON 703352203 69 13389 SH DEFINED 01 0 0 13389
D PATRIOT AMERN HOSPITALITY DE COMMON 703352203 563 109863 SH DEFINED 02 98117 0 11746
D PAXAR CORP. COMMON 704227107 147 19816 SH DEFINED 02 1700 0 18116
D PAXSON COMMUNICATIONS CORP. COMMON 704231109 89 10400 SH DEFINED 02 0 0 10400
D PAYCHEX, INC. COMMON 704326107 93 1970 SH DEFINED 1970 0 0
D PAYCHEX, INC. COMMON 704326107 967 20380 SH DEFINED 01 20380 0 0
D PAYCHEX, INC. COMMON 704326107 1978 41689 SH DEFINED 02 0 0 41689
D PAYMENTECH, INC. COMMON 704384106 2393 101300 SH DEFINED 01 101300 0 0
D PAYMENTECH, INC. COMMON 704384106 914 38700 SH DEFINED 02 36800 0 1900
D PCORDER COM INC COMMON 70453H107 34 600 SH DEFINED 05 0 0 600
D PCORDER COM INC COMMON 70453H107 4605 81325 SH DEFINED 01 67525 0 13800
D PCORDER COM INC COMMON 70453H107 4156 73400 SH DEFINED 02 54100 0 19300
D PEDIATRIX MEDICAL GROUP, INC. COMMON 705324101 2436 86600 SH DEFINED 01 86600 0 0
D PEDIATRIX MEDICAL GROUP, INC. COMMON 705324101 979 34800 SH DEFINED 02 34800 0 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 158
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D PEGASUS COMMUNICATIONS CORP COMMON 705904100 56 2000 SH DEFINED 01 0 0 2000
D PEGASUS COMMUNICATIONS CORP COMMON 705904100 300 10700 SH DEFINED 02 0 0 10700
D PEGASUS SYSTEMS, INC. COMMON 705906105 187 4700 SH DEFINED 05 0 0 4700
D PEGASUS SYSTEMS, INC. COMMON 705906105 19603 491600 SH DEFINED 01 382500 0 109100
D PEGASUS SYSTEMS, INC. COMMON 705906105 4929 123600 SH DEFINED 02 94600 0 29000
D PENN ENGR & MFG CORP COMMON 707389102 549 29300 SH DEFINED 02 0 0 29300
D PENN TREATY AMER CORP 6.25% 12 BOND 707874AC7 3451 3275000 PRN DEFINED 02
D PENN TREATY AMERICAN CORP. COMMON 707874103 310 12500 SH DEFINED 02 0 0 12500
D PENN VIRGINIA CORP. COMMON 707882106 167 9500 SH DEFINED 01 5500 0 4000
D PENNEY (J. C.), INC. COMMON 708160106 20 500 SH DEFINED 05 500 0 0
D PENNEY (J. C.), INC. COMMON 708160106 96141 2373854 SH DEFINED 2373854 0 0
D PENNEY (J. C.), INC. COMMON 708160106 33090 817030 SH DEFINED 01 554900 0 262130
D PENNEY (J. C.), INC. COMMON 708160106 52032 1284732 SH DEFINED 02 771232 0 513500
D PENNEY (J. C.), INC. COMMON 708160106 1277 31528 SH OTHER 01 4800 26728 0
D PENNEY (J. C.), INC. COMMON 708160106 2025 50000 SH OTHER 0304 50000 0 0
D PENNSYLVANIA ENTERPRISES, INC. COMMON 708720107 624 26000 SH DEFINED 02 0 0 26000
D PENNZENERGY CO COMMON 70931Q109 105 10000 SH OTHER 01 0 10000 0
D PENNZOIL-QUAKER STATE COMPAN COMMON 709323109 161 13000 SH OTHER 01 0 13000 0
D PENTAIR, INC. COMMON 709631105 2015 59700 SH DEFINED 01 59700 0 0
D PENTAIR, INC. COMMON 709631105 2049 60700 SH DEFINED 02 16200 0 44500
D PEOPLES ENERGY CORP. COMMON 711030106 14 448 SH DEFINED 448 0 0
D PEOPLES ENERGY CORP. COMMON 711030106 380 11760 SH DEFINED 01 200 0 11560
D PEOPLES ENERGY CORP. COMMON 711030106 204 6300 SH DEFINED 02 6300 0 0
D PEOPLES HERITAGE FIN'L GROUP, COMMON 711147108 67 3700 SH DEFINED 05 3700 0 0
D PEOPLES HERITAGE FIN'L GROUP, COMMON 711147108 22417 1245400 SH DEFINED 01 766300 0 479100
D PEOPLES HERITAGE FIN'L GROUP, COMMON 711147108 41379 2298808 SH DEFINED 02 1684300 0 614508
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 159
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D PEOPLES HERITAGE FIN'L GROUP, COMMON 711147108 477 26475 SH OTHER 01 600 25875 0
D PEPSI-COLA PUERTO RICO CLASS B COMMON 713434108 94 15600 SH DEFINED 02 0 0 15600
D PEPSI-GEMEX S A DE C V COMMON 713435105 248 27400 SH DEFINED 27400 0 0
D PEPSICO, INC. COMMON 713448108 6406 163470 SH DEFINED 05 64400 0 99070
D PEPSICO, INC. COMMON 713448108 626 15971 SH DEFINED 15971 0 0
D PEPSICO, INC. COMMON 713448108 358899 9158396 SH DEFINED 01 3943953 0 5214443
D PEPSICO, INC. COMMON 713448108 469065 11969616 SH DEFINED 02 8436467 0 3533149
D PEPSICO, INC. COMMON 713448108 317 8100 SH OTHER 05 2400 5700 0
D PEPSICO, INC. COMMON 713448108 2187 55800 SH OTHER 09 55800 0 0
D PEPSICO, INC. COMMON 713448108 32622 832458 SH OTHER 01 215739 616719 0
D PEPSICO, INC. COMMON 713448108 1568 40000 SH OTHER 0304 40000 0 0
D PEREGRINE SYSTEMS INC COMMON 71366Q101 1584 47100 SH DEFINED 01 47100 0 0
D PEREGRINE SYSTEMS INC COMMON 71366Q101 615 18300 SH DEFINED 02 16900 0 1400
D PERFORMANCE FOOD GROUP CORP. COMMON 713755106 3938 150000 SH DEFINED 01 0 0 150000
D PERFORMANCE FOOD GROUP CORP. COMMON 713755106 55 2100 SH DEFINED 02 0 0 2100
D PERKIN ELMER CORP. COMMON 714041100 3946 40650 SH DEFINED 05 11050 0 29600
D PERKIN ELMER CORP. COMMON 714041100 68 704 SH DEFINED 704 0 0
D PERKIN ELMER CORP. COMMON 714041100 44490 458366 SH DEFINED 01 265705 0 192661
D PERKIN ELMER CORP. COMMON 714041100 116604 1201327 SH DEFINED 02 957499 0 243828
D PERKIN ELMER CORP. COMMON 714041100 379 3900 SH OTHER 05 2700 1200 0
D PERKIN ELMER CORP. COMMON 714041100 3402 35050 SH OTHER 01 11250 23800 0
D PERRIGO CO. COMMON 714290103 7 1000 SH DEFINED 01 1000 0 0
D PERRIGO CO. COMMON 714290103 189 26100 SH DEFINED 02 25100 0 1000
D PERSONNEL GROUP OF AMERICA, IN COMMON 715338109 472 65700 SH DEFINED 01 65700 0 0
D PERSONNEL GROUP OF AMERICA, IN COMMON 715338109 202 28100 SH DEFINED 02 27100 0 1000
D PETCO ANIMAL SUPPLIES, INC. COMMON 716016100 7 700 SH DEFINED 01 700 0 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 160
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D PETCO ANIMAL SUPPLIES, INC. COMMON 716016100 188 18800 SH DEFINED 02 0 0 18800
D PETRO-CANADA COMMON 71644E102 1080 91900 SH DEFINED 01 91900 0 0
D PETROLEUM & RESOURCES CORP. COMMON 716549100 358 10959 SH DEFINED 01 10959 0 0
D PETSMART INC 6.75% BOND 716768AB2 4075 4000000 PRN DEFINED 02
D PETSMART, INC. COMMON 716768106 31 3800 SH DEFINED 05 0 0 3800
D PETSMART, INC. COMMON 716768106 4456 554800 SH DEFINED 01 458700 0 96100
D PETSMART, INC. COMMON 716768106 4763 593100 SH DEFINED 02 453800 0 139300
D PHARMACIA & UPJOHN, INC. COMMON 716941109 333 5335 SH DEFINED 5335 0 0
D PFIZER, INC. COMMON 717081103 4345 31315 SH DEFINED 05 15960 0 15355
D PFIZER, INC. COMMON 717081103 5031 36260 SH DEFINED 36260 0 0
D PFIZER, INC. COMMON 717081103 260509 1877539 SH DEFINED 01 1230144 0 647395
D PFIZER, INC. COMMON 717081103 285416 2057053 SH DEFINED 02 1337182 0 719871
D PFIZER, INC. COMMON 717081103 4440 32000 SH OTHER 1314 0 32000 0
D PFIZER, INC. COMMON 717081103 54622 393670 SH OTHER 01 184231 209439 0
D PHARMACEUTICAL PRODUCT DEVELOP COMMON 717124101 228 6800 SH DEFINED 02 0 0 6800
D PHELPS DODGE CORP. COMMON 717265102 36 723 SH DEFINED 723 0 0
D PHELPS DODGE CORP. COMMON 717265102 140 2850 SH DEFINED 01 400 0 2450
D PHELPS DODGE CORP. COMMON 717265102 1409 28600 SH DEFINED 02 7300 0 21300
D PHILIP MORRIS COMPANIES, INC. COMMON 718154107 4728 134375 SH DEFINED 05 61700 0 72675
D PHILIP MORRIS COMPANIES, INC. COMMON 718154107 2682 76224 SH DEFINED 76224 0 0
D PHILIP MORRIS COMPANIES, INC. COMMON 718154107 347613 9878744 SH DEFINED 01 6228637 0 3650107
D PHILIP MORRIS COMPANIES, INC. COMMON 718154107 729241 20724144 SH DEFINED 02 16124733 0 4599411
D PHILIP MORRIS COMPANIES, INC. COMMON 718154107 282 8000 SH OTHER 05 5400 2600 0
D PHILIP MORRIS COMPANIES, INC. COMMON 718154107 2357 66975 SH OTHER 09 66975 0 0
D PHILIP MORRIS COMPANIES, INC. COMMON 718154107 14085 400269 SH OTHER 01 165185 235084 0
D PHILIP MORRIS COMPANIES, INC. COMMON 718154107 3061 87000 SH OTHER 0304 87000 0 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 161
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D PHILLIPS PETROLEUM COMPANY COMMON 718507106 135 2862 SH DEFINED 2862 0 0
D PHILLIPS PETROLEUM COMPANY COMMON 718507106 34759 735650 SH DEFINED 01 460550 0 275100
D PHILLIPS PETROLEUM COMPANY COMMON 718507106 131685 2786992 SH DEFINED 02 2169488 0 617504
D PHILLIPS PETROLEUM COMPANY COMMON 718507106 109 2300 SH OTHER 01 1300 1000 0
D PHYCOR, INC. 4.5% CSD DUE 2/15 BOND 71940FAB6 1620 4100000 PRN DEFINED 02
D PHYSICIAN RELIANCE NETWORK, IN COMMON 71940G108 17 2000 SH DEFINED 2000 0 0
D PHYSICIAN RELIANCE NETWORK, IN COMMON 71940G108 389 45800 SH DEFINED 01 45800 0 0
D PHYSICIAN RELIANCE NETWORK, IN COMMON 71940G108 111 13100 SH DEFINED 02 13100 0 0
D PICTURETEL CORP. COMMON 720035302 90 12900 SH DEFINED 01 12900 0 0
D PICTURETEL CORP. COMMON 720035302 164 23400 SH DEFINED 02 22300 0 1100
D PIEDMONT NATURAL GAS, INC. COMMON 720186105 14 400 SH DEFINED 01 0 0 400
D PIEDMONT NATURAL GAS, INC. COMMON 720186105 2517 71900 SH DEFINED 02 0 0 71900
D PIEDMONT NATURAL GAS, INC. COMMON 720186105 140 4000 SH OTHER 01 0 4000 0
D PIER 1 IMPORTS, INC. COMMON 720279108 925 113900 SH DEFINED 01 113900 0 0
D PIER 1 IMPORTS, INC. COMMON 720279108 583 71700 SH DEFINED 02 12800 0 58900
D PIERCE LEAHY CORP COMMON 720722107 323 13000 SH DEFINED 02 0 0 13000
D PILGRIM'S PRIDE CORP. COMMON 721467108 205 12500 SH DEFINED 01 12500 0 0
D PILGRIM'S PRIDE CORP. COMMON 721467108 148 9000 SH DEFINED 02 4600 0 4400
D PINKERTON'S, INC. COMMON 723429106 0 162100 SH DEFINED 01 162100 0 0
D PINKERTON'S, INC. COMMON 723429106 0 222300 SH DEFINED 02 169200 0 53100
D PINNACLE GLOBAL GROUP INC COMMON 723465100 886 175000 SH DEFINED 01 0 0 175000
D PINNACLE SYSTEMS, INC. COMMON 723481107 3212 70600 SH DEFINED 01 70600 0 0
D PINNACLE SYSTEMS, INC. COMMON 723481107 1688 37100 SH DEFINED 02 27500 0 9600
D PINNACLE WEST CAPITAL CORP. COMMON 723484101 171 4700 SH DEFINED 05 3700 0 1000
D PINNACLE WEST CAPITAL CORP. COMMON 723484101 17618 484337 SH DEFINED 01 332370 0 151967
D PINNACLE WEST CAPITAL CORP. COMMON 723484101 29111 800306 SH DEFINED 02 582906 0 217400
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 162
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D PINNACLE WEST CAPITAL CORP. COMMON 723484101 1710 47018 SH OTHER 01 30950 16068 0
D PIONEER GROUP, INC. COMMON 723684106 988 66700 SH DEFINED 02 0 0 66700
D PIONEER HI-BRED INTERNATIONAL, COMMON 723686101 101 2692 SH DEFINED 2692 0 0
D PIONEER HI-BRED INTERNATIONAL, COMMON 723686101 286 7600 SH DEFINED 01 2700 0 4900
D PIONEER HI-BRED INTERNATIONAL, COMMON 723686101 335 8902 SH DEFINED 02 6402 0 2500
D PIONEER HI-BRED INTERNATIONAL, COMMON 723686101 339 9000 SH OTHER 05 0 9000 0
D PIONEER-STANDARD ELECTRONICS, COMMON 723877106 171 26100 SH DEFINED 01 26100 0 0
D PIONEER-STANDARD ELECTRONICS, COMMON 723877106 289 44075 SH DEFINED 02 33000 0 11075
D PITNEY BOWES, INC. COMMON 724479100 516 8100 SH DEFINED 05 8000 0 100
D PITNEY BOWES, INC. COMMON 724479100 203 3182 SH DEFINED 3182 0 0
D PITNEY BOWES, INC. COMMON 724479100 1345 21100 SH DEFINED 01 12000 0 9100
D PITNEY BOWES, INC. COMMON 724479100 4066 63784 SH DEFINED 02 0 0 63784
D PITNEY BOWES, INC. COMMON 724479100 963 15100 SH OTHER 01 0 15100 0
D PITTWAY CORP. CLASS "A" COMMON 725790208 445 16800 SH DEFINED 02 0 0 16800
D PJ AMER INC COMMON 72585Q104 718 31200 SH DEFINED 02 0 0 31200
D PLAINS RESOURCES, INC. COMMON 726540503 4595 306360 SH DEFINED 01 277360 0 29000
D PLAINS RESOURCES, INC. COMMON 726540503 1233 82200 SH DEFINED 02 76400 0 5800
D PLANET HOLLYWOOD INT'L., INC. COMMON 727025108 27 25000 SH DEFINED 01 0 0 25000
D PLANET HOLLYWOOD INT'L., INC. COMMON 727025108 28 25900 SH DEFINED 02 0 0 25900
D PLANTRONICS, INC. COMMON 727493108 88 1400 SH DEFINED 01 1400 0 0
D PLANTRONICS, INC. COMMON 727493108 576 9200 SH DEFINED 02 3800 0 5400
D PLANTRONICS, INC. COMMON 727493108 795 12700 SH OTHER 01 0 12700 0
D PLATINUM SOFTWARE CORP. COMMON 72764R105 103 13900 SH DEFINED 01 13900 0 0
D PLATINUM SOFTWARE CORP. COMMON 72764R105 117 15812 SH DEFINED 02 100 0 15712
D PLATINUM TECHNOLOGY, INC. COMMON 72764T101 128 5000 SH DEFINED 5000 0 0
D PLATINUM TECHNOLOGY, INC. COMMON 72764T101 796 31200 SH DEFINED 01 31200 0 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 163
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D PLATINUM TECHNOLOGY, INC. COMMON 72764T101 591 23165 SH DEFINED 02 2900 0 20265
D PLAYBOY ENTERPRISES, INC. "B" COMMON 728117300 268 11900 SH DEFINED 02
D PLAYTEX PRODUCTS, INC. COMMON 72813P100 248 16400 SH DEFINED 02 200 0 16200
D POE & BROWN INC COMMON 730444106 129 3900 SH DEFINED 01 3900 0 0
D POE & BROWN INC COMMON 730444106 139 4200 SH DEFINED 02 0 0 4200
D POGO PRODUCING CO BOND 730448AE7 724 1000000 PRN OTHER 01
D POGO PRODUCING CO. COMMON 730448107 219 16846 SH DEFINED 02 0 0 16846
D POLARIS INDUSTRIES INC COMMON 731068102 384 12100 SH DEFINED 02 12100 0 0
D POLICY MANAGEMENT SYSTEMS CORP COMMON 731108106 0 6 SH DEFINED 6 0 0
D POLICY MANAGEMENT SYSTEMS CORP COMMON 731108106 202 6600 SH DEFINED 01 6600 0 0
D POLICY MANAGEMENT SYSTEMS CORP COMMON 731108106 86 2800 SH DEFINED 02 400 0 2400
D POLYCOM INC COMMON 73172K104 53 2800 SH DEFINED 05 0 0 2800
D POLYCOM INC COMMON 73172K104 4652 248100 SH DEFINED 01 177500 0 70600
D POLYCOM INC COMMON 73172K104 101 5400 SH DEFINED 02 2400 0 3000
D POLYMER GROUP, INC. COMMON 731745105 7593 820838 SH DEFINED 01 795838 0 25000
D POMEROY COMPUTER RESOURCES, IN COMMON 731822102 134 10300 SH DEFINED 01 10300 0 0
D POMEROY COMPUTER RESOURCES, IN COMMON 731822102 23 1800 SH DEFINED 02 1800 0 0
D POOL ENERGY SERVICES CO. COMMON 732788104 1721 112400 SH DEFINED 112400 0 0
D POOL ENERGY SERVICES CO. COMMON 732788104 5 300 SH DEFINED 01 300 0 0
D POOL ENERGY SERVICES CO. COMMON 732788104 127 8300 SH DEFINED 02 0 0 8300
D POST PROPERTIES, INC. COMMON 737464107 10073 277868 SH DEFINED 01 277868 0 0
D POST PROPERTIES, INC. COMMON 737464107 18553 511802 SH DEFINED 02 397771 0 114031
D POTLATCH CORP. COMMON 737628107 14 411 SH DEFINED 411 0 0
D POTLATCH CORP. COMMON 737628107 322 9500 SH OTHER 01 9500 0 0
D POTOMAC ELECTRIC POWER CO. COMMON 737679100 46 2000 SH DEFINED 05 0 0 2000
D POTOMAC ELECTRIC POWER CO. COMMON 737679100 3121 134600 SH DEFINED 01 122400 0 12200
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 164
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D POTOMAC ELECTRIC POWER CO. COMMON 737679100 1353 58350 SH DEFINED 02 24850 0 33500
D POTOMAC ELECTRIC POWER CO. COMMON 737679100 255 11000 SH OTHER 01 0 11000 0
D POWERHOUSE TECHNOLOGIES INC COMMON 739323103 602 35000 SH DEFINED 35000 0 0
D POWERTEL INC COMMON 73936C109 27 1862 SH DEFINED 1862 0 0
D POWERTEL INC COMMON 73936C109 121 8500 SH DEFINED 02 0 0 8500
D PREFERRED EMPLOYERS HLDGS IN COMMON 739908101 1875 200000 SH DEFINED 01 0 0 200000
D PRAXAIR, INC. COMMON 74005P104 69 1927 SH DEFINED 1927 0 0
D PRAXAIR, INC. COMMON 74005P104 23708 657400 SH DEFINED 01 464700 0 192700
D PRAXAIR, INC. COMMON 74005P104 36361 1008266 SH DEFINED 02 568566 0 439700
D PRAXAIR, INC. COMMON 74005P104 79 2200 SH OTHER 01 2200 0 0
D PRECISION CASTPARTS CORP. COMMON 740189105 0 6 SH DEFINED 6 0 0
D PRECISION CASTPARTS CORP. COMMON 740189105 865 21500 SH DEFINED 02 5600 0 15900
D PRECISION SYSTEMS, INC. COMMON 740329107 375 500000 SH DEFINED 01 0 0 500000
D PREMIER NATIONAL BANCORP INC COMMON 74053F107 887 59159 SH OTHER 01 0 59159 0
D PREMIER PARKS, INC. COMMON 740540208 115 3100 SH DEFINED 05 0 0 3100
D PREMIER PARKS, INC. COMMON 740540208 13809 370700 SH DEFINED 01 256000 0 114700
D PREMIER PARKS, INC. COMMON 740540208 566 15200 SH DEFINED 02 0 0 15200
D PREMIERE TECHNOLOGIES, INC. COMMON 74058F102 1132 99500 SH DEFINED 01 99500 0 0
D PREMIERE TECHNOLOGIES, INC. COMMON 74058F102 604 53100 SH DEFINED 02 52400 0 700
D PRENTISS PPTYS TR COMMON 740706106 861 45900 SH DEFINED 01 45900 0 0
D PRENTISS PPTYS TR COMMON 740706106 563 30000 SH DEFINED 02 30000 0 0
D PRESIDENTIAL LIFE CORP. COMMON 740884101 222 12400 SH DEFINED 02 0 0 12400
D PRICE ENTERPRISES, INC. COMMON 741444202 305 54900 SH DEFINED 02 0 0 54900
D PRICE (T.) ROWE ASSOCIATES, IN COMMON 741477103 406 11800 SH DEFINED 02 2600 0 9200
D PRICESMART, INC. COMMON 741511109 211 10975 SH DEFINED 02 0 0 10975
D PRIME BANCSHARES, INC. COMMON 74157H108 1165 82100 SH DEFINED 01 82100 0 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 165
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D PRIME BANCSHARES, INC. COMMON 74157H108 1874 132100 SH DEFINED 02 106800 0 25300
D PRIME RETAIL, INC. COMMON 741570105 8103 926000 SH DEFINED 01 926000 0 0
D PRIME RETAIL, INC. COMMON 741570105 126 14447 SH DEFINED 02 0 0 14447
D PRIMEX TECHNOLOGIES INC COMMON 741597108 1 40 SH DEFINED 05 40 0 0
D PRIMEX TECHNOLOGIES INC COMMON 741597108 261 12600 SH DEFINED 01 12600 0 0
D PRIMEX TECHNOLOGIES INC COMMON 741597108 50 2400 SH DEFINED 02 2400 0 0
D PRIMARK CORP. COMMON 741903108 47 2200 SH DEFINED 01 2200 0 0
D PRIMARK CORP. COMMON 741903108 242 11400 SH DEFINED 02 1000 0 10400
D PRIMARK CORP. COMMON 741903108 4 186 SH OTHER 01 0 186 0
D PRIME HOSPITALITY CORP. COMMON 741917108 657 66100 SH DEFINED 01 66100 0 0
D PRIME HOSPITALITY CORP. COMMON 741917108 279 28100 SH DEFINED 02 28100 0 0
D PRIMUS TELECOMMUNICATIONS GROU COMMON 741929103 6 600 SH DEFINED 01 600 0 0
D PRIMUS TELECOMMUNICATIONS GROU COMMON 741929103 120 11834 SH DEFINED 02 0 0 11834
D PRIDE INTERNATIONAL INC 4/15/1 BOND 741932AB3 6125 24500000 PRN DEFINED 02
D PRIDE INTL INC COMMON 741932107 91 11000 SH DEFINED 01 0 0 11000
D PRIDE INTL INC COMMON 741932107 185 22400 SH DEFINED 02 0 0 22400
D PRISON RLTY CORP COMMON 74264N105 262 15050 SH DEFINED 02 0 0 15050
D PRIORITY HEALTHCARE CORP CLASS COMMON 74264T102 2 55 SH DEFINED 55 0 0
D PRIORITY HEALTHCARE CORP CLASS COMMON 74264T102 32 700 SH DEFINED 01 700 0 0
D PRIORITY HEALTHCARE CORP CLASS COMMON 74264T102 739 16328 SH DEFINED 02 0 0 16328
D PROCTER & GAMBLE CO. COMMON 742718109 7277 74300 SH DEFINED 05 33200 0 41100
D PROCTER & GAMBLE CO. COMMON 742718109 1427 14571 SH DEFINED 14571 0 0
D PROCTER & GAMBLE CO. COMMON 742718109 533568 5448019 SH DEFINED 01 3289424 0 2158595
D PROCTER & GAMBLE CO. COMMON 742718109 954755 9748562 SH DEFINED 02 6840531 0 2908031
D PROCTER & GAMBLE CO. COMMON 742718109 490 5000 SH OTHER 05 2000 3000 0
D PROCTER & GAMBLE CO. COMMON 742718109 3291 33600 SH OTHER 09 33600 0 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 166
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D PROCTER & GAMBLE CO. COMMON 742718109 65029 663982 SH OTHER 01 169805 494177 0
D PROCTER & GAMBLE CO. COMMON 742718109 5093 52000 SH OTHER 0304 52000 0 0
D PRODIGY COMMUNICATIONS CORP COMMON 74283P107 65 1700 SH DEFINED 05 0 0 1700
D PRODIGY COMMUNICATIONS CORP COMMON 74283P107 6476 168750 SH DEFINED 01 125550 0 43200
D PRODIGY COMMUNICATIONS CORP COMMON 74283P107 2264 59000 SH DEFINED 02 44900 0 14100
D PROFESSIONAL DETAILING INC COMMON 74312N107 58 2200 SH DEFINED 05 0 0 2200
D PROFESSIONAL DETAILING INC COMMON 74312N107 4963 189500 SH DEFINED 01 133400 0 56100
D PROFESSIONAL DETAILING INC COMMON 74312N107 65 2500 SH DEFINED 02 0 0 2500
D PROFIT RECOVERY GROUP INT'L., COMMON 743168106 59 1500 SH DEFINED 05 0 0 1500
D PROFIT RECOVERY GROUP INT'L., COMMON 743168106 7884 199600 SH DEFINED 01 163800 0 35800
D PROFIT RECOVERY GROUP INT'L., COMMON 743168106 8038 203500 SH DEFINED 02 151000 0 52500
D PROGRESSIVE CORP. COMMON 743315103 140 978 SH DEFINED 978 0 0
D PROGRESSIVE CORP. COMMON 743315103 2992 20850 SH DEFINED 01 19650 0 1200
D PROGRESSIVE CORP. COMMON 743315103 230 1600 SH DEFINED 02 400 0 1200
D PROGRESSIVE CORP. COMMON 743315103 545 3800 SH OTHER 01 0 3800 0
D PROLOGIS TRUST COMMON 743410102 595 29000 SH DEFINED 29000 0 0
D PROLOGIS TRUST COMMON 743410102 6646 324200 SH DEFINED 01 317300 0 6900
D PROLOGIS TRUST COMMON 743410102 8151 397600 SH DEFINED 02 324300 0 73300
D PROLOGIS TR PREF-CONV 743410300 3638 143000 SH DEFINED 02
D PROMEDCO MANAGEMENT COMPANY COMMON 74342L105 479 103500 SH DEFINED 01 103500 0 0
D PROMEDCO MANAGEMENT COMPANY COMMON 74342L105 234 50700 SH DEFINED 02 50700 0 0
D PROTECTIVE LIFE CORP. COMMON 743674103 2185 57700 SH DEFINED 02 0 0 57700
D PROTEIN DESIGN LABS COMMON 74369L103 975 64742 SH DEFINED 64742 0 0
D PROTEIN DESIGN LABS COMMON 74369L103 145 9600 SH DEFINED 02 0 0 9600
D PROVANT, INC. COMMON 743724106 157 8800 SH DEFINED 05 0 0 8800
D PROVANT, INC. COMMON 743724106 13943 780000 SH DEFINED 01 546800 0 233200
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 167
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D PROVANT, INC. COMMON 743724106 188 10500 SH DEFINED 02 0 0 10500
D PROVIDENT BANKSHARES CORP. COMMON 743859100 63 2429 SH DEFINED 01 0 0 2429
D PROVIDENT BANKSHARES CORP. COMMON 743859100 159 6100 SH DEFINED 02 6100 0 0
D PROVIDENT COMPANIES, INC. COMMON 743862104 61 1752 SH DEFINED 1752 0 0
D PROVIDENT COMPANIES, INC. COMMON 743862104 30885 893575 SH DEFINED 01 592675 0 300900
D PROVIDENT COMPANIES, INC. COMMON 743862104 47349 1369920 SH DEFINED 02 980520 0 389400
D PROVIDENT COMPANIES, INC. COMMON 743862104 422 12200 SH OTHER 09 12200 0 0
D PROVIDENT COMPANIES, INC. COMMON 743862104 645 18650 SH OTHER 01 3900 14750 0
D PROVIDENT FINL GROUP INC COMMON 743866105 1401 36500 SH DEFINED 05 10300 0 26200
D PROVIDENT FINL GROUP INC COMMON 743866105 22829 594900 SH DEFINED 01 422200 0 172700
D PROVIDENT FINL GROUP INC COMMON 743866105 41089 1070721 SH DEFINED 02 727846 0 342875
D PROVIDENT FINL GROUP INC COMMON 743866105 104 2700 SH OTHER 05 0 2700 0
D PROVIDENT FINL GROUP INC COMMON 743866105 165 4300 SH OTHER 01 4300 0 0
D PROVINCE HEALTHCARE COMPANY COMMON 743977100 1671 90325 SH DEFINED 01 90325 0 0
D PROVIDIAN FINANCIAL CORPORATIO COMMON 74406A102 330 3000 SH DEFINED 05 3000 0 0
D PROVIDIAN FINANCIAL CORPORATIO COMMON 74406A102 197 1789 SH DEFINED 1789 0 0
D PROVIDIAN FINANCIAL CORPORATIO COMMON 74406A102 13039 118532 SH DEFINED 01 78766 0 39766
D PROVIDIAN FINANCIAL CORPORATIO COMMON 74406A102 479 4350 SH OTHER 01 900 3450 0
D PROXIM INC COMMON 744284100 1665 57900 SH DEFINED 01 57900 0 0
D PROXIM INC COMMON 744284100 1141 39700 SH DEFINED 02 30400 0 9300
D PROXYMED INC COMMON 744290107 5400 400000 SH DEFINED 01 0 0 400000
D PSINET, INC. COMMON 74437C101 7700 180900 SH DEFINED 180900 0 0
D PSINET, INC. COMMON 74437C101 21 500 SH DEFINED 01 500 0 0
D PSINET, INC. COMMON 74437C101 1451 34100 SH DEFINED 02 0 0 34100
D PUBLIC SERVICE COMPANY OF NEW COMMON 744499104 3400 200000 SH DEFINED 200000 0 0
D PUBLIC SERVICE COMPANY OF NEW COMMON 744499104 6676 392700 SH DEFINED 02 29500 0 363200
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 168
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D PUBLIC SERVICE CO. OF NORTH CA COMMON 744516105 3428 120800 SH DEFINED 01 120800 0 0
D PUBLIC SERVICE CO. OF NORTH CA COMMON 744516105 5046 177850 SH DEFINED 02 121500 0 56350
D PUBLIC SERVICE ENTERPRISE GROU COMMON 744573106 95 2500 SH DEFINED 05 0 0 2500
D PUBLIC SERVICE ENTERPRISE GROU COMMON 744573106 96 2525 SH DEFINED 2525 0 0
D PUBLIC SERVICE ENTERPRISE GROU COMMON 744573106 173 4519 SH DEFINED 01 4519 0 0
D PUBLIC SERVICE ENTERPRISE GROU COMMON 744573106 12 315 SH OTHER 01 0 315 0
D PUBLIC STORAGE, INC. COMMON 74460D109 7363 294900 SH DEFINED 01 288800 0 6100
D PUBLIC STORAGE, INC. COMMON 74460D109 11133 445324 SH DEFINED 02 377200 0 68124
D QLOGIC CORP. COMMON 747277101 483 7200 SH DEFINED 01 7200 0 0
D QLOGIC CORP. COMMON 747277101 1034 15400 SH DEFINED 02 3500 0 11900
D QUAKER OATS CO. COMMON 747402105 108 1742 SH DEFINED 1742 0 0
D QUAKER OATS CO. COMMON 747402105 4511 72464 SH DEFINED 01 34064 0 38400
D QUAKER OATS CO. COMMON 747402105 14573 234100 SH DEFINED 02 115700 0 118400
D QUAKER OATS CO. COMMON 747402105 3860 62000 SH OTHER 01 38800 23200 0
D QUALCOMM, INC. COMMON 747525103 7649 61500 SH DEFINED 01 61500 0 0
D QUALCOMM, INC. COMMON 747525103 3321 26700 SH DEFINED 02 5200 0 21500
D QUANEX CORP. COMMON 747620102 122 7900 SH DEFINED 01 7900 0 0
D QUANEX CORP. COMMON 747620102 160 10300 SH DEFINED 02 9600 0 700
D QUANTUM CORP 7% 8/1/04 BOND 747906AC9 126 140000 PRN DEFINED 01
D QUANTUM CORP 7% 8/1/04 BOND 747906AC9 81 90000 PRN OTHER 01
D QUANTUM CORPORATION COMMON 747906105 13133 729625 SH DEFINED 01 497525 0 232100
D QUANTUM CORPORATION COMMON 747906105 77936 4329776 SH DEFINED 02 3267676 0 1062100
D QUANTUM CORPORATION COMMON 747906105 180 10000 SH OTHER 01 9900 100 0
D QUEENS COUNTY BANCORP, INC. COMMON 748242104 1114 41250 SH OTHER 01 0 41250 0
D QUESTAR CORP. COMMON 748356102 2935 173300 SH DEFINED 01 173300 0 0
D QUESTAR CORP. COMMON 748356102 1148 67800 SH DEFINED 02 16000 0 51800
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 169
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D QUIKSILVER, INC. COMMON 74838C106 2 41 SH DEFINED 41 0 0
D QUIKSILVER, INC. COMMON 74838C106 1280 30300 SH DEFINED 01 30300 0 0
D QUIKSILVER, INC. COMMON 74838C106 984 23300 SH DEFINED 02 5500 0 17800
D QUICKTURN DESIGN SYSTEMS, INC. COMMON 74838E102 3355 237500 SH DEFINED 01 237500 0 0
D QUICKTURN DESIGN SYSTEMS, INC. COMMON 74838E102 5297 375000 SH DEFINED 02 313700 0 61300
D QUIDEL CORPORATION COMMON 74838J101 3317 1658254 SH DEFINED 1658254 0 0
D QUINTILES TRANSNATIONAL CORP. COMMON 748767100 32483 860466 SH DEFINED 01 860466 0 0
D QUINTILES TRANSNATIONAL CORP. COMMON 748767100 4919 130300 SH DEFINED 02 121600 0 8700
D QUORUM HEALTH GROUP, INC. COMMON 749084109 6 611 SH DEFINED 611 0 0
D QUORUM HEALTH GROUP, INC. COMMON 749084109 380 38000 SH DEFINED 01 38000 0 0
D QUORUM HEALTH GROUP, INC. COMMON 749084109 131 13100 SH DEFINED 02 2400 0 10700
D R&B FALCON CORPORATION COMMON 74912E101 16 1800 SH DEFINED 05 1800 0 0
D R&B FALCON CORPORATION COMMON 74912E101 294 34100 SH DEFINED 34100 0 0
D R&B FALCON CORPORATION COMMON 74912E101 14398 1669300 SH DEFINED 01 1074200 0 595100
D R&B FALCON CORPORATION COMMON 74912E101 30392 3523736 SH DEFINED 02 2527836 0 995900
D R&B FALCON CORPORATION COMMON 74912E101 10 1200 SH OTHER 01 1200 0 0
D QWEST COMMUNICATIONS INTL IN COMMON 749121109 6 81 SH DEFINED 81 0 0
D QWEST COMMUNICATIONS INTL IN COMMON 749121109 3448 47831 SH DEFINED 47831 0 0
D QWEST COMMUNICATIONS INTL IN COMMON 749121109 613 8500 SH DEFINED 01 8500 0 0
D QWEST COMMUNICATIONS INTL IN COMMON 749121109 15669 217335 SH DEFINED 02 169600 0 47735
D RCN CORP COMMON 749361101 889 26500 SH DEFINED 01 26500 0 0
D RCN CORP COMMON 749361101 816 24300 SH DEFINED 02 11400 0 12900
D R H DONNELLEY CORP COMMON 74955W307 79 5086 SH DEFINED 01 3280 0 1806
D R H DONNELLEY CORP COMMON 74955W307 6 400 SH OTHER 05 0 400 0
D R H DONNELLEY CORP COMMON 74955W307 205 13285 SH OTHER 01 754 12531 0
D RJR NABISCO HOLDINGS CORP COMMON 74960K876 2307 92262 SH DEFINED 92262 0 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 170
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D RJR NABISCO HOLDINGS CORP COMMON 74960K876 8 334 SH DEFINED 01 300 0 34
D RJR NABISCO HOLDINGS CORP COMMON 74960K876 21 855 SH OTHER 01 855 0 0
D RLI CORP. COMMON 749607107 23 800 SH DEFINED 01 800 0 0
D RLI CORP. COMMON 749607107 398 13618 SH DEFINED 02 6100 0 7518
D R O C TAIWAN FUND S/B/I UNIT 749651105 1896 294500 SH DEFINED 02
D RADIANT SYSTEMS, INC. COMMON 75025N102 67 7000 SH DEFINED 05 0 0 7000
D RADIANT SYSTEMS, INC. COMMON 75025N102 6571 691700 SH DEFINED 01 510600 0 181100
D RADIANT SYSTEMS, INC. COMMON 75025N102 437 46000 SH DEFINED 02 32500 0 13500
D RAILTEX, INC. COMMON 750766107 67 5900 SH DEFINED 01 5900 0 0
D RAILTEX, INC. COMMON 750766107 160 14100 SH DEFINED 02 12200 0 1900
D RAINFOREST CAFE, INC. COMMON 75086K104 31 6200 SH DEFINED 01 6200 0 0
D RAINFOREST CAFE, INC. COMMON 75086K104 76 15100 SH DEFINED 02 2900 0 12200
D RAMBUS INC. COMMON 750917106 361 5600 SH DEFINED 01 5600 0 0
D RAMBUS INC. COMMON 750917106 354 5500 SH DEFINED 02 1700 0 3800
D RALCORP HLDGS INC NEW COMMON 751028101 640 33700 SH DEFINED 01 33700 0 0
D RALCORP HLDGS INC NEW COMMON 751028101 591 31100 SH DEFINED 02 22300 0 8800
D RALCORP HLDGS INC NEW COMMON 751028101 16 816 SH OTHER 01 0 816 0
D RALSTON PURINA GROUP COMMON 751277302 507 19000 SH DEFINED 06 19000 0 0
D RALSTON PURINA GROUP COMMON 751277302 2362 88500 SH DEFINED 05 32700 0 55800
D RALSTON PURINA GROUP COMMON 751277302 90 3387 SH DEFINED 3387 0 0
D RALSTON PURINA GROUP COMMON 751277302 57427 2151777 SH DEFINED 01 1369763 0 782014
D RALSTON PURINA GROUP COMMON 751277302 136151 5101585 SH DEFINED 02 3946338 0 1155247
D RALSTON PURINA GROUP COMMON 751277302 24 900 SH OTHER 05 0 900 0
D RALSTON PURINA GROUP COMMON 751277302 5701 213602 SH OTHER 01 121425 92177 0
D RALSTON PURINA GROUP COMMON 751277302 1201 45000 SH OTHER 0304 45000 0 0
D RANGE RESOURCES CORP COMMON 75281A109 133 37900 SH DEFINED 02 0 0 37900
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 171
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D RARE HOSPITALITY INTL COMMON 753820109 263 19100 SH DEFINED 02 0 0 19100
D RATIONAL SOFTWARE CORP. COMMON 75409P202 1354 50500 SH DEFINED 01 50500 0 0
D RATIONAL SOFTWARE CORP. COMMON 75409P202 748 27900 SH DEFINED 02 18500 0 9400
D RATIONAL SOFTWARE CORP. COMMON 75409P202 697 26000 SH OTHER 101112 0 26000 0
D RAYCHEM CORP. COMMON 754603108 23 1011 SH DEFINED 1011 0 0
D RAYCHEM CORP. COMMON 754603108 3540 156900 SH DEFINED 01 156900 0 0
D RAYCHEM CORP. COMMON 754603108 905 40100 SH DEFINED 02 8700 0 31400
D RAYMOND JAMES FINANCIAL, INC. COMMON 754730109 1333 67500 SH DEFINED 01 67500 0 0
D RAYMOND JAMES FINANCIAL, INC. COMMON 754730109 2136 108168 SH DEFINED 02 10300 0 97868
D RAYTHEON COMPANY COMMON 755111309 12 207 SH DEFINED 05 112 0 95
D RAYTHEON COMPANY COMMON 755111309 68825 1191773 SH DEFINED 01 884245 0 307528
D RAYTHEON COMPANY COMMON 755111309 102872 1781328 SH DEFINED 02 1063328 0 718000
D RAYTHEON COMPANY COMMON 755111309 483 8368 SH OTHER 01 4100 4268 0
D RAYTHEON CO COMMON 755111408 213 3641 SH DEFINED 3641 0 0
D RAYTHEON CO COMMON 755111408 1911 32600 SH DEFINED 01 9000 0 23600
D RAYTHEON CO COMMON 755111408 4303 73400 SH DEFINED 02 13800 0 59600
D RAYTHEON CO COMMON 755111408 235 4000 SH OTHER 05 0 4000 0
D RAYTHEON CO COMMON 755111408 938 16000 SH OTHER 101112 0 16000 0
D RAYTHEON CO COMMON 755111408 883 15069 SH OTHER 01 3888 11181 0
D REALNETWORKS INC COMMON 75605L104 489 4000 SH DEFINED 01 4000 0 0
D REALNETWORKS INC COMMON 75605L104 1026 8400 SH DEFINED 02 1500 0 6900
D REALTY INFORMATION GROUP INC COMMON 75612B107 137 4700 SH DEFINED 01 4700 0 0
D REALTY INFORMATION GROUP INC COMMON 75612B107 424 14500 SH DEFINED 02 11200 0 3300
D RECKSON ASSOCIATES REALTY CORP COMMON 75621K106 716 34800 SH DEFINED 02 34800 0 0
D RECKSON ASSOC RLTY 7.625% 12/3 PREF-CONV 75621K205 2038 100000 SH DEFINED 02
D RECOTON CORP COMMON 756268108 113 8100 SH DEFINED 01 8100 0 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 172
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D RECOTON CORP COMMON 756268108 34 2400 SH DEFINED 02 1800 0 600
D RED ROOF INNS, INC. COMMON 757005103 328 20800 SH DEFINED 02 0 0 20800
D REEBOK INTERNATIONAL LTD. COMMON 758110100 3 200 SH DEFINED 05 200 0 0
D REEBOK INTERNATIONAL LTD. COMMON 758110100 12 738 SH DEFINED 738 0 0
D REEBOK INTERNATIONAL LTD. COMMON 758110100 5028 316700 SH DEFINED 01 268800 0 47900
D REEBOK INTERNATIONAL LTD. COMMON 758110100 7145 450100 SH DEFINED 02 317900 0 132200
D REEBOK INTERNATIONAL LTD. COMMON 758110100 13 800 SH OTHER 01 800 0 0
D REGAL-BELOIT CORP. COMMON 758750103 249 13800 SH DEFINED 02 0 0 13800
D REGENERON PHARMACEUTICALS, INC COMMON 75886F107 101 15200 SH DEFINED 02 0 0 15200
D REGIS CORP MINN COMMON 758932107 0 3 SH DEFINED 3 0 0
D REGIS CORP MINN COMMON 758932107 1969 73950 SH DEFINED 01 73950 0 0
D REGIS CORP MINN COMMON 758932107 5691 213750 SH DEFINED 02 165750 0 48000
D REGENCY REALTY CORPORATION COMMON 758939102 9727 518763 SH DEFINED 01 518763 0 0
D REGENCY REALTY CORPORATION COMMON 758939102 765 40800 SH DEFINED 02 36700 0 4100
D REGIONS FINANCIAL CORP. COMMON 758940100 22 644 SH DEFINED 644 0 0
D REGIONS FINANCIAL CORP. COMMON 758940100 90 2595 SH DEFINED 2595 0 0
D REGIONS FINANCIAL CORP. COMMON 758940100 14694 424380 SH DEFINED 01 302200 0 122180
D REGIONS FINANCIAL CORP. COMMON 758940100 20530 592920 SH DEFINED 02 363520 0 229400
D REGIONS FINANCIAL CORP. COMMON 758940100 42 1200 SH OTHER 01 1200 0 0
D REGISTRY MAGIC INCORPORATED COMMON 75913K103 1021 115000 SH DEFINED 01 0 0 115000
D REINSURANCE GROUP OF AMERICA, COMMON 759351109 1032 24250 SH DEFINED 02 5100 0 19150
D RELIANCE GROUP HOLDINGS, INC. COMMON 759464100 2155 280300 SH DEFINED 01 280300 0 0
D RELIANCE GROUP HOLDINGS, INC. COMMON 759464100 906 117876 SH DEFINED 02 21200 0 96676
D RELIANCE STEEL & ALUMINUM CO. COMMON 759509102 277 9600 SH DEFINED 02 0 0 9600
D RELIANT ENERGY INC COMMON 75952J108 78 3000 SH DEFINED 05 0 0 3000
D RELIANT ENERGY INC COMMON 75952J108 2921 112064 SH DEFINED 112064 0 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 173
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D RELIANT ENERGY INC COMMON 75952J108 2414 92640 SH DEFINED 01 64600 0 28040
D RELIANT ENERGY INC COMMON 75952J108 2192 84100 SH DEFINED 02 49500 0 34600
D RELIANT ENERGY INC COMMON 75952J108 349 13400 SH OTHER 01 0 13400 0
D RELIASTAR FINANCIAL CORP. COMMON 75952U103 4290 100650 SH DEFINED 01 650 0 100000
D RELIASTAR FINANCIAL CORP. COMMON 75952U103 848 19900 SH DEFINED 02 0 0 19900
D RELTEC CORPORATION COMMON 759527104 1440 48900 SH DEFINED 48900 0 0
D REMEC INC COMMON 759543101 447 21400 SH DEFINED 02 0 0 21400
D REMEDY CORP. COMMON 759548100 1095 78200 SH DEFINED 01 78200 0 0
D REMEDY CORP. COMMON 759548100 556 39700 SH DEFINED 02 38200 0 1500
D RENAISSANCE WORLDWIDE INC. COMMON 75968A109 70 11300 SH DEFINED 02 0 0 11300
D RENAL CARE GROUP, INC. COMMON 759930100 1 76 SH DEFINED 76 0 0
D RENAL CARE GROUP, INC. COMMON 759930100 3183 162200 SH DEFINED 01 162200 0 0
D RENAL CARE GROUP, INC. COMMON 759930100 5942 302800 SH DEFINED 02 247500 0 55300
D RENT-WAY, INC. COMMON 76009U104 5 196 SH DEFINED 196 0 0
D RENT-WAY, INC. COMMON 76009U104 156 6500 SH DEFINED 01 6500 0 0
D RENT-WAY, INC. COMMON 76009U104 78 3263 SH DEFINED 02 500 0 2763
D RENTAL SERVICE CORPORATION COMMON 76009V102 1059 60500 SH DEFINED 01 60500 0 0
D RENTAL SERVICE CORPORATION COMMON 76009V102 539 30800 SH DEFINED 02 30800 0 0
D REPSOL S A ADR COMMON 76026T205 88 1720 SH DEFINED 05 0 0 1720
D REPSOL S A ADR COMMON 76026T205 3972 77500 SH DEFINED 77500 0 0
D REPSOL S A ADR COMMON 76026T205 429 8379 SH DEFINED 01 2000 0 6379
D REPSOL S A ADR COMMON 76026T205 427 8334 SH OTHER 01 0 8334 0
D REPUBLIC BANCORP, INC. COMMON 760282103 465 35800 SH DEFINED 02 18900 0 16900
D REPUBLIC GYPSUM CO. COMMON 760473108 166 11000 SH DEFINED 02 0 0 11000
D REPUBLIC NEW YORK CORP. COMMON 760719104 14 300 SH DEFINED 05 300 0 0
D REPUBLIC NEW YORK CORP. COMMON 760719104 66 1431 SH DEFINED 1431 0 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 174
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D REPUBLIC NEW YORK CORP. COMMON 760719104 30364 658300 SH DEFINED 01 418200 0 240100
D REPUBLIC NEW YORK CORP. COMMON 760719104 58907 1277122 SH DEFINED 02 927322 0 349800
D REPUBLIC NEW YORK CORP. COMMON 760719104 32 700 SH OTHER 01 700 0 0
D REPUBLIC SECURITY FINL CORP COMMON 760758102 464 50200 SH DEFINED 01 50200 0 0
D REPUBLIC SECURITY FINL CORP COMMON 760758102 1325 143200 SH DEFINED 02 112900 0 30300
D REPUBLIC SVCS INC COMMON 760759100 3225 199200 SH DEFINED 01 169000 0 30200
D REPUBLIC SVCS INC COMMON 760759100 25843 1596400 SH DEFINED 02 885600 0 710800
D RESMED INC. COMMON 761152107 0 6 SH DEFINED 6 0 0
D RESMED INC. COMMON 761152107 2963 104900 SH DEFINED 01 104900 0 0
D RESMED INC. COMMON 761152107 4119 145800 SH DEFINED 02 115400 0 30400
D RESORTQUEST INTERNATIONAL, INC COMMON 761183102 117 7300 SH DEFINED 05 0 0 7300
D RESORTQUEST INTERNATIONAL, INC COMMON 761183102 11394 712100 SH DEFINED 01 505100 0 207000
D RESORTQUEST INTERNATIONAL, INC COMMON 761183102 554 34600 SH DEFINED 02 25600 0 9000
D RESOURCE AMERICA INC CLASS A COMMON 761195205 515 59700 SH DEFINED 01 59700 0 0
D RESOURCE AMERICA INC CLASS A COMMON 761195205 217 25200 SH DEFINED 02 20500 0 4700
D RESPIRONICS, INC. COMMON 761230101 340 25800 SH DEFINED 01 25800 0 0
D RESPIRONICS, INC. COMMON 761230101 219 16628 SH DEFINED 02 10900 0 5728
D REUTERS GROUP PLC COMMON 76132M102 1475 16977 SH DEFINED 05 9533 0 7444
D REUTERS GROUP PLC COMMON 76132M102 1498 17243 SH DEFINED 01 7451 0 9792
D REUTERS GROUP PLC COMMON 76132M102 75 866 SH OTHER 05 0 866 0
D REUTERS GROUP PLC COMMON 76132M102 4246 48875 SH OTHER 01 15599 33276 0
D REYNOLDS & REYNOLDS CO. CLASS COMMON 761695105 48 2500 SH DEFINED 01 2500 0 0
D REYNOLDS & REYNOLDS CO. CLASS COMMON 761695105 899 47300 SH DEFINED 02 0 0 47300
D REYNOLDS METALS CO. COMMON 761763101 41 858 SH DEFINED 858 0 0
D REYNOLDS METALS CO. COMMON 761763101 13465 278700 SH DEFINED 01 194300 0 84400
D REYNOLDS METALS CO. COMMON 761763101 19675 407230 SH DEFINED 02 245630 0 161600
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 175
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D REYNOLDS METALS CO. COMMON 761763101 184 3800 SH OTHER 01 3100 700 0
D RIBOZYME PHARMACEUTICALS, INC. COMMON 762567105 138 27915 SH DEFINED 27915 0 0
D RICHFOOD HOLDINGS, INC. COMMON 763408101 431 20000 SH DEFINED 20000 0 0
D RICHFOOD HOLDINGS, INC. COMMON 763408101 162 7500 SH DEFINED 01 0 0 7500
D RICHFOOD HOLDINGS, INC. COMMON 763408101 1035 47998 SH DEFINED 02 0 0 47998
D RICHMOND COUNTY FINL CORP COMMON 764556106 228 15400 SH OTHER 01 0 15400 0
D RITE AID CORP. COMMON 767754104 3343 133700 SH DEFINED 06 133700 0 0
D RITE AID CORP. COMMON 767754104 73 2923 SH DEFINED 2923 0 0
D RITE AID CORP. COMMON 767754104 461 18440 SH DEFINED 01 4600 0 13840
D RITE AID CORP. COMMON 767754104 350 13990 SH DEFINED 02 0 0 13990
D RITE AID CORP. COMMON 767754104 423 16902 SH OTHER 05 0 16902 0
D RITE AID CORP. COMMON 767754104 590 23600 SH OTHER 01 14000 9600 0
D ROADWAY EXPRESS, INC. COMMON 769742107 276 16200 SH DEFINED 02 2600 0 13600
D ROANOKE ELECTRIC STEEL CORP. COMMON 769841107 263 23650 SH DEFINED 02 3100 0 20550
D ROBERT HALF INTERNATIONAL, INC COMMON 770323103 1696 51700 SH DEFINED 02 0 0 51700
D ROBERTS PHARMACEUTICAL CORP. COMMON 770491108 755 36400 SH DEFINED 01 36400 0 0
D ROBERTS PHARMACEUTICAL CORP. COMMON 770491108 95 4600 SH DEFINED 02 4400 0 200
D ROCHESTER GAS & ELECTRIC CORP. COMMON 771367109 36 1400 SH DEFINED 01 1400 0 0
D ROCHESTER GAS & ELECTRIC CORP. COMMON 771367109 846 33000 SH DEFINED 02 19900 0 13100
D ROCK OF AGES CORPORATION COMMON 772632105 715 68500 SH DEFINED 01 68500 0 0
D ROCK OF AGES CORPORATION COMMON 772632105 1406 134700 SH DEFINED 02 111100 0 23600
D ROCKWELL INTL CORP NEW COMMON 773903109 97 2294 SH DEFINED 2294 0 0
D ROCKWELL INTL CORP NEW COMMON 773903109 10546 248500 SH DEFINED 01 156200 0 92300
D ROCKWELL INTL CORP NEW COMMON 773903109 12621 297392 SH DEFINED 02 153392 0 144000
D ROFIN SINAR TECHNOLOGIES INC COMMON 775043102 506 75000 SH DEFINED 01 0 0 75000
D ROHM & HAAS CO. COMMON 775371107 67 2000 SH DEFINED 05 2000 0 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 176
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D ROHM & HAAS CO. COMMON 775371107 72 2141 SH DEFINED 2141 0 0
D ROHM & HAAS CO. COMMON 775371107 143405 4272709 SH DEFINED 01 2703375 0 1569334
D ROHM & HAAS CO. COMMON 775371107 452130 13471095 SH DEFINED 02 10464334 0 3006761
D ROHM & HAAS CO. COMMON 775371107 2235 66600 SH OTHER 09 66600 0 0
D ROHM & HAAS CO. COMMON 775371107 2203 65640 SH OTHER 01 32755 32885 0
D ROLLINS TRUCK LEASING CORP. COMMON 775741101 1201 127275 SH DEFINED 02 5600 0 121675
D ROSLYN BANCORP INC COMMON 778162107 277 16400 SH DEFINED 02 16400 0 0
D ROSS STORES, INC. COMMON 778296103 3382 77200 SH DEFINED 01 77200 0 0
D ROSS STORES, INC. COMMON 778296103 1560 35600 SH DEFINED 02 7400 0 28200
D ROUGE INDUSTRIES, INC. COMMON 779088103 125 14300 SH DEFINED 02 1900 0 12400
D ROUSE CO. COMMON 779273101 100 4500 SH DEFINED 01 4500 0 0
D ROWAN COMPANIES, INC. COMMON 779382100 1929 152065 SH DEFINED 152065 0 0
D ROYAL BK SCOTLAND GROUP PLC COMMON 780097408 10942 423881 SH DEFINED 06 423881 0 0
D ROYAL DUTCH PETE CO COMMON 780257804 7535 144896 SH DEFINED 05 53600 0 91296
D ROYAL DUTCH PETE CO COMMON 780257804 1197 23020 SH DEFINED 23020 0 0
D ROYAL DUTCH PETE CO COMMON 780257804 416004 8000075 SH DEFINED 01 5180383 0 2819692
D ROYAL DUTCH PETE CO COMMON 780257804 563149 10829793 SH DEFINED 02 8156793 0 2673000
D ROYAL DUTCH PETE CO COMMON 780257804 463 8900 SH OTHER 05 6000 2900 0
D ROYAL DUTCH PETE CO COMMON 780257804 2241 43100 SH OTHER 09 43100 0 0
D ROYAL DUTCH PETE CO COMMON 780257804 60467 1162820 SH OTHER 01 277827 884993 0
D ROYAL DUTCH PETE CO COMMON 780257804 1560 30000 SH OTHER 0304 30000 0 0
D RUBY TUESDAY, INC. COMMON 781182100 133 7676 SH DEFINED 01 0 0 7676
D RUBY TUESDAY, INC. COMMON 781182100 56 3200 SH DEFINED 02 3200 0 0
D RUDDICK CORP. COMMON 781258108 3582 183680 SH DEFINED 01 0 0 183680
D RUDDICK CORP. COMMON 781258108 800 41000 SH DEFINED 02 0 0 41000
D RURAL/METRO CORPORATION COMMON 781748108 200 25200 SH DEFINED 01 25200 0 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 177
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D RURAL/METRO CORPORATION COMMON 781748108 121 15300 SH DEFINED 02 4600 0 10700
D RYAN'S FAMILY STEAK HOUSE, INC COMMON 783519101 724 60000 SH DEFINED 01 60000 0 0
D RYAN'S FAMILY STEAK HOUSE, INC COMMON 783519101 312 25900 SH DEFINED 02 25900 0 0
D RYDER SYSTEM, INC. COMMON 783549108 19 700 SH DEFINED 700 0 0
D RYDER SYSTEM, INC. COMMON 783549108 8956 324200 SH DEFINED 01 265700 0 58500
D RYDER SYSTEM, INC. COMMON 783549108 22143 801540 SH DEFINED 02 589740 0 211800
D RYDER SYSTEM, INC. COMMON 783549108 17 600 SH OTHER 01 600 0 0
D SBC COMMUNICATIONS, INC. COMMON 78387G103 944 20000 SH DEFINED 06 20000 0 0
D SBC COMMUNICATIONS, INC. COMMON 78387G103 3192 67636 SH DEFINED 05 15236 0 52400
D SBC COMMUNICATIONS, INC. COMMON 78387G103 996 21097 SH DEFINED 21097 0 0
D SBC COMMUNICATIONS, INC. COMMON 78387G103 227835 4828237 SH DEFINED 01 2841390 0 1986847
D SBC COMMUNICATIONS, INC. COMMON 78387G103 436319 9246406 SH DEFINED 02 6083063 0 3163343
D SBC COMMUNICATIONS, INC. COMMON 78387G103 491 10404 SH OTHER 05 2800 7604 0
D SBC COMMUNICATIONS, INC. COMMON 78387G103 2185 46300 SH OTHER 09 46300 0 0
D SBC COMMUNICATIONS, INC. COMMON 78387G103 22495 476709 SH OTHER 01 118303 358406 0
D SBC COMMUNICATIONS, INC. COMMON 78387G103 1888 40000 SH OTHER 0304 40000 0 0
D SBC COMMUNICATIONS 7.75% 03/15 PREF-CONV 78387G202 7621 131400 SH DEFINED
D SCM MICROSYSTEMS, INC. COMMON 784018103 30 500 SH DEFINED 05 0 0 500
D SCM MICROSYSTEMS, INC. COMMON 784018103 2773 45650 SH DEFINED 01 32300 0 13350
D SCM MICROSYSTEMS, INC. COMMON 784018103 49 800 SH DEFINED 02 0 0 800
D SDL, INC. COMMON 784076101 8993 99100 SH DEFINED 01 99100 0 0
D SDL, INC. COMMON 784076101 17079 188200 SH DEFINED 02 141600 0 46600
D SEI CORP. COMMON 784117103 56 600 SH DEFINED 600 0 0
D SEI CORP. COMMON 784117103 9 100 SH DEFINED 01 100 0 0
D SEI CORP. COMMON 784117103 2461 26600 SH DEFINED 02 0 0 26600
D SEMCO ENERGY INC COMMON 78412D109 201 13100 SH DEFINED 02 0 0 13100
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 178
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D SFX ENTERTAINMENT, INC. COMMON 784178105 2189 33900 SH DEFINED 01 33900 0 0
D SFX ENTERTAINMENT, INC. COMMON 784178105 1530 23700 SH DEFINED 02 17000 0 6700
D SLM HLDG CORP COMMON 78442A109 81 1948 SH DEFINED 1948 0 0
D SLM HLDG CORP COMMON 78442A109 706 16900 SH DEFINED 02 0 0 16900
D SM&A CORP COMMON 784432106 67 5800 SH DEFINED 05 0 0 5800
D SM&A CORP COMMON 784432106 6162 535800 SH DEFINED 01 376600 0 159200
D SM&A CORP COMMON 784432106 100 8700 SH DEFINED 02 1700 0 7000
D SPDR TR COMMON 78462F103 2780 21658 SH DEFINED 01 21658 0 0
D SPDR TR COMMON 78462F103 3903 30400 SH DEFINED 02 30400 0 0
D SPS TECHNOLOGIES, INC. COMMON 784626103 1 14 SH DEFINED 14 0 0
D SPS TECHNOLOGIES, INC. COMMON 784626103 326 8300 SH DEFINED 02 5300 0 3000
D SPX CORP. COMMON 784635104 2171 43047 SH DEFINED 01 43047 0 0
D SPX CORP. COMMON 784635104 1039 20600 SH DEFINED 02 20500 0 100
D S3, INC. COMMON 784849101 5 700 SH DEFINED 01 700 0 0
D S3, INC. COMMON 784849101 121 16100 SH DEFINED 02 0 0 16100
D SABRATEK CORP. COMMON 78571U108 5 300 SH DEFINED 01 300 0 0
D SABRATEK CORP. COMMON 78571U108 147 9800 SH DEFINED 02 0 0 9800
D SAFECO CORP. COMMON 786429100 32 790 SH DEFINED 05 0 0 790
D SAFECO CORP. COMMON 786429100 17 418 SH DEFINED 418 0 0
D SAFECO CORP. COMMON 786429100 70 1742 SH DEFINED 1742 0 0
D SAFECO CORP. COMMON 786429100 8419 208200 SH DEFINED 01 98100 0 110100
D SAFECO CORP. COMMON 786429100 15239 376846 SH DEFINED 02 209146 0 167700
D SAFEGUARD SCIENTIFICS 6% CV. 2 BOND 786449AC2 14139 14942000 PRN DEFINED
D SAFEGUARD SCIENTIFICS, INC. COMMON 786449108 27 400 SH DEFINED 05 0 0 400
D SAFEGUARD SCIENTIFICS, INC. COMMON 786449108 2406 35650 SH DEFINED 01 25400 0 10250
D SAFEGUARD SCIENTIFICS, INC. COMMON 786449108 641 9500 SH DEFINED 02 0 0 9500
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 179
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D SAFESCIENCE INC COMMON 786452102 321 33333 SH DEFINED 01 0 0 33333
D SAFESKIN CORP. COMMON 786454108 669 90000 SH DEFINED 01 90000 0 0
D SAFESKIN CORP. COMMON 786454108 213 28700 SH DEFINED 02 7300 0 21400
D SAFETY-KLEEN CORP NEW COMMON 78648R203 545 41100 SH DEFINED 01 41100 0 0
D SAFETY-KLEEN CORP NEW COMMON 78648R203 242 18250 SH DEFINED 02 18000 0 250
D SAFEWAY, INC. COMMON 786514208 1899 37000 SH DEFINED 06 37000 0 0
D SAFEWAY, INC. COMMON 786514208 2176 42400 SH DEFINED 05 9000 0 33400
D SAFEWAY, INC. COMMON 786514208 565292 11016553 SH DEFINED 11016553 0 0
D SAFEWAY, INC. COMMON 786514208 72786 1418480 SH DEFINED 01 943120 0 475360
D SAFEWAY, INC. COMMON 786514208 217399 4236721 SH DEFINED 02 3073963 0 1162758
D SAFEWAY, INC. COMMON 786514208 118 2300 SH OTHER 05 0 2300 0
D SAFEWAY, INC. COMMON 786514208 659 12840 SH OTHER 01 7940 4900 0
D ST. JOE CORP. COMMON 790148100 694 28600 SH DEFINED 02 0 0 28600
D ST. MARY LAND & EXPLORATION CO COMMON 792228108 794 45700 SH DEFINED 01 45700 0 0
D ST. MARY LAND & EXPLORATION CO COMMON 792228108 170 9800 SH DEFINED 02 8600 0 1200
D ST. PAUL BANCORP, INC. COMMON 792848103 58 2700 SH DEFINED 01 2700 0 0
D ST. PAUL BANCORP, INC. COMMON 792848103 719 33187 SH DEFINED 02 0 0 33187
D ST. PAUL CAPITAL 6% CV. PFD. PREF-CONV 792856205 5024 87000 SH DEFINED 01
D ST. PAUL CAPITAL 6% CV. PFD. PREF-CONV 792856205 19924 345000 SH DEFINED 02
D ST. PAUL COMPANIES, INC. COMMON 792860108 82 2650 SH DEFINED 2650 0 0
D ST. PAUL COMPANIES, INC. COMMON 792860108 20494 659764 SH DEFINED 01 470700 0 189064
D ST. PAUL COMPANIES, INC. COMMON 792860108 40830 1314432 SH DEFINED 02 876732 0 437700
D ST. PAUL COMPANIES, INC. COMMON 792860108 88 2836 SH OTHER 01 2300 536 0
D SAKS INCORPORATION COMMON 79377W108 2447 94100 SH DEFINED 94100 0 0
D SAKS INCORPORATION COMMON 79377W108 4147 159510 SH DEFINED 01 157050 0 2460
D SAKS INCORPORATION COMMON 79377W108 1893 72800 SH DEFINED 02 13400 0 59400
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 180
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D SALISBURY BANCORP INC COMMON 795226109 399 19248 SH DEFINED 01 0 0 19248
D SANMINA CORP. COMMON 800907107 1664 26100 SH DEFINED 01 26100 0 0
D SANMINA CORP. COMMON 800907107 631 9900 SH DEFINED 02 2000 0 7900
D SANGSTAT MEDICAL CORP. COMMON 801003104 127 10300 SH DEFINED 05 0 0 10300
D SANGSTAT MEDICAL CORP. COMMON 801003104 14565 1177000 SH DEFINED 01 944100 0 232900
D SANGSTAT MEDICAL CORP. COMMON 801003104 10848 876600 SH DEFINED 02 639400 0 237200
D SANTA FE ENERGY RESOURCES, INC COMMON 802012104 788 106900 SH DEFINED 106900 0 0
D SANTA FE ENERGY RESOURCES, INC COMMON 802012104 145 19700 SH DEFINED 02 19700 0 0
D SAPIENT CORP. COMMON 803062108 2 22 SH DEFINED 22 0 0
D SAPIENT CORP. COMMON 803062108 3819 53500 SH DEFINED 01 53500 0 0
D SAPIENT CORP. COMMON 803062108 1706 23900 SH DEFINED 02 21400 0 2500
D SARA LEE CORP. COMMON 803111103 727 29388 SH DEFINED 05 900 0 28488
D SARA LEE CORP. COMMON 803111103 245 9893 SH DEFINED 9893 0 0
D SARA LEE CORP. COMMON 803111103 48594 1963380 SH DEFINED 01 1360000 0 603380
D SARA LEE CORP. COMMON 803111103 69800 2820210 SH DEFINED 02 1527210 0 1293000
D SARA LEE CORP. COMMON 803111103 3833 154850 SH OTHER 01 64500 90350 0
D SAUER INC COMMON 804137107 798 76900 SH DEFINED 01 76900 0 0
D SAUER INC COMMON 804137107 487 46900 SH DEFINED 02 46900 0 0
D SAWTEK INC COMMON 805468105 0 12 SH DEFINED 12 0 0
D SAWTEK INC COMMON 805468105 297 8800 SH DEFINED 02 0 0 8800
D SBARRO, INC. COMMON 805844107 473 17750 SH DEFINED 02 2600 0 15150
D SCHERING-PLOUGH CORP. COMMON 806605101 2937 53155 SH DEFINED 05 36200 0 16955
D SCHERING-PLOUGH CORP. COMMON 806605101 881 15947 SH DEFINED 15947 0 0
D SCHERING-PLOUGH CORP. COMMON 806605101 146571 2652862 SH DEFINED 01 686290 0 1966572
D SCHERING-PLOUGH CORP. COMMON 806605101 72446 1311240 SH DEFINED 02 971040 0 340200
D SCHERING-PLOUGH CORP. COMMON 806605101 1249 22600 SH OTHER 05 8800 13800 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 181
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D SCHERING-PLOUGH CORP. COMMON 806605101 10880 196920 SH OTHER 01 131020 65900 0
D SCHLUMBERGER LTD. COMMON 806857108 957 15900 SH DEFINED 05 8000 0 7900
D SCHLUMBERGER LTD. COMMON 806857108 5501 91393 SH DEFINED 91393 0 0
D SCHLUMBERGER LTD. COMMON 806857108 18391 305558 SH DEFINED 01 141102 0 164456
D SCHLUMBERGER LTD. COMMON 806857108 710 11800 SH DEFINED 02 5600 0 6200
D SCHLUMBERGER LTD. COMMON 806857108 120 2000 SH OTHER 05 0 2000 0
D SCHLUMBERGER LTD. COMMON 806857108 15188 252340 SH OTHER 01 82572 169768 0
D SCHNITZER STEEL INDUSTRIES,INC COMMON 806882106 2931 246800 SH DEFINED 01 246800 0 0
D SCHNITZER STEEL INDUSTRIES,INC COMMON 806882106 4042 340400 SH DEFINED 02 258400 0 82000
D SCHOOL SPECIALTY INC COMMON 807863105 96 4900 SH DEFINED 05 0 0 4900
D SCHOOL SPECIALTY INC COMMON 807863105 9311 475926 SH DEFINED 01 349400 0 126526
D SCHOOL SPECIALTY INC COMMON 807863105 4089 209000 SH DEFINED 02 156700 0 52300
D SCHWAB (CHARLES) CORP. COMMON 808513105 394 4103 SH DEFINED 4103 0 0
D SCHWAB (CHARLES) CORP. COMMON 808513105 52906 550386 SH DEFINED 01 183858 0 366528
D SCHWAB (CHARLES) CORP. COMMON 808513105 30348 315710 SH OTHER 01 12150 303560 0
D SCIENTIFIC ATLANTA, INC. COMMON 808655104 29 1053 SH DEFINED 1053 0 0
D SCIENTIFIC ATLANTA, INC. COMMON 808655104 600 22000 SH DEFINED 01 0 0 22000
D SCIENTIFIC ATLANTA, INC. COMMON 808655104 450 16500 SH DEFINED 02 0 0 16500
D SCIENTIFIC GAMES HOLDINGS CORP COMMON 808747109 178 10000 SH DEFINED 10000 0 0
D SCIOS-NOVA, INC. COMMON 808905103 9 1000 SH DEFINED 01 1000 0 0
D SCIOS-NOVA, INC. COMMON 808905103 242 26700 SH DEFINED 02 0 0 26700
D SCOTSMAN INDUSTRIES, INC. COMMON 809340102 196 11400 SH DEFINED 02 1900 0 9500
D SCOTT TECHNOLOGIES INC COMMON 810022301 325 18700 SH DEFINED 02 500 0 18200
D SCOTTS CO. CLASS "A" COMMON 810186106 329 8800 SH DEFINED 02 0 0 8800
D SCRIPPS E W CO OHIO COMMON 811054204 1007 22750 SH DEFINED 02 0 0 22750
D SEABOARD CORP. COMMON 811543107 218 730 SH DEFINED 02 0 0 730
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 182
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D SEACOAST FINL SVCS CORP COMMON 81170Q106 738 74700 SH DEFINED 02 0 0 74700
D SEAGATE TECHNOLOGY, INC. COMMON 811804103 643 21750 SH DEFINED 21750 0 0
D SEAGATE TECHNOLOGY, INC. COMMON 811804103 84 2855 SH DEFINED 2855 0 0
D SEAGATE TECHNOLOGY, INC. COMMON 811804103 8127 274900 SH DEFINED 01 152000 0 122900
D SEAGATE TECHNOLOGY, INC. COMMON 811804103 10349 350082 SH DEFINED 02 153858 0 196224
D SEAGRAM LTD. COMMON 811850106 1405 28100 SH DEFINED 05 8500 0 19600
D SEAGRAM LTD. COMMON 811850106 214 4270 SH DEFINED 4270 0 0
D SEAGRAM LTD. COMMON 811850106 211844 4236876 SH DEFINED 01 3275610 0 961266
D SEAGRAM LTD. COMMON 811850106 552095 11041895 SH DEFINED 02 8337995 0 2703900
D SEAGRAM LTD. COMMON 811850106 1810 36200 SH OTHER 09 36200 0 0
D SEAGRAM LTD. COMMON 811850106 2115 42301 SH OTHER 01 20780 21521 0
D SEAGRAM LTD. COMMON 811850106 2150 43000 SH OTHER 0304 43000 0 0
D SEACOR HOLDINGS, INC. COMMON 811904101 0 6 SH DEFINED 6 0 0
D SEACOR HOLDINGS, INC. COMMON 811904101 393 7300 SH DEFINED 01 7300 0 0
D SEACOR HOLDINGS, INC. COMMON 811904101 457 8500 SH DEFINED 02 5400 0 3100
D SEALED AIR CORPORATION COMMON 81211K100 53 1069 SH DEFINED 1069 0 0
D SEALED AIR CORPORATION COMMON 81211K100 451 9160 SH DEFINED 01 2600 0 6560
D SEALED AIR CORPORATION COMMON 81211K100 92 1876 SH OTHER 01 0 1876 0
D SEALED AIR CORP NEW $2 04/01/1 PREF-CONV 81211K209 235 4750 SH DEFINED 01
D SEALED AIR CORP NEW $2 04/01/1 PREF-CONV 81211K209 82 1662 SH OTHER 01
D SEARS ROEBUCK & CO. COMMON 812387108 81 1795 SH DEFINED 05 1795 0 0
D SEARS ROEBUCK & CO. COMMON 812387108 189 4181 SH DEFINED 4181 0 0
D SEARS ROEBUCK & CO. COMMON 812387108 88552 1959640 SH DEFINED 01 1314540 0 645100
D SEARS ROEBUCK & CO. COMMON 812387108 154106 3410339 SH DEFINED 02 2183039 0 1227300
D SEARS ROEBUCK & CO. COMMON 812387108 1903 42102 SH OTHER 01 16502 25600 0
D SEARS ROEBUCK & CO. COMMON 812387108 1491 33000 SH OTHER 0304 33000 0 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 183
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D SEATTLE FILMWORKS, INC. COMMON 812572105 71 23287 SH DEFINED 02 0 0 23287
D SECURE COMPUTING CORPORATION COMMON 813705100 211 20100 SH DEFINED 02 0 0 20100
D SECURITY CAPITAL GROUP INCORPO COMMON 81413P105 28343 40489 SH DEFINED 01 40489 0 0
D SECURITY CAPITAL GROUP INCORPO COMMON 81413P204 134 10000 SH DEFINED 10000 0 0
D SECURITY CAPITAL GROUP INCORPO COMMON 81413P204 161 12000 SH DEFINED 01 12000 0 0
D SECURITY CAPITAL GROUP INCORPO COMMON 81413P204 28 2100 SH DEFINED 02 2100 0 0
D SECURITY DYNAMICS TECHNOLOGIES COMMON 814208104 61 3300 SH DEFINED 05 0 0 3300
D SECURITY DYNAMICS TECHNOLOGIES COMMON 814208104 5504 295500 SH DEFINED 01 212300 0 83200
D SECURITY DYNAMICS TECHNOLOGIES COMMON 814208104 499 26800 SH DEFINED 02 0 0 26800
D SEITEL, INC. COMMON 816074306 992 71200 SH DEFINED 01 71200 0 0
D SEITEL, INC. COMMON 816074306 671 48176 SH DEFINED 02 47300 0 876
D SELECTIVE INSURANCE GROUP, INC COMMON 816300107 14 800 SH DEFINED 01 800 0 0
D SELECTIVE INSURANCE GROUP, INC COMMON 816300107 1403 79600 SH DEFINED 02 10000 0 69600
D SENSORMATIC ELECTRONICS CORP. COMMON 817265101 3858 406100 SH DEFINED 01 215000 0 191100
D SENSORMATIC ELECTRONICS CORP. COMMON 817265101 12090 1272611 SH DEFINED 02 1198511 0 74100
D SENSORMATIC ELECTRONICS CORP. COMMON 817265101 12 1300 SH OTHER 01 1300 0 0
D SEPRACOR INC PREF-CONV 817315AF1 0 7500000 SH DEFINED
D SEPRACOR, INC. COMMON 817315104 34 300 SH DEFINED 01 300 0 0
D SEPRACOR, INC. COMMON 817315104 1212 10800 SH DEFINED 02 0 0 10800
D SEQUA CORPORATION CLASS "A" COMMON 817320104 261 5200 SH DEFINED 02 300 0 4900
D SERVICE CORP. INTERNATIONAL COMMON 817565104 1559 109400 SH DEFINED 05 40300 0 69100
D SERVICE CORP. INTERNATIONAL COMMON 817565104 1114 78175 SH DEFINED 78175 0 0
D SERVICE CORP. INTERNATIONAL COMMON 817565104 89086 6251682 SH DEFINED 01 3632639 0 2619043
D SERVICE CORP. INTERNATIONAL COMMON 817565104 218307 15319775 SH DEFINED 02 11647128 0 3672647
D SERVICE CORP. INTERNATIONAL COMMON 817565104 100 7000 SH OTHER 05 1500 5500 0
D SERVICE CORP. INTERNATIONAL COMMON 817565104 800 56125 SH OTHER 09 56125 0 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 184
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D SERVICE CORP. INTERNATIONAL COMMON 817565104 3919 275020 SH OTHER 01 147900 127120 0
D SERVICE CORP. INTERNATIONAL COMMON 817565104 641 45000 SH OTHER 0304 45000 0 0
D SERVICE EXPERTS, INC. COMMON 817567100 2184 161800 SH DEFINED 01 161800 0 0
D SERVICE EXPERTS, INC. COMMON 817567100 2610 193300 SH DEFINED 02 152300 0 41000
D SHARED MEDICAL SYSTEMS CORP. COMMON 819486101 19 335 SH DEFINED 335 0 0
D SHARED MEDICAL SYSTEMS CORP. COMMON 819486101 17 300 SH DEFINED 01 300 0 0
D SHARED MEDICAL SYSTEMS CORP. COMMON 819486101 356 6400 SH DEFINED 02 0 0 6400
D SHAW COMMUNICATIONS INC COMMON 82028K200 5472 170000 SH OTHER 01 0 170000 0
D SHAW GROUP, INC. COMMON 820280105 1829 131200 SH DEFINED 01 131200 0 0
D SHAW GROUP, INC. COMMON 820280105 4381 314300 SH DEFINED 02 251000 0 63300
D SHAW INDUSTRIES, INC. COMMON 820286102 1769 95600 SH DEFINED 01 95600 0 0
D SHAW INDUSTRIES, INC. COMMON 820286102 673 36400 SH DEFINED 02 7500 0 28900
D SHELL TRANSPORT & TRADING CO. COMMON 822703609 28 690 SH DEFINED 05 0 0 690
D SHELL TRANSPORT & TRADING CO. COMMON 822703609 17049 419660 SH DEFINED 01 309300 0 110360
D SHELL TRANSPORT & TRADING CO. COMMON 822703609 83899 2065200 SH DEFINED 02 1225700 0 839500
D SHELL TRANSPORT & TRADING CO. COMMON 822703609 813 20000 SH OTHER 09 20000 0 0
D SHELL TRANSPORT & TRADING CO. COMMON 822703609 1698 41785 SH OTHER 01 8240 33545 0
D SHELL TRANSPORT & TRADING CO. COMMON 822703609 2234 55000 SH OTHER 0304 55000 0 0
D SHERWIN-WILLIAMS CO. COMMON 824348106 6 200 SH DEFINED 05 200 0 0
D SHERWIN-WILLIAMS CO. COMMON 824348106 59 2086 SH DEFINED 2086 0 0
D SHERWIN-WILLIAMS CO. COMMON 824348106 19330 687300 SH DEFINED 01 489400 0 197900
D SHERWIN-WILLIAMS CO. COMMON 824348106 37178 1321874 SH DEFINED 02 806674 0 515200
D SHERWIN-WILLIAMS CO. COMMON 824348106 203 7200 SH OTHER 01 2200 5000 0
D SHOE CARNIVAL INC COMMON 824889109 241 19300 SH DEFINED 01 19300 0 0
D SHOE CARNIVAL INC COMMON 824889109 584 46700 SH DEFINED 02 34800 0 11900
D SHOPKO STORES, INC. COMMON 824911101 531 17783 SH DEFINED 17783 0 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 185
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D SHOPKO STORES, INC. COMMON 824911101 6444 215700 SH DEFINED 01 215700 0 0
D SHOPKO STORES, INC. COMMON 824911101 12536 419600 SH DEFINED 02 335800 0 83800
D SHURGARD STORAGE CENTERS, INC. COMMON 82567D104 318 12600 SH DEFINED 02 0 0 12600
D SIEBEL SYSTEMS, INC. COMMON 826170102 2157 45400 SH DEFINED 01 45400 0 0
D SIEBEL SYSTEMS, INC. COMMON 826170102 701 14756 SH DEFINED 02 3600 0 11156
D SIERRA HEALTH SERVICES, INC. COMMON 826322109 2019 155300 SH DEFINED 01 155300 0 0
D SIERRA HEALTH SERVICES, INC. COMMON 826322109 933 71800 SH DEFINED 02 62200 0 9600
D SIGMA-ALDRICH CORP. COMMON 826552101 38 1297 SH DEFINED 1297 0 0
D SIGMA-ALDRICH CORP. COMMON 826552101 181 6200 SH DEFINED 02 0 0 6200
D SIGMA-ALDRICH CORP. COMMON 826552101 1179 40300 SH OTHER 01 0 40300 0
D SILGAN HOLDINGS, INC. COMMON 827048109 82 4900 SH DEFINED 01 4900 0 0
D SILGAN HOLDINGS, INC. COMMON 827048109 275 16500 SH DEFINED 02 9300 0 7200
D SILICON GRAPHICS 5.25% 09/01/0 PREF-CONV 827056AC6 333906 4097000 SH DEFINED
D SILICON GRAPHICS, INC. COMMON 827056102 35 2133 SH DEFINED 2133 0 0
D SILICON GRAPHICS, INC. COMMON 827056102 462 27866 SH DEFINED 01 27866 0 0
D SILICON GRAPHICS, INC. COMMON 827056102 172 10400 SH DEFINED 02 2200 0 8200
D SILICON VALLEY GROUP, INC. COMMON 827066101 133 10800 SH DEFINED 02 1500 0 9300
D SIMON PROPERTY GROUP, INC COMMON 828806109 12973 472800 SH DEFINED 01 462900 0 9900
D SIMON PROPERTY GROUP, INC COMMON 828806109 25641 934512 SH DEFINED 02 803400 0 131112
D SIMPSON INDUSTRIES, INC. COMMON 829060102 241 25050 SH DEFINED 02 0 0 25050
D SIMPSON MANUFACTURING CO., INC COMMON 829073105 547 13595 SH DEFINED 01 13595 0 0
D SIMPSON MANUFACTURING CO., INC COMMON 829073105 68 1700 SH DEFINED 02 0 0 1700
D SINCLAIR BROADCAST GROUP, INC. COMMON 829226109 1117 76714 SH DEFINED 01 76714 0 0
D SINCLAIR BROADCAST GROUP, INC. COMMON 829226109 29 2000 SH DEFINED 02 0 0 2000
D SIPEX CORP. COMMON 829909100 0 6 SH DEFINED 6 0 0
D SIPEX CORP. COMMON 829909100 822 62900 SH DEFINED 01 62900 0 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 186
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D SIPEX CORP. COMMON 829909100 404 30900 SH DEFINED 02 28100 0 2800
D SKYLINE CORP. COMMON 830830105 272 9800 SH DEFINED 02 8100 0 1700
D SKYTEL COMMUNICATIONS INC COMMON 83087Q104 83 5000 SH DEFINED 05 0 0 5000
D SKYTEL COMMUNICATIONS INC COMMON 83087Q104 548 32948 SH DEFINED 32948 0 0
D SKYTEL COMMUNICATIONS INC COMMON 83087Q104 9470 569600 SH DEFINED 01 436700 0 132900
D SKYTEL COMMUNICATIONS INC COMMON 83087Q104 1772 106600 SH DEFINED 02 74100 0 32500
D SMART MODULAR TECH INC COMMON 831690102 227 15200 SH DEFINED 01 15200 0 0
D SMART MODULAR TECH INC COMMON 831690102 79 5300 SH DEFINED 02 5100 0 200
D SMITH (A. O.) CORP. COMMON 831865209 200 10500 SH DEFINED 02 0 0 10500
D SMITH INTERNATIONAL, INC. COMMON 832110100 92 2300 SH DEFINED 05 0 0 2300
D SMITH INTERNATIONAL, INC. COMMON 832110100 1436 35900 SH DEFINED 35900 0 0
D SMITH INTERNATIONAL, INC. COMMON 832110100 14624 365600 SH DEFINED 01 293700 0 71900
D SMITH INTERNATIONAL, INC. COMMON 832110100 10445 261130 SH DEFINED 02 175330 0 85800
D SMITH INTERNATIONAL, INC. COMMON 832110100 4 100 SH OTHER 01 100 0 0
D SMITHFIELD FOODS, INC. COMMON 832248108 0 6 SH DEFINED 6 0 0
D SMITHFIELD FOODS, INC. COMMON 832248108 1037 45700 SH DEFINED 01 45700 0 0
D SMITHFIELD FOODS, INC. COMMON 832248108 721 31800 SH DEFINED 02 19100 0 12700
D SMITHKLINE BEECHAM PLC ORD. A COMMON 832378301 2048 28650 SH DEFINED 01 27450 0 1200
D SMITHKLINE BEECHAM PLC ORD. A COMMON 832378301 715 10000 SH DEFINED 02 10000 0 0
D SMITHKLINE BEECHAM PLC ORD. A COMMON 832378301 3691 51623 SH OTHER 01 23423 28200 0
D SMURFIT-STONE CONTAINER CORP COMMON 832727101 11 565 SH DEFINED 05 565 0 0
D SMURFIT-STONE CONTAINER CORP COMMON 832727101 200 10377 SH DEFINED 10377 0 0
D SMURFIT-STONE CONTAINER CORP COMMON 832727101 70890 3670562 SH DEFINED 01 3227945 0 442617
D SMURFIT-STONE CONTAINER CORP COMMON 832727101 123914 6416076 SH DEFINED 02 4616949 0 1799127
D SMURFIT-STONE CONTAINER CORP COMMON 832727101 98 5077 SH OTHER 01 5077 0 0
D SNYDER COMMUNICATIONS INC COMMON 832914105 5843 209600 SH DEFINED 01 209600 0 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 187
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D SNYDER COMMUNICATIONS INC COMMON 832914105 10774 386521 SH DEFINED 02 275900 0 110621
D SNYDER OIL COMPANY COMMON 833482102 361 24400 SH DEFINED 02 0 0 24400
D SODEXHO MARRIOTT SERVICES INC COMMON 833793102 891 40400 SH DEFINED 01 40400 0 0
D SODEXHO MARRIOTT SERVICES INC COMMON 833793102 331 15000 SH DEFINED 02 3200 0 11800
D SOLA INTERNATIONAL, INC. COMMON 834092108 385 31900 SH DEFINED 01 31900 0 0
D SOLA INTERNATIONAL, INC. COMMON 834092108 151 12500 SH DEFINED 02 12500 0 0
D SOLECTRON CORP. COMMON 834182107 134 2754 SH DEFINED 2754 0 0
D SOLECTRON CORP. COMMON 834182107 1836 37800 SH DEFINED 02 1800 0 36000
D SOLECTRON CORP. COMMON 834182107 243 5000 SH OTHER 01 5000 0 0
D SOLUTIA INC. COMMON 834376105 21 1200 SH DEFINED 05 200 0 1000
D SOLUTIA INC. COMMON 834376105 8373 481880 SH DEFINED 01 337500 0 144380
D SOLUTIA INC. COMMON 834376105 10836 623626 SH DEFINED 02 372426 0 251200
D SOLUTIA INC. COMMON 834376105 31 1760 SH OTHER 01 1600 160 0
D SONAT, INC. COMMON 835415100 42 1403 SH DEFINED 1403 0 0
D SONAT, INC. COMMON 835415100 348 11600 SH DEFINED 01 11600 0 0
D SONAT, INC. COMMON 835415100 465 15500 SH DEFINED 02 0 0 15500
D SONAT, INC. COMMON 835415100 144 4800 SH OTHER 01 0 4800 0
D SONIC AUTOMOTIVE, INC. COMMON 83545G102 4121 265900 SH DEFINED 01 265900 0 0
D SONIC AUTOMOTIVE, INC. COMMON 83545G102 7367 475280 SH DEFINED 02 388680 0 86600
D SONIC CORP. COMMON 835451105 1 35 SH DEFINED 35 0 0
D SONIC CORP. COMMON 835451105 714 26500 SH DEFINED 01 26500 0 0
D SONIC CORP. COMMON 835451105 368 13675 SH DEFINED 02 4400 0 9275
D SONY CORP. AMERICAN SHARES COMMON 835699307 548 6000 SH DEFINED 6000 0 0
D SONY CORP. AMERICAN SHARES COMMON 835699307 18 200 SH DEFINED 01 200 0 0
D SOURCE INFORMATION MGMT CO COMMON 836151209 1063 87200 SH DEFINED 01 87200 0 0
D SOURCE INFORMATION MGMT CO COMMON 836151209 2840 233000 SH DEFINED 02 176500 0 56500
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 188
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D SOUTHDOWN, INC. COMMON 841297104 3747 69800 SH DEFINED 01 69800 0 0
D SOUTHDOWN, INC. COMMON 841297104 3430 63892 SH DEFINED 02 11500 0 52392
D SOUTHERN CO. COMMON 842587107 1107 47500 SH DEFINED 05 10300 0 37200
D SOUTHERN CO. COMMON 842587107 181 7748 SH DEFINED 7748 0 0
D SOUTHERN CO. COMMON 842587107 22799 977949 SH DEFINED 01 489100 0 488849
D SOUTHERN CO. COMMON 842587107 24705 1059726 SH DEFINED 02 436570 0 623156
D SOUTHERN CO. COMMON 842587107 625 26820 SH OTHER 01 0 26820 0
D SOUTHERN PERU COPPER CORP. COMMON 843611104 155 15400 SH DEFINED 15400 0 0
D SOUTHERN PERU COPPER CORP. COMMON 843611104 242 24000 SH DEFINED 02 200 0 23800
D SOUTHTRUST CORP. COMMON 844730101 56 1500 SH DEFINED 1500 0 0
D SOUTHTRUST CORP. COMMON 844730101 14789 396348 SH DEFINED 01 300275 0 96073
D SOUTHTRUST CORP. COMMON 844730101 48496 1299720 SH DEFINED 02 862070 0 437650
D SOUTHTRUST CORP. COMMON 844730101 741 19850 SH OTHER 01 1400 18450 0
D SOUTHTRUST CORP. COMMON 844730101 2052 55000 SH OTHER 0304 55000 0 0
D SOUTHWEST AIRLINES CO. COMMON 844741108 107 3547 SH DEFINED 3547 0 0
D SOUTHWEST AIRLINES CO. COMMON 844741108 3618 119600 SH DEFINED 01 28400 0 91200
D SOUTHWEST AIRLINES CO. COMMON 844741108 8311 274740 SH DEFINED 02 82240 0 192500
D SOUTHWEST BANCORPORATION TEX COMMON 84476R109 837 68000 SH DEFINED 01 68000 0 0
D SOUTHWEST BANCORPORATION TEX COMMON 84476R109 548 44500 SH DEFINED 02 44500 0 0
D SOUTHWEST SECURITIES GROUP, IN COMMON 845224104 612 21673 SH DEFINED 02 0 0 21673
D SOUTHWESTERN ENERGY CO. COMMON 845467109 321 45500 SH DEFINED 01 45500 0 0
D SOUTHWESTERN ENERGY CO. COMMON 845467109 1286 182100 SH DEFINED 02 91500 0 90600
D SOVEREIGN BANCORP, INC. COMMON 845905108 21 1700 SH DEFINED 05 1700 0 0
D SOVEREIGN BANCORP, INC. COMMON 845905108 14 1130 SH DEFINED 1130 0 0
D SOVEREIGN BANCORP, INC. COMMON 845905108 10415 850216 SH DEFINED 01 565320 0 284896
D SOVEREIGN BANCORP, INC. COMMON 845905108 16189 1321584 SH DEFINED 02 837384 0 484200
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 189
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D SOVEREIGN BANCORP, INC. COMMON 845905108 29 2400 SH OTHER 01 2400 0 0
D SOVRAN SELF STORAGE, INC. COMMON 84610H108 205 8800 SH DEFINED 02 8800 0 0
D SPACEHAB INC COMMON 846243103 845 130000 SH DEFINED 01 0 0 130000
D SPECIAL METALS CORP COMMON 84741Y103 72 14800 SH DEFINED 02 0 0 14800
D SPIEKER PROPERTIES, INC. COMMON 848497103 9576 271800 SH DEFINED 01 268000 0 3800
D SPIEKER PROPERTIES, INC. COMMON 848497103 11629 329900 SH DEFINED 02 271100 0 58800
D SPLASH TECHNOLOGY HOLDINGS, IN COMMON 848623104 101 16700 SH DEFINED 02 0 0 16700
D SPORTS AUTHORITY 5.25% DUE 9/1 BOND 849176AC6 6578 8800000 PRN DEFINED 02
D THE SPORTS AUTHORITY, INC. COMMON 849176102 180 24600 SH DEFINED 02 24600 0 0
D SPRINGS INDUSTRIES, INC. COMMON 851783100 9 322 SH DEFINED 322 0 0
D SPRINGS INDUSTRIES, INC. COMMON 851783100 54 2000 SH DEFINED 01 0 0 2000
D SPRINGS INDUSTRIES, INC. COMMON 851783100 138 5100 SH DEFINED 02 5100 0 0
D SPRINT CORP. COMMON 852061100 10 100 SH DEFINED 05 100 0 0
D SPRINT CORP. COMMON 852061100 113861 1160363 SH DEFINED 1160363 0 0
D SPRINT CORP. COMMON 852061100 37125 378342 SH DEFINED 01 254863 0 123479
D SPRINT CORP. COMMON 852061100 17872 182130 SH DEFINED 02 75706 0 106424
D SPRINT CORP. COMMON 852061100 59 600 SH OTHER 05 0 600 0
D SPRINT CORP. COMMON 852061100 8279 84367 SH OTHER 01 47557 36810 0
D SPRINT CORP FON GROUP COMMON 852061506 2 50 SH DEFINED 05 50 0 0
D SPRINT CORP FON GROUP COMMON 852061506 28360 640004 SH DEFINED 640004 0 0
D SPRINT CORP FON GROUP COMMON 852061506 4089 92282 SH DEFINED 01 45728 0 46554
D SPRINT CORP FON GROUP COMMON 852061506 502 11320 SH DEFINED 02 8258 0 3062
D SPRINT CORP FON GROUP COMMON 852061506 13 300 SH OTHER 05 0 300 0
D SPRINT CORP FON GROUP COMMON 852061506 1798 40582 SH OTHER 01 23528 17054 0
D STANDARD MOTOR PRODUCTS, INC. COMMON 853666105 294 14200 SH DEFINED 02 7300 0 6900
D STANDARD PACIFIC CORP. COMMON 85375C101 0 33 SH DEFINED 33 0 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 190
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D STANDARD PACIFIC CORP. COMMON 85375C101 224 17400 SH DEFINED 01 17400 0 0
D STANDARD PACIFIC CORP. COMMON 85375C101 552 42900 SH DEFINED 02 3300 0 39600
D STANDARD PRODUCTS CO. COMMON 853836104 23 1400 SH DEFINED 01 1400 0 0
D STANDARD PRODUCTS CO. COMMON 853836104 180 11100 SH DEFINED 02 6900 0 4200
D STANDARD REGISTER CO. COMMON 853887107 327 11000 SH DEFINED 02 2700 0 8300
D STANDEX INTERNATIONAL CORP. COMMON 854231107 823 37600 SH DEFINED 02 0 0 37600
D STANLEY FURNITURE COMPANY, INC COMMON 854305208 3508 179900 SH DEFINED 01 179900 0 0
D STANLEY FURNITURE COMPANY, INC COMMON 854305208 6369 326600 SH DEFINED 02 256900 0 69700
D STANLEY WORKS COMMON 854616109 29 1115 SH DEFINED 1115 0 0
D STANLEY WORKS COMMON 854616109 129 5050 SH DEFINED 01 0 0 5050
D STANLEY WORKS COMMON 854616109 241 9400 SH DEFINED 02 0 0 9400
D STAPLES, INC. COMMON 855030102 143 4342 SH DEFINED 05 0 0 4342
D STAPLES, INC. COMMON 855030102 189 5738 SH DEFINED 5738 0 0
D STAPLES, INC. COMMON 855030102 2703 82227 SH DEFINED 02 0 0 82227
D STAPLES, INC. COMMON 855030102 777 23625 SH OTHER 01 0 23625 0
D STATE AUTO FINANCIAL CORP. COMMON 855707105 428 39600 SH DEFINED 02 0 0 39600
D STARWOOD HOTELS&RESORTS WRLD COMMON 85590A203 37 1300 SH DEFINED 05 1300 0 0
D STARWOOD HOTELS&RESORTS WRLD COMMON 85590A203 78352 2742987 SH DEFINED 01 2030071 0 712916
D STARWOOD HOTELS&RESORTS WRLD COMMON 85590A203 272335 9534541 SH DEFINED 02 7438537 0 2096004
D STARWOOD HOTELS&RESORTS WRLD COMMON 85590A203 1103 38600 SH OTHER 09 38600 0 0
D STARWOOD HOTELS&RESORTS WRLD COMMON 85590A203 1700 59513 SH OTHER 01 32754 26759 0
D STATE STR CORP COMMON 857477103 1315 15983 SH DEFINED 05 13783 0 2200
D STATE STR CORP COMMON 857477103 156 1900 SH DEFINED 1900 0 0
D STATE STR CORP COMMON 857477103 2443 29700 SH DEFINED 01 11100 0 18600
D STATE STR CORP COMMON 857477103 5322 64700 SH OTHER 01 25700 39000 0
D STATION CASINOS, INC. COMMON 857689103 41 3200 SH DEFINED 01 3200 0 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 191
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D STATION CASINOS, INC. COMMON 857689103 115 9000 SH DEFINED 02 0 0 9000
D STEEL DYNAMICS, INC. COMMON 858119100 34 2053 SH DEFINED 2053 0 0
D STEEL DYNAMICS, INC. COMMON 858119100 361 21800 SH DEFINED 02 0 0 21800
D STEEL TECHNOLOGIES, INC. COMMON 858147101 2451 311300 SH DEFINED 01 311300 0 0
D STEEL TECHNOLOGIES, INC. COMMON 858147101 1108 140700 SH DEFINED 02 136500 0 4200
D STEPAN COMPANY COMMON 858586100 11 500 SH DEFINED 02 0 0 500
D STEPAN COMPANY COMMON 858586100 78 3500 SH OTHER 05 0 3500 0
D STEPAN COMPANY COMMON 858586100 223 10000 SH OTHER 01 0 10000 0
D STERLING BANCSHARES, INC. COMMON 858907108 673 64900 SH DEFINED 01 64900 0 0
D STERLING BANCSHARES, INC. COMMON 858907108 480 46300 SH DEFINED 02 40100 0 6200
D STERICYCLE INC COMMON 858912108 30 2200 SH DEFINED 05 0 0 2200
D STERICYCLE INC COMMON 858912108 2628 195600 SH DEFINED 01 137800 0 57800
D STERICYCLE INC COMMON 858912108 34 2500 SH DEFINED 02 0 0 2500
D STERIS CORP. COMMON 859152100 2239 84100 SH DEFINED 01 84100 0 0
D STERIS CORP. COMMON 859152100 1031 38716 SH DEFINED 02 6400 0 32316
D STERLING COMMERCE, INC. COMMON 859205106 579 18820 SH DEFINED 01 17800 0 1020
D STERLING COMMERCE, INC. COMMON 859205106 510 16573 SH DEFINED 02 1400 0 15173
D STERLING SOFTWARE, INC. COMMON 859547101 3304 139100 SH DEFINED 01 139100 0 0
D STERLING SOFTWARE, INC. COMMON 859547101 1724 72574 SH DEFINED 02 10800 0 61774
D STEWART & STEVENSON SERVICES, COMMON 860342104 277 36000 SH DEFINED 01 36000 0 0
D STEWART & STEVENSON SERVICES, COMMON 860342104 52 6800 SH DEFINED 02 6500 0 300
D STEWART ENTERPRISES, INC. CL. COMMON 860370105 241 15000 SH DEFINED 05 0 0 15000
D STEWART ENTERPRISES, INC. CL. COMMON 860370105 175 10900 SH DEFINED 01 10900 0 0
D STEWART ENTERPRISES, INC. CL. COMMON 860370105 524 32600 SH DEFINED 02 3100 0 29500
D STEWART INFORMATION SERVICES C COMMON 860372101 97 2900 SH DEFINED 01 2900 0 0
D STEWART INFORMATION SERVICES C COMMON 860372101 910 27100 SH DEFINED 02 1100 0 26000
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 192
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D STMICROELECTRONICS NV 0% 6/10/ BOND 861012AA0 1614 2200000 PRN DEFINED 02
D STONE CONTAINER 6.75% CSD 2/15 BOND 861589AE9 318 418000 PRN DEFINED 02
D STONE CONTAINER 6.75% CSD 2/15 BOND 861589AE9 38 50000 PRN OTHER 01
D STONE CONTAINER CORP. $1.75 CV PREF-CONV 861589307 4426 245900 SH DEFINED 02
D STORAGE USA, INC. COMMON 861907103 491 17300 SH DEFINED 02 0 0 17300
D STRYKER CORP. COMMON 863667101 4867 96496 SH DEFINED 01 86571 0 9925
D STRYKER CORP. COMMON 863667101 550 10900 SH DEFINED 02 7700 0 3200
D SUGEN, INC. COMMON 865041107 844 44000 SH DEFINED 44000 0 0
D SUGEN, INC. COMMON 865041107 288 15000 SH DEFINED 02 0 0 15000
D SUIZA FOODS CORP. COMMON 865077101 2112 62700 SH DEFINED 01 62700 0 0
D SUIZA FOODS CORP. COMMON 865077101 955 28355 SH DEFINED 02 3900 0 24455
D SUMMIT BANCORP COMMON 866005101 81 2069 SH DEFINED 2069 0 0
D SUMMIT BANCORP COMMON 866005101 15019 385113 SH DEFINED 01 290600 0 94513
D SUMMIT BANCORP COMMON 866005101 18136 465014 SH DEFINED 02 267364 0 197650
D SUMMIT BANCORP COMMON 866005101 69 1775 SH OTHER 01 1100 675 0
D SUMMIT BANCSHARES INC TEX COMMON 866011109 910 52000 SH DEFINED 01 52000 0 0
D SUMMIT BANCSHARES INC TEX COMMON 866011109 2165 123700 SH DEFINED 02 107400 0 16300
D SUMMIT PROPERTIES, INC. COMMON 866239106 1677 100500 SH DEFINED 01 100500 0 0
D SUMMIT PROPERTIES, INC. COMMON 866239106 2568 153900 SH DEFINED 02 139500 0 14400
D SUN BANCORP, INC. COMMON 86663B102 9 500 SH DEFINED 05 0 0 500
D SUN BANCORP, INC. COMMON 86663B102 1847 98500 SH DEFINED 01 83300 0 15200
D SUN BANCORP, INC. COMMON 86663B102 1766 94172 SH DEFINED 02 74772 0 19400
D SUN MICROSYSTEMS, INC. COMMON 866810104 14870 118900 SH DEFINED 05 43800 0 75100
D SUN MICROSYSTEMS, INC. COMMON 866810104 60 480 SH DEFINED 480 0 0
D SUN MICROSYSTEMS, INC. COMMON 866810104 2723 21776 SH DEFINED 21776 0 0
D SUN MICROSYSTEMS, INC. COMMON 866810104 403937 3229869 SH DEFINED 01 1989615 0 1240254
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 193
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D SUN MICROSYSTEMS, INC. COMMON 866810104 715648 5722299 SH DEFINED 02 4218598 0 1503701
D SUN MICROSYSTEMS, INC. COMMON 866810104 125 1000 SH OTHER 05 0 1000 0
D SUN MICROSYSTEMS, INC. COMMON 866810104 750 6000 SH OTHER 101112 0 6000 0
D SUN MICROSYSTEMS, INC. COMMON 866810104 3727 29800 SH OTHER 09 29800 0 0
D SUN MICROSYSTEMS, INC. COMMON 866810104 41839 334540 SH OTHER 01 164690 169850 0
D SUN MICROSYSTEMS, INC. COMMON 866810104 9255 74000 SH OTHER 0304 74000 0 0
D SUN HEALTHCARE GROUP, INC. COMMON 866933104 189 188700 SH DEFINED 188700 0 0
D SUNBEAM CORPORATION 3/25/18 BOND 867071AA0 1953 12500000 PRN DEFINED 02
D SUNDSTRAND CORP. COMMON 867323107 104 1500 SH DEFINED 05 1500 0 0
D SUNDSTRAND CORP. COMMON 867323107 5456 78500 SH DEFINED 78500 0 0
D SUNDSTRAND CORP. COMMON 867323107 132 1900 SH DEFINED 01 1900 0 0
D SUNGARD DATA SYSTEMS, INC. COMMON 867363103 1307 32664 SH DEFINED 01 32664 0 0
D SUNGARD DATA SYSTEMS, INC. COMMON 867363103 2776 69400 SH DEFINED 02 2400 0 67000
D SUNOCO INC COMMON 86764P109 46 1268 SH DEFINED 1268 0 0
D SUNOCO INC COMMON 86764P109 50 1400 SH DEFINED 01 1400 0 0
D SUNOCO INC COMMON 86764P109 1983 55000 SH OTHER 01 27000 28000 0
D SUNRISE ASSISTED LIVING, INC. COMMON 86768K106 6092 133700 SH DEFINED 01 133700 0 0
D SUNRISE ASSISTED LIVING, INC. COMMON 86768K106 13077 287000 SH DEFINED 02 224400 0 62600
D SUNRISE TECHNOLOGIES, INC. COMMON 86769L103 4400 400000 SH DEFINED 01 0 0 400000
D SUNTERRA CORP COMMON 86787D109 198 20300 SH DEFINED 01 20300 0 0
D SUNTERRA CORP COMMON 86787D109 35 3600 SH DEFINED 02 3600 0 0
D SUNTRUST BANKS, INC. COMMON 867914103 6275 100800 SH DEFINED 06 100800 0 0
D SUNTRUST BANKS, INC. COMMON 867914103 214 3432 SH DEFINED 3432 0 0
D SUNTRUST BANKS, INC. COMMON 867914103 40699 653802 SH DEFINED 01 448561 0 205241
D SUNTRUST BANKS, INC. COMMON 867914103 59616 957679 SH DEFINED 02 550830 0 406849
D SUNTRUST BANKS, INC. COMMON 867914103 3790 60884 SH OTHER 01 22000 38884 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 194
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D SUNSTONE HOTEL INVESTORS, INC. COMMON 867933103 75 10500 SH DEFINED 01 10500 0 0
D SUNSTONE HOTEL INVESTORS, INC. COMMON 867933103 242 33700 SH DEFINED 02 33700 0 0
D SUPERGEN INC COMMON 868059106 903 88100 SH DEFINED 88100 0 0
D SUPERGEN INC COMMON 868059106 174 17000 SH DEFINED 02 0 0 17000
D SUPERIOR CONSULTANT HOLDINGS C COMMON 868146101 106 3100 SH DEFINED 05 0 0 3100
D SUPERIOR CONSULTANT HOLDINGS C COMMON 868146101 9415 275900 SH DEFINED 01 195100 0 80800
D SUPERIOR CONSULTANT HOLDINGS C COMMON 868146101 154 4500 SH DEFINED 02 0 0 4500
D SUPERIOR ENERGY SERVICES, INC. COMMON 868157108 25 7000 SH DEFINED 7000 0 0
D SUPERIOR ENERGY SERVICES, INC. COMMON 868157108 89 24800 SH DEFINED 02 0 0 24800
D SUPERIOR INDUSTRIES INT'L, INC COMMON 868168105 698 30000 SH DEFINED 30000 0 0
D SUPERIOR INDUSTRIES INT'L, INC COMMON 868168105 307 13200 SH DEFINED 02 0 0 13200
D SUPERVALU, INC. COMMON 868536103 33 1599 SH DEFINED 1599 0 0
D SUPERVALU, INC. COMMON 868536103 2155 104500 SH DEFINED 01 94900 0 9600
D SUPERVALU, INC. COMMON 868536103 734 35600 SH DEFINED 02 7000 0 28600
D SUSQUEHANNA BANCSHARES, INC. COMMON 869099101 1259 68537 SH DEFINED 02 0 0 68537
D SWIFT TRANSPORTATION CO., INC. COMMON 870756103 0 6 SH DEFINED 6 0 0
D SWIFT TRANSPORTATION CO., INC. COMMON 870756103 414 16200 SH DEFINED 02 0 0 16200
D SYBASE, INC. COMMON 871130100 185 23300 SH DEFINED 01 23300 0 0
D SYBASE, INC. COMMON 871130100 1 100 SH DEFINED 02 100 0 0
D SYBRON CORP. COMMON 87114F106 4355 174200 SH DEFINED 01 174200 0 0
D SYBRON CORP. COMMON 87114F106 2245 89800 SH DEFINED 02 14800 0 75000
D SYLVAN LEARNING SYSTEMS, INC. COMMON 871399101 63 2300 SH DEFINED 05 0 0 2300
D SYLVAN LEARNING SYSTEMS, INC. COMMON 871399101 6384 233200 SH DEFINED 01 174600 0 58600
D SYLVAN LEARNING SYSTEMS, INC. COMMON 871399101 422 15400 SH DEFINED 02 11700 0 3700
D SYLVAN LEARNING SYSTEMS, INC. COMMON 871399101 137 5000 SH OTHER 01 0 5000 0
D SYMANTEC CORP. COMMON 871503108 9362 552698 SH DEFINED 01 523998 0 28700
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 195
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D SYMANTEC CORP. COMMON 871503108 1868 110300 SH DEFINED 02 59000 0 51300
D SYMANTEC CORP. COMMON 871503108 8 500 SH OTHER 01 500 0 0
D SYMBOL TECHNOLOGIES, INC. COMMON 871508107 3749 83300 SH DEFINED 01 67500 0 15800
D SYMBOL TECHNOLOGIES, INC. COMMON 871508107 9401 208920 SH DEFINED 02 136920 0 72000
D SYMBOL TECHNOLOGIES, INC. COMMON 871508107 512 11375 SH OTHER 01 150 11225 0
D SYMMETRICOM, INC. COMMON 871543104 67 10600 SH DEFINED 02 0 0 10600
D SYMS CORP. COMMON 871551107 91 12300 SH DEFINED 02 0 0 12300
D SYNAPTIC PHARMACEUTICAL CORP. COMMON 87156R109 296 43000 SH DEFINED 43000 0 0
D SYNAPTIC PHARMACEUTICAL CORP. COMMON 87156R109 23 3402 SH DEFINED 01 2702 0 700
D SYNETIC, INC. COMMON 87160F109 346 6200 SH DEFINED 02 0 0 6200
D SYNOPSYS, INC. COMMON 871607107 4601 85600 SH DEFINED 01 85600 0 0
D SYNOPSYS, INC. COMMON 871607107 1838 34200 SH DEFINED 02 6300 0 27900
D SYNOPSYS, INC. COMMON 871607107 968 18000 SH OTHER 101112 0 18000 0
D SYNOVUS FINANCIAL CORP. COMMON 87161C105 166 8100 SH DEFINED 8100 0 0
D SYNOVUS FINANCIAL CORP. COMMON 87161C105 60 2935 SH DEFINED 2935 0 0
D SYNOVUS FINANCIAL CORP. COMMON 87161C105 1744 85059 SH DEFINED 01 0 0 85059
D SYNTROLEUM CORP COMMON 871630109 2 267 SH DEFINED 267 0 0
D SYNTROLEUM CORP COMMON 871630109 105 17100 SH DEFINED 02 0 0 17100
D SYSCO CORP. COMMON 871829107 53 2000 SH DEFINED 05 2000 0 0
D SYSCO CORP. COMMON 871829107 91 3469 SH DEFINED 3469 0 0
D SYSCO CORP. COMMON 871829107 1852 70400 SH DEFINED 01 66400 0 4000
D SYSCO CORP. COMMON 871829107 2243 85242 SH DEFINED 02 57142 0 28100
D SYSCO CORP. COMMON 871829107 126 4800 SH OTHER 05 0 4800 0
D SYSCO CORP. COMMON 871829107 216 8200 SH OTHER 01 0 8200 0
D TCA CABLE TV, INC. COMMON 872241104 5951 136800 SH DEFINED 01 135200 0 1600
D TCA CABLE TV, INC. COMMON 872241104 4502 103500 SH DEFINED 02 10600 0 92900
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 196
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D TCA CABLE TV, INC. COMMON 872241104 1305 30000 SH OTHER 01 0 30000 0
D TCF FINANCIAL CORP. COMMON 872275102 47 1800 SH DEFINED 05 1800 0 0
D TCF FINANCIAL CORP. COMMON 872275102 34192 1311900 SH DEFINED 01 816400 0 495500
D TCF FINANCIAL CORP. COMMON 872275102 70980 2723384 SH DEFINED 02 1959024 0 764360
D TCF FINANCIAL CORP. COMMON 872275102 13 500 SH OTHER 01 500 0 0
D TCI SATELLITE ENTERTAINMENT IN COMMON 872298104 5 7700 SH DEFINED 01 7700 0 0
D TCI SATELLITE ENTERTAINMENT IN COMMON 872298104 49 75200 SH DEFINED 02 0 0 75200
D TECO ENERGY, INC. COMMON 872375100 7209 362700 SH DEFINED 01 254800 0 107900
D TECO ENERGY, INC. COMMON 872375100 10276 517050 SH DEFINED 02 318050 0 199000
D TECO ENERGY, INC. COMMON 872375100 246 12400 SH OTHER 01 1200 11200 0
D TJ INTERNATIONAL, INC. COMMON 872534102 227 9400 SH DEFINED 02 0 0 9400
D TJX COMPANIES, INC. COMMON 872540109 65 1900 SH DEFINED 05 1900 0 0
D TJX COMPANIES, INC. COMMON 872540109 115 3388 SH DEFINED 3388 0 0
D TJX COMPANIES, INC. COMMON 872540109 77220 2271170 SH DEFINED 01 1346920 0 924250
D TJX COMPANIES, INC. COMMON 872540109 188935 5556908 SH DEFINED 02 4206308 0 1350600
D TJX COMPANIES, INC. COMMON 872540109 1615 47500 SH OTHER 01 31600 15900 0
D TNP ENTERPRISES, INC. COMMON 872594106 932 32400 SH DEFINED 02 10900 0 21500
D TRW, INC. COMMON 872649108 69 1506 SH DEFINED 1506 0 0
D TRW, INC. COMMON 872649108 910 20000 SH DEFINED 01 0 0 20000
D TRW, INC. COMMON 872649108 1156 25400 SH DEFINED 02 0 0 25400
D TRW, INC. COMMON 872649108 182 4000 SH OTHER 01 0 4000 0
D TSI INTERNATIONAL SOFTWARE LTD COMMON 872879101 234 4800 SH DEFINED 05 0 0 4800
D TSI INTERNATIONAL SOFTWARE LTD COMMON 872879101 20848 427100 SH DEFINED 01 320900 0 106200
D TSI INTERNATIONAL SOFTWARE LTD COMMON 872879101 3881 79500 SH DEFINED 02 58000 0 21500
D TMP WORLDWIDE INC COMMON 872941109 71 1100 SH DEFINED 05 0 0 1100
D TMP WORLDWIDE INC COMMON 872941109 8844 136450 SH DEFINED 01 107800 0 28650
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 197
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D TMP WORLDWIDE INC COMMON 872941109 6553 101100 SH DEFINED 02 76800 0 24300
D TALBOTS, INC. COMMON 874161102 171 7000 SH DEFINED 01 7000 0 0
D TALBOTS, INC. COMMON 874161102 61 2500 SH DEFINED 02 2500 0 0
D TALISMAN ENERGY INC COMMON 87425E103 6605 307200 SH DEFINED 01 307200 0 0
D TANGER FACTORY OUTLET CENTERS, COMMON 875465106 557 29100 SH DEFINED 29100 0 0
D TECH DATA CORP. COMMON 878237106 1 49 SH DEFINED 49 0 0
D TECH DATA CORP. COMMON 878237106 1351 58900 SH DEFINED 01 58900 0 0
D TECH DATA CORP. COMMON 878237106 826 36000 SH DEFINED 02 4700 0 31300
D TECHNE CORP. COMMON 878377100 0 6 SH DEFINED 6 0 0
D TECHNE CORP. COMMON 878377100 318 11000 SH DEFINED 02 0 0 11000
D TECHNITROL, INC. COMMON 878555101 0 6 SH DEFINED 6 0 0
D TECHNITROL, INC. COMMON 878555101 609 26400 SH DEFINED 02 0 0 26400
D TECUMSEH PRODUCTS, INC. COMMON 878895101 182 4000 SH DEFINED 01 0 0 4000
D TECUMSEH PRODUCTS, INC. COMMON 878895101 45 1000 SH OTHER 01 1000 0 0
D TECUMSEH PRODUCTS CO. CLASS "A COMMON 878895200 509 10000 SH DEFINED 01 0 0 10000
D TECUMSEH PRODUCTS CO. CLASS "A COMMON 878895200 92 1800 SH OTHER 01 1800 0 0
D TEKELEC COMMON 879101103 18 2500 SH DEFINED 05 0 0 2500
D TEKELEC COMMON 879101103 2064 282300 SH DEFINED 01 216700 0 65600
D TEKELEC COMMON 879101103 1338 183000 SH DEFINED 02 126900 0 56100
D TEKTRONIX, INC. COMMON 879131100 13 529 SH DEFINED 529 0 0
D TEKTRONIX, INC. COMMON 879131100 131 5200 SH DEFINED 01 5200 0 0
D TEKTRONIX, INC. COMMON 879131100 131 5200 SH DEFINED 02 0 0 5200
D TELEBANC FINANCIAL CORP COMMON 87925R109 112 1400 SH DEFINED 05 0 0 1400
D TELEBANC FINANCIAL CORP COMMON 87925R109 13215 165700 SH DEFINED 01 130700 0 35000
D TELEBANC FINANCIAL CORP COMMON 87925R109 7744 97100 SH DEFINED 02 75000 0 22100
D TELECOM ARGENTINA STET -SP ADR COMMON 879273209 1100 40100 SH DEFINED 40100 0 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 198
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D TELECOMUNICAS BRASIL ADR PFD PREFERRED 879287308 11359 140888 SH DEFINED
D TELECOMUNICAS BRASIL ADR PFD PREFERRED 879287308 202 2500 SH OTHER 01
D TELEFLEX, INC. COMMON 879369106 109 3200 SH DEFINED 01 3200 0 0
D TELEFLEX, INC. COMMON 879369106 68 2000 SH DEFINED 02 0 0 2000
D TELEFLEX, INC. COMMON 879369106 613 18000 SH OTHER 01 0 18000 0
D TELEFONICA DE ARGENTINA S A COMMON 879378206 968 32000 SH DEFINED 32000 0 0
D TELEFONICA DE ESPANA S.A SPONS COMMON 879382208 49 382 SH DEFINED 05 0 0 382
D TELEFONICA DE ESPANA S.A SPONS COMMON 879382208 57 444 SH DEFINED 01 444 0 0
D TELEFONICA DE ESPANA S.A SPONS COMMON 879382208 65 510 SH OTHER 05 0 510 0
D TELEFONICA DE ESPANA S.A SPONS COMMON 879382208 355 2781 SH OTHER 01 0 2781 0
D CPT TELEFONICA DEL PERU - ADR COMMON 879384105 64097 5027218 SH DEFINED 5027218 0 0
D TELEFONOS DE MEXICO S.A. CV. A COMMON 879403780 13 200 SH DEFINED 05 200 0 0
D TELEFONOS DE MEXICO S.A. CV. A COMMON 879403780 72950 1105300 SH DEFINED 1105300 0 0
D TELEFONOS DE MEXICO S.A. CV. A COMMON 879403780 13 200 SH DEFINED 01 200 0 0
D TELEFONOS DE MEXICO S.A. CV. A COMMON 879403780 816 12369 SH DEFINED 02 12369 0 0
D TELESPECTRUM WORLDWIDE INC COMMON 87951U109 184 21500 SH DEFINED 02 0 0 21500
D TELIGENT INC COMMON 87959Y103 112 2700 SH DEFINED 05 0 0 2700
D TELIGENT INC COMMON 87959Y103 13892 333750 SH DEFINED 01 264700 0 69050
D TELIGENT INC COMMON 87959Y103 8837 212300 SH DEFINED 02 151500 0 60800
D TELLABS, INC. COMMON 879664100 39 400 SH DEFINED 05 400 0 0
D TELLABS, INC. COMMON 879664100 2997 30664 SH DEFINED 30664 0 0
D TELLABS, INC. COMMON 879664100 48 493 SH DEFINED 01 493 0 0
D TELLABS, INC. COMMON 879664100 2532 25904 SH DEFINED 02 0 0 25904
D TEMPLE-INLAND, INC. COMMON 879868107 169 2700 SH DEFINED 05 200 0 2500
D TEMPLE-INLAND, INC. COMMON 879868107 47 746 SH DEFINED 746 0 0
D TEMPLE-INLAND, INC. COMMON 879868107 76132 1213257 SH DEFINED 01 800550 0 412707
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 199
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D TEMPLE-INLAND, INC. COMMON 879868107 295186 4704159 SH DEFINED 02 3745716 0 958443
D TEMPLE-INLAND, INC. COMMON 879868107 1820 29000 SH OTHER 09 29000 0 0
D TEMPLE-INLAND, INC. COMMON 879868107 1985 31630 SH OTHER 01 8875 22755 0
D TEMPLE-INLAND, INC. COMMON 879868107 1255 20000 SH OTHER 0304 20000 0 0
D TELETECH HOLDINGS INC COMMON 879939106 143 21800 SH DEFINED 02 0 0 21800
D TEMTEX INDUSTRIES, INC. COMMON 880236203 394 140000 SH DEFINED 01 0 0 140000
D TENET HEALTHCARE CORP. COMMON 88033G100 411 21700 SH DEFINED 05 14200 0 7500
D TENET HEALTHCARE CORP. COMMON 88033G100 65 3413 SH DEFINED 3413 0 0
D TENET HEALTHCARE CORP. COMMON 88033G100 59596 3146885 SH DEFINED 01 1934410 0 1212475
D TENET HEALTHCARE CORP. COMMON 88033G100 105784 5585795 SH DEFINED 02 4052958 0 1532837
D TENET HEALTHCARE CORP. COMMON 88033G100 28 1500 SH OTHER 05 0 1500 0
D TENET HEALTHCARE CORP. COMMON 88033G100 216 11400 SH OTHER 01 8800 2600 0
D TENNECO INC NEW COMMON 88037E101 39 1400 SH DEFINED 05 1400 0 0
D TENNECO INC NEW COMMON 88037E101 59 2104 SH DEFINED 2104 0 0
D TENNECO INC NEW COMMON 88037E101 40463 1448325 SH DEFINED 01 941825 0 506500
D TENNECO INC NEW COMMON 88037E101 94902 3396862 SH DEFINED 02 2100430 0 1296432
D TENNECO INC NEW COMMON 88037E101 210 7500 SH OTHER 01 2500 5000 0
D TENNECO INC NEW COMMON 88037E101 1397 50000 SH OTHER 0304 50000 0 0
D TERADYNE, INC. COMMON 880770102 1861 34100 SH DEFINED 01 34100 0 0
D TERADYNE, INC. COMMON 880770102 12670 232200 SH DEFINED 02 220800 0 11400
D TEREX CORPORATION COMMON 880779103 449 18600 SH DEFINED 01 18600 0 0
D TEREX CORPORATION COMMON 880779103 813 33700 SH DEFINED 02 22600 0 11100
D TERRA INDUSTRIES, INC. COMMON 880915103 47 10200 SH DEFINED 02 0 0 10200
D TESORO PETROLEUM CORP. COMMON 881609101 23 2100 SH DEFINED 05 0 0 2100
D TESORO PETROLEUM CORP. COMMON 881609101 1753 159400 SH DEFINED 01 120100 0 39300
D TESORO PETROLEUM CORP. COMMON 881609101 496 45100 SH DEFINED 02 25400 0 19700
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 200
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D TESORO PETROLEUM CORP PFD 7.25 PREF-CONV 881609408 1520 127300 SH DEFINED 01
D TESORO PETROLEUM CORP PFD 7.25 PREF-CONV 881609408 21 1800 SH DEFINED 02
D TETRA TECHNOLOGIES, INC. COMMON 88162F105 1 200 SH DEFINED 200 0 0
D TETRA TECHNOLOGIES, INC. COMMON 88162F105 1276 189100 SH DEFINED 01 189100 0 0
D TETRA TECHNOLOGIES, INC. COMMON 88162F105 969 143500 SH DEFINED 02 127000 0 16500
D TETRA TECHNOLOGIES, INC. - NEW COMMON 88162G103 1 42 SH DEFINED 42 0 0
D TETRA TECHNOLOGIES, INC. - NEW COMMON 88162G103 1597 75800 SH DEFINED 01 75800 0 0
D TETRA TECHNOLOGIES, INC. - NEW COMMON 88162G103 4736 224843 SH DEFINED 02 176800 0 48043
D TEVA PHARMACEUTICAL INDS. LTD. COMMON 881624209 285 6000 SH DEFINED 01 3000 0 3000
D TEXACO, INC. COMMON 881694103 4383 77232 SH DEFINED 05 41432 0 35800
D TEXACO, INC. COMMON 881694103 11990 211277 SH DEFINED 211277 0 0
D TEXACO, INC. COMMON 881694103 63871 1125483 SH DEFINED 01 653359 0 472124
D TEXACO, INC. COMMON 881694103 115242 2030689 SH DEFINED 02 1133650 0 897039
D TEXACO, INC. COMMON 881694103 465 8200 SH OTHER 05 6200 2000 0
D TEXACO, INC. COMMON 881694103 11572 203912 SH OTHER 01 92480 111432 0
D TEXAS INDUSTRIES, INC. COMMON 882491103 603 24300 SH DEFINED 02 4800 0 19500
D TEXAS INSTRUMENTS, INC. COMMON 882508104 449 4521 SH DEFINED 05 1201 0 3320
D TEXAS INSTRUMENTS, INC. COMMON 882508104 488 4913 SH DEFINED 4913 0 0
D TEXAS INSTRUMENTS, INC. COMMON 882508104 179480 1808367 SH DEFINED 01 1183725 0 624642
D TEXAS INSTRUMENTS, INC. COMMON 882508104 409621 4127161 SH DEFINED 02 3028260 0 1098901
D TEXAS INSTRUMENTS, INC. COMMON 882508104 2054 20700 SH OTHER 09 20700 0 0
D TEXAS INSTRUMENTS, INC. COMMON 882508104 2456 24745 SH OTHER 01 10930 13815 0
D TEXAS REGIONAL BANCSHARES, INC COMMON 882673106 324 12000 SH DEFINED 02 0 0 12000
D TEXAS UTILITIES CO. COMMON 882848104 130 3085 SH DEFINED 3085 0 0
D TEXAS UTILITIES CO. COMMON 882848104 17527 417300 SH DEFINED 01 218500 0 198800
D TEXAS UTILITIES CO. COMMON 882848104 36042 858148 SH DEFINED 02 564248 0 293900
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 201
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D TEXAS UTILITIES CO. COMMON 882848104 169 4030 SH OTHER 01 300 3730 0
D TEXTRON, INC. COMMON 883203101 1238 16000 SH DEFINED 06 16000 0 0
D TEXTRON, INC. COMMON 883203101 156 2021 SH DEFINED 2021 0 0
D TEXTRON, INC. COMMON 883203101 476 6150 SH DEFINED 01 1050 0 5100
D TEXTRON, INC. COMMON 883203101 3861 49900 SH DEFINED 02 0 0 49900
D THERMO CARDIOSYSTEMS, INC. COMMON 88355K200 360 45000 SH DEFINED 45000 0 0
D THERMO CARDIOSYSTEMS, INC. COMMON 88355K200 77 9600 SH DEFINED 02 0 0 9600
D THERMO POWER CORP. COMMON 883589103 1124 140500 SH DEFINED 01 0 0 140500
D THERMO POWER CORP. COMMON 883589103 30 3700 SH DEFINED 02 0 0 3700
D THERMOLASE CORP. COMMON 883624108 288 100000 SH DEFINED 01 0 0 100000
D THERMORETEC CORPORATION COMMON 883656100 37 14800 SH DEFINED 02 0 0 14800
D THERMEDICS, INC. COMMON 883901100 16 2200 SH DEFINED 2200 0 0
D THERMEDICS, INC. COMMON 883901100 706 100000 SH DEFINED 01 0 0 100000
D THERMEDICS, INC. COMMON 883901100 54 7600 SH DEFINED 02 100 0 7500
D THOMAS & BETTS CORP. COMMON 884315102 28 735 SH DEFINED 735 0 0
D THOMAS & BETTS CORP. COMMON 884315102 2674 71186 SH DEFINED 01 70900 0 286
D THOMAS & BETTS CORP. COMMON 884315102 1106 29450 SH DEFINED 02 5900 0 23550
D THOMAS INDUSTRIES, INC. COMMON 884425109 386 20600 SH DEFINED 01 20600 0 0
D THOMAS INDUSTRIES, INC. COMMON 884425109 778 41500 SH DEFINED 02 11200 0 30300
D THORNBURG MORTGAGE ASSET CORP. COMMON 885218107 28 3300 SH DEFINED 01 3300 0 0
D THORNBURG MORTGAGE ASSET CORP. COMMON 885218107 68 7900 SH DEFINED 02 0 0 7900
D 3COM CORP. COMMON 885535104 5 200 SH DEFINED 05 200 0 0
D 3COM CORP. COMMON 885535104 186 7991 SH DEFINED 7991 0 0
D 3COM CORP. COMMON 885535104 19137 820853 SH DEFINED 01 574400 0 246453
D 3COM CORP. COMMON 885535104 31597 1355320 SH DEFINED 02 897220 0 458100
D 3COM CORP. COMMON 885535104 138 5900 SH OTHER 01 2400 3500 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 202
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D TIDEWATER, INC. COMMON 886423102 2184 84400 SH DEFINED 01 84400 0 0
D TIDEWATER, INC. COMMON 886423102 827 31970 SH DEFINED 02 5800 0 26170
D TIFFANY & CO. COMMON 886547108 8507 113800 SH DEFINED 01 80700 0 33100
D TIFFANY & CO. COMMON 886547108 12869 172160 SH DEFINED 02 101960 0 70200
D TIFFANY & CO. COMMON 886547108 22 300 SH OTHER 01 300 0 0
D TIMBERLAND CO. CLASS "A" COMMON 887100105 259 4109 SH DEFINED 4109 0 0
D TIME WARNER, INC. COMMON 887315109 10221 144343 SH DEFINED 05 64631 0 79712
D TIME WARNER, INC. COMMON 887315109 198 2800 SH DEFINED 2800 0 0
D TIME WARNER, INC. COMMON 887315109 975 13766 SH DEFINED 13766 0 0
D TIME WARNER, INC. COMMON 887315109 119143 1682495 SH DEFINED 01 795757 0 886738
D TIME WARNER, INC. COMMON 887315109 67297 950354 SH DEFINED 02 629758 0 320596
D TIME WARNER, INC. COMMON 887315109 1161 16400 SH OTHER 05 10400 6000 0
D TIME WARNER, INC. COMMON 887315109 1268 17900 SH OTHER 09 17900 0 0
D TIME WARNER, INC. COMMON 887315109 26256 370776 SH OTHER 01 103805 266971 0
D TIMES MIRROR CO. SER. "A" COMM COMMON 887364107 55 1007 SH DEFINED 1007 0 0
D TIMES MIRROR CO. SER. "A" COMM COMMON 887364107 25160 464847 SH DEFINED 01 321898 0 142949
D TIMES MIRROR CO. SER. "A" COMM COMMON 887364107 33387 616854 SH DEFINED 02 345754 0 271100
D TIMES MIRROR CO. SER. "A" COMM COMMON 887364107 803 14842 SH OTHER 01 1600 13242 0
D TITAN EXPL INC COMMON 888289105 4 700 SH DEFINED 700 0 0
D TITAN EXPL INC COMMON 888289105 233 46500 SH DEFINED 02 0 0 46500
D TITAN PHARMACEUTICALS INC DE COMMON 888314101 458 122200 SH DEFINED 122200 0 0
D TITANIUM METALS CORP PREFERRED 888339108 83 14400 SH DEFINED 02
D TOLL BROTHERS, INC. COMMON 889478103 256 14100 SH DEFINED 02 0 0 14100
D TOOTSIE ROLL INDUSTRIES, INC. COMMON 890516107 1316 28607 SH DEFINED 01 27475 0 1132
D TOOTSIE ROLL INDUSTRIES, INC. COMMON 890516107 1725 37506 SH DEFINED 02 1455 0 36051
D TOOTSIE ROLL INDUSTRIES, INC. COMMON 890516107 414 9002 SH OTHER 01 9002 0 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 203
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D TORCHMARK CORP. COMMON 891027104 22 690 SH DEFINED 05 0 0 690
D TORCHMARK CORP. COMMON 891027104 54 1702 SH DEFINED 1702 0 0
D TORCHMARK CORP. COMMON 891027104 12598 398368 SH DEFINED 01 298968 0 99400
D TORCHMARK CORP. COMMON 891027104 20617 651914 SH DEFINED 02 406914 0 245000
D TORCHMARK CORP. COMMON 891027104 19 600 SH OTHER 01 600 0 0
D TOTAL CONTAINMENT INC COMMON 89149T101 1088 200000 SH DEFINED 01 0 0 200000
D TOSCO CORP. COMMON 891490302 22 900 SH DEFINED 05 400 0 500
D TOSCO CORP. COMMON 891490302 66924 2697148 SH DEFINED 01 1747420 0 949728
D TOSCO CORP. COMMON 891490302 213583 8607688 SH DEFINED 02 7228388 0 1379300
D TOSCO CORP. COMMON 891490302 1404 56600 SH OTHER 09 56600 0 0
D TOSCO CORP. COMMON 891490302 3133 126270 SH OTHER 01 73125 53145 0
D TOSCO CORP. COMMON 891490302 1241 50000 SH OTHER 0304 50000 0 0
D TOTAL RENAL CARE HOLDINGS, INC COMMON 89151A107 3553 323000 SH DEFINED 01 123000 0 200000
D TOTAL RENAL CARE HOLDINGS, INC COMMON 89151A107 568 51600 SH DEFINED 02 13100 0 38500
D TOWER AUTOMOTIVE INC. 5% 08/01 PREF-CONV 891707AE1 139851 1453000 SH DEFINED
D TOWER AUTOMOTIVE, INC. COMMON 891707101 1162 62400 SH DEFINED 01 62400 0 0
D TOWER AUTOMOTIVE, INC. COMMON 891707101 743 39900 SH DEFINED 02 23000 0 16900
D TOTAL SYSTEM SERVICES, INC. COMMON 891906109 1043 55600 SH DEFINED 02 0 0 55600
D TOYS R US, INC. COMMON 892335100 171 9100 SH DEFINED 05 1100 0 8000
D TOYS R US, INC. COMMON 892335100 54 2895 SH DEFINED 2895 0 0
D TOYS R US, INC. COMMON 892335100 29856 1586982 SH DEFINED 01 1077887 0 509095
D TOYS R US, INC. COMMON 892335100 74631 3966980 SH DEFINED 02 2755180 0 1211800
D TOYS R US, INC. COMMON 892335100 955 50751 SH OTHER 01 3500 47251 0
D TRANSACTION SYSTEMS ARCHITECTS COMMON 893416107 3 77 SH DEFINED 77 0 0
D TRANSACTION SYSTEMS ARCHITECTS COMMON 893416107 4223 117300 SH DEFINED 01 117300 0 0
D TRANSACTION SYSTEMS ARCHITECTS COMMON 893416107 5951 165300 SH DEFINED 02 127200 0 38100
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 204
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D TRANSAMERICA CORP. COMMON 893485102 118 1657 SH DEFINED 1657 0 0
D TRANSAMERICA CORP. COMMON 893485102 2156 30366 SH DEFINED 01 22716 0 7650
D TRANSAMERICA CORP. COMMON 893485102 3461 48744 SH DEFINED 02 3844 0 44900
D TRANSAMERICA CORP. COMMON 893485102 227 3200 SH OTHER 01 400 2800 0
D TRANSATLANTIC HOLDINGS, INC. COMMON 893521104 300 4000 SH OTHER 01 0 4000 0
D TRANSCANADA PIPELINES LTD. COMMON 893526103 138 10800 SH DEFINED 05 6000 0 4800
D TRANSCANADA PIPELINES LTD. COMMON 893526103 537 41900 SH DEFINED 01 11500 0 30400
D TRANSCANADA PIPELINES LTD. COMMON 893526103 19 1500 SH OTHER 05 1500 0 0
D TRANSCANADA PIPELINES LTD. COMMON 893526103 445 34700 SH OTHER 01 12300 22400 0
D TRANSCANADA PIPELINES LTD. COMMON 893526103 641 50000 SH OTHER 0304 50000 0 0
D TRANSKARYOTIC THERAPIES INC COMMON 893735100 4882 153750 SH DEFINED 01 153750 0 0
D TRANSKARYOTIC THERAPIES INC COMMON 893735100 371 11700 SH DEFINED 02 0 0 11700
D TRANSOCEAN OFFSHORE, INC. COMMON 893817106 723 25100 SH DEFINED 25100 0 0
D TRANSPORTADORA DE GAS SUR COMMON 893870204 995 106100 SH DEFINED 106100 0 0
D TRANSTEXAS GAS CORP. COMMON 893895102 25 24700 SH DEFINED 02 0 0 24700
D TRANSMONTAIGNE INC COMMON 893934109 27 2200 SH DEFINED 05 0 0 2200
D TRANSMONTAIGNE INC COMMON 893934109 2300 189700 SH DEFINED 01 139800 0 49900
D TRANSMONTAIGNE INC COMMON 893934109 112 9200 SH DEFINED 02 0 0 9200
D TRAVELERS PROPERTY CAUSALTY CO COMMON 893939108 76 2129 SH DEFINED 2129 0 0
D TRAVELERS PROPERTY CAUSALTY CO COMMON 893939108 9670 270500 SH DEFINED 01 205300 0 65200
D TRAVELERS PROPERTY CAUSALTY CO COMMON 893939108 14427 403566 SH DEFINED 02 283966 0 119600
D TRAVELERS PROPERTY CAUSALTY CO COMMON 893939108 29 800 SH OTHER 01 800 0 0
D TREDEGAR INDUSTRIES, INC. COMMON 894650100 780 25200 SH DEFINED 02 0 0 25200
D TRENWICK GROUP, INC. COMMON 895290104 304 10800 SH DEFINED 02 0 0 10800
D TRIANGLE BANCORP, INC. COMMON 895835106 277 16600 SH DEFINED 02 0 0 16600
D TRIANGLE PHARMACEUTICALS INC COMMON 89589H104 173 16200 SH DEFINED 02 0 0 16200
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 205
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D TRICON GLOBAL RESTAURANTS, INC COMMON 895953107 28 400 SH DEFINED 05 0 0 400
D TRICON GLOBAL RESTAURANTS, INC COMMON 895953107 132 1880 SH DEFINED 1880 0 0
D TRICON GLOBAL RESTAURANTS, INC COMMON 895953107 10446 148695 SH DEFINED 01 11375 0 137320
D TRICON GLOBAL RESTAURANTS, INC COMMON 895953107 1398 19900 SH DEFINED 02 0 0 19900
D TRICON GLOBAL RESTAURANTS, INC COMMON 895953107 556 7911 SH OTHER 01 525 7386 0
D TRIBUNE COMPANY COMMON 896047107 75 1150 SH DEFINED 05 1150 0 0
D TRIBUNE COMPANY COMMON 896047107 99 1516 SH DEFINED 1516 0 0
D TRIBUNE COMPANY COMMON 896047107 31303 478364 SH DEFINED 01 354164 0 124200
D TRIBUNE COMPANY COMMON 896047107 42048 642566 SH DEFINED 02 372466 0 270100
D TRIBUNE COMPANY COMMON 896047107 236 3600 SH OTHER 01 0 3600 0
D TRICO MARINE SERVICES, INC. COMMON 896106101 147 25900 SH DEFINED 02 11200 0 14700
D TRINITY INDUSTRIES, INC. COMMON 896522109 214 7300 SH DEFINED 01 7300 0 0
D TRINITY INDUSTRIES, INC. COMMON 896522109 21 700 SH DEFINED 02 700 0 0
D TRION, INC. COMMON 896726106 35 10300 SH DEFINED 02 0 0 10300
D TRISM, INC. COMMON 896925104 20 16500 SH DEFINED 01 16500 0 0
D TRUE NORTH COMMUNICATIONS, INC COMMON 897844106 484 17300 SH DEFINED 01 17300 0 0
D TRUE NORTH COMMUNICATIONS, INC COMMON 897844106 874 31200 SH DEFINED 02 1200 0 30000
D TRUST COMPANY OF NEW JERSEY COMMON 898304100 1259 51900 SH DEFINED 02 0 0 51900
D TRUSTCO BANK CORP. N. Y. COMMON 898349105 3270 130806 SH DEFINED 01 130806 0 0
D TRUSTCO BANK CORP. N. Y. COMMON 898349105 5375 215001 SH DEFINED 02 152946 0 62055
D TRUSTMARK CORP. COMMON 898402102 665 33800 SH DEFINED 02 0 0 33800
D TUPPERWARE CORP. COMMON 899896104 13 726 SH DEFINED 726 0 0
D TUPPERWARE CORP. COMMON 899896104 1312 72900 SH DEFINED 01 70900 0 2000
D TUPPERWARE CORP. COMMON 899896104 468 26000 SH DEFINED 02 5800 0 20200
D TUPPERWARE CORP. COMMON 899896104 27 1500 SH OTHER 01 0 1500 0
D TV AZTECA, S.A. DE C.V. COMMON 901145102 241 38500 SH DEFINED 38500 0 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 206
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D 24 / 7 MEDIA INC COMMON 901314104 742 14400 SH DEFINED 01 14400 0 0
D 24 / 7 MEDIA INC COMMON 901314104 1957 38000 SH DEFINED 02 28800 0 9200
D TYCO INTERNATIONAL LTD. COMMON 902124106 4484 62496 SH DEFINED 05 18752 0 43744
D TYCO INTERNATIONAL LTD. COMMON 902124106 13202 184000 SH DEFINED 184000 0 0
D TYCO INTERNATIONAL LTD. COMMON 902124106 515 7176 SH DEFINED 7176 0 0
D TYCO INTERNATIONAL LTD. COMMON 902124106 366392 5106507 SH DEFINED 01 3128953 0 1977554
D TYCO INTERNATIONAL LTD. COMMON 902124106 737551 10279450 SH DEFINED 02 7715690 0 2563760
D TYCO INTERNATIONAL LTD. COMMON 902124106 194 2700 SH OTHER 05 0 2700 0
D TYCO INTERNATIONAL LTD. COMMON 902124106 3412 47550 SH OTHER 09 47550 0 0
D TYCO INTERNATIONAL LTD. COMMON 902124106 31606 440495 SH OTHER 01 214009 226486 0
D TYCO INTERNATIONAL LTD. COMMON 902124106 3229 45000 SH OTHER 0304 45000 0 0
D UGI CORP. COMMON 902681105 718 43000 SH DEFINED 02 0 0 43000
D UGI CORP. COMMON 902681105 334 20000 SH OTHER 01 0 20000 0
D UICI COMMON 902737105 252 11200 SH DEFINED 02 0 0 11200
D UST CORP. COMMON 902900109 507 23200 SH DEFINED 02 14400 0 8800
D USX-MARATHON GROUP COMMON 902905827 92 3334 SH DEFINED 3334 0 0
D USX-MARATHON GROUP COMMON 902905827 79 2890 SH DEFINED 01 0 0 2890
D USX-MARATHON GROUP COMMON 902905827 765 27800 SH DEFINED 02 0 0 27800
D UST, INC. COMMON 902911106 56 2146 SH DEFINED 2146 0 0
D UST, INC. COMMON 902911106 183 7000 SH DEFINED 01 0 0 7000
D U.S. BANCORP COMMON 902973106 511 15000 SH DEFINED 06 15000 0 0
D U.S. BANCORP COMMON 902973106 278 8164 SH DEFINED 8164 0 0
D U.S. BANCORP COMMON 902973106 54306 1594290 SH DEFINED 01 1181090 0 413200
D U.S. BANCORP COMMON 902973106 82906 2433897 SH DEFINED 02 1511440 0 922457
D U.S. BANCORP COMMON 902973106 8625 253193 SH OTHER 01 193700 59493 0
D USA NETWORKS, INC. COMMON 902984103 2182 60917 SH DEFINED 01 60917 0 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 207
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D USA NETWORKS, INC. COMMON 902984103 2231 62300 SH DEFINED 02 3500 0 58800
D UNUM CORP. COMMON 903192102 2901 61000 SH DEFINED 06 61000 0 0
D UNUM CORP. COMMON 903192102 419 8800 SH DEFINED 05 8200 0 600
D UNUM CORP. COMMON 903192102 87 1821 SH DEFINED 1821 0 0
D UNUM CORP. COMMON 903192102 121692 2558541 SH DEFINED 01 1380940 0 1177601
D UNUM CORP. COMMON 903192102 408350 8585456 SH DEFINED 02 6846068 0 1739388
D UNUM CORP. COMMON 903192102 1541 32400 SH OTHER 09 32400 0 0
D UNUM CORP. COMMON 903192102 8899 187100 SH OTHER 01 6475 180625 0
D USG CORP. COMMON 903293405 3227 62805 SH DEFINED 01 15905 0 46900
D USG CORP. COMMON 903293405 433 8430 SH DEFINED 02 6430 0 2000
D USG CORP. COMMON 903293405 149 2900 SH OTHER 01 1300 1600 0
D U S FOODSERVICE COMMON 90331R101 28 605 SH DEFINED 01 0 0 605
D U S FOODSERVICE COMMON 90331R101 812 17456 SH DEFINED 02 0 0 17456
D USEC INC COMMON 90333E108 27322 2005300 SH DEFINED 01 1393800 0 611500
D USEC INC COMMON 90333E108 89138 6542250 SH DEFINED 02 3971150 0 2571100
D USEC INC COMMON 90333E108 12 900 SH OTHER 01 900 0 0
D USN COMMUNICATIONS INC COMMON 90336N204 0 36300 SH DEFINED 02 0 0 36300
D U S XPRESS ENTERPRISES INC CLA COMMON 90338N103 174 15000 SH DEFINED 02 0 0 15000
D THE ULTIMATE SOFTWARE GROUP, I COMMON 90385D107 7027 969268 SH DEFINED 969268 0 0
D ULTRALIFE BATTERIES, INC. COMMON 903899102 1519 300000 SH DEFINED 01 0 0 300000
D ULTRAMAR DIAMOND SHAMROCK CORP COMMON 904000106 2406 111250 SH DEFINED 01 42425 0 68825
D ULTRAMAR DIAMOND SHAMROCK CORP COMMON 904000106 3878 179350 SH DEFINED 02 125450 0 53900
D ULTRAMAR DIAMOND SHAMROCK CORP COMMON 904000106 582 26892 SH OTHER 01 500 26392 0
D UNICAPITAL CORP NEW COMMON 90459D108 589 92400 SH DEFINED 01 92400 0 0
D UNICAPITAL CORP NEW COMMON 90459D108 157 24600 SH DEFINED 02 24600 0 0
D UNIFI, INC. COMMON 904677101 8 600 SH DEFINED 05 600 0 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 208
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D UNIFI, INC. COMMON 904677101 6038 473600 SH DEFINED 01 318400 0 155200
D UNIFI, INC. COMMON 904677101 13988 1097100 SH DEFINED 02 790200 0 306900
D UNIFI, INC. COMMON 904677101 10 800 SH OTHER 01 800 0 0
D UNIFIRST CORP. COMMON 904708104 978 46300 SH DEFINED 02 0 0 46300
D UNIFY CORP COMMON 904743101 29 1900 SH DEFINED 05 0 0 1900
D UNIFY CORP COMMON 904743101 4205 280350 SH DEFINED 01 233000 0 47350
D UNIFY CORP COMMON 904743101 4392 292800 SH DEFINED 02 218900 0 73900
D UNILEVER N V - NEW YORK SHARES COMMON 904784501 7375 111000 SH DEFINED 06 111000 0 0
D UNILEVER N V - NEW YORK SHARES COMMON 904784501 5681 85505 SH DEFINED 05 33400 0 52105
D UNILEVER N V - NEW YORK SHARES COMMON 904784501 479 7217 SH DEFINED 7217 0 0
D UNILEVER N V - NEW YORK SHARES COMMON 904784501 194707 2930660 SH DEFINED 01 1828785 0 1101875
D UNILEVER N V - NEW YORK SHARES COMMON 904784501 227914 3430476 SH DEFINED 02 2423649 0 1006827
D UNILEVER N V - NEW YORK SHARES COMMON 904784501 551 8300 SH OTHER 05 4400 3900 0
D UNILEVER N V - NEW YORK SHARES COMMON 904784501 1774 26700 SH OTHER 09 26700 0 0
D UNILEVER N V - NEW YORK SHARES COMMON 904784501 6990 105217 SH OTHER 01 21290 83927 0
D UNICOM CORP. COMMON 904911104 89 2435 SH DEFINED 2435 0 0
D UNICOM CORP. COMMON 904911104 1049 28700 SH DEFINED 01 25700 0 3000
D UNICOM CORP. COMMON 904911104 51 1400 SH DEFINED 02 0 0 1400
D UNICOM CORP. COMMON 904911104 91 2500 SH OTHER 01 2500 0 0
D UNION CAMP CORP. COMMON 905530101 61 911 SH DEFINED 911 0 0
D UNION CAMP CORP. COMMON 905530101 11855 176617 SH DEFINED 01 87800 0 88817
D UNION CAMP CORP. COMMON 905530101 23158 344998 SH DEFINED 02 190598 0 154400
D UNION CAMP CORP. COMMON 905530101 2426 36138 SH OTHER 01 100 36038 0
D UNION CARBIDE CORP. COMMON 905581104 5028 111275 SH DEFINED 111275 0 0
D UNION CARBIDE CORP. COMMON 905581104 27551 609691 SH DEFINED 01 392350 0 217341
D UNION CARBIDE CORP. COMMON 905581104 47916 1060374 SH DEFINED 02 705874 0 354500
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 209
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D UNION CARBIDE CORP. COMMON 905581104 1074 23778 SH OTHER 01 11900 11878 0
D UNION PACIFIC CORP. COMMON 907818108 1437 26900 SH DEFINED 05 10700 0 16200
D UNION PACIFIC CORP. COMMON 907818108 214 4000 SH DEFINED 4000 0 0
D UNION PACIFIC CORP. COMMON 907818108 157 2934 SH DEFINED 2934 0 0
D UNION PACIFIC CORP. COMMON 907818108 176345 3299985 SH DEFINED 01 1991901 0 1308084
D UNION PACIFIC CORP. COMMON 907818108 624703 11690236 SH DEFINED 02 9137078 0 2553158
D UNION PACIFIC CORP. COMMON 907818108 370 6920 SH OTHER 05 3600 3320 0
D UNION PACIFIC CORP. COMMON 907818108 2311 43250 SH OTHER 09 43250 0 0
D UNION PACIFIC CORP. COMMON 907818108 23049 431322 SH OTHER 01 157513 273809 0
D UNION PACIFIC CORP. COMMON 907818108 3046 57000 SH OTHER 0304 57000 0 0
D UNION PACIFIC RESOURCES GROUP, COMMON 907834105 16 1377 SH DEFINED 05 0 0 1377
D UNION PACIFIC RESOURCES GROUP, COMMON 907834105 33 2798 SH DEFINED 2798 0 0
D UNION PACIFIC RESOURCES GROUP, COMMON 907834105 451 38009 SH DEFINED 01 21734 0 16275
D UNION PACIFIC RESOURCES GROUP, COMMON 907834105 0 4 SH DEFINED 02 4 0 0
D UNION PACIFIC RESOURCES GROUP, COMMON 907834105 23 1964 SH OTHER 05 0 1964 0
D UNION PACIFIC RESOURCES GROUP, COMMON 907834105 504 42428 SH OTHER 01 15365 27063 0
D UNION PLANTERS CORP. COMMON 908068109 22 500 SH DEFINED 05 500 0 0
D UNION PLANTERS CORP. COMMON 908068109 77 1744 SH DEFINED 1744 0 0
D UNION PLANTERS CORP. COMMON 908068109 25297 575750 SH DEFINED 01 405050 0 170700
D UNION PLANTERS CORP. COMMON 908068109 52967 1205489 SH DEFINED 02 716484 0 489005
D UNION PLANTERS CORP. COMMON 908068109 53 1200 SH OTHER 01 900 300 0
D UNIPHASE CORPORATION COMMON 909149106 2130 18500 SH DEFINED 01 18500 0 0
D UNIPHASE CORPORATION COMMON 909149106 944 8200 SH DEFINED 02 1400 0 6800
D UNISOURCE ENERGY CORP COMMON 909205106 496 44800 SH DEFINED 01 44800 0 0
D UNISOURCE ENERGY CORP COMMON 909205106 871 78700 SH DEFINED 02 30300 0 48400
D UNISOURCE WORLDWIDE COMMON 909208100 74 10400 SH DEFINED 01 10400 0 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 210
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D UNISOURCE WORLDWIDE COMMON 909208100 462 64900 SH DEFINED 02 30600 0 34300
D UNISYS CORP. COMMON 909214108 4 140 SH DEFINED 05 140 0 0
D UNISYS CORP. COMMON 909214108 79 2856 SH DEFINED 2856 0 0
D UNISYS CORP. COMMON 909214108 3429 123838 SH DEFINED 01 88838 0 35000
D UNISYS CORP. COMMON 909214108 313 11300 SH DEFINED 02 0 0 11300
D UNISYS CORP. $3.75 CONV. PFD. PREF-CONV 909214207 2585 49835 SH DEFINED 02
D UNITED AUTO GROUP INC COMMON 909440109 4913 633994 SH DEFINED 633994 0 0
D UNITED AUTO GROUP INC COMMON 909440109 71 9200 SH DEFINED 02 0 0 9200
D UNITED COMPANIES FINANCIAL COR COMMON 909870107 72 200000 SH DEFINED 01 0 0 200000
D UNITED DOMINION INDUSTRIES LTD COMMON 909914103 1791 90100 SH DEFINED 02 0 0 90100
D UNITED DOMINION REALTY TRUST, COMMON 910197102 1936 188900 SH DEFINED 01 188900 0 0
D UNITED DOMINION REALTY TRUST, COMMON 910197102 3880 378500 SH DEFINED 02 322200 0 56300
D UNITED HEALTHCARE CORP. COMMON 910581107 16 300 SH DEFINED 05 300 0 0
D UNITED HEALTHCARE CORP. COMMON 910581107 118 2244 SH DEFINED 2244 0 0
D UNITED HEALTHCARE CORP. COMMON 910581107 32857 624360 SH DEFINED 01 462750 0 161610
D UNITED HEALTHCARE CORP. COMMON 910581107 55865 1061569 SH DEFINED 02 656176 0 405393
D UNITED HEALTHCARE CORP. COMMON 910581107 232 4400 SH OTHER 01 3000 1400 0
D UNITED INT'L HOLDINGS, INC. CL COMMON 910734102 331 7600 SH DEFINED 7600 0 0
D UNITED INT'L HOLDINGS, INC. CL COMMON 910734102 8748 201100 SH DEFINED 01 1100 0 200000
D UNITED INT'L HOLDINGS, INC. CL COMMON 910734102 1475 33905 SH DEFINED 02 0 0 33905
D UNITED NATIONAL BANCORP (N.J.) COMMON 910909100 312 13538 SH DEFINED 02 0 0 13538
D UNITED RETAIL GROUP, INC. COMMON 911380103 197 17100 SH DEFINED 01 0 0 17100
D US BIOSCIENCE, INC. COMMON 911646206 116 10700 SH DEFINED 05 0 0 10700
D US BIOSCIENCE, INC. COMMON 911646206 12030 1106200 SH DEFINED 01 828100 0 278100
D US BIOSCIENCE, INC. COMMON 911646206 8661 796400 SH DEFINED 02 708500 0 87900
D UNITED STATES CELLULAR CORP. COMMON 911684108 260 5900 SH DEFINED 01 5900 0 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 211
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D UNITED STATES CELLULAR CORP. COMMON 911684108 1126 25600 SH DEFINED 02 2200 0 23400
D UNITED STATES FILTER CORP. COMMON 911843209 3259 106407 SH DEFINED 106407 0 0
D UNITED STATES FILTER CORP. COMMON 911843209 10513 343280 SH DEFINED 01 341280 0 2000
D UNITED STATES FILTER CORP. COMMON 911843209 935 30537 SH DEFINED 02 3600 0 26937
D UNITED STATES FILTER CORP. COMMON 911843209 92 3000 SH OTHER 01 0 3000 0
D USAIR GROUP, INC. COMMON 911905107 488 10000 SH DEFINED 06 10000 0 0
D USAIR GROUP, INC. COMMON 911905107 55 1129 SH DEFINED 1129 0 0
D USAIR GROUP, INC. COMMON 911905107 166 3400 SH DEFINED 01 0 0 3400
D USAIR GROUP, INC. COMMON 911905107 722 14800 SH DEFINED 02 0 0 14800
D U. S. HOME CORP. COMMON 911920106 444 13600 SH DEFINED 02 2200 0 11400
D U. S. INDUSTRIES, INC. COMMON 912080108 2014 122500 SH DEFINED 01 120500 0 2000
D U. S. INDUSTRIES, INC. COMMON 912080108 847 51500 SH DEFINED 02 9500 0 42000
D U S WEST INC COMMON 91273H101 2078 37733 SH DEFINED 05 15436 0 22297
D U S WEST INC COMMON 91273H101 683 12400 SH DEFINED 12400 0 0
D U S WEST INC COMMON 91273H101 302 5490 SH DEFINED 5490 0 0
D U S WEST INC COMMON 91273H101 57523 1044679 SH DEFINED 01 609364 0 435315
D U S WEST INC COMMON 91273H101 77338 1404529 SH DEFINED 02 871878 0 532651
D U S WEST INC COMMON 91273H101 256 4641 SH OTHER 05 4120 521 0
D U S WEST INC COMMON 91273H101 7413 134622 SH OTHER 01 40748 93874 0
D U S WEST INC COMMON 91273H101 1927 35000 SH OTHER 0304 35000 0 0
D UNITED STATIONERS, INC. COMMON 913004107 0 6 SH DEFINED 6 0 0
D UNITED STATIONERS, INC. COMMON 913004107 1052 69000 SH DEFINED 01 69000 0 0
D UNITED STATIONERS, INC. COMMON 913004107 5259 344848 SH DEFINED 02 18900 0 325948
D UNITED TECHNOLOGIES CORP. COMMON 913017109 345 2549 SH DEFINED 2549 0 0
D UNITED TECHNOLOGIES CORP. COMMON 913017109 4871 35962 SH DEFINED 01 20062 0 15900
D UNITED TECHNOLOGIES CORP. COMMON 913017109 5390 39800 SH DEFINED 02 0 0 39800
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 212
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D UNITED TECHNOLOGIES CORP. COMMON 913017109 3372 24900 SH OTHER 01 14500 10400 0
D UNITED TELEVISION, INC. COMMON 913066106 250 2400 SH DEFINED 02 0 0 2400
D UNITED WATER RESOURCES, INC. COMMON 913190104 311 15000 SH DEFINED 02 15000 0 0
D UNITRODE CORP. COMMON 913283107 1498 107000 SH DEFINED 01 105400 0 1600
D UNITRODE CORP. COMMON 913283107 867 61900 SH DEFINED 02 51500 0 10400
D UNIVERSAL CORP. (VA) COMMON 913456109 2674 104600 SH DEFINED 01 104600 0 0
D UNIVERSAL CORP. (VA) COMMON 913456109 731 28600 SH DEFINED 02 28600 0 0
D UNIVERSAL FOODS CORP. COMMON 913538104 1756 85136 SH DEFINED 01 82100 0 3036
D UNIVERSAL FOODS CORP. COMMON 913538104 1233 59800 SH DEFINED 02 59800 0 0
D UNIVERSAL FOREST PRODUCTS, INC COMMON 913543104 117 5700 SH DEFINED 05 0 0 5700
D UNIVERSAL FOREST PRODUCTS, INC COMMON 913543104 15947 777900 SH DEFINED 01 621400 0 156500
D UNIVERSAL FOREST PRODUCTS, INC COMMON 913543104 11498 560900 SH DEFINED 02 448000 0 112900
D UNIVERSAL HEALTH SERVICES, INC COMMON 913903100 9 200 SH DEFINED 01 200 0 0
D UNIVERSAL HEALTH SERVICES, INC COMMON 913903100 1168 27000 SH DEFINED 02 0 0 27000
D UNIVISION COMMUNICATIONS INC COMMON 914906102 190 3800 SH DEFINED 05 0 0 3800
D UNIVISION COMMUNICATIONS INC COMMON 914906102 20049 400972 SH DEFINED 01 309972 0 91000
D UNIVISION COMMUNICATIONS INC COMMON 914906102 565 11300 SH DEFINED 02 0 0 11300
D UNOCAL CORP. COMMON 915289102 22 600 SH DEFINED 05 600 0 0
D UNOCAL CORP. COMMON 915289102 41 1100 SH DEFINED 1100 0 0
D UNOCAL CORP. COMMON 915289102 103 2794 SH DEFINED 2794 0 0
D UNOCAL CORP. COMMON 915289102 14621 396512 SH DEFINED 01 275400 0 121112
D UNOCAL CORP. COMMON 915289102 29419 797806 SH DEFINED 02 409106 0 388700
D UNOCAL CORP. COMMON 915289102 302 8200 SH OTHER 01 8200 0 0
D URBAN OUTFITTERS, INC. COMMON 917047102 2343 166600 SH DEFINED 01 166600 0 0
D URBAN OUTFITTERS, INC. COMMON 917047102 1686 119900 SH DEFINED 02 114700 0 5200
D URBAN SHOPPING CENTERS, INC. COMMON 917060105 1179 41100 SH DEFINED 01 41100 0 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 213
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D URBAN SHOPPING CENTERS, INC. COMMON 917060105 579 20200 SH DEFINED 02 19500 0 700
D UROCOR, INC. COMMON 91727P105 302 62000 SH DEFINED 62000 0 0
D USBANCORP, INC. (PA) COMMON 917292104 461 31500 SH DEFINED 02 0 0 31500
D USWEB CORP COMMON 917327108 78 1900 SH DEFINED 05 0 0 1900
D USWEB CORP COMMON 917327108 12899 312700 SH DEFINED 01 262400 0 50300
D USWEB CORP COMMON 917327108 12408 300800 SH DEFINED 02 219400 0 81400
D UTILICORP UNITED, INC. COMMON 918005109 543 23850 SH DEFINED 01 23850 0 0
D UTILICORP UNITED, INC. COMMON 918005109 150 6600 SH DEFINED 02 450 0 6150
D VF CORP. COMMON 918204108 71 1505 SH DEFINED 1505 0 0
D VF CORP. COMMON 918204108 67 1400 SH DEFINED 01 1400 0 0
D VF CORP. COMMON 918204108 1050 22100 SH DEFINED 02 0 0 22100
D VF CORP. COMMON 918204108 152 3200 SH OTHER 01 0 3200 0
D VAIL RESORTS INC COMMON 91879Q109 65 4100 SH DEFINED 05 0 0 4100
D VAIL RESORTS INC COMMON 91879Q109 5815 366300 SH DEFINED 01 263700 0 102600
D VAIL RESORTS INC COMMON 91879Q109 502 31600 SH DEFINED 02 11000 0 20600
D VALASSIS COMMUNICATIONS, INC. COMMON 918866104 1609 31100 SH DEFINED 01 31100 0 0
D VALASSIS COMMUNICATIONS, INC. COMMON 918866104 1247 24100 SH DEFINED 02 24100 0 0
D VALHI, INC. COMMON 918905100 613 53900 SH DEFINED 02 0 0 53900
D VALENCE TECHNOLOGY, INC. COMMON 918914102 166 25000 SH DEFINED 02 0 0 25000
D VALERO ENERGY CORPORATION COMMON 91913Y100 77 3100 SH DEFINED 05 700 0 2400
D VALERO ENERGY CORPORATION COMMON 91913Y100 26935 1082800 SH DEFINED 01 755600 0 327200
D VALERO ENERGY CORPORATION COMMON 91913Y100 48485 1949160 SH DEFINED 02 1458460 0 490700
D VALERO ENERGY CORPORATION COMMON 91913Y100 27 1100 SH OTHER 01 500 600 0
D VALLEY NATIONAL BANCORP COMMON 919794107 28 1100 SH DEFINED 01 1100 0 0
D VALLEY NATIONAL BANCORP COMMON 919794107 2401 95330 SH DEFINED 02 1500 0 93830
D VALSPAR CORP. COMMON 920355104 221 7000 SH DEFINED 02 0 0 7000
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 214
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D VANGUARD CELLULAR SYSTEM, INC. COMMON 922022108 387 14168 SH DEFINED 14168 0 0
D VANGUARD CELLULAR SYSTEM, INC. COMMON 922022108 55 2000 SH DEFINED 01 2000 0 0
D VANGUARD CELLULAR SYSTEM, INC. COMMON 922022108 55 2000 SH DEFINED 02 0 0 2000
D VANTIVE CORP. COMMON 922091103 1 100 SH DEFINED 01 100 0 0
D VANTIVE CORP. COMMON 922091103 205 17000 SH DEFINED 02 0 0 17000
D VARCO INTERNATIONAL, INC. COMMON 922126107 646 58100 SH DEFINED 58100 0 0
D VARCO INTERNATIONAL, INC. COMMON 922126107 1812 162900 SH DEFINED 01 162900 0 0
D VARCO INTERNATIONAL, INC. COMMON 922126107 1147 103100 SH DEFINED 02 10700 0 92400
D VARIAN ASSOCIATES, INC. COMMON 922204102 926 23900 SH DEFINED 23900 0 0
D VARIAN ASSOCIATES, INC. COMMON 922204102 97 2500 SH OTHER 01 0 2500 0
D VARLEN CORP. COMMON 922248109 304 13800 SH DEFINED 01 13800 0 0
D VARLEN CORP. COMMON 922248109 227 10306 SH DEFINED 02 3500 0 6806
D VASTAR RESOURCES, INC. COMMON 922380100 2970 62200 SH DEFINED 02 0 0 62200
D VEECO INSTRUMENTS, INC. COMMON 922417100 85 2300 SH DEFINED 05 0 0 2300
D VEECO INSTRUMENTS, INC. COMMON 922417100 10206 276300 SH DEFINED 01 218400 0 57900
D VEECO INSTRUMENTS, INC. COMMON 922417100 6006 162600 SH DEFINED 02 122200 0 40400
D VENTANA MEDICAL SYSTEMS INC. COMMON 92276H106 63 2800 SH DEFINED 05 0 0 2800
D VENTANA MEDICAL SYSTEMS INC. COMMON 92276H106 10407 465100 SH DEFINED 01 402200 0 62900
D VENTANA MEDICAL SYSTEMS INC. COMMON 92276H106 7431 332100 SH DEFINED 02 267500 0 64600
D VENTANA MEDICAL SYSTEMS INC. COMMON 92276H106 631 28200 SH OTHER 01 0 28200 0
D VERDANT BRANDS, INCORPORATED COMMON 923366108 770 684360 SH DEFINED 684360 0 0
D VERISIGN, INC. COMMON 92343E102 508 3300 SH DEFINED 01 3300 0 0
D VERISIGN, INC. COMMON 92343E102 185 1200 SH DEFINED 02 1200 0 0
D VERIO INC COMMON 923433106 1988 43100 SH DEFINED 01 43100 0 0
D VERIO INC COMMON 923433106 378 8200 SH DEFINED 02 8200 0 0
D VERITAS SOFTWARE CORP. COMMON 923436109 2 23 SH DEFINED 23 0 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 215
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D VERITAS SOFTWARE CORP. COMMON 923436109 3004 37200 SH DEFINED 01 37200 0 0
D VERITAS SOFTWARE CORP. COMMON 923436109 2277 28200 SH DEFINED 02 2900 0 25300
D VERTEX PHARMACEUTICALS, INC. COMMON 92532F100 995 39400 SH DEFINED 01 39400 0 0
D VERTEX PHARMACEUTICALS, INC. COMMON 92532F100 275 10900 SH DEFINED 02 8700 0 2200
D VIAD CORP. COMMON 92552R109 111 4000 SH DEFINED 05 0 0 4000
D VIAD CORP. COMMON 92552R109 634 22790 SH DEFINED 01 0 0 22790
D VIACOM, INC. - NON-VOTING CL B COMMON 925524308 8 100 SH DEFINED 05
D VIACOM, INC. - NON-VOTING CL B COMMON 925524308 322 3832 SH DEFINED
D VIACOM, INC. - NON-VOTING CL B COMMON 925524308 839 10000 SH DEFINED 01
D VIACOM, INC. - NON-VOTING CL B COMMON 925524308 7890 94000 SH DEFINED 02
D VIGNETTE CORP COMMON 926734104 30 400 SH DEFINED 05 0 0 400
D VIGNETTE CORP COMMON 926734104 3789 50350 SH DEFINED 01 39600 0 10750
D VIGNETTE CORP COMMON 926734104 2506 33300 SH DEFINED 02 25100 0 8200
D VILLAGE BANCORP INC COMMON 927051102 281 11940 SH DEFINED 01 0 0 11940
D VINTAGE PETROLEUM, INC. COMMON 927460105 703 78100 SH DEFINED 01 78100 0 0
D VINTAGE PETROLEUM, INC. COMMON 927460105 682 75800 SH DEFINED 02 67200 0 8600
D VINTAGE PETROLEUM, INC. COMMON 927460105 315 35000 SH OTHER 01 0 35000 0
D VISIO CORP COMMON 927914101 76 2700 SH DEFINED 05 0 0 2700
D VISIO CORP COMMON 927914101 0 11 SH DEFINED 11 0 0
D VISIO CORP COMMON 927914101 7999 284400 SH DEFINED 01 210900 0 73500
D VISIO CORP COMMON 927914101 2492 88600 SH DEFINED 02 44900 0 43700
D VISHAY INTERTECHNOLOGY, INC. COMMON 928298108 1392 96000 SH DEFINED 01 96000 0 0
D VISHAY INTERTECHNOLOGY, INC. COMMON 928298108 627 43249 SH DEFINED 02 29400 0 13849
D VISX, INC. COMMON 92844S105 1409 13100 SH DEFINED 01 13100 0 0
D VISX, INC. COMMON 92844S105 1581 14700 SH DEFINED 02 4600 0 10100
D VISUAL NETWORKS, INC. COMMON 928444108 14280 382074 SH DEFINED 01 67400 0 314674
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 216
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D VISUAL NETWORKS, INC. COMMON 928444108 6380 170700 SH DEFINED 02 130100 0 40600
D VITAL SIGNS, INC. COMMON 928469105 466 25900 SH DEFINED 01 25900 0 0
D VITAL SIGNS, INC. COMMON 928469105 517 28700 SH DEFINED 02 27100 0 1600
D VITESSE SEMICONDUCTOR CORP. COMMON 928497106 2 47 SH DEFINED 47 0 0
D VITESSE SEMICONDUCTOR CORP. COMMON 928497106 2445 48300 SH DEFINED 01 48300 0 0
D VITESSE SEMICONDUCTOR CORP. COMMON 928497106 3245 64100 SH DEFINED 02 8100 0 56000
D VODAFONE GROUP PLC SPONSORED A COMMON 92857T107 3250 17310 SH DEFINED 01 15810 0 1500
D VOLT INFORMATION SCIENCES, INC COMMON 928703107 230 14000 SH DEFINED 14000 0 0
D VOLT INFORMATION SCIENCES, INC COMMON 928703107 279 17000 SH DEFINED 02 0 0 17000
D VORNADO REALTY TRUST S/B/I COMMON 929042109 10215 296100 SH DEFINED 01 290100 0 6000
D VORNADO REALTY TRUST S/B/I COMMON 929042109 26979 781990 SH DEFINED 02 635190 0 146800
D VORNADO REALTY TRUST 6.5% 12/3 PREF-CONV 929042208 5684 116000 SH DEFINED 01
D VORNADO REALTY TRUST 6.5% 12/3 PREF-CONV 929042208 9800 200000 SH DEFINED 02
D VULCAN INTERNATIONAL CORP. COMMON 929136109 212 6500 SH DEFINED 02 0 0 6500
D VULCAN MATERIALS CO. COMMON 929160109 186 4500 SH DEFINED 01 4500 0 0
D VULCAN MATERIALS CO. COMMON 929160109 1111 26900 SH DEFINED 02 0 0 26900
D WD 40 COMPANY COMMON 929236107 278 9600 SH DEFINED 02 0 0 9600
D WHX CORP. 7.50% CV. PFD. "B" PREF-CONV 929248300 270 7500 SH DEFINED
D WICOR, INC. COMMON 929253102 7527 371700 SH DEFINED 01 371700 0 0
D WICOR, INC. COMMON 929253102 11216 553900 SH DEFINED 02 411600 0 142300
D WMX TECHNOLOGIES, INC 2% CSD 1 BOND 92929QAF4 9037 9082000 PRN DEFINED 01
D WMX TECHNOLOGIES, INC 2% CSD 1 BOND 92929QAF4 20830 20935000 PRN DEFINED 02
D WMS INDUSTRIES, INC. COMMON 929297109 15 2000 SH DEFINED 01 2000 0 0
D WMS INDUSTRIES, INC. COMMON 929297109 86 11200 SH DEFINED 02 0 0 11200
D WPS RESOURCES CORP. COMMON 92931B106 65 2200 SH DEFINED 01 2200 0 0
D WPS RESOURCES CORP. COMMON 92931B106 133 4500 SH DEFINED 02 0 0 4500
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 217
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D WPS RESOURCES CORP. COMMON 92931B106 723 24500 SH OTHER 01 0 24500 0
D WABASH NATIONAL CORP. COMMON 929566107 1734 149200 SH DEFINED 01 148100 0 1100
D WABASH NATIONAL CORP. COMMON 929566107 1171 100700 SH DEFINED 02 97200 0 3500
D WACHOVIA CORP. COMMON 929771103 974 12000 SH DEFINED 06 12000 0 0
D WACHOVIA CORP. COMMON 929771103 959 11807 SH DEFINED 05 11302 0 505
D WACHOVIA CORP. COMMON 929771103 185 2279 SH DEFINED 2279 0 0
D WACHOVIA CORP. COMMON 929771103 4753 58537 SH DEFINED 01 53793 0 4744
D WACHOVIA CORP. COMMON 929771103 2176 26800 SH OTHER 01 4486 22314 0
D WACKENHUT CORP. COMMON 929794105 425 19106 SH DEFINED 19106 0 0
D WACKENHUT CORP. COMMON 929794105 11 500 SH DEFINED 01 0 0 500
D WACKENHUT CORP. COMMON 929794105 127 5700 SH DEFINED 02 0 0 5700
D WACKENHUT CORRECTIONS CORPORAT COMMON 929798106 0 17 SH DEFINED 17 0 0
D WACKENHUT CORRECTIONS CORPORAT COMMON 929798106 800 41400 SH DEFINED 01 38900 0 2500
D WACKENHUT CORRECTIONS CORPORAT COMMON 929798106 498 25800 SH DEFINED 02 16000 0 9800
D WADDELL & REED FINL INC COMMON 930059100 1 39 SH DEFINED 05 0 0 39
D WADDELL & REED FINL INC COMMON 930059100 1376 67117 SH DEFINED 01 62004 0 5113
D WADDELL & REED FINL INC COMMON 930059100 781 38101 SH DEFINED 02 17001 0 21100
D WADDELL & REED FINL INC COMMON 930059100 2 100 SH OTHER 01 100 0 0
D WADDELL & REED FINANCIAL, INC. COMMON 930059209 3 168 SH DEFINED 05 0 0 168
D WADDELL & REED FINANCIAL, INC. COMMON 930059209 1741 87609 SH DEFINED 01 65020 0 22589
D WADDELL & REED FINANCIAL, INC. COMMON 930059209 1590 80025 SH DEFINED 02 52125 0 27900
D WADDELL & REED FINANCIAL, INC. COMMON 930059209 6 300 SH OTHER 01 300 0 0
D WAL-MART STORES, INC. COMMON 931142103 10426 113100 SH DEFINED 05 51600 0 61500
D WAL-MART STORES, INC. COMMON 931142103 2446 26537 SH DEFINED 26537 0 0
D WAL-MART STORES, INC. COMMON 931142103 559039 6064117 SH DEFINED 01 3913651 0 2150466
D WAL-MART STORES, INC. COMMON 931142103 660638 7166207 SH DEFINED 02 4673483 0 2492724
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 218
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D WAL-MART STORES, INC. COMMON 931142103 1669 18100 SH OTHER 05 3000 15100 0
D WAL-MART STORES, INC. COMMON 931142103 3780 41000 SH OTHER 09 41000 0 0
D WAL-MART STORES, INC. COMMON 931142103 71400 774503 SH OTHER 01 222500 552003 0
D WAL-MART STORES, INC. COMMON 931142103 1383 15000 SH OTHER 0304 15000 0 0
D WALDEN RESIDENTIAL PROPERTIES, COMMON 931210108 88 5000 SH DEFINED 05 0 0 5000
D WALDEN RESIDENTIAL PROPERTIES, COMMON 931210108 308 17500 SH DEFINED 02 0 0 17500
D WALGREEN CO. COMMON 931422109 307 10856 SH DEFINED 10856 0 0
D WALGREEN CO. COMMON 931422109 9756 345362 SH DEFINED 01 244312 0 101050
D WALGREEN CO. COMMON 931422109 1944 68800 SH DEFINED 02 47400 0 21400
D WALGREEN CO. COMMON 931422109 1763 62400 SH OTHER 05 0 62400 0
D WALGREEN CO. COMMON 931422109 12796 452972 SH OTHER 01 25872 427100 0
D WALLACE COMPUTER SERVICES, INC COMMON 932270101 2328 117500 SH DEFINED 02 13100 0 104400
D WALLACE COMPUTER SERVICES, INC COMMON 932270101 63 3200 SH OTHER 01 0 3200 0
D WALTER INDUSTRIES, INC. COMMON 93317Q105 160 14200 SH DEFINED 02 500 0 13700
D WARNACO GROUP, INC. COMMON 934390105 755 30600 SH DEFINED 01 30600 0 0
D WARNACO GROUP, INC. COMMON 934390105 541 21900 SH DEFINED 02 14000 0 7900
D WARNACO GROUP, INC. COMMON 934390105 74 3000 SH OTHER 01 3000 0 0
D WARNER-LAMBERT CO. COMMON 934488107 3697 55800 SH DEFINED 06 55800 0 0
D WARNER-LAMBERT CO. COMMON 934488107 7957 120100 SH DEFINED 05 51400 0 68700
D WARNER-LAMBERT CO. COMMON 934488107 604 9110 SH DEFINED 9110 0 0
D WARNER-LAMBERT CO. COMMON 934488107 249756 3769899 SH DEFINED 01 2386183 0 1383716
D WARNER-LAMBERT CO. COMMON 934488107 467922 7062969 SH DEFINED 02 5059966 0 2003003
D WARNER-LAMBERT CO. COMMON 934488107 199 3000 SH OTHER 05 1200 1800 0
D WARNER-LAMBERT CO. COMMON 934488107 1438 21700 SH OTHER 09 21700 0 0
D WARNER-LAMBERT CO. COMMON 934488107 26393 398385 SH OTHER 01 102460 295925 0
D WARNER-LAMBERT CO. COMMON 934488107 2319 35000 SH OTHER 0304 35000 0 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 219
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D WASHINGTON FEDERAL, INC. COMMON 938824109 1947 92698 SH DEFINED 01 64800 0 27898
D WASHINGTON FEDERAL, INC. COMMON 938824109 8990 428095 SH DEFINED 02 207065 0 221030
D WASHINGTON GAS LIGHT CO. COMMON 938837101 113 5000 SH DEFINED 01 5000 0 0
D WASHINGTON GAS LIGHT CO. COMMON 938837101 423 18700 SH DEFINED 02 18700 0 0
D WASHINGTON MUTUAL, INC. COMMON 939322103 106 2598 SH DEFINED 05 2598 0 0
D WASHINGTON MUTUAL, INC. COMMON 939322103 269 6585 SH DEFINED 6585 0 0
D WASHINGTON MUTUAL, INC. COMMON 939322103 167358 4094378 SH DEFINED 01 2547766 0 1546612
D WASHINGTON MUTUAL, INC. COMMON 939322103 482317 11799794 SH DEFINED 02 9008857 0 2790937
D WASHINGTON MUTUAL, INC. COMMON 939322103 2297 56200 SH OTHER 09 56200 0 0
D WASHINGTON MUTUAL, INC. COMMON 939322103 6619 161930 SH OTHER 01 104356 57574 0
D WASHINGTON POST CO. CLASS "B" COMMON 939640108 34046 65284 SH DEFINED 01 51884 0 13400
D WASHINGTON POST CO. CLASS "B" COMMON 939640108 67713 129842 SH DEFINED 02 89342 0 40500
D WASHINGTON POST CO. CLASS "B" COMMON 939640108 11995 23000 SH OTHER 101112 0 23000 0
D WASHINGTON POST CO. CLASS "B" COMMON 939640108 230508 442009 SH OTHER 01 200 441809 0
D WASTE INDUSTRIES INC COMMON 941058109 231 15400 SH DEFINED 02 0 0 15400
D WASTE MANAGEMENT INC COMMON 94106L109 129 2898 SH DEFINED 05 2608 0 290
D WASTE MANAGEMENT INC COMMON 94106L109 67 1500 SH DEFINED 1500 0 0
D WASTE MANAGEMENT INC COMMON 94106L109 280 6313 SH DEFINED 6313 0 0
D WASTE MANAGEMENT INC COMMON 94106L109 220697 4973446 SH DEFINED 01 2874972 0 2098474
D WASTE MANAGEMENT INC COMMON 94106L109 715285 16119104 SH DEFINED 02 12491133 0 3627971
D WASTE MANAGEMENT INC COMMON 94106L109 2613 58882 SH OTHER 09 58882 0 0
D WASTE MANAGEMENT INC COMMON 94106L109 7291 164314 SH OTHER 01 53356 110958 0
D WASTE MANAGEMENT INC COMMON 94106L109 2220 50025 SH OTHER 0304 50025 0 0
D WATERS CORP COMMON 941848103 525 5000 SH OTHER 01 0 5000 0
D WATSCO INC COMMON 942622200 174 11920 SH DEFINED 11920 0 0
D WATSON PHARMACEUTICALS, INC. COMMON 942683103 26 600 SH DEFINED 05 600 0 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 220
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D WATSON PHARMACEUTICALS, INC. COMMON 942683103 27057 613200 SH DEFINED 01 417300 0 195900
D WATSON PHARMACEUTICALS, INC. COMMON 942683103 47137 1068252 SH DEFINED 02 729680 0 338572
D WATSON PHARMACEUTICALS, INC. COMMON 942683103 62 1400 SH OTHER 01 1400 0 0
D WATTS INDUSTRIES, INC. CLASS " COMMON 942749102 41 3000 SH DEFINED 01 3000 0 0
D WATTS INDUSTRIES, INC. CLASS " COMMON 942749102 118 8700 SH DEFINED 02 8700 0 0
D WAUSAU-MOSINEE PAPER CORP COMMON 943315101 24 1700 SH DEFINED 01 1700 0 0
D WAUSAU-MOSINEE PAPER CORP COMMON 943315101 1030 73600 SH DEFINED 02 11800 0 61800
D WAVEPHORE INC COMMON 943567107 202 25000 SH DEFINED 02 0 0 25000
D WEATHERFORD INTERNATIONAL, INC COMMON 947074100 420 16062 SH DEFINED 02 0 0 16062
D WEBB (DEL) CORP. COMMON 947423109 1115 51400 SH DEFINED 01 51400 0 0
D WEBB (DEL) CORP. COMMON 947423109 607 28000 SH DEFINED 02 21300 0 6700
D WEBSTER FINANCIAL CORP. COMMON 947890109 52 1800 SH DEFINED 05 0 0 1800
D WEBSTER FINANCIAL CORP. COMMON 947890109 4594 159100 SH DEFINED 01 113600 0 45500
D WEBSTER FINANCIAL CORP. COMMON 947890109 364 12611 SH DEFINED 02 3500 0 9111
D WEEKS CORPORATION COMMON 94856P102 7795 272900 SH DEFINED 01 272900 0 0
D WEEKS CORPORATION COMMON 94856P102 12522 438400 SH DEFINED 02 385800 0 52600
D WEIS MARKETS, INC. COMMON 948849104 25 675 SH DEFINED 01 0 0 675
D WEIS MARKETS, INC. COMMON 948849104 807 22100 SH DEFINED 02 0 0 22100
D WELLMAN, INC. COMMON 949702104 36 4100 SH DEFINED 05 0 0 4100
D WELLMAN, INC. COMMON 949702104 5006 564100 SH DEFINED 01 458700 0 105400
D WELLMAN, INC. COMMON 949702104 3436 387100 SH DEFINED 02 320100 0 67000
D WELLPOINT HEALTH NETWORK CL. " COMMON 94973H108 15 200 SH DEFINED 05 200 0 0
D WELLPOINT HEALTH NETWORK CL. " COMMON 94973H108 15610 205900 SH DEFINED 01 152500 0 53400
D WELLPOINT HEALTH NETWORK CL. " COMMON 94973H108 33718 444750 SH DEFINED 02 310850 0 133900
D WELLPOINT HEALTH NETWORK CL. " COMMON 94973H108 45 600 SH OTHER 01 600 0 0
D WELLS FARGO COMPANY COMMON 949746101 77 2200 SH DEFINED 05 2200 0 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 221
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D WELLS FARGO COMPANY COMMON 949746101 32205 918476 SH DEFINED 918476 0 0
D WELLS FARGO COMPANY COMMON 949746101 168049 4792780 SH DEFINED 01 2916653 0 1876127
D WELLS FARGO COMPANY COMMON 949746101 443339 12644070 SH DEFINED 02 9423906 0 3220164
D WELLS FARGO COMPANY COMMON 949746101 2156 61500 SH OTHER 09 61500 0 0
D WELLS FARGO COMPANY COMMON 949746101 2325 66300 SH OTHER 01 23475 42825 0
D WELLS FARGO COMPANY COMMON 949746101 1508 43000 SH OTHER 0304 43000 0 0
D WELLSFORD REAL PPTYS INC COMMON 950240101 342 39100 SH DEFINED 02 0 0 39100
D WENDY'S FINANCING 5% CV. PFD. PREF-CONV 950588202 5320 88300 SH DEFINED
D WENDY'S INTERNATIONAL, INC. COMMON 950590109 44 1560 SH DEFINED 1560 0 0
D WENDY'S INTERNATIONAL, INC. COMMON 950590109 2619 92095 SH DEFINED 01 84900 0 7195
D WENDY'S INTERNATIONAL, INC. COMMON 950590109 984 34600 SH DEFINED 02 7000 0 27600
D WERNER ENTERPRISES, INC. COMMON 950755108 6656 422625 SH DEFINED 01 422625 0 0
D WERNER ENTERPRISES, INC. COMMON 950755108 11984 760875 SH DEFINED 02 557625 0 203250
D WESLEY JESSEN VISIONCARE INC COMMON 951018100 463 16800 SH DEFINED 01 16800 0 0
D WESLEY JESSEN VISIONCARE INC COMMON 951018100 171 6200 SH DEFINED 02 5500 0 700
D WESTAMERICA BANCORPORATION COMMON 957090103 1287 40700 SH DEFINED 01 40700 0 0
D WESTAMERICA BANCORPORATION COMMON 957090103 4333 137000 SH DEFINED 02 106200 0 30800
D WESTCOAST ENERGY, INC. COMMON 95751D102 1458 74541 SH OTHER 01 30000 44541 0
D WESTELL TECHNOLOGIES, INC. CL. COMMON 957541105 509 115600 SH DEFINED 115600 0 0
D WESTELL TECHNOLOGIES, INC. CL. COMMON 957541105 19 4400 SH DEFINED 02 0 0 4400
D WESTERN BANCORP COMMON 957683105 894 28900 SH DEFINED 01 28900 0 0
D WESTERN BANCORP COMMON 957683105 232 7500 SH DEFINED 02 7500 0 0
D WESTERN DIGITAL CORP PREF-CONV 958102AH8 0 15000000 SH DEFINED 02
D WESTERN DIGITAL CORP. COMMON 958102105 669 84900 SH DEFINED 01 84900 0 0
D WESTERN DIGITAL CORP. COMMON 958102105 469 59600 SH DEFINED 02 7100 0 52500
D WESTERN RESOURCES, INC. COMMON 959425109 6288 235600 SH DEFINED 01 146400 0 89200
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 222
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D WESTERN RESOURCES, INC. COMMON 959425109 15062 564374 SH DEFINED 02 396574 0 167800
D WESTERN RESOURCES, INC. COMMON 959425109 16 600 SH OTHER 01 600 0 0
D WESTERN WIRELESS CORP. CLASS " COMMON 95988E204 54 1481 SH DEFINED 1481 0 0
D WESTERN WIRELESS CORP. CLASS " COMMON 95988E204 1642 45300 SH DEFINED 02 0 0 45300
D WESTINGHOUSE AIR BRAKE CO. COMMON 960386100 633 30300 SH DEFINED 01 30300 0 0
D WESTINGHOUSE AIR BRAKE CO. COMMON 960386100 265 12700 SH DEFINED 02 11600 0 1100
D WESTPOINT STEVENS, INC. COMMON 961238102 6541 236250 SH DEFINED 01 18800 0 217450
D WESTPOINT STEVENS, INC. COMMON 961238102 188 6800 SH DEFINED 02 0 0 6800
D WESTVACO CORP. COMMON 961548104 294 14000 SH DEFINED 06 14000 0 0
D WESTVACO CORP. COMMON 961548104 27 1291 SH DEFINED 1291 0 0
D WESTVACO CORP. COMMON 961548104 4780 227628 SH DEFINED 01 226091 0 1537
D WESTVACO CORP. COMMON 961548104 149 7100 SH DEFINED 02 1300 0 5800
D WESTVACO CORP. COMMON 961548104 414 19738 SH OTHER 01 14128 5610 0
D WESTWOOD ONE, INC. COMMON 961815107 445 15600 SH DEFINED 02 0 0 15600
D WEYERHAEUSER CO. COMMON 962166104 444 8000 SH DEFINED 06 8000 0 0
D WEYERHAEUSER CO. COMMON 962166104 123 2216 SH DEFINED 2216 0 0
D WEYERHAEUSER CO. COMMON 962166104 2457 44275 SH DEFINED 01 39000 0 5275
D WEYERHAEUSER CO. COMMON 962166104 239 4300 SH OTHER 01 0 4300 0
D WHIRLPOOL CORP. COMMON 963320106 22 400 SH DEFINED 05 400 0 0
D WHIRLPOOL CORP. COMMON 963320106 57 1042 SH DEFINED 1042 0 0
D WHIRLPOOL CORP. COMMON 963320106 20146 370500 SH DEFINED 01 270400 0 100100
D WHIRLPOOL CORP. COMMON 963320106 40657 747712 SH DEFINED 02 492612 0 255100
D WHIRLPOOL CORP. COMMON 963320106 60 1100 SH OTHER 01 1100 0 0
D WHITMAN CORP. COMMON 96647K102 4108 239000 SH DEFINED 01 239000 0 0
D WHITMAN CORP. COMMON 96647K102 1623 94400 SH DEFINED 02 18400 0 76000
D WHOLE FOODS MARKET, INC. COMMON 966837106 21 600 SH DEFINED 01 600 0 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 223
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D WHOLE FOODS MARKET, INC. COMMON 966837106 189 5500 SH DEFINED 02 0 0 5500
D WILEY (JOHN) & SONS, INC. CLAS COMMON 968223206 76 1800 SH DEFINED 01 0 0 1800
D WILEY (JOHN) & SONS, INC. CLAS COMMON 968223206 302 7200 SH DEFINED 02 0 0 7200
D WILLIAMS COMPANIES, INC. COMMON 969457100 183 4635 SH DEFINED 4635 0 0
D WILLIAMS COMPANIES, INC. COMMON 969457100 545 13800 SH DEFINED 02 0 0 13800
D WILLIAMS COMPANIES, INC. COMMON 969457100 603 15276 SH OTHER 01 0 15276 0
D WILLIAMS-SONOMA, INC. COMMON 969904101 1105 39100 SH DEFINED 01 39100 0 0
D WILLIAMS-SONOMA, INC. COMMON 969904101 3180 112550 SH DEFINED 02 83500 0 29050
D WILLIS LEASE FINANCE CORP. COMMON 970646105 5012 286400 SH DEFINED 01 286400 0 0
D WILLIS LEASE FINANCE CORP. COMMON 970646105 10635 607700 SH DEFINED 02 474300 0 133400
D WILMINGTON TRUST CORP. COMMON 971807102 2114 37000 SH DEFINED 01 19000 0 18000
D WILMINGTON TRUST CORP. COMMON 971807102 2327 40736 SH DEFINED 02 18136 0 22600
D WIND RIVER SYSTEMS INC COMMON 973149107 2097 117700 SH DEFINED 01 117700 0 0
D WIND RIVER SYSTEMS INC COMMON 973149107 4797 269300 SH DEFINED 02 195000 0 74300
D WINDMERE CORP. COMMON 973411101 83 11800 SH DEFINED 02 0 0 11800
D WINN-DIXIE STORES, INC. COMMON 974280109 68 1819 SH DEFINED 1819 0 0
D WINN-DIXIE STORES, INC. COMMON 974280109 5101 136480 SH DEFINED 01 64796 0 71684
D WINN-DIXIE STORES, INC. COMMON 974280109 710 19000 SH DEFINED 02 0 0 19000
D WINNEBAGO INDUSTRIES, INC. COMMON 974637100 18 1300 SH DEFINED 01 1300 0 0
D WINNEBAGO INDUSTRIES, INC. COMMON 974637100 398 28400 SH DEFINED 02 17500 0 10900
D WINSTAR COMMUNICATIONS, INC. COMMON 975515107 1123 30900 SH DEFINED 30900 0 0
D WINSTAR COMMUNICATIONS, INC. COMMON 975515107 520 14300 SH DEFINED 01 14300 0 0
D WINSTAR COMMUNICATIONS, INC. COMMON 975515107 920 25300 SH DEFINED 02 5100 0 20200
D WISCONSIN CENT. TRANSPORTATION COMMON 976592105 2724 205575 SH DEFINED 01 183975 0 21600
D WISCONSIN CENT. TRANSPORTATION COMMON 976592105 1929 145555 SH DEFINED 02 75055 0 70500
D WISCONSIN ENERGY CORP. COMMON 976657106 70 2700 SH DEFINED 05 2700 0 0
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 224
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D WISCONSIN ENERGY CORP. COMMON 976657106 73483 2819425 SH DEFINED 01 1944292 0 875133
D WISCONSIN ENERGY CORP. COMMON 976657106 188217 7221620 SH DEFINED 02 4850776 0 2370844
D WISCONSIN ENERGY CORP. COMMON 976657106 1217 46700 SH OTHER 09 46700 0 0
D WISCONSIN ENERGY CORP. COMMON 976657106 1638 62865 SH OTHER 01 8880 53985 0
D WISCONSIN ENERGY CORP. COMMON 976657106 1694 65000 SH OTHER 0304 65000 0 0
D WOLVERINE TUBE, INC. COMMON 978093102 63 3003 SH DEFINED 3003 0 0
D WOLVERINE TUBE, INC. COMMON 978093102 247 11700 SH DEFINED 02 2800 0 8900
D WOLVERINE WORLD WIDE, INC. COMMON 978097103 38 4000 SH DEFINED 01 4000 0 0
D WOLVERINE WORLD WIDE, INC. COMMON 978097103 240 25262 SH DEFINED 02 0 0 25262
D WORLD ACESS INC COMMON 98141A101 7 800 SH DEFINED 01 800 0 0
D WORLD ACESS INC COMMON 98141A101 107 13117 SH DEFINED 02 0 0 13117
D WORLD COLOR PRESS, INC. COMMON 981443104 43 2000 SH DEFINED 05 2000 0 0
D WORLD COLOR PRESS, INC. COMMON 981443104 1687 79400 SH DEFINED 01 79400 0 0
D WORLD COLOR PRESS, INC. COMMON 981443104 963 45300 SH DEFINED 02 38500 0 6800
D WORTHINGTON INDUSTRIES, INC. COMMON 981811102 14 1178 SH DEFINED 1178 0 0
D WORTHINGTON INDUSTRIES, INC. COMMON 981811102 253 21495 SH DEFINED 01 0 0 21495
D WRIGLEY (WM.) JR. CO. COMMON 982526105 139 1542 SH DEFINED 1542 0 0
D WRIGLEY (WM.) JR. CO. COMMON 982526105 136 1500 SH DEFINED 01 0 0 1500
D WRIGLEY (WM.) JR. CO. COMMON 982526105 488 5400 SH DEFINED 02 0 0 5400
D WRIGLEY (WM.) JR. CO. COMMON 982526105 271 3000 SH OTHER 01 0 3000 0
D WYMAN-GORDON CO. COMMON 983085101 2785 301100 SH DEFINED 01 301100 0 0
D WYMAN-GORDON CO. COMMON 983085101 2229 241000 SH DEFINED 02 225000 0 16000
D WYNN'S INTERNATIONAL, INC. COMMON 983195108 19 1100 SH DEFINED 01 0 0 1100
D WYNN'S INTERNATIONAL, INC. COMMON 983195108 778 44605 SH DEFINED 02 0 0 44605
D XILINX, INC. COMMON 983919101 17617 434300 SH DEFINED 01 334900 0 99400
D XILINX, INC. COMMON 983919101 13674 337094 SH DEFINED 02 152294 0 184800
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 225
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D XILINX, INC. COMMON 983919101 41 1000 SH OTHER 01 1000 0 0
D XIRCOM, INC. COMMON 983922105 20 800 SH DEFINED 01 800 0 0
D XIRCOM, INC. COMMON 983922105 392 15600 SH DEFINED 02 0 0 15600
D XOMED SURGICAL PRODS INC COMMON 98412V107 1519 38700 SH DEFINED 01 38700 0 0
D XOMED SURGICAL PRODS INC COMMON 98412V107 3317 84500 SH DEFINED 02 66700 0 17800
D XEROX CORP. COMMON 984121103 2393 45900 SH DEFINED 05 12400 0 33500
D XEROX CORP. COMMON 984121103 379 7262 SH DEFINED 7262 0 0
D XEROX CORP. COMMON 984121103 20473 392774 SH DEFINED 01 127746 0 265028
D XEROX CORP. COMMON 984121103 10613 203600 SH DEFINED 02 95700 0 107900
D XEROX CORP. COMMON 984121103 2542 48760 SH OTHER 01 13160 35600 0
D XTRA CORP. COMMON 984138107 207 5400 SH DEFINED 02 0 0 5400
D XYLAN CORP. COMMON 984151100 1535 41700 SH DEFINED 41700 0 0
D XYLAN CORP. COMMON 984151100 475 12900 SH DEFINED 02 0 0 12900
D YPF SOCIEDAD ANONIMA - SPONS. COMMON 984245100 197059 6243350 SH DEFINED 6243350 0 0
D YPF SOCIEDAD ANONIMA - SPONS. COMMON 984245100 504 15970 SH DEFINED 02 15970 0 0
D YAHOO!, INC. COMMON 984332106 3974 23605 SH DEFINED 23605 0 0
D YAHOO!, INC. COMMON 984332106 657 3900 SH DEFINED 3900 0 0
D YAHOO!, INC. COMMON 984332106 91 540 SH DEFINED 01 400 0 140
D YAHOO!, INC. COMMON 984332106 5169 30700 SH DEFINED 02 0 0 30700
D YANKEE ENERGY SYSTEM, INC. COMMON 984779108 3 115 SH DEFINED 01 100 0 15
D YANKEE ENERGY SYSTEM, INC. COMMON 984779108 257 11150 SH DEFINED 02 4300 0 6850
D YELLOW CORP. COMMON 985509108 198 11400 SH DEFINED 01 11400 0 0
D YELLOW CORP. COMMON 985509108 153 8800 SH DEFINED 02 4700 0 4100
D YORK FINANCIAL CORP. COMMON 986630101 315 21714 SH DEFINED 02 0 0 21714
D YOUNG BROADCASTING CORP. CLASS COMMON 987434107 64 1400 SH DEFINED 01 1400 0 0
D YOUNG BROADCASTING CORP. CLASS COMMON 987434107 287 6300 SH DEFINED 02 0 0 6300
FORM 13F-E NAME OF REPORTING MANAGER: J.P. MORGAN & CO. INC. - (CONSOLIDATED) MARCH 31 1999 PAGE 226
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D ZALE CORP. COMMON 988858106 1897 55500 SH DEFINED 01 55500 0 0
D ZALE CORP. COMMON 988858106 5863 171500 SH DEFINED 02 128600 0 42900
D ZARING NATL CORP COMMON 989136106 816 96000 SH DEFINED 01 0 0 96000
D ZENECA GROUP PLC. - SPONSORED COMMON 98934D106 452 9597 SH OTHER 01 0 9597 0
D ZIFF-DAVIS INC COMMON 989511100 538 25000 SH DEFINED 25000 0 0
D ZILA, INC. COMMON 989513205 113 30000 SH DEFINED 02 0 0 30000
D ZIONS BANCORPORATION COMMON 989701107 1942 29200 SH DEFINED 02 0 0 29200
S REPORT SUMMARY 5857 DATA RECORDS 111522107
</TABLE>